sentence1
stringlengths
1
133k
sentence2
stringlengths
1
131k
cruel and bloodthirsty disposition of some of the islanders is mainly to be ascribed to the influence of such examples. [The] voluptuous Indian, with every desire supplied, whom Providence has bountifully provided with all the sources of pure and natural enjoyment, and from whom are removed so many of the ills and pains of life—what has he to desire at the hands of Civilization? Will he be the happier? Let the once smiling and populous Hawaiian islands, with their now diseased, starving, and dying natives, answer the question. The missionaries may seek to disguise the matter as they will, but the facts are incontrovertible. The Knickerbocker called Typee "a piece of Münchhausenism." New York publisher Evert Augustus Duyckinck wrote to Nathaniel Hawthorne that "it is a lively and pleasant book, not over philosophical perhaps." In 1939, Charles Robert Anderson published Melville in the South Seas in which he elaborated on a number of Melville's likely sources in supplementing his work and also documented the existence of an affidavit from the Captain of the Acushnet. If the date provided by Captain can be considered accurate, Anderson concludes that Melville's stay in the "Typee Valley" part of the island would have been merely "four weeks, or possible eight weeks at the most." However, in trying to determine the end date of Melville's stay, Anderson primarily relies on Melville's own internal accounts of various events, for instance that he was rescued from the valley on a "Monday." In summing up his view of Typee, Anderson writes: For the general student of Melville, the detailed analysis and verification of these matters... probably reveals an accuracy scarcely to be expected. Without hesitation it can be said that in general this volume presents faithful delineation of the island life and scenery in precivilization Nukahiva, with the exception of numerous embellishments and some minor errors... All of the initial back and forth which Melville experienced regarding the factuality of Typee may have had a chastening effect on him, as Anderson considers his next work, the book's sequel Omoo, "the most strictly autobiographical of all Melville's works." But this second book also seems to have met with some skepticism, so that for his third book Mardi, Melville declares in the preface that he has decided to write a work of fiction under
indeed desert the ship on the island in the summer of 1842. Typee attempts to be something of a work of proto-anthropology. Melville continually admits vast ignorance of the culture and language he is describing while also trying to bolster and supplement his own experiences with a great deal of other reading and research. He also has a tendency to employ a fair amount of hyperbole and attempts at humor. A few recent scholars have dedicated themselves to questioning the basic factuality of Melville's account. For instance, the length of stay on which Typee is based is presented as four months in the narrative and this was likely an extension and exaggeration of Melville's actual stay on the island. There is also not known to have ever been a lake on the island where Melville might have gone canoeing with Fayaway, as described in the book. Critical response Typees narrative expresses a great deal of sympathy for the so-called savages, and even interrogates the use of that word, while focusing the most criticism on European marauders and various missionaries' attempts to evangelize: It may be asserted without fear of contradictions that in all the cases of outrages committed by Polynesians, Europeans have at some time or other been the aggressors, and that the cruel and bloodthirsty disposition of some of the islanders is mainly to be ascribed to the influence of such examples. [The] voluptuous Indian, with every desire supplied, whom Providence has bountifully provided with all the sources of pure and natural enjoyment, and from whom are removed so many of the ills and pains of life—what has he to desire at the hands of Civilization? Will he be the happier? Let the once smiling and populous Hawaiian islands, with their now diseased, starving, and dying natives, answer the question. The missionaries may seek to disguise the matter as they will, but the facts are incontrovertible. The Knickerbocker called Typee "a piece of Münchhausenism." New York publisher Evert Augustus Duyckinck wrote to Nathaniel Hawthorne that "it is a lively and pleasant book, not over philosophical perhaps." In 1939, Charles Robert Anderson published Melville in the South Seas in which he elaborated on a number of Melville's likely sources in supplementing his work and also documented the existence of an affidavit from the Captain of the Acushnet. If the date provided by Captain can be considered accurate, Anderson concludes that Melville's stay in the "Typee Valley" part of the island would have been merely "four weeks, or possible eight weeks at the most." However, in trying to determine the end date of Melville's stay, Anderson primarily relies on Melville's own internal accounts of various events, for instance that he was rescued from the valley on a "Monday." In summing up his view of Typee, Anderson writes: For the general student of Melville, the detailed analysis and verification of these matters... probably reveals an accuracy scarcely to be expected. Without hesitation it can be said that in general this volume presents faithful delineation of the island life and scenery in precivilization Nukahiva, with the exception of numerous embellishments and some minor errors... All of the initial back and forth which Melville experienced regarding the factuality of Typee may have had a chastening effect on him, as Anderson considers his next work, the book's sequel Omoo, "the most strictly autobiographical of all Melville's works." But this second book also seems to have met with some skepticism, so that for his third book Mardi, Melville declares in the preface that he has decided to write a work of fiction under the supposition (half-joking) he might
is easy to get by using one of the three orthogonal golden rectangles drawn into the original icosahedron (before cut off) as the starting point for our considerations. The angle between the segments joining the center and the vertices connected by shared edge (calculated on the basis of this construction) is approximately 23.281446°. Area and volume The area A and the volume V of the truncated icosahedron of edge length a are: With unit edges, the surface area is (rounded) 21 for the pentagons and 52 for the hexagons, together 73 (see areas of regular polygons). The truncated icosahedron easily demonstrates the Euler characteristic: 32 + 60 − 90 = 2. Applications The balls used in association football and team handball are perhaps the best-known example of a spherical polyhedron analog to the truncated icosahedron, found in everyday life. The ball comprises the same pattern of regular pentagons and regular hexagons, but it is more spherical due to the pressure of the air inside and the elasticity of the ball. This ball type was introduced to the World Cup in 1970 (starting in 2006, this iconic design has been superseded by alternative patterns). Geodesic domes are typically based on triangular facetings of this geometry with example structures found across the world, popularized by Buckminster Fuller. A variation of the icosahedron was used as the basis of the honeycomb wheels (made from a polycast material) used by the Pontiac Motor Division between 1971 and 1976 on its Trans Am and Grand Prix. This shape was also the configuration of the lenses used for focusing the explosive shock waves of the detonators in both the gadget and Fat Man atomic bombs. The truncated icosahedron can also be described as a model of the Buckminsterfullerene (fullerene) (C60), or "buckyball", molecule – an allotrope of elemental carbon, discovered in 1985. The diameter of the football and the fullerene molecule are 22 cm and about 0.71 nm, respectively, hence the size ratio is ≈31,000,000:1. In popular craft culture, large sparkleballs can be made using a icosahedron pattern and plastic, styrofoam or paper cups. In the arts Related polyhedra These uniform star-polyhedra, and one icosahedral stellation have nonuniform truncated icosahedra convex hulls: Truncated icosahedral graph In the mathematical field of graph theory, a truncated icosahedral graph is the graph of vertices and edges of the truncated icosahedron, one of the Archimedean solids. It has 60 vertices and 90 edges, and is a cubic Archimedean graph. History The truncated icosahedron was known to Archimedes, who classified the 13
edge length of a truncated icosahedron is a, the radius of a circumscribed sphere (one that touches the truncated icosahedron at all vertices) is: where φ is the golden ratio. This result is easy to get by using one of the three orthogonal golden rectangles drawn into the original icosahedron (before cut off) as the starting point for our considerations. The angle between the segments joining the center and the vertices connected by shared edge (calculated on the basis of this construction) is approximately 23.281446°. Area and volume The area A and the volume V of the truncated icosahedron of edge length a are: With unit edges, the surface area is (rounded) 21 for the pentagons and 52 for the hexagons, together 73 (see areas of regular polygons). The truncated icosahedron easily demonstrates the Euler characteristic: 32 + 60 − 90 = 2. Applications The balls used in association football and team handball are perhaps the best-known example of a spherical polyhedron analog to the truncated icosahedron, found in everyday life. The ball comprises the same pattern of regular pentagons and regular hexagons, but it is more spherical due to the pressure of the air inside and the elasticity of the ball. This ball type was introduced to the World Cup in 1970 (starting in 2006, this iconic design has been superseded by alternative patterns). Geodesic domes are typically based on triangular facetings of this geometry with example structures found across the world, popularized by Buckminster Fuller. A variation of the icosahedron was used as the basis of the honeycomb wheels (made from a polycast material) used by the Pontiac Motor Division between 1971 and 1976 on its Trans Am and Grand Prix. This shape was also the configuration of the lenses used for focusing the explosive shock waves of the detonators in both the gadget and Fat Man atomic bombs. The truncated icosahedron can also be described as a model of the Buckminsterfullerene (fullerene) (C60), or "buckyball", molecule – an allotrope of elemental carbon, discovered in 1985. The diameter of the football and the fullerene molecule are 22 cm and about 0.71 nm, respectively, hence the size ratio
measurements for age, gender or stature, and for its claim that any meaningful conclusions could be drawn from Morton's data. In 2015 this paper was reviewed by Michael Weisberg, who reported that "most of Gould's arguments against Morton are sound. Although Gould made some errors and overstated his case in a number of places, he provided prima facia evidence, as yet unrefuted, that Morton did indeed mismeasure his skulls in ways that conformed to 19th century racial biases". Biologists and philosophers Jonathan Kaplan, Massimo Pigliucci, and Joshua Alexander Banta also published a critique of the group's paper, arguing that many of its claims were misleading and the re-measurements were "completely irrelevant to an evaluation of Gould's published analysis". They also maintain that the "methods deployed by Morton and Gould were both inappropriate" and that "Gould's statistical analysis of Morton's data is in many ways no better than Morton's own". A 2018 paper argued that Morton's interpretation of the data was biased but that the data itself was accurate. The paper argued that Morton's measurements were similar to those of a contemporary craniologist, Freidrich Tidemann, who had interpreted the data differently to argue strongly against any conception of racial hierarchy. Criticism In a review of The Mismeasure of Man, Bernard Davis, professor of microbiology at Harvard Medical School, said that Gould erected a straw man argument based upon incorrectly defined key terms—specifically reification—which Gould furthered with a "highly selective" presentation of statistical data, all motivated more by politics than by science. Davis said that Philip Morrison’s laudatory book review of The Mismeasure of Man in Scientific American was written and published because the editors of the journal had "long seen the study of the genetics of intelligence as a threat to social justice". Davis also criticized the popular-press and the literary-journal book reviews of The Mismeasure of Man as generally approbatory; whereas, he said that most scientific-journal book reviews were generally critical. Davis accused Gould of having misrepresented a study by Henry H. Goddard (1866–1957) about the intelligence of Jewish, Hungarian, Italian, and Russian immigrants to the U.S., wherein Gould reported Goddard's qualifying those people as "feeble-minded"; whereas, in the initial sentence of the study, Goddard said the study subjects were atypical members of their ethnic groups, who had been selected because of their suspected sub-normal intelligence. Davis also argued that Goddard had proposed that the low IQs of the sub-normally intelligent men and women who took the cognitive-ability test likely derived from their social environments rather than from their respective genetic inheritances, and concluded that "we may be confident that their children will be of average intelligence, and, if rightly brought up, will be good citizens". Gould pushed back against some of Davis' claims in a 1994 revised edition of the book. While Davis characterized the book's reception as negative in the scientific journals, Gould argued that of twenty-four academic book reviews written by experts in psychology, fourteen approved, three were mixed opinions, and seven disapproved of the book. In his review, psychologist John B. Carroll said that Gould did not understand "the nature and purpose" of factor analysis. Statistician David J. Bartholomew, of the London School of Economics, said that Gould erred in his use of factor analysis, irrelevantly concentrated upon the fallacy of reification (abstract as concrete), and ignored the contemporary scientific consensus about the existence of the psychometric g. Reviewing the book, Stephen F. Blinkhorn, a senior lecturer in psychology at the University of Hertfordshire, wrote that The Mismeasure of Man was "a masterpiece of propaganda" that selectively juxtaposed data to further a political agenda. Psychologist Lloyd Humphreys, then editor-in-chief of The American Journal of Psychology and Psychological Bulletin, wrote that The Mismeasure of Man was "science fiction" and "political propaganda", and that Gould had misrepresented the views of Alfred Binet, Godfrey Thomson, and Lewis Terman. In his review, psychologist Franz Samelson wrote that Gould was wrong in asserting that the psychometric results of the intelligence tests administered to soldier-recruits by the U.S. Army contributed to the legislation of the Immigration Restriction Act of 1924. In their study of the Congressional Record and committee hearings related to the Immigration Act, Mark Snyderman and Richard J. Herrnstein reported that "the [intelligence] testing community did not generally view its findings as favoring restrictive immigration policies like those in the 1924 Act, and Congress took virtually no notice of intelligence testing". Psychologist David P. Barash wrote that Gould unfairly groups sociobiology with "racist eugenics and misguided Social Darwinism". A 2018 paper argued that the Gould was incorrect in his assessment of the Army Beta and that, for the knowledge, technology and test development standards of the time, it was adequate and could measure intelligence, possibly even in the modern day. Responses by subjects of the book In his review of The Mismeasure of Man, Arthur Jensen, a University of California (Berkeley) educational psychologist whom Gould much criticized in the book, wrote that Gould used straw man arguments to advance his opinions, misrepresented other scientists, and propounded a political agenda. According to Jensen, the book was "a patent example" of the bias that political ideology imposes upon science—the very thing that Gould sought to portray in the book. Jensen also criticized Gould for concentrating on long-disproven arguments (noting that 71% of the book's references preceded 1950), rather than addressing "anything currently regarded as important by scientists in the relevant fields", suggesting that drawing conclusions from early human intelligence research is like condemning the contemporary automobile industry based upon the mechanical performance of the Ford Model T. Charles Murray, co-author of The Bell Curve (1994), said that his views about the distribution of human intelligence, among the races and the ethnic groups who compose the U.S. population, were misrepresented in The Mismeasure of Man. Psychologist Hans Eysenck wrote that The Mismeasure of Man is a book that presents "a paleontologist's distorted view of what psychologists think, untutored in even the most elementary facts of the science". Responses to the second edition (1996) Arthur Jensen and Bernard Davis argued that if the g factor (general intelligence factor) were replaced with a model that tested several types of intelligence, it would change results less than one might expect. Therefore, according to Jensen and Davis, the results of standardized tests of cognitive ability would continue to correlate with the results of other such standardized tests, and that the intellectual achievement gap between black and white people would remain. Psychologist J. Philippe Rushton accused Gould of "scholarly malfeasance" for misrepresenting and for ignoring contemporary scientific research pertinent to the subject of his book, and for attacking dead hypotheses and methods of research. He faulted The Mismeasure of Man because it did not mention the magnetic resonance imaging (MRI) studies that showed the existence of statistical correlations among brain-size, IQ, and the g factor, despite Rushton having sent copies of the MRI studies to Gould. Rushton further criticized the book for the absence of the results of five studies of twins reared apart corroborating the findings of Cyril Burt—the contemporary average was 0.75 compared to the average of 0.77 reported by Burt. James R. Flynn, a researcher critical of racial theories of intelligence, repeated the arguments of Arthur Jensen about the second edition of The Mismeasure of Man. Flynn wrote that "Gould's book evades all of Jensen's best arguments for a genetic component in the black–white IQ gap, by positing that they are dependent on the concept of g as a general intelligence factor. Therefore, Gould believes that if he can discredit g no more need be said. This is manifestly false. Jensen’s arguments would bite no matter whether blacks suffered from a score deficit on one or ten or one hundred factors." Rather than defending Jensen and Rushton, however, Flynn concluded that the Flynn Effect, a nongenetic rise in IQ throughout the 20th century, invalidated their core argument because their methods falsely identified even this change as genetic. According to psychologist Ian Deary, Gould's claim that there is no relation between brain size and IQ is outdated. Furthermore, he reported that Gould refused to correct this in new editions of the book, even though newly available data were brought to his attention by several researchers. See also Intelligence quotient History of the race and intelligence controversy Scientific racism References External links Praise "Debunking as Positive Science" by Richard York and Brett Clark "The Roots of Biological Determinism" by Garland Allen, Journal of the History of Biology "The Mismeasure of Man" by Martin A. Silverman and Ilene Silverman, Psychoanalytic Quarterly "The Mismeasure of Man" by John H. Lienhard, NPR, The Engines of Our Ingenuity. "Intelligence and Some of its Testers" by Franz Samelson, Science Criticism "Reflections on Stephen Jay Gould's The Mismeasure of Man" by John B. Carroll "The Mismeasures of Gould" by J. Philippe Rushton, National Review "Race, Intelligence, and the Brain" by J. Philippe Rushton "The Debunking of Scientific Fossils and Straw Persons" by Arthur Jensen "Neo-Lysenkoism, IQ and the press" by Bernard Davis, The Public Interest Further reading Goodfield, June (1981). "A mind is not described in numbers". The New York Times Book Review (Nov. 1): 11. Gould, S. J. (1981). Mismeasure of Man. New York: Norton & Company Gould, S. J. (1981). "The Real Error of Cyril Burt" Gould, S. J. (1984). "Human Equality Is a Contingent Fact of History". Natural History 93 (Nov.): 26–33. Gould, S. J. (1994). "Curveball: Review of The Bell Curve". The New Yorker 70 (Nov. 28): 139–49. Gould, S. J. (1995). "Ghosts of Bell Curves Past". Natural History 104 (Feb.): 1219. Leach, Sir Edmund (1982). "Review: The Mismeasure of Man". New Scientist 94 (May 13): 437. Nature eds. (2011). "Mismeasure for Mismeasure". Nature 474 (23 June): 419. Ravitch, Diane (2008). "The Mismeasure of Man". Commentary 73 (June). Reich, Eugenie Samuel (2011) "Stephen Jay Gould
is an analysis of statistical correlation, the mathematics applied by psychologists to establish the validity of IQ tests, and the heritability of intelligence. For example, to establish the validity of the proposition that IQ is supported by a general intelligence factor (g factor), the answers to several tests of cognitive ability must positively correlate; thus, for the g factor to be a heritable trait, the IQ-test scores of close-relation respondents must correlate more than the IQ-test scores of distant-relation respondents. However, correlation does not imply causation; for example, Gould said that the measures of the changes, over time, in "my age, the population of México, the price of Swiss cheese, my pet turtle’s weight, and the average distance between galaxies" have a high, positive correlation—yet that correlation does not indicate that Gould’s age increased because the Mexican population increased. More specifically, a high, positive correlation between the intelligence quotients of a parent and a child can be presumed either as evidence that IQ is genetically inherited, or that IQ is inherited through social and environmental factors. Moreover, because the data from IQ tests can be applied to arguing the logical validity of either proposition—genetic inheritance and environmental inheritance—the psychometric data have no inherent value. Gould pointed out that if the genetic heritability of IQ were demonstrable within a given racial or ethnic group, it would not explain the causes of IQ differences among the people of a group, or if said IQ differences can be attributed to the environment. For example, the height of a person is genetically determined, but there exist height differences within a given social group that can be attributed to environmental factors (e.g. the quality of nutrition) and to genetic inheritance. The evolutionary biologist Richard Lewontin, a colleague of Gould’s, is a proponent of this argument in relation to IQ tests. An example of the intellectual confusion about what heritability is and is not, is the statement: "If all environments were to become equal for everyone, heritability would rise to 100 percent because all remaining differences in IQ would necessarily be genetic in origin", which Gould said is misleading, at best, and false, at worst. First, it is very difficult to conceive of a world wherein every man, woman, and child grew up in the same environment, because their spatial and temporal dispersion upon the planet Earth makes it impossible. Second, were people to grow up in the same environment, not every difference would be genetic in origin because of the randomness of molecular and genetic development. Therefore, heritability is not a measure of phenotypic (physiognomy and physique) differences among racial and ethnic groups, but of differences between genotype and phenotype in a given population. Furthermore, he dismissed the proposition that an IQ score measures the general intelligence (g factor) of a person, because cognitive ability tests (IQ tests) present different types of questions, and the responses tend to form clusters of intellectual acumen. That is, different questions, and the answers to them, yield different scores—which indicate that an IQ test is a combination method of different examinations of different things. As such, Gould proposed that IQ-test proponents assume the existence of "general intelligence" as a discrete quality within the human mind, and thus they analyze the IQ-test data to produce an IQ number that establishes the definitive general intelligence of each man and of each woman. Hence, Gould dismissed the IQ number as an erroneous artifact of the statistical mathematics applied to the raw IQ-test data, especially because psychometric data can be variously analyzed to produce multiple IQ scores. Second edition The revised and expanded second edition (1996) includes two additional chapters, which critique Richard Herrnstein and Charles Murray’s book The Bell Curve (1994). Gould maintains that their book contains no new arguments and presents no compelling data; it merely refashions earlier arguments for biological determinism, which Gould defines as “the abstraction of intelligence as a single entity, its location within the brain, its quantification as one number for each individual, and the use of these numbers to rank people in a single series of worthiness, invariably to find that oppressed and disadvantaged groups—races, classes, or sexes—are innately inferior and deserve their status”. Reception Praise The majority of reviews of The Mismeasure of Man were positive, as Gould notes. Richard Lewontin, a celebrated evolutionary biologist who held positions at both the University of Chicago and Harvard, wrote a glowing review of Gould's book in The New York Review of Books, endorsing most aspects of its account, and suggesting that it might have been even more critical of the racist intentions of the scientists he discusses, because scientists "sometimes tell deliberate lies because they believe that small lies can serve big truths." Gould said that the most positive review of the first edition to be written by a psychologist was in the British Journal of Mathematical & Statistical Psychology, which reported that "Gould has performed a valuable service in exposing the logical basis of one of the most important debates in the social sciences, and this book should be required reading for students and practitioners alike." In The New York Times, journalist Christopher Lehmann-Haupt wrote that the critique of factor analysis "demonstrates persuasively how factor analysis led to the cardinal error in reasoning, of confusing correlation with cause, or, to put it another way, of attributing false concreteness to the abstract". The British journal Saturday Review praised the book as a "fascinating historical study of scientific racism", and that its arguments "illustrate both the logical inconsistencies of the theories and the prejudicially motivated, albeit unintentional, misuse of data in each case". In the American Monthly Review magazine, Richard York and the sociologist Brett Clark praised the book's thematic concentration, saying that "rather than attempt a grand critique of all 'scientific' efforts aimed at justifying social inequalities, Gould performs a well-reasoned assessment of the errors underlying a specific set of theories and empirical claims". Newsweek gave it a positive review for revealing biased science and its abuse. The Atlantic Monthly and Phi Beta Kappa’s The Key Reporter also reviewed the book favorably. Awards The first edition of The Mismeasure of Man won the non-fiction award from the National Book Critics Circle; the Outstanding Book Award for 1983 from the American Educational Research Association; the Italian translation was awarded the Iglesias prize in 1991; and in 1998, the Modern Library ranked it as the 24th-best English-language non-fiction book of the 20th century. In December 2006, Discover magazine ranked The Mismeasure of Man as the 17th-greatest science book of all time. Reassessing Morton's skull measurements In a paper published in 1988, John S. Michael reported that Samuel G. Morton's original 19th-century study was conducted with less bias than Gould had described; that "contrary to Gould's interpretation ... Morton's research was conducted with integrity". Nonetheless, Michael's analysis suggested that there were discrepancies in Morton's craniometric calculations, that his data tables were scientifically unsound, and he "cannot be excused for his errors, or his unfair comparisons of means". Michael later complained that some authors, including J. Philippe Rushton, selectively "cherry-picked facts" from his research to support their own claims. He lamented, "Some people have turned the Morton-Gould affair into an all or nothing debate in which either one side is right or the other side is right, and I think that is a mistake. Both men made mistakes and proving one wrong does not prove the other one right." In another study, published in 2011, Jason E. Lewis and colleagues re-measured the cranial volumes of the skulls in Morton's collection, and re-examined the respective statistical analyses by Morton and by Gould, concluding that, contrary to Gould's analysis, Morton did not falsify craniometric research results to support his racial and social prejudices, and that the "Caucasians" possessed the greatest average cranial volume in the sample. To the extent that Morton's craniometric measurements were erroneous, the error was away from his personal biases. Ultimately, Lewis and colleagues disagreed with most of Gould's criticisms of Morton, finding that Gould's work was "poorly supported", and that, in their opinion, the confirmation of the results of Morton's original work "weakens the argument of Gould, and others, that biased results are endemic in science". Despite this criticism, the authors acknowledged that they admired Gould's staunch opposition to racism. Lewis' study examined 46% of Morton's samples, whereas Gould's earlier study was based solely on a reexamination of Morton's raw data tables. However Lewis' study was subsequently criticized by a number of scholars for misrepresenting Gould's claims, bias, faulted for examining fewer than half of the skulls in Morton's collection, for failing to correct measurements for age, gender or stature, and for its claim that any meaningful conclusions could be drawn from Morton's data. In 2015 this paper was reviewed by Michael Weisberg, who reported that "most of Gould's arguments against Morton are sound. Although Gould made some errors and overstated his case in a number of places, he provided prima facia evidence, as yet unrefuted, that Morton did indeed mismeasure his skulls in ways that conformed to 19th century racial biases". Biologists and philosophers Jonathan Kaplan, Massimo Pigliucci, and Joshua Alexander Banta also published a critique of the group's paper, arguing that many of its claims were misleading and the re-measurements were "completely irrelevant to an evaluation of Gould's published analysis". They also maintain that the "methods deployed by Morton and Gould were both inappropriate" and that "Gould's statistical analysis of Morton's data is in many ways no better than Morton's own". A 2018 paper argued that Morton's interpretation of the data was biased but that the data itself was accurate. The paper argued that Morton's measurements were similar to those of a contemporary craniologist, Freidrich Tidemann, who had interpreted the data differently to argue strongly against any conception of racial hierarchy. Criticism In
During its 1996–2001 rule in Afghanistan, the Taliban was considered notorious internationally for its misogyny and violence against women. Its stated motive was to create a "secure environment where the chasteness and dignity of women may once again be sacrosanct", reportedly based on Pashtunwali beliefs about living in purdah. Since the Taliban seized most of Afghanistan in 2021, there are many concerns. Women in Afghanistan were forced to wear the burqa at all times in public, because, according to one Taliban spokesman, "the face of a woman is a source of corruption" for men not related to them. In a systematic segregation sometimes referred to as gender apartheid, women were not allowed to work, they were not allowed to be educated after the age of eight, and until then were permitted only to study the Qur'an. Women seeking an education were forced to attend underground schools, where they and their teachers risked execution if caught. They were not allowed to be treated by male doctors unless accompanied by a male chaperone, which led to illnesses remaining untreated. They faced public flogging and execution for violations of the Taliban's laws. The Taliban allowed and in some cases encouraged marriage for girls under the age of 16. Amnesty International reported that 80% of Afghan marriages were forced. Gender policies From the age of eight onward, girls in Afghanistan were not allowed to be in direct contact with males other than a close "blood relative", husband, or in-law (see mahram). Other restrictions for women were: Women should not appear in the streets without a blood relative or without wearing a burqa. Women should not wear high-heeled shoes as no man should hear a woman's footsteps lest it excite him. Women must not speak loudly in public as no stranger should hear a woman's voice. All ground and first-floor residential windows should be painted over or screened to prevent women from being visible from the street. Photographing, filming and displaying pictures of females in newspapers, books, shops or the home was banned. The modification of any place names that included the word "women". For example, "women's garden" was renamed "spring garden". Women were forbidden to appear on the balconies of their apartments or houses. Ban on women's presence on radio, television or at public gatherings of any kind. Mobility The Taliban rulings regarding public conduct placed severe restrictions on a woman's freedom of movement and created difficulties for those who could not afford a burqa (which was not commonly worn in Afghanistan prior to the rise of the Taliban and considered a fairly expensive garment at upwards of USD$9.00 in 1998) or did not have any mahram. These women faced virtual house arrest. A woman who was badly beaten by the Taliban for walking the streets alone stated "my father was killed in battle ... I have no husband, no brother, no son. How am I to live if I can't go out alone?" A field worker for the NGO Terre des hommes witnessed the impact on female mobility at Kabul's largest state-run orphanage, Taskia Maskan. After the female staff was relieved of their duties, the approximately 400 girls living at the institution were locked inside for a year without being allowed outside for recreation. Decrees that affected women's mobility were: Ban on women riding bicycles or motorcycles, even with their mahrams. Women were forbidden to ride in a taxi without a mahram. Segregated bus services introduced to prevent males and females travelling on the same bus. The lives of rural women were less dramatically affected as they generally lived and worked within secure kin environments. A relative level of freedom was necessary for them to continue with their chores or labor. If these women travelled to a nearby town, the same urban restrictions would have applied to them. Employment The Taliban disagreed with past Afghan statutes that allowed the employment of Afghan women in a mixed sex workplace. The claim was that this was a breach of purdah and Sharia law. On September 30, 1996, the Taliban decreed that all women should be banned from employment. It is estimated that 25 percent of government employees were female, and when compounded by losses in other sectors, many thousands of women were affected. Another loss was for those whom the employed women served. Elementary education of all children, not just girls, was shut down in Kabul, where virtually all of the elementary school teachers were women. Thousands of educated families fled Kabul for Pakistan after the Taliban took the city in 1996. Taliban Supreme Leader Mohammed Omar assured female civil servants and teachers they would still receive wages of around US$5 per month, although this was a short-term offering. A Taliban representative stated: "The Taliban’s act of giving monthly salaries to 30,000 job-free women, now sitting comfortably at home, is a whiplash in the face of those who are defaming Taliban with reference to the rights of women. These people through baseless propaganda are trying to incite the women of Kabul against the Taliban". The Taliban promoted the use of the extended family, or zakat system of charity to ensure women should not need to work. However, years of conflict meant that nuclear families often struggled to support themselves let alone aid additional relatives. Qualification for legislation often rested on men, such as food aid, which had to be collected by a male relative. The possibility that a woman may not possess any living male relatives was dismissed by Mullah Ghaus, the acting foreign minister, who said he was surprised at the degree of international attention and concern for such a small percentage of the Afghan population. A Physicians for Human Rights researcher that traveled to Kabul in 1998 described "a city of beggars" filled with "women who had once been teachers and nurses now moving in the streets like ghosts under their enveloping burqas, selling every possession and begging so as to feed their children." Female health professionals were exempted from the employment ban, yet they operated in much-reduced circumstances. The ordeal of physically getting to work due to the segregated bus system and widespread harassment meant some women left their jobs by choice. Of those who remained, many lived in fear of the regime and chose to reside at hospitals during the working week to minimize exposure to Taliban forces. These women were vital to ensuring the continuance of gynecological, ante-natal, and midwifery services, but it was on a much-compromised level. Under the Rabbani regime, there had been around 200 female staff working in Kabul's Mullalai Hospital, yet barely 50 remained under the Taliban. NGOs operating in Afghanistan after the fall of the Taliban in 2001 found the shortage of female health professionals to be a significant obstacle to their work. The other exception to the employment ban allowed a reduced number of humanitarian workers to remain in service. The Taliban segregation codes meant that women were invaluable for gaining access to vulnerable women or conducting outreach research. This exception was not sanctioned by the entire Taliban movement, so instances of female participation, or lack thereof, varied with each circumstance. The city of Herat was particularly affected by Taliban adjustments to the treatment of women, as it had been one of the more cosmopolitan and outward-looking areas of Afghanistan prior to 1995. Women had previously been allowed to work in a limited range of jobs, but this was stopped by Taliban authorities. The new governor of Herat, Mullah Razzaq, issued orders for women to be forbidden to pass his office for fear of their distracting nature. Education The Taliban claimed to recognize their Islamic duty to offer education to both boys and girls, yet a decree was passed that banned girls above the age of 8 from receiving education. Maulvi Kalamadin insisted it was only a temporary suspension and that women would return to school and work once facilities and street security were adapted to prevent cross-gender contact. The Taliban wished to have total control of Afghanistan before calling upon an Ulema body to determine the content of a new curriculum to replace the Islamic yet unacceptable Mujahadin version. The female employment ban was felt greatly in the education system. Within Kabul alone, the ruling affected 106,256 girls, 148,223 male students, and 8,000 female university undergraduates. 7,793 female teachers were dismissed, a move that crippled the provision of education and caused 63 schools to close due to a sudden lack of educators. Some women ran clandestine schools within their homes for local children, or for other women under the guise of sewing classes, such as the Golden Needle Sewing School. The learners, parents, and educators were aware of the consequences should the Taliban discover their activities, but for those who felt trapped under the strict Taliban rule, such actions allowed them an oppotunity and a sense of self-determination and hope. Government On 17 August 2021, shortly after the Fall of Kabul, a senior member of the Taliban cultural commission, Enamullah Samangani, called on women to join the government. In contrast, in early September, the Taliban said that women would not be allowed to "work in high-ranking posts" in the government and "ruled out" women in the Cabinet. The acting Cabinet announced by the Taliban on 7 September consisted only of men. Health care Prior to the Taliban taking power in Afghanistan male doctors had been allowed to treat women in hospitals, but the decree that no male doctor should be allowed to touch the body of a woman under the pretext of consultation was soon introduced. With fewer female health professionals in employment, the distances many women had to travel for attention increased while the provision
statutes that allowed the employment of Afghan women in a mixed sex workplace. The claim was that this was a breach of purdah and Sharia law. On September 30, 1996, the Taliban decreed that all women should be banned from employment. It is estimated that 25 percent of government employees were female, and when compounded by losses in other sectors, many thousands of women were affected. Another loss was for those whom the employed women served. Elementary education of all children, not just girls, was shut down in Kabul, where virtually all of the elementary school teachers were women. Thousands of educated families fled Kabul for Pakistan after the Taliban took the city in 1996. Taliban Supreme Leader Mohammed Omar assured female civil servants and teachers they would still receive wages of around US$5 per month, although this was a short-term offering. A Taliban representative stated: "The Taliban’s act of giving monthly salaries to 30,000 job-free women, now sitting comfortably at home, is a whiplash in the face of those who are defaming Taliban with reference to the rights of women. These people through baseless propaganda are trying to incite the women of Kabul against the Taliban". The Taliban promoted the use of the extended family, or zakat system of charity to ensure women should not need to work. However, years of conflict meant that nuclear families often struggled to support themselves let alone aid additional relatives. Qualification for legislation often rested on men, such as food aid, which had to be collected by a male relative. The possibility that a woman may not possess any living male relatives was dismissed by Mullah Ghaus, the acting foreign minister, who said he was surprised at the degree of international attention and concern for such a small percentage of the Afghan population. A Physicians for Human Rights researcher that traveled to Kabul in 1998 described "a city of beggars" filled with "women who had once been teachers and nurses now moving in the streets like ghosts under their enveloping burqas, selling every possession and begging so as to feed their children." Female health professionals were exempted from the employment ban, yet they operated in much-reduced circumstances. The ordeal of physically getting to work due to the segregated bus system and widespread harassment meant some women left their jobs by choice. Of those who remained, many lived in fear of the regime and chose to reside at hospitals during the working week to minimize exposure to Taliban forces. These women were vital to ensuring the continuance of gynecological, ante-natal, and midwifery services, but it was on a much-compromised level. Under the Rabbani regime, there had been around 200 female staff working in Kabul's Mullalai Hospital, yet barely 50 remained under the Taliban. NGOs operating in Afghanistan after the fall of the Taliban in 2001 found the shortage of female health professionals to be a significant obstacle to their work. The other exception to the employment ban allowed a reduced number of humanitarian workers to remain in service. The Taliban segregation codes meant that women were invaluable for gaining access to vulnerable women or conducting outreach research. This exception was not sanctioned by the entire Taliban movement, so instances of female participation, or lack thereof, varied with each circumstance. The city of Herat was particularly affected by Taliban adjustments to the treatment of women, as it had been one of the more cosmopolitan and outward-looking areas of Afghanistan prior to 1995. Women had previously been allowed to work in a limited range of jobs, but this was stopped by Taliban authorities. The new governor of Herat, Mullah Razzaq, issued orders for women to be forbidden to pass his office for fear of their distracting nature. Education The Taliban claimed to recognize their Islamic duty to offer education to both boys and girls, yet a decree was passed that banned girls above the age of 8 from receiving education. Maulvi Kalamadin insisted it was only a temporary suspension and that women would return to school and work once facilities and street security were adapted to prevent cross-gender contact. The Taliban wished to have total control of Afghanistan before calling upon an Ulema body to determine the content of a new curriculum to replace the Islamic yet unacceptable Mujahadin version. The female employment ban was felt greatly in the education system. Within Kabul alone, the ruling affected 106,256 girls, 148,223 male students, and 8,000 female university undergraduates. 7,793 female teachers were dismissed, a move that crippled the provision of education and caused 63 schools to close due to a sudden lack of educators. Some women ran clandestine schools within their homes for local children, or for other women under the guise of sewing classes, such as the Golden Needle Sewing School. The learners, parents, and educators were aware of the consequences should the Taliban discover their activities, but for those who felt trapped under the strict Taliban rule, such actions allowed them an oppotunity and a sense of self-determination and hope. Government On 17 August 2021, shortly after the Fall of Kabul, a senior member of the Taliban cultural commission, Enamullah Samangani, called on women to join the government. In contrast, in early September, the Taliban said that women would not be allowed to "work in high-ranking posts" in the government and "ruled out" women in the Cabinet. The acting Cabinet announced by the Taliban on 7 September consisted only of men. Health care Prior to the Taliban taking power in Afghanistan male doctors had been allowed to treat women in hospitals, but the decree that no male doctor should be allowed to touch the body of a woman under the pretext of consultation was soon introduced. With fewer female health professionals in employment, the distances many women had to travel for attention increased while the provision of ante-natal clinics declined. In Kabul, some women established informal clinics in their homes to service family and neighbours, yet as medical supplies were hard to obtain their effectiveness was limited. Many women endured prolonged suffering or a premature death due to the lack of treatment. For those families that had the means, inclination, and mahram support, medical attention could be sought in Pakistan. In October 1996, women were barred from accessing the traditional hammam, public baths, as the opportunities for socializing were ruled un-Islamic. These baths were an important facility in a nation where few possessed running water and the bar gave cause for the UN to predict a rise in scabies and vaginal infections among women denied methods of hygiene as well as access to health care. Nasrine Gross, an Afghan-American author, stated in 2001 that it has been four years since many Afghan women had been able to pray to their God as "Islam prohibits women from praying without a bath after their periods". In June 1998, the Taliban banned women from attending general hospitals in the capital, whereas before they had been able to attend a women-only ward of general hospitals. This left only one hospital in Kabul at which they could seek treatment. Forced confinement Family harmony was badly affected by mental stress, isolation and depression that often accompanied the forced confinement of women. A 1998 survey of 160 women residents or former residents of Kabul found that 97 percent showed signs of serious depression and 71 percent reported a decline in their physical well-being. Latifa, a Kabul resident and author, wrote: The apartment resembles a prison or a hospital. Silence weighs heavily on all of us. As none of us do much, we haven’t got much to tell each other. Incapable of sharing our emotions, we each enclose ourselves in our own fear and distress. Since everyone is in the same black pit, there isn’t much point in repeating time and again that we can’t see clearly. The Taliban closed the country's beauty
that Act, sections 2 to 6 of that Act apply only for the purposes of section 1 of that Act. Appropriates Section 3 provides: See R v Hinks and Lawrence v Metropolitan Police Commissioner. Property Section 4(1) provides that: Edward Griew said that section 4(1) could, without changing its meaning, be reduced, by omitting words, to: Sections 4(2) to (4) provide that the following can only be stolen under certain circumstances: Land or things forming part of land and severed from it (s. 4(2)) Mushrooms growing wild on any land, or the flowers, fruit or foliage of plants growing wild on any land (s. 4(3)) Wild creatures or the carcases of wild creatures (s. 4(4)) Intangible property Confidential information and trade secrets are not property within the meaning of section 4. The words "other intangible property" include export quotas that are transferable for value on a temporary or permanent basis. Electricity Electricity cannot be stolen. It is not property within the meaning of section 4 and is not appropriated by switching on a current. Cf. the offence of abstracting electricity under section 13. Belonging to another Section 5 "belonging to another" requires a distinction to be made between ownership, possession and control: ownership is where a person is not legally accountable to anyone else for the use of the property: possession is where a person is only accountable to the owner for the use of the property; and control is where a person is only accountable to two people for the use of the property. So if A buys a car for cash, A will be the owner. If A then lends the car to B Ltd (a company), B Ltd will have possession. C, an employee of B Ltd then uses the car and has control. If C uses the car in an unauthorized way, C will steal the car from A and B Ltd. This means that it is possible to steal one's own property. In R v Turner, the owner removed his car from the forecourt of a garage where it had been left for collection after repair. He intended to avoid paying the bill. There was an appropriation of the car because it had been physically removed but there were two issues to be decided: did the car "belong to another"? The garage had a lien i.e. a "proprietary right or interest" in the car as security for the unpaid bill and this gave the garage a better right than the owner to possess the car at the relevant time. what was the relevance of Turner's belief that he could not steal his own property? The defence of mistake of law only applies if the defendant honestly believes that he has a right in law to act in the given way. Generalized and non-specific beliefs about what the law might permit are not a defence. With the intention of permanently depriving the other of it Section 6 "with the intent to permanently deprive the other of it" is sufficiently flexible to include situations where the property is later returned. Alternative verdict The offense created by section 12(1) of the Theft Act 1968 (TWOC) is available an alternative verdict on an indictment for theft. Visiting forces Theft is an offence against property for the purposes of section 3 of the Visiting Forces Act 1952. Mode of trial and sentence Theft is triable either way. A person guilty of theft is liable, on conviction on indictment, to imprisonment for a term not exceeding seven years, or on summary conviction to imprisonment for a term not exceeding six months, or to a fine not exceeding the prescribed sum, or to both. Aggravated theft The only offence of aggravated theft is robbery, contrary to section 8 of the Theft Act 1968. Stolen goods For the purposes of the provisions of the Theft Act 1968 which relate to stolen goods, goods obtain in England or Wales or elsewhere by blackmail or fraud are regarded as stolen, and the words "steal", "theft" and "thief" are construed accordingly. Sections 22 to 24 and 26 to 28 of the Theft Act 1968 contain references to stolen goods. Handling stolen goods The offence of handling stolen goods, contrary to section 22(1) of the Theft Act 1968, can only be committed "otherwise than in the course of stealing". Similar or associated offences According to its title, the Theft Act 1968 revises the law as to theft and similar or associated offences. See also the Theft Act 1978. Northern Ireland In Northern Ireland, theft is a statutory offence, created by section 1 of the Theft Act (Northern Ireland) 1969. United States In the United States, crimes must be prosecuted in the jurisdiction in which they occurred. Although federal and state jurisdiction may overlap, even when a criminal act violates both state and federal law, in most cases only the most serious offenses are prosecuted at the federal level. The federal government has criminalized certain narrow categories of theft that directly affect federal agencies or interstate commerce. The Model Penal Code, promulgated by the American Law Institute to help state legislatures update and standardize their laws, includes categories of theft by unlawful taking or by unlawfully disposing of property, theft by deception (fraud), theft by extortion, theft by failure to take measures to return lost or mislaid or mistakenly delivered property, theft by receipt of stolen property, theft by failing to make agreed disposition of received funds, and theft of services. Although many U.S. states have retained larceny as the primary offense, some have now adopted theft provisions. Grand theft, also called grand larceny, is a term used throughout the United States designating theft that is large in magnitude or serious in potential penological consequences. Grand theft is contrasted with petty theft, also called petit theft, that is of smaller magnitude or lesser seriousness. Theft laws, including the distinction between grand theft and petty theft for cases falling within its jurisdiction, vary by state. This distinction is established by statute, as are the penological consequences. Most commonly, statutes establishing the distinction between grand theft and petty theft do so on the basis of the value of the money or property taken by the thief or lost by the victim, with the dollar threshold for grand theft varying from state to state. Most commonly, the penological consequences of the distinction include the significant one that grand theft can be treated as a felony, while petty theft is generally treated as a misdemeanor. In some states, grand theft of a vehicle may be charged as "grand theft auto" (see motor vehicle theft for more information). Repeat offenders who continue to steal may become subject to life imprisonment in certain states. Sometimes the federal anti-theft-of-government-property law is used to prosecute cases where the Espionage Act would otherwise be involved; the theory being that by retaining sensitive information, the defendant has taken a 'thing of value' from the government. For examples, see the Amerasia case and United States v. Manning. Alabama When stolen property exceeds the amount of $500 it is a felony offense. If property is less than $500, then it is a Class A misdemeanor. Unlike some other states, shoplifting is not defined by a separate statute but falls under the state's general theft statute. Alaska The Alaska State Code does not use the terms grand theft or grand larceny. However, it specifies that theft of property valued at more than $1,000 is a felony whereas thefts of lesser amounts are misdemeanors. The felony categories (class 1 and class 2 theft) also include theft of firearms; property taken from the person of another; vessel or aircraft safety or survival equipment; and of access devices. Arizona Felony theft is committed when the value of the stolen property exceeds $1000. Regardless of the value of the item, if it is a firearm or an animal taken for the purpose of animal fighting, then the theft is a Class 6 Felony. California The Theft Act of 1927 consolidated a variety of common law crimes into theft. The state now distinguishes between two types of theft, grand theft and petty theft. The older crimes of embezzlement, larceny, and stealing, and any preexisting references to them now fall under the theft statute. There are a number of criminal statutes in the California Penal Code defining grand theft in different amounts. Grand theft generally consists of the theft of something of value over $950 (including money, labor or property but is lower with respect to various specified property), Theft is also considered grand theft when more than $250 in crops or marine life forms are stolen, “when the property is taken from the person of another,” or when the property stolen is an automobile, farm animal, or firearm. Petty theft is the default category for all other thefts. Grand theft is punishable by up to a year in jail or prison, and may be charged (depending upon the circumstances) as a misdemeanor or felony, while petty theft is a misdemeanor punishable by a fine or imprisonment not exceeding six months in jail or both. Florida In general, any property taken that carries a value of more than $750 can be considered grand theft in certain circumstances. Georgia In Georgia, when a theft offense involves property valued at $500 or less, the crime is punishable as a misdemeanor. Any theft of property determined to be exceeding $500 may be treated as grand theft and charged as a felony. Hawaii Theft in the first or second degree is a felony. Theft in the first degree means theft above $20,000 or of a firearm or explosive; or theft over $300 during a declared emergency. Theft in the second degree means theft above $750, theft from the person of another, or agricultural products over $100 or aquacultural products from an enclosed property. Illinois Theft is a felony if the value of the property exceeds $300 or the property is stolen from the person of another. Thresholds at $10,000, $100,000, and $500,000 determine how severe the punishment can be. The location from which property was stolen is also a factor in sentencing. Kentucky KRS 514.030 states that theft by unlawful taking or disposition is generally a Class A misdemeanor unless the items stolen are a firearm, anhydrous ammonia, a controlled substance valued at less than $10,000 or any other item or combination of items valued $500 or higher and less than $10,000 in which case the theft is a Class D felony. Theft of items valued at $10,000 or higher and less than $1,000,000 is a Class C felony. Theft of items valued at $1,000,000 or more is a Class B felony, as is first offense theft of anhydrous ammonia for the express purpose of manufacturing methamphetamines in violation of KRS 218A.1432. In the latter case, subsequent offenses are a Class A felony. Massachusetts In Massachusetts, theft may generally be charged as a felony if the value of stolen property is greater than $250. Missouri Stealing is a felony if the value of stolen property exceeds $500. It is also a felony if "The actor physically takes the property appropriated from the person of the victim" or the stolen property is a vehicle, legal document, credit card, firearm, explosive, U.S. flag on display, livestock animal, fish with value exceeding $75, captive wildlife, controlled substance, or anhydrous ammonia. Stealing in excess of $25,000 is usually a class B felony (sentence: 5–15 years), while any other felony stealing (not including the felonies of burglary or robbery) that does not involve chemicals is a class C felony (sentence: up to 7 years). Non-felony stealing is a class A misdemeanor (sentence: up to 1 year). New York Grand larceny consists of stealing property with a value exceeding $1000; or stealing a public record, secret scientific material, firearm, credit or debit card, ammonia, telephone with service, or motor vehicle or religious item with value exceeding $100; or stealing from the person of another or by extortion or from an ATM. The degree of grand larceny is increased if the theft was from an ATM, through extortion involving fear, or involved a value exceeding the thresholds of $3,000, $50,000, or $1,000,000. Vermont Grand Larceny: Value of goods exceed $900 (13 V.S.A. § 2501) Virginia Grand Larceny: Value of goods exceed $1000 (Virginia Code § 18.2-95) Washington State Theft of goods valued between $750 and $5000 is second-degree theft, a Class C felony. Theft of goods valued above $5000, of a search-and-rescue dog on duty, of public records from a public office or official, of metal wire from a utility, or of an access device, is a Class B felony, as is theft of a motor vehicle or a firearm. West Indies In the British West Indies, especially Grenada, there have been a spate of large-scale thefts of tons of sand from beaches. Both Grenada and Jamaica are considering increasing fines and jail time for the thefts. Religious views and practices Islam In parts of the world which govern with sharia law, the punishment for theft is amputation of the right hand if the thief does not repent. This ruling is derived from sura 5 verse 38 of the Quran which states As to the thief, Male or female, cut off his or her hands: a punishment by way of example, from Allah, for their crime: and Allah is Exalted in power. This is viewed as being a deterrent. Buddhism In Buddhism, one of the five precepts prohibits theft, and involves the intention to steal what one perceives as not belonging to oneself ("what is not given") and acting successfully upon that intention. The severity of the act of theft is judged by the worth of the owner and the worth of that which is stolen. Underhand dealings, fraud, cheating and forgery are also included in this precept. Professions that are seen to violate the precept against theft are working in the gambling industry or marketing products that are not actually required for the customer. Psychology Possible causes for acts of theft include both economic and non-economic motivations. For example, an act of theft may be a response to the offender's feelings of anger, grief, depression, anxiety and compulsion, boredom, power and control issues, low self-esteem, a sense of entitlement, an effort to conform or fit in with a peer group, or rebellion. Theft from work may be attributed to factors that include greed, perceptions of economic need, support of a drug addiction, a response to or revenge
(s. 332) exception for ore taken for exploration or scientific research (s. 333) In the general definition above, the Supreme Court of Canada has construed "anything" very broadly, stating that it is not restricted to tangibles, but includes intangibles. To be the subject of theft it must, however: be property of some sort; be property capable of being taken (therefore intangibles are excluded); or converted (and may be an intangible); taken or converted in a way that deprives the owner of his/her proprietary interest in some way. Because of this, confidential information cannot be the subject of theft, as it is not capable of being taken as only tangibles can be taken. It cannot be converted, not because it is an intangible, but because, save in very exceptional far‑fetched circumstances, the owner would never be deprived of it. However, the theft of trade secrets in certain circumstances does constitute part of the offence of economic espionage, which can be prosecuted under s. 19 of the Security of Information Act. For the purposes of punishment, Section 334 divides theft into two separate offences, according to the value and nature of the goods stolen: If the thing stolen is worth more than $5000 or is a testamentary instrument the offence is commonly referred to as Theft Over $5000 and is an indictable offence with a maximum punishment of 10 years imprisonment. Where the stolen item is not a testamentary instrument and is not worth more than $5000 it is known as Theft Under $5000 and is a hybrid offence, meaning that it can be treated either as an indictable offense or a less serious summary conviction offence, depending on the choice of the prosecutor. if dealt with as an indictable offence, it is punishable by imprisonment for not more than 2 years, and, if treated as a summary conviction offence, it is punishable by 6 months imprisonment, a fine of $2000 or both. Where a motor vehicle is stolen, Section 333.1 provides for a maximum punishment of 10 years for an indictable offence (and a minimum sentence of six months for a third or subsequent conviction), and a maximum sentence of 18 months on summary conviction. Hong Kong Section 2 of the Theft Ordinance provides the general definition of theft in Hong Kong: The elements of this offence in Hong Kong is almost the same as in England and Wales, because the Theft Ordinance in Hong Kong was drafted based on the Theft Act 1968 (and the Theft Act 1978) in UK. However, the "Ghosh Test" for dishonest in Hong Kong has been replaced by the "Ivey Test" in England and Wales by the Supreme Court. It is the main difference between the offence of theft in these two jurisdictions. India Theft is a criminal activity in India with punishments which may lead to jail term. Below are excerpts of laws of Indian penal Code which state definitions and punishments for theft. Section 378 – Theft. Whoever intending to take dishonestly any movable property out of the possession of any person without that person’s consent, moves that property in order to such taking is said to commit theft.Explanation 1.—A thing so long as it is attached to the earth, not being movable property, is not the subject of theft; but it becomes capable of being the subject of theft as soon as it is severed from the earth. Explanation 2.—A moving effected by the same act which effects the severance may be a theft. Explanation 3.—A person is said to cause a thing to move by removing an obstacle which prevented it from moving or by separating it from any other thing, as well as by actually moving it. Explanation 4.—A person, who by any means causes an animal to move, is said to move that animal, and to move everything which, in consequence of the motion so caused, is moved by that animal. Explanation 5.—The consent mentioned in the definition may be express or implied, and may be given either by the person in possession, or by any person having for that purpose authority either express or implied. Section 379 – Punishment for theft. Whoever commits theft shall be punished with imprisonment of either description for a term which may extend to three years, or with fine, or with both. Section 380 – Theft in dwelling house, etc. Whoever commits theft in any building, tent or vessel, which building, tent or vessel is used as a human dwelling, or used for the custody of property, shall be punished with imprisonment of either description for a term which may extend to seven years, and shall also be liable to fine. Section 381 - Theft by clerk or servant of property in possession of master. Whoever, being a clerk or servant, or being employed in the capacity of a clerk or servant, commits theft in respect of any property in the possession of his master or employer, shall be punished with imprisonment of either description for a term which may extend to seven years, and shall also be liable to fine. Section 382 – Theft after preparation made for causing death, hurt or restraint in order to the committing of the theft. Whoever commits theft, having made preparation for causing death, or hurt, or restraint, or fear of death, or of hurt, or of restraint, to any person, in order to the committing of such theft, or in order to the effecting of his escape after the committing of such theft, or in order to the retaining of property taken by such theft, shall be punished with rigorous imprisonment for a term which may extend to ten years, and shall also be liable to fine. The Netherlands Theft is a crime with related articles in the Wetboek van Strafrecht. Article 310 prohibits theft (Dutch: diefstal), which is defined as taking away any object that (partly) belongs to someone else, with the intention to appropriate it illegally. Maximum imprisonment is 4 years or a fine of the fifth category. Article 311 consists of the following: Part 1. Punishable with maximum imprisonment of 6 years or a fine of the fourth category is: 1. Theft of cattle; 2. Theft during certain emergency occasions; 3. Theft during night in a residence by someone who is there without knowledge or permission of the owner; 4. Theft by 2 or more organized people; 5. Theft, where the thief got access by means of violence, climbing in, using false keys or disguise; 6. Terroristic theft. Part 2. When theft if committed as in 3 with the situation of 4 and 5, the punishment is a maximum imprisonment of 9 years or a fine of the fifth category. Article 312 consists of the following: Part 1 prohibits robbery (Dutch: beroving), which is defined as taking away any object with violence or with threat of violence. Maximum imprisonment is 9 years or a fine with the fifth category Part 2 allows maximum imprisonment of 12 years or a fine of the fifth category when: 1. Robbery was committed during night, in a residence, on the public road or moving train; 2. Robbery was committed by 2 or more people; 3. Robbery was committed by violence, climbing in, false key or disguise; 4. Robbery caused severe injury; 5. Robbery was terroristic. Part 3 allows maximum imprisonment of 15 years instead of 12 when robbery caused death to the victim. Article 314 consists of the following: Part 1 prohibits poaching (Dutch: stroperij), which is defined as taking away without violence the following: clay, sand, earth, raw wood, fallen vegetables (see the source for a complete list). Maximum imprisonment is one month or a fine of the second category. Part 2 increases the maximum imprisonment to 2 months when the crime is committed again less than 2 years after the first time. Article 315 increases the maximum imprisonment and fine category when poaching is done with vehicles and draft animals. Maximum imprisonment is 3 years or a fine of the fourth category. Republic of Ireland Theft is a statutory offence, created by section 4(1) of the Criminal Justice (Theft and Fraud Offences) Act, 2001. Romania According to the Romanian Penal Code a person committing theft (furt) can face a penalty ranging from 1 to 20 years. Degrees of theft: Article 208: Theft (1 to 12 years)—When a person steals an object, or uses a vehicle without permission and no aggravating circumstances apply. Article 209: Qualified theft (3 to 20 years) Aggravating circumstances (3 to 15 years): a) by two or more persons together; b) by a person in possession of a gun or a narcotic substance; c) by a masked or disguised person; d) against a person who cannot defend his or herself; e) in a public place; f) in a public transportation vehicle; g) during nighttime; h) during a natural disaster; i) through burglary, or by using an original or copied key; j) stealing national treasures; k) stealing official identity papers with the intention to make use of them; l) stealing official identity badges with the intention to make use of them. Aggravating circumstances (4 to 18 years): a) stealing petrol-based products directly from transportation pipes and vehicles or deposits; b) stealing components from national electrification, telecommunication, irrigation networks or from any type of navigational system; c) stealing a siren; d) stealing a public intervention vehicle or device; e) stealing something which jeopardizes the safety of public transportation. Aggravating circumstances (10 to 20 years): when the consequences are extremely grave and affect public institutions or the material stolen is worth over 200,000 RON (approximately US$80,000). United Kingdom England and Wales In England and Wales, theft is a statutory offence, created by section 1(1) of the Theft Act 1968. This offence replaces the former offences of larceny, embezzlement and fraudulent conversion. The marginal note to section 1 of the Theft Act 1968 describes it as a "basic definition" of theft. Sections 1(1) and (2) provide: 1.-(1) A person is guilty of theft, if he dishonestly appropriates property belonging to another with the intention of permanently depriving the other of it; and "thief" and "steal" shall be construed accordingly. (2) It is immaterial whether the appropriation is made with a view to gain, or is made for the thief’s own benefit. Sections 2 to 6 of the Theft Act 1968 have effect as regards the interpretation and operation of section 1 of that Act. Except as otherwise provided by that Act, sections 2 to 6 of that Act apply only for the purposes of section 1 of that Act. Appropriates Section 3 provides: See R v Hinks and Lawrence v Metropolitan Police Commissioner. Property Section 4(1) provides that: Edward Griew said that section 4(1) could, without changing its meaning, be reduced, by omitting words, to: Sections 4(2) to (4) provide that the following can only be stolen under certain circumstances: Land or things forming part of land and severed from it (s. 4(2))
the youngest son of the six children of Thomas Bowdler (c. 1719–1785), a banker of substantial fortune, and his wife, Elizabeth, née Cotton (d. 1797), the daughter of Sir John Cotton, 6th Baronet of Conington, Huntingdonshire. Bowdler studied medicine at the universities of St Andrews and Edinburgh, where he received his degree in 1776, graduating with a thesis on intermittent fevers.<ref name=bmj>Poynter, F. N. L. "Thomas Bowdler", The British Medical Journal, Vol. 2, No. 4879, 10 July 1954, pp. 97–98.</ref> He then spent four years travelling in continental Europe, visiting Germany, Hungary, Italy, Sicily and Portugal. In 1781 he caught a fever in Lisbon from a young friend whom he was attending through a fatal illness. He returned to England in broken health and with a strong aversion to the medical profession. In 1781 he was elected a Fellow of the Royal Society (FRS) and a Licentiate of the Royal College of Physicians (LRCP), but he did not continue to practise medicine. He devoted himself instead to the cause of prison reform. Bowdler was a strong chess player and once played eight recorded games against the best chess player of the time, François-André Danican Philidor, who was so confident of his superiority that he played with several handicaps. Bowdler won twice, lost three times, and drew three times. The Bowdler Attack is named after him. Bowdler's first published work was Letters Written in Holland in the Months of September and October 1787 (1788), giving an eye-witness account of the Patriots' uprising. In 1800 Bowdler took a lease on a country estate at St Boniface, on the Isle of Wight, where he lived for ten years. In September 1806, aged 52, he married Elizabeth Trevenen (née Farquharson), aged 48, widow of a naval Captain James Trevenen, who had died in Catherine the Great's service at Kronstadt in 1790. The marriage was unhappy and after a few years they separated. They had no children. After the separation, the marriage was never mentioned in the Bowdler family. The biography of Bowdler by his nephew, Thomas Bowdler, makes no mention of him ever marrying. In 1807, the first edition of the Bowdlers' The Family Shakspeare, covering 20 plays, appeared in four small volumes. From 1811 until his death in 1825, Bowdler lived at Rhyddings House, overlooking Swansea Bay, from where he travelled extensively in Britain and Europe. In 1815, he published Observations on Emigration to France, With an Account of Health, Economy, and the Education of Children, a cautionary work propounding his view that English invalids should avoid French spas and go instead to Malta. In 1818, Bowdler published an expanded edition of The Family Shakspeare, covering all 36 available plays. This had much success. By 1827 the work was in its fifth edition. In his last years, Bowdler prepared an expurgated version of the works of the historian Edward Gibbon, which was published posthumously in 1826. His sister Jane Bowdler (1743–1784) was a poet and essayist. Another sister, Henrietta Maria Bowdler (Harriet) (1750–1830), collaborated with Bowdler on his expurgated Shakespeare. Bowdler died in Swansea aged 70 and was buried at Oystermouth. He left bequests to the poor of Swansea and Box. His large library of unexpurgated volumes of 17th and 18th century tracts, collected by his ancestors Thomas Bowdler (1638–1700) and Thomas Bowdler (1661–1738), was donated to the University of Wales, Lampeter. In 1825 Bowdler's nephew, also a Thomas Bowdler, published Memoir of the Late John Bowdler, Esq., to Which Is Added, Some Account of the Late Thomas Bowdler,
the Royal Society (FRS) and a Licentiate of the Royal College of Physicians (LRCP), but he did not continue to practise medicine. He devoted himself instead to the cause of prison reform. Bowdler was a strong chess player and once played eight recorded games against the best chess player of the time, François-André Danican Philidor, who was so confident of his superiority that he played with several handicaps. Bowdler won twice, lost three times, and drew three times. The Bowdler Attack is named after him. Bowdler's first published work was Letters Written in Holland in the Months of September and October 1787 (1788), giving an eye-witness account of the Patriots' uprising. In 1800 Bowdler took a lease on a country estate at St Boniface, on the Isle of Wight, where he lived for ten years. In September 1806, aged 52, he married Elizabeth Trevenen (née Farquharson), aged 48, widow of a naval Captain James Trevenen, who had died in Catherine the Great's service at Kronstadt in 1790. The marriage was unhappy and after a few years they separated. They had no children. After the separation, the marriage was never mentioned in the Bowdler family. The biography of Bowdler by his nephew, Thomas Bowdler, makes no mention of him ever marrying. In 1807, the first edition of the Bowdlers' The Family Shakspeare, covering 20 plays, appeared in four small volumes. From 1811 until his death in 1825, Bowdler lived at Rhyddings House, overlooking Swansea Bay, from where he travelled extensively in Britain and Europe. In 1815, he published Observations on Emigration to France, With an Account of Health, Economy, and the Education of Children, a cautionary work propounding his view that English invalids should avoid French spas and go instead to Malta. In 1818, Bowdler published an expanded edition of The Family Shakspeare, covering all 36 available plays. This had much success. By 1827 the work was in its fifth edition. In his last years, Bowdler prepared an expurgated version of the works of the historian Edward Gibbon, which was published posthumously in 1826. His sister Jane Bowdler (1743–1784) was a poet and essayist. Another sister, Henrietta Maria Bowdler (Harriet) (1750–1830), collaborated with Bowdler on his expurgated Shakespeare. Bowdler died in Swansea aged 70 and was buried at Oystermouth. He left bequests to the poor of Swansea and Box. His large library of unexpurgated volumes of 17th and 18th century tracts, collected by his ancestors Thomas Bowdler (1638–1700) and Thomas Bowdler (1661–1738), was donated to the University of Wales, Lampeter. In 1825 Bowdler's nephew, also a Thomas Bowdler, published Memoir of the Late John Bowdler, Esq., to Which Is Added, Some Account of the Late Thomas Bowdler, Esq. Editor of the Family Shakspeare. The Family Shakespeare In Bowdler's childhood, his father had entertained his family with readings from Shakespeare. Later
shall be punished with imprisonment of no less than a year. 2. Whoever makes known or accessible a secret, the preservation of which is required in the interest of the Confederation, to the public, shall be punished with imprisonment of up to five years or a monetary penalty. In 1950, in the context of the Cold War, the following prohibition of "foreign enterprises against the security of Switzerland" was introduced as article 266bis: 1 Whoever, with the purpose of inciting or supporting foreign enterprises aimed against the security of Switzerland, enters into contact with a foreign state or with foreign parties or other foreign organizations or their agents, or makes or disseminates untrue or tendentious claims (unwahre oder entstellende Behauptungen / informations inexactes ou tendancieuses), shall be punished with imprisonment of up to five years or a monetary penalty. 2 In grave cases the judge may pronounce a sentence of imprisonment of no less than a year. The criminal code also prohibits, among other acts, the suppression or falsification of legal documents or evidence relevant to the international relations of Switzerland (art. 267, imprisonment of no less than a year) and attacks against the independence of Switzerland and incitement of a war against Switzerland (art. 266, up to life imprisonment). The Swiss military criminal code contains additional prohibitions under the general title of "treason", which also apply to civilians, or which in times of war civilians are also (or may by executive decision be made) subject to. These include espionage or transmission of secrets to a foreign power (art. 86); sabotage (art. 86a); "military treason", i.e., the disruption of activities of military significance (art. 87); acting as a franc-tireur (art. 88); disruption of military action by disseminating untrue information (art. 89); military service against Switzerland by Swiss nationals (art. 90); or giving aid to the enemy (art. 91). The penalties for these crimes vary, but include life imprisonment in some cases. Turkey Treason per se is not defined in the Turkish Penal Code. However, the law defines crimes which are traditionally included in the scope of treason, such as cooperating with the enemy during wartime. Treason is punishable by imprisonment up to life. United Kingdom The British law of treason is entirely statutory and has been so since the Treason Act 1351 (25 Edw. 3 St. 5 c. 2). The Act is written in Norman French, but is more commonly cited in its English translation. The Treason Act 1351 has since been amended several times, and currently provides for four categories of treasonable offences, namely: "when a man doth compass or imagine the death of our lord the King, or of our lady his Queen or of their eldest son and heir"; (following the Succession to the Crown Act 2013 this is read to mean the eldest child and heir) "if a man do violate the King's companion, or the King's eldest daughter unmarried, or the wife of the King's eldest son and heir"; (following the Succession to the Crown Act 2013 this is read to mean the eldest son if the heir) "if a man do levy war against our lord the King in his realm, or be adherent to the King's enemies in his realm, giving to them aid and comfort in the realm, or elsewhere"; and "if a man slea the chancellor, treasurer, or the King's justices of the one bench or the other, justices in eyre, or justices of assise, and all other justices assigned to hear and determine, being in their places, doing their offices". Another Act, the Treason Act 1702 (1 Anne stat. 2 c. 21), provides for a fifth category of treason, namely: "if any person or persons ... shall endeavour to deprive or hinder any person who shall be the next in succession to the crown ... from succeeding after the decease of her Majesty (whom God long preserve) to the imperial crown of this realm and the dominions and territories thereunto belonging". By virtue of the Treason Act 1708, the law of treason in Scotland is the same as the law in England, save that in Scotland the slaying of the Lords of Session and Lords of Justiciary and counterfeiting the Great Seal of Scotland remain treason under sections 11 and 12 of the Treason Act 1708 respectively. Treason is a reserved matter about which the Scottish Parliament is prohibited from legislating. Two acts of the former Parliament of Ireland passed in 1537 and 1542 create further treasons which apply in Northern Ireland. The penalty for treason was changed from death to a maximum of imprisonment for life in 1998 under the Crime And Disorder Act. Before 1998, the death penalty was mandatory, subject to the royal prerogative of mercy. Since the abolition of the death penalty for murder in 1965 an execution for treason was unlikely to have been carried out. Treason laws were used against Irish insurgents before Irish independence. However, members of the Provisional IRA and other militant republican groups were not prosecuted or executed for treason for levying war against the British government during the Troubles. They, along with members of loyalist paramilitary groups, were jailed for murder, violent crimes or terrorist offences. William Joyce ("Lord Haw-Haw") was the last person to be put to death for treason, in 1946. (On the following day Theodore Schurch was executed for treachery, a similar crime, and was the last man to be executed for a crime other than murder in the UK.) As to who can commit treason, it depends on the ancient notion of allegiance. As such, all British nationals (but not other Commonwealth citizens) owe allegiance to the Queen in right of the United Kingdom wherever they may be, as do Commonwealth citizens and aliens present in the United Kingdom at the time of the treasonable act (except diplomats and foreign invading forces), those who hold a British passport however obtained, and aliens who – having lived in Britain and gone abroad again – have left behind family and belongings. International influence The Treason Act 1695 enacted, among other things, a rule that treason could be proved only in a trial by the evidence of two witnesses to the same offence. Nearly one hundred years later this rule was incorporated into the U.S. Constitution, which requires two witnesses to the same overt act. It also provided for a three-year time limit on bringing prosecutions for treason (except for assassinating the king), another rule which has been imitated in some common law countries. The Sedition Act 1661 made it treason to imprison, restrain or wound the king. Although this law was abolished in the United Kingdom in 1998, it still continues to apply in some Commonwealth countries. United States The offense of treason exists at both federal and state levels. The federal crime is defined in the Constitution as either levying war against the United States or adhering to its enemies, and carries a sentence of death or imprisonment and fine. In the 1790s, opposition political parties were new and not fully accepted. Government leaders often considered their opponents to be traitors. Historian Ron Chernow reports that Secretary of the Treasury Alexander Hamilton and President George Washington "regarded much of the criticism fired at their administration as disloyal, even treasonous, in nature." When an undeclared Quasi-War broke out with France in 1797–98, "Hamilton increasingly mistook dissent for treason and engaged in hyperbole." Furthermore, the Jeffersonian opposition party behaved the same way. After 1801, with a peaceful transition in the political party in power, the rhetoric of "treason" against political opponents diminished. Federal To avoid the abuses of the English law, the scope of treason was specifically restricted in the United States Constitution. Article III, section 3 reads as follows: The Constitution does not itself create the offense; it only restricts the definition (the first paragraph), permits the United States Congress to create the offense, and restricts any punishment for treason to only the convicted (the second paragraph). The crime is prohibited by legislation passed by Congress. Therefore, the United States Code at states: The requirement of testimony of two witnesses was inherited from the British Treason Act 1695. However, Congress has passed laws creating related offenses that punish conduct that undermines the government or the national security, such as sedition in the 1798 Alien and Sedition Acts, or espionage and sedition in the Espionage Act of 1917, which do not require the testimony of two witnesses and have a much broader definition than Article Three treason. Some of these laws are still in effect. The well-known spies Julius and Ethel Rosenberg were charged with conspiracy to commit espionage, rather than treason. Historical cases In the United States, Benedict Arnold's name is considered synonymous with treason due to his collaboration with the British during the American Revolutionary War. This, however, occurred before the Constitution was written. Arnold became a general in the British Army, which protected him. Since the Constitution came into effect, there have been fewer than 40 federal prosecutions for treason and even fewer convictions. Several men were convicted of treason in connection with the 1794 Whiskey Rebellion but were pardoned by President George Washington. Burr trial The most famous treason trial, that of Aaron Burr in 1807, resulted in acquittal. In 1807, on a charge of treason, Burr was brought to trial before the United States Circuit Court at Richmond, Virginia. The only physical evidence presented to the grand jury was General James Wilkinson's so-called letter from Burr, which proposed the idea of stealing land in the Louisiana Purchase. The trial was presided over by Chief Justice of the United States John Marshall, acting as a circuit judge. Since no witnesses testified, Burr was acquitted in spite of the full force of Jefferson's political influence thrown against him. Immediately afterward, Burr was tried on a misdemeanor charge and was again acquitted. Civil War During the American Civil War, treason trials were held in Indianapolis against Copperheads for conspiring with the Confederacy against the United States. In addition to treason trials, the federal government passed new laws that allowed prosecutors to try people for the charge of disloyalty. Various legislation was passed, including the Conspiracies Act of July 31, 1861. Because the law defining treason in the constitution was so strict, new legislation was necessary to prosecute defiance of the government. Many of the people indicted on charges of conspiracy were not taken to trial, but instead were arrested and detained. In addition to the Conspiracies Act of July 31, 1861, in 1862, the federal government went further to redefine treason in the context of the civil war. The act that was passed is entitled "An Act to Suppress Insurrection; to punish Treason and Rebellion, to seize and confiscate the Property of Rebels, and for other purposes". It is colloquially referred to as the "second Confiscation Act". The act essentially lessened the punishment for treason. Rather than have death as the only possible punishment for treason, the act made it possible to give individuals lesser sentences. Reconstruction After the Civil War the question was whether the United States government would make indictments for treason against leaders of the Confederate States of America, as many people demanded. Jefferson Davis, the President of the Confederate States, was indicted and held in prison for two years. The indictments were dropped on February 11, 1869, following the blanket amnesty noted below. When accepting Lee's surrender of the Army of Northern Virginia, at Appomattox Courthouse, in April 1865, Gen. Ulysses S. Grant assured all Confederate soldiers and officers a blanket amnesty, provided they returned to their homes and refrained from any further acts of hostility, and subsequently other Union generals issued similar terms of amnesty when accepting Confederate surrenders. All Confederate officials received a blanket amnesty issued by President Andrew Johnson on Christmas Day, 1868. World War II In 1949 Iva Toguri D'Aquino was convicted of treason for wartime Radio Tokyo broadcasts (under the name of "Tokyo Rose") and sentenced to ten years, of which she served six. As a result of prosecution witnesses having lied under oath, she was pardoned in 1977. In 1952 Tomoya Kawakita, a Japanese-American dual citizen was convicted of treason and sentenced to death for having worked as an interpreter at a Japanese POW camp and having mistreated American prisoners. He was recognized by a former prisoner at a department store in 1946 after having returned to the United States. The sentence was later commuted to life imprisonment and a $10,000 fine. He was released and deported in 1963. Cold War and after The Cold War saw frequent talk linking treason with support for Communist-led causes. The most memorable of these came from Senator Joseph McCarthy, who used rhetoric about the Democrats as guilty of "twenty years of treason". As chosen chair of the Senate Permanent Investigations Subcommittee, McCarthy also investigated various government agencies for Soviet spy rings; however, he acted as a political fact-finder rather than a criminal prosecutor. The Cold War period saw no prosecutions for explicit treason, but there were convictions and even executions for conspiracy to commit espionage on behalf of the Soviet Union, such as in the Julius and Ethel Rosenberg case. On October 11, 2006, the United States government charged Adam Yahiye Gadahn for videos in which he appeared as a spokesman for al-Qaeda and threatened attacks on American soil. He was killed on January 19, 2015, in an unmanned aircraft (drone) strike in Waziristan, Pakistan. Treason against U.S. states Most states have treason provisions in their constitutions or statutes
the above crimes. Besides treason and espionage, there are many other crimes dealing with national security, insurrection, terrorism and so on. These are all to be found in Book IV of the code. Germany German law differentiates between two types of treason: "High treason" (Hochverrat) and "treason" (Landesverrat). High treason, as defined in Section 81 of the German criminal code is defined as a violent attempt against the existence or the constitutional order of the Federal Republic of Germany, carrying a penalty of life imprisonment or a fixed term of at least ten years. In less serious cases, the penalty is 1–10 years in prison. German criminal law also criminalises high treason against a German state. Preparation of either types of the crime is criminal and carries a penalty of up to five years. The other type of treason, Landesverrat is defined in Section 94. It is roughly equivalent to espionage; more precisely, it consists of betraying a secret either directly to a foreign power, or to anyone not allowed to know of it; in the latter case, treason is only committed if the aim of the crime was explicitly to damage the Federal Republic or to favor a foreign power. The crime carries a penalty of one to fifteen years in prison. However, in especially severe cases, life imprisonment or any term of at least five years may be sentenced. As for many crimes with substantial threats of punishment active repentance is to be considered in mitigation under §83a StGB (Section 83a, Criminal Code). Notable cases involving Landesverrat are the Weltbühne trial during the Weimar Republic and the Spiegel scandal of 1962. On 30. July 2015, Germany's Public Prosecutor General Harald Range initiated criminal investigation proceedings against the German blog netzpolitik.org. Hong Kong Section 2 of the Crime Ordinance provides that levying war against the Government of the Hong Kong Special Administrative Region of the People's Republic of China, conspiring to do so, instigating a foreigner to invade Hong Kong, or assisting any public enemy at war with the HKSAR Government, is treason, punishable with life imprisonment. Ireland Article 39 of the Constitution of Ireland (adopted in 1937) states: treason shall consist only in levying war against the State, or assisting any State or person or inciting or conspiring with any person to levy war against the State, or attempting by force of arms or other violent means to overthrow the organs of government established by the Constitution, or taking part or being concerned in or inciting or conspiring with any person to make or to take part or be concerned in any such attempt. Following the enactment of the 1937 constitution, the Treason Act 1939 provided for imposition of the death penalty for treason. The Criminal Justice Act 1990 abolished the death penalty, setting the punishment for treason at life imprisonment, with parole in not less than forty years. No person has been charged under the Treason Act. Irish republican legitimatists who refuse to recognise the legitimacy of the Republic of Ireland have been charged with lesser crimes under the Offences against the State Acts 1939–1998. Italy The Italian law defines various types of crimes that could be generally described as treason (tradimento), although they are so many and so precisely defined that no one of them is simply called tradimento in the text of Codice Penale (Italian Criminal Code). The treason-type crimes are grouped as "crimes against the personhood of the State" (Crimini contro la personalità dello Stato) in the Second Book, First Title, of the Criminal Code. Articles 241 to 274 detail crimes against the "international personhood of the State" such as "attempt against wholeness, independence and unity of the State" (art.241), "hostilities against a foreign State bringing the Italian State in danger of war" (art.244), "bribery of a citizen by a foreigner against the national interests" (art.246), and "political or military espionage" (art.257). Articles 276 to 292 detail crimes against the "domestic personhood of the State", ranging from "attempt on the President of the Republic" (art.271), "attempt with purposes of terrorism or of subversion" (art.280), "attempt against the Constitution" (art.283), "armed insurrection against the power of the State" (art.284), and "civil war" (art.286). Further articles detail other crimes, especially those of conspiracy, such as "political conspiracy through association" (art.305), or "armed association: creating and participating" (art.306). The penalties for treason-type crimes before the abolition of the monarchy in 1948 included death as maximum penalty and, for some crimes, as the only penalty possible. Nowadays the maximum penalty is life imprisonment (ergastolo). Japan Japan does not technically have a law of treason. Instead it has an offence against taking part in foreign aggression against the Japanese state (gaikan zai; literally "crime of foreign mischief"). The law applies equally to Japanese and non-Japanese people, while treason in other countries usually applies only to their own citizens. Technically there are two laws, one for the crime of inviting foreign mischief (Japan Criminal Code section 2 clause 81) and the other for supporting foreign mischief once a foreign force has invaded Japan. "Mischief" can be anything from invasion to espionage. Before World War II, Imperial Japan had a crime similar to the English crime of high treason (Taigyaku zai), which applied to anyone who harmed the Japanese emperor or imperial family. This law was abolished by the American occupation force after World War II. The application of "Crimes Related to Insurrection" to the Aum Shinrikyo cult of religious terrorists was considered. New Zealand New Zealand has treason laws that are stipulated under the Crimes Act 1961. Section 73 of the Crimes Act reads as follows: Every one owing allegiance to Her Majesty the Queen in right of New Zealand commits treason who, within or outside New Zealand,— (a) Kills or wounds or does grievous bodily harm to Her Majesty the Queen, or imprisons or restrains her; or (b) Levies war against New Zealand; or (c) Assists an enemy at war with New Zealand, or any armed forces against which New Zealand forces are engaged in hostilities, whether or not a state of war exists between New Zealand and any other country; or (d) Incites or assists any person with force to invade New Zealand; or (e) Uses force for the purpose of overthrowing the New Zealand Government; or (f) Conspires with any person to do anything mentioned in this section. The penalty is life imprisonment, except for conspiracy, for which the maximum sentence is 14 years' imprisonment. Treason was the last capital crime in New Zealand law, with the death penalty not being revoked until 1989, years after it was abolished for murder. Very few people have been prosecuted for the act of treason in New Zealand and none have been prosecuted in recent years. Norway Article 85 of the Constitution of Norway states that "[a]ny person who obeys an order the purpose of which is to disturb the liberty and security of the Storting [Parliament] is thereby guilty of treason against the country." Russia Article 275 of the Criminal Code of Russia defines treason as "espionage, disclosure of state secrets, or any other assistance rendered to a foreign State, a foreign organization, or their representatives in hostile activities to the detriment of the external security of the Russian Federation, committed by a citizen of the Russian Federation." The sentence is imprisonment for 12 to 20 years. It is not a capital offence, even though murder and some aggravated forms of attempted murder are (although Russia currently has a moratorium on the death penalty). Subsequent sections provide for further offences against state security, such as armed rebellion and forcible seizure of power. South Korea According to Article 87 of the Criminal Code of South Korea, "a person who creates a violence for the purpose of usurping the national territory or subverting the Constitution" can be found guilty of treason. The punishments for treason are as follows: "Ring Leader": death, imprisonment for life or imprisonment without prison labor for life. "A person who participates in a plot, or commands, or engages in other essential activities": death, imprisonment for life, imprisonment or imprisonment without prison labor, for not less than five years. "A person who has committed acts of killing, wounding, destroying or plundering": death, imprisonment for life, imprisonment or imprisonment without prison labor, for not less than five years. "A person who merely responds to the agitation and follows the lead of another or merely joins in the violence": imprisonment or imprisonment without prison labor for not more than five years. Sweden Sweden's treason laws are divided into three parts; Högförräderi (High treason), Landsföräderi (Treason) and Landssvek (Treachery). High treason means crimes committed with the intent to put the Nation, or parts thereof, under foreign rule or influence. It is governed by Brottsbalken (Criminal Code) chapter 19 paragraph 1. A person who, with intent that the country or a part of it will, by violent or otherwise illegal means or with foreign assistance, be subjugated by a foreign power or made dependent on such a power, or that, in this way, a part of the country will be detached, undertakes an action that involves danger of this intent being realised is guilty of high treason and is sentenced to imprisonment for a fixed term of at least ten and at most eighteen years, or for life or, if the danger was minor, to imprisonment for at least four and at most ten years. A person who, with intent that a measure or decision of the Head of State, the Government, the Riksdag or the supreme courts will be forced or impeded with foreign assistance, undertakes an action that involves danger of this is also guilty of high treason. Treason is only applicable when the nation is at war and involves crimes committed with the intent of hindering, misguiding or betraying the defence of the Nation. It is governed by Brottsbalken chapter 22 paragraph 1. A person who, when the country is at war: 1. impedes, misleads or betrays others who are engaged in the country’s defence, or induces them to mutiny, disloyalty or dejection; 2. betrays, destroys or damages property of importance for the total defence; 3. obtains personnel, property or services for the enemy; or 4. commits another similar treacherous act, is, if the act is liable to result in considerable detriment to the total defence, or includes considerable assistance to the enemy, guilty of treason and is sentenced to imprisonment for a fixed term of at least four and at most ten years, or for life. Treachery is a lesser form of Treason, where the intended effects are less severe. It is governed by Brottsbalken chapter 22 paragraph 2. A person who commits an act referred to in Section 1 that is only liable to result in detriment to the total defence to a lesser extent, or includes more minor assistance to the enemy than is stated there, is guilty of treachery and is sentenced to imprisonment for at most six years. Until 1973 Sweden also had another form of treason called Krigsförräderi (treason at war), which were acts of Treason committed by military personnel. Although Sweden had outlawed capital punishment in peace time in 1922, this type of treason carried the death penalty until 1973. Some media reported that four teenagers (their names were not reported) were convicted of treason after they assaulted King Carl XVI Gustaf of Sweden by throwing a cake on his face on 6 September 2001. In reality they were however not convicted of treason but of Högmålsbrott, translated as Treasonable offence in English, which in Swedish criminal law are acts with the intent to overthrow the Form of Government, or impede or hinder the Government, the Riksdag, the Supreme Court or the Head of State. The law also prohibits the use of force against the King or any member of the Royal Family. It is governed by Brottsbalken chapter 18. They were fined between 80 and 100 days' income. Switzerland There is no single crime of treason in Swiss law; instead, multiple criminal prohibitions apply. Article 265 of the Swiss Criminal Code prohibits "high treason" (Hochverrat/haute trahison) as follows: Whoever commits an act with the objective of violently – changing the constitution of the Confederation or of a canton, – removing the constitutional authorities of the state from office or making them unable to exercise their authority, – separating Swiss territory from the Confederation or territory from a canton, shall be punished with imprisonment of no less than a year. A separate crime is defined in article 267 as "diplomatic treason" (Diplomatischer Landesverrat/Trahison diplomatique): 1. Whoever makes known or accessible a secret, the preservation of which is required in the interest of the Confederation, to a foreign state or its agents, (...) shall be punished with imprisonment of no less than a year. 2. Whoever makes known or accessible a secret, the preservation of which is required in the interest of the Confederation, to the public, shall be punished with imprisonment of up to five years or a monetary penalty. In 1950, in the context of the Cold War, the following prohibition of "foreign enterprises against the security of Switzerland" was introduced as article 266bis: 1 Whoever, with the purpose of inciting or supporting foreign enterprises aimed against the security of Switzerland, enters into contact with a foreign state or with foreign parties or other foreign organizations or their agents, or makes or disseminates untrue or tendentious claims (unwahre oder entstellende Behauptungen / informations inexactes ou tendancieuses), shall be punished with imprisonment of up to five years or a monetary penalty. 2 In grave cases the judge may pronounce a sentence of imprisonment of no less than a year. The criminal code also prohibits, among other acts, the suppression or falsification of legal documents or evidence relevant to the international relations of Switzerland (art. 267, imprisonment of no less than a year) and attacks against the independence of Switzerland and incitement of a war against Switzerland (art. 266, up to life imprisonment). The Swiss military criminal code contains additional prohibitions under the general title of "treason", which also apply to civilians, or which in times of war civilians are also (or may by executive decision be made) subject to. These include espionage or transmission of secrets to a foreign power (art. 86); sabotage (art. 86a); "military treason", i.e., the disruption of activities of military significance (art. 87); acting as a franc-tireur (art. 88); disruption of military action by disseminating untrue information (art. 89); military service against Switzerland by Swiss nationals (art. 90); or giving aid to the enemy (art. 91). The penalties for these crimes vary, but include life imprisonment in some cases. Turkey Treason per se is not defined in the Turkish Penal Code. However, the law defines crimes which are traditionally included in the scope of treason, such as cooperating with the enemy during wartime. Treason is punishable by imprisonment up to life. United Kingdom The British law of treason is entirely statutory and has been so since the Treason Act 1351 (25 Edw. 3 St. 5 c. 2). The Act is written in Norman French, but is more commonly cited in its English translation. The Treason Act 1351 has since been amended several times, and currently provides for four categories of treasonable offences, namely: "when a man doth compass or imagine the death of our lord the King, or of our lady his Queen or of their eldest son and heir"; (following the Succession to the Crown Act 2013 this is read to mean the eldest child and heir) "if a man do violate the King's companion, or the King's eldest daughter unmarried, or the wife of the King's eldest son and heir"; (following the Succession to the Crown Act 2013 this is read to mean the eldest son if the heir) "if a man do levy war against our lord the King in his realm, or be adherent to the King's enemies in his realm, giving to them aid and comfort in the realm, or elsewhere"; and "if a man slea the chancellor, treasurer, or the King's justices of the one bench or the other, justices in eyre, or justices of assise, and all other justices assigned to hear and determine, being in their places, doing their offices". Another Act, the Treason Act 1702 (1 Anne stat. 2 c. 21), provides for a fifth category of treason, namely: "if any person or persons ... shall endeavour to deprive or hinder any person who shall be the next in succession to the crown ... from succeeding after the decease of her Majesty (whom God long preserve) to the imperial crown of this realm and the dominions and territories thereunto belonging". By virtue of the Treason Act 1708, the law of treason in Scotland is the same as the law in England, save that in Scotland the slaying of the Lords of Session and Lords of Justiciary and counterfeiting the Great Seal of Scotland remain treason under sections 11 and 12 of the Treason Act 1708 respectively. Treason is a reserved matter about which the Scottish Parliament is prohibited from legislating. Two acts of the former Parliament of Ireland passed in 1537 and 1542 create further treasons which apply in Northern Ireland. The penalty for treason was changed from death to a maximum of imprisonment for life in 1998 under the Crime And Disorder Act. Before 1998, the death penalty was mandatory, subject to the royal prerogative of mercy. Since the abolition of the death penalty for murder in 1965 an execution for treason was unlikely to have been carried out. Treason laws were used against Irish insurgents before Irish independence. However, members of the Provisional IRA and other militant republican groups were not prosecuted or executed for treason for levying war against the British government during the Troubles. They, along with members of loyalist paramilitary groups, were jailed for murder, violent crimes or terrorist offences. William Joyce ("Lord Haw-Haw") was the last person to be put to death for treason, in 1946. (On the following day Theodore Schurch was executed for treachery, a similar crime, and was the last man to be executed for a crime other than murder in the UK.) As to who can commit treason, it depends on the ancient notion of allegiance. As such, all British nationals (but not other Commonwealth citizens) owe allegiance to the Queen in right of the United Kingdom wherever they may be, as do Commonwealth citizens and aliens
Psychology of Westworld: When Machines Go Mad, the notion of bicamerality is present in the 2016 science fiction TV series Westworld. The idea of bicamerality has influenced novelists Philip K. Dick, William S. Burroughs, Neal Stephenson and Robert J. Sawyer. In Neil Gaiman's American Gods, there is an allusion to Jaynes' theory. The novel's protagonist, Shadow, discusses theories about the origins of gods with a hitchhiker he picks up; the hitchhiker says "'I read some book about brains... how five thousand years ago the lobes of the brain fused and before that people thought when the right lobe of the brain said anything it was the voice of the god telling them what to do'." Conferences There have been a number of conferences and symposiums dedicated to Julian Jaynes's theory. These include: The McMaster-Bauer Symposium on Consciousness at McMaster University was held in November 1983, with lectures and discussion by Julian Jaynes, Daniel Dennett, and others. A symposium on Jaynes's theory was held at Harvard University in December 1988, with lectures and discussion by Julian Jaynes, Daniel Dennett, and others. The Julian Jaynes Conference on Consciousness was organized by Professor Scott Greer at the University of Prince Edward Island in 2006 and 2008 (a one-day symposium was held from 2002-2005), and featured speakers such as Daniel Dennett, Michael Gazzaniga, Richard Restak, Karl Pribram, and many others. At the April 2008 "Toward a Science of Consciousness" Conference held in Tucson, Arizona, Marcel Kuijsten (Executive Director and Founder of the Julian Jaynes Society) and Brian J. McVeigh (University of Arizona) hosted a workshop devoted to Jaynesian psychology. At the same conference, a panel devoted to Jaynes was also held, with John Limber (University of New Hampshire), Marcel Kuijsten, John Hainly (Southern University), Scott Greer (University of Prince Edward Island), and Brian J. McVeigh presenting relevant research. At the same conference the philosopher Jan Sleutels (Leiden University) gave a paper on Jaynesian psychology. In June 2013, The Julian Jaynes Society Conference on Consciousness and Bicameral Studies was held in Charleston, West Virginia. The multidisciplinary program featured 26 speakers over three full days, including keynote talks by Professor Roy Baumeister, Professor Merlin Donald, and Dr. Dirk Corstens. Publications A growing number of publications discuss and expand on Julian Jaynes's theory. These include: Reflections on the Dawn of Consciousness: Julian Jaynes's Bicameral Mind Theory Revisited (2007), which contains several of Jaynes's essays along with chapters by scholars from a variety of disciplines expanding on his ideas. The Julian Jaynes Collection (2012), which gathers together many of the lectures and articles by Jaynes relevant to his theory (including some that were previously unpublished), along with interviews and question and answer sessions where Jaynes addresses misconceptions about the theory and extends the theory into new areas. The Minds of the Bible: Speculations on the Cultural Evolution of Human Consciousness (2013) by Rabbi James Cohn, which examines the evidence for Jaynes's theory in the Old Testament. Gods, Voices, and the Bicameral Mind (2016), which includes essays on a variety of aspects of Jaynes's theory, including ancient history, language, the development of consciousness in children, and the transition from bicamerality to consciousness in ancient Tibet. How Religion Evolved: Explaining the Living Dead, Talking Idols, and Mesmerizing Monuments (2016) by Brian J. McVeigh The 'Other' Psychology of Julian Jaynes: Ancient Languages, Sacred Visions, and Forgotten Mentalities (2018) by Brian J. McVeigh The Psychology of the Bible: Explaining Divine Voices and Visions (2020) by Brian J. McVeigh Scholarly commentary “The Origin of Consciousness in the Breakdown of the Bicameral Mind is one of those lush, overambitious books … that readers, on finishing it, find that they think about the world quite differently.” — Tanya Luhrmann, Ph.D., Professor of Anthropology, Stanford University, in “What Book Changed Your Mind?,” Chronicle of Higher Education “[Jaynes] has one of the clearest and most perspicuous defenses of the top-down approach [to consciousness] that I have ever come across.” — Daniel Dennett, Ph.D., Professor of Philosophy, Tufts University, in Brainchildren "Julian Jaynes’s theories for the nature of self-awareness, introspection, and consciousness have replaced the assumption of their almost ethereal uniqueness with explanations that could initiate the next change in paradigm for human thought.” — Michael A. Persinger, Ph.D., Professor of Behavioral Neuroscience, Laurentian University, in Reflections on the Dawn of Consciousness "[Jaynes'] proposal is too interesting to ignore." — David Eagleman, in Incognito:
The first edition was released in January 1977 in English. Two later editions, in 1982 and in 1990, were released by Jaynes with additions but without alterations. It was Jaynes's only book, and it is still in print, in several languages. In addition to numerous reviews and commentaries, there are several summaries of the book's material, for example, in the journal Behavioral and Brain Sciences, in lectures and discussions published in Canadian Psychology, and in Art/World. Jaynes's theories In his book, Jaynes reviews what one of his early critics acknowledged as the “spectacular history of failure” to explain consciousness – “the human ability to introspect”. Abandoning the assumption that consciousness is innate, Jaynes explains it instead as a learned behavior that “arises ... from language, and specifically from metaphor.” With this understanding, Jaynes then demonstrated that ancient texts and archeology can reveal a history of human mentality alongside the histories of other cultural products. His analysis of the evidence led him not only to place the origin of consciousness during the 2nd millennium BCE but also to hypothesize the existence of an older non-conscious “mentality that he called the bicameral mind, referring to the brain’s two hemispheres”. In the third chapter of the book, "The Mind of the Iliad", Jaynes states that people of the era had no consciousness. Jaynes wrote an extensive afterword for the 1990 edition of his book, in which he addressed criticisms and clarified that his theory has four separate hypotheses: consciousness is based on and accessed by language; the non-conscious bicameral mind is based on verbal hallucinations; the breakdown of bicameral mind precedes consciousness, but the dating is variable; the 'double brain' of bicamerality is not today's functional lateralization of the cerebral hemispheres. He also expanded on the impact of consciousness on imagination and memory, notions of The Self, emotions, anxiety, guilt, and sexuality. Reception and influence The Origin of Consciousness in the Breakdown of the Bicameral Mind was a successful work of popular science, selling out the first print run before a second could replace it. The book was nominated for the National Book Award in 1978, and received dozens of positive book reviews, including those by well-known critics such as John Updike in The New Yorker, Christopher Lehmann-Haupt in the New York Times, and Marshall McLuhan in the Toronto Globe and Mail. Articles on Jaynes and his ideas appeared in Time magazine and Psychology Today in 1977, and in Quest/78 in 1978. It is mentioned in Richard Dawkins's 2006 work The God Delusion as "one of those books that is either complete rubbish or a work of consummate genius, nothing in between! Probably the former, but I'm hedging my bets." Jaynes's work on consciousness has influenced philosophers Daniel Dennett, Susan Blackmore, and Ken Wilber, and the bicameral model of the cerebral hemispheres has influenced schizophrenia researchers Henry Nasrallah and Tim Crow. The theory of bicamerality has been cited in thousands of books and articles, both scientific and popular. It inspired early investigations of auditory hallucination by psychologist Thomas Posey and clinical psychologist John Hamilton. With further research in the late 1990s using new brain imaging technology, Jaynes's ideas received renewed attention and recognition for contributing to a rethinking of auditory hallucinations and mental illness. In Popular Culture In Douglas Adams' unfinished novel The Salmon of Doubt, Dirk Gently obtains copies of the Financial Times "from an old tramp in return for a blanket, some cider, and a copy of The Origin of Consciousness in the Breakdown of the Bicameral Mind." In 2009, American novelist Terence Hawkins published The Rage of Achilles, a re-telling of Homer's The Iliad that imagines the hero's transition from bicameral mentality to consciousness. According to Brian J. McVeigh in The Psychology of Westworld: When Machines Go Mad, the notion of bicamerality is present in the 2016 science fiction TV series Westworld. The idea of bicamerality has influenced novelists Philip K. Dick, William S. Burroughs, Neal Stephenson and Robert J. Sawyer. In Neil Gaiman's American Gods, there is an allusion to Jaynes' theory. The novel's protagonist, Shadow, discusses theories about the origins of gods with a hitchhiker he picks up; the hitchhiker says "'I read some book about brains... how five thousand years ago the lobes of the brain fused and before that people thought when the right lobe of the brain said anything it was the voice of the god telling them what to do'." Conferences There have been a number of conferences and symposiums
of the German U-boat force, with 568 commissioned from 1940 to 1945. The first VIIC boat commissioned was the in 1940. The Type VIIC was an effective fighting machine and was seen almost everywhere U-boats operated, although its range of only 8,500 nautical miles was not as great as that of the larger Type IX (11,000 nautical miles), severely limiting the time it could spend in the far reaches of the western and southern Atlantic without refueling from a tender or U-boat tanker. The VIIC came into service toward the end of the "First Happy Time" near the beginning of the war and was still the most numerous type in service when Allied anti-submarine efforts finally defeated the U-boat campaign in late 1943 and 1944. Type VIIC differed from the VIIB only in the addition of an active sonar and a few minor mechanical improvements, making it 2 feet longer and 8 tons heavier. Speed and range were essentially the same. Many of these boats were fitted with snorkels in 1944 and 1945. They had the same torpedo tube arrangement as their predecessors, except for , , , , and , which had only two bow tubes, and for , , , , , and , which had no stern tube. On the surface the boats (except for , and to which used MAN M6V40/46s) were propelled by two supercharged Germaniawerft, 6 cylinder, 4-stroke M6V 40/46 diesels totaling at 470 to 490 rpm. For submerged propulsion, several different electric motors were used. Early models used the VIIB configuration of two AEG GU 460/8-276 electric motors, totaling with a max rpm of 296, while newer boats used two BBC GG UB 720/8, Garbe, Lahmeyer & Co. RP 137/c or Siemens-Schuckert-Werke (SSW) GU 343/38-8 electric motors with the same power output as the AEG motors. Perhaps the most famous VIIC boat was , featured in the movie Das Boot. U-flak "Flak Traps" The concept of the "U-flak" or "Flak Trap" originated the previous year, on 31 August 1942, when was seriously damaged by aircraft. Rather than scrap the boat, it was decided to refit her as a heavily armed anti-aircraft boat intended to combat the losses being inflicted by Allied aircraft in the Bay of Biscay. Two 20 mm quadruple Flakvierling mounts and an experimental 37 mm automatic gun were installed on the U-flaks' decks. A battery of 86 mm line-carrying anti-aircraft rockets was tested (similar to a device used by the British in the defense of airfields), but this idea proved unworkable. At times, two additional single 20 mm guns were also mounted. The submarines' limited fuel capacities restricted them to operations only within the Bay of Biscay. Only five torpedoes were carried, preloaded in the tubes, to free up space needed for additional gun crew. Four VIIC boats were modified for use as surface escorts for U-boats departing and returning to French Atlantic bases. These "U-flak" boats were , , , and . Conversion began on three others (, , and ) but none was completed and they were eventually returned to duty as standard VIIC attack boats. The modified boats became operational in June 1943 and at first appeared to be successful against a surprised Royal Air Force. Hoping that the extra firepower might allow the boats to survive relentless British air attacks in the Bay of Biscay and reach their operational areas, Donitz ordered the boats to cross the bay in groups at maximum speed. The effort earned the Germans about two more months of relative freedom, until the RAF modified their tactics. When a pilot saw that a U-boat was going to fight on the surface, he held off attacking and called in reinforcements. When several aircraft had arrived, they all attacked at once. If the U-boat dived, surface vessels were called to the scene to scour the area with sonar and drop depth charges. The British also began equipping some aircraft with RP-3 rockets that could sink a U-boat with a single hit, finally making it too dangerous for a U-boat to attempt to fight it out on the surface regardless of its armament. In November 1943,
single hit, finally making it too dangerous for a U-boat to attempt to fight it out on the surface regardless of its armament. In November 1943, less than six months after the experiment began, it was discontinued. All U-flaks were converted back to standard attack boats and fitted with Turm 4, the standard anti-aircraft armament for U-boats at the time. (According to German sources, only six aircraft had been shot down by the U-flaks in six missions, three by U-441, and one each by U-256, U-621, and .) Type VIIC/41 Type VIIC/41 was a slightly modified version of the VIIC and had the same armament and engines. The difference was a stronger pressure hull giving them a deeper crush depth and lighter machinery to compensate for the added steel in the hull, making them slightly lighter than the VIIC. A total of 91 were built. All of them from onwards lacked the fittings to handle mines. Today one Type VIIC/41 still exists: is on display at Laboe (north of Kiel), the only surviving Type VII in the world. Type VIIC/42 The Type VIIC/42 was designed in 1942 and 1943 to replace the aging Type VIIC. It would have had a much stronger pressure hull, with skin thickness up to 28 mm, and would have dived twice as deep as the previous VIICs. These boats would have been very similar in external appearance to the VIIC/41 but with two periscopes in the tower and would have carried two more torpedoes. Contracts were signed for 164 boats and a few boats were laid down, but all were cancelled on 30 September 1943 in favor of the new Type XXI, and none was advanced enough in construction to be launched. It was powered by the same engines as the VIIC. Type VIID The type VIID boats, designed in 1939 and 1940, were a lengthened – by – version of the VIIC for use as a minelayer. The mines were carried in, and released from, three banks of five vertical tubes just aft of the conning tower. The extended hull also improved fuel and food storage. On the surface the boat used two supercharged Germaniawerft, 6 cylinder, 4-stroke F46 diesels delivering 3,200 bhp (2,400 kW) at between 470 and 490 rpm. When submerged the boat used two AEG GU 460/8-276 electric motors giving a total of 750 shp (560 kW) at 285 rpm. Only one () managed to survive the war; the other five were sunk, killing all crew members. Type VIIF The Type VIIF boats were designed in 1941 as supply boats to rearm U-boats at sea once they had used up their torpedoes. This required a lengthened hull and they were the largest and heaviest type VII boats built. They were armed identically with the other Type VIIs except that they could have up to 39 torpedoes onboard and had no deck guns. Only four Type VIIFs were built. Two of them, and , were sent to support the Monsun Gruppe in the Far East; and remained in the Atlantic. Type VIIF U-boats used the same engines as the Type VIID class. Three were sunk during the war; the surviving boat was surrendered to the Allies following Germany's capitulation. Like most surrendered U-boats, it was subsequently scuttled by the Royal Navy. Specifications Notes References Bibliography
of another. His example was the Gallery grave Period of Scandinavia. It was not uniformly Neolithic, but contained some objects of bronze and more importantly to him three different subcultures. One of these "civilisations" (sub-cultures) located in the north and east of Scandinavia was rather different, featuring but few gallery graves, using instead stone-lined pit graves containing implements of bone, such as harpoon and javelin heads. He observed that they "persisted during the recent Paleolithic period and also during the Protoneolithic." Here he had used a new term, "Protoneolithic", which was according to him to be applied to the Danish kitchen-middens. Stjerna also said that the eastern culture "is attached to the Paleolithic civilization (se trouve rattachée à la civilisation paléolithique)." However, it was not intermediary and of its intermediates he said "we cannot discuss them here (nous ne pouvons pas examiner ici)." This "attached" and non-transitional culture he chose to call the Epipaleolithic, defining it as follows: With Epipaleolithic I mean the period during the early days that followed the age of the reindeer, the one that retained Paleolithic customs. This period has two stages in Scandinavia, that of Maglemose and that of Kunda. (Par époque épipaléolithique j'entends la période qui, pendant les premiers temps qui ont suivi l'âge du Renne, conserve les coutumes paléolithiques. Cette période présente deux étapes en Scandinavie, celle de Maglemose et de Kunda.) There is no mention of any Mesolithic, but the material he described had been previously connected with the Mesolithic. Whether or not Stjerna intended his Protoneolithic and Epipaleolithic as a replacement for the Mesolithic is not clear, but Hugo Obermaier, a German archaeologist who taught and worked for many years in Spain, to whom the concepts are often erroneously attributed, used them to mount an attack on the entire concept of Mesolithic. He presented his views in El Hombre fósil, 1916, which was translated into English in 1924. Viewing the Epipaleolithic and the Protoneolithic as a "transition" and an "interim" he affirmed that they were not any sort of "transformation:" But in my opinion this term is not justified, as it would be if these phases presented a natural evolutionary development – a progressive transformation from Paleolithic to Neolithic. In reality, the final phase of the Capsian, the Tardenoisian, the Azilian and the northern Maglemose industries are the posthumous descendants of the Palaeolithic ... The ideas of Stjerna and Obermaier introduced a certain ambiguity into the terminology, which subsequent archaeologists found and find confusing. Epipaleolithic and Protoneolithic cover the same cultures, more or less, as does the Mesolithic. Publications on the Stone Age after 1916 include some sort of explanation of this ambiguity, leaving room for different views. Strictly speaking the Epipaleolithic is the earlier part of the Mesolithic. Some identify it with the Mesolithic. To others it is an Upper Paleolithic transition to the Mesolithic. The exact use in any context depends on the archaeological tradition or the judgement of individual archaeologists. The issue continues. Lower, middle and upper from Haeckel to Sollas The post-Darwinian approach to the naming of periods in earth history focused at first on the lapse of time: early (Palaeo-), middle (Meso-) and late (Ceno-). This conceptualization automatically imposes a three-age subdivision to any period, which is predominant in modern archaeology: Early, Middle and Late Bronze Age; Early, Middle and Late Minoan, etc. The criterion is whether the objects in question look simple or are elaborative. If a horizon contains objects that are post-late and simpler-than-late they are sub-, as in Submycenaean. Haeckel's presentations are from a different point of view. His History of Creation of 1870 presents the ages as "Strata of the Earth's Crust," in which he prefers "upper", "mid-" and "lower" based on the order in which one encounters the layers. His analysis features an Upper and Lower Pliocene as well as an Upper and Lower Diluvial (his term for the Pleistocene). Haeckel, however, was relying heavily on Lyell. In the 1833 edition of Principles of Geology (the first) Lyell devised the terms Eocene, Miocene and Pliocene to mean periods of which the "strata" contained some (Eo-, "early"), lesser (Mio-) and greater (Plio-) numbers of "living Mollusca represented among fossil assemblages of western Europe." The Eocene was given Lower, Middle, Upper; the Miocene a Lower and Upper; and the Pliocene an Older and Newer, which scheme would indicate an equivalence between Lower and Older, and Upper and Newer. In a French version, Nouveaux Éléments de Géologie, in 1839 Lyell called the Older Pliocene the Pliocene and the Newer Pliocene the Pleistocene (Pleist-, "most"). Then in Antiquity of Man in 1863 he reverted to his previous scheme, adding "Post-Tertiary" and "Post-Pliocene." In 1873 the Fourth Edition of Antiquity of Man restores Pleistocene and identifies it with Post-Pliocene. As this work was posthumous, no more was heard from Lyell. Living or deceased, his work was immensely popular among scientists and laymen alike. "Pleistocene" caught on immediately; it is entirely possible that he restored it by popular demand. In 1880 Dawkins published The Three Pleistocene Strata containing a new manifesto for British archaeology: The continuity between geology, prehistoric archaeology and history is so direct that it is impossible to picture early man in this country without using the results of all these three sciences. He intends to use archaeology and geology to "draw aside the veil" covering the situations of the peoples mentioned in proto-historic documents, such as Caesar's Commentaries and the Agricola of Tacitus. Adopting Lyell's scheme of the Tertiary, he divides Pleistocene into Early, Mid- and Late. Only the Palaeolithic falls into the Pleistocene; the Neolithic is in the "Prehistoric Period" subsequent. Dawkins defines what was to become the Upper, Middle and Lower Paleolithic, except that he calls them the "Upper Cave-Earth and Breccia," the "Middle Cave-Earth," and the "Lower Red Sand," with reference to the names of the layers. The next year, 1881, Geikie solidified the terminology into Upper and Lower Palaeolithic: In Kent's Cave the implements obtained from the lower stages were of a much ruder description than the various objects detected in the upper cave-earth ... And a very long time must have elapsed between the formation of the lower and upper Palaeolithic beds in that cave. The Middle Paleolithic in the modern sense made its appearance in 1911 in the 1st edition of William Johnson Sollas' Ancient Hunters. It had been used in varying senses before then. Sollas associates the period with the Mousterian technology and the relevant modern people with the Tasmanians. In the 2nd edition of 1915 he has changed his mind for reasons that are not clear. The Mousterian has been moved to the Lower Paleolithic and the people changed to the Australian aborigines; furthermore, the association has been made with Neanderthals and the Levalloisian added. Sollas says wistfully that they are in "the very middle of the Palaeolithic epoch." Whatever his reasons, the public would have none of it. From 1911 on, Mousterian was Middle Paleolithic, except for holdouts. Alfred L. Kroeber in 1920, Three essays on the antiquity and races of man, reverting to Lower Paleolithic, explains that he is following Gabriel de Mortillet. The English-speaking public remained with Middle Paleolithic. Early and late from Worsaae through the three-stage African system Thomsen had formalized the Three-age System by the time of its publication in 1836. The next step forward was the formalization of the Palaeolithic and Neolithic by Sir John Lubbock in 1865. Between these two times Denmark held the lead in archaeology, especially because of the work of Thomsen's at first junior associate and then successor, Jens Jacob Asmussen Worsaae, rising in the last year of his life to Kultus Minister of Denmark. Lubbock offers full tribute and credit to him in Prehistoric Times. Worsaae in 1862 in Om Tvedelingen af Steenalderen, previewed in English even before its publication by The Gentleman's Magazine, concerned about changes in typology during each period, proposed a bipartite division of each age:Both for Bronze and Stone it was now evident that a few hundred years would not suffice. In fact, good grounds existed for dividing each of these periods into two, if not more. He called them earlier or later. The three ages became six periods. The British seized on the concept immediately. Worsaae's earlier and later became Lubbock's palaeo- and neo- in 1865, but alternatively English speakers used Earlier and Later Stone Age, as did Lyell's 1883 edition of Principles of Geology, with older and younger as synonyms. As there is no room for a middle between the comparative adjectives, they were later modified to early and late. The scheme created a problem for further bipartite subdivisions, which would have resulted in such terms as early early Stone Age, but that terminology was avoided by adoption of Geikie's upper and lower Paleolithic. Amongst African archaeologists, the terms Old Stone Age, Middle Stone Age and Late Stone Age are preferred. Wallace's grand revolution recycled When Sir John Lubbock was doing the preliminary work for his 1865 magnum opus, Charles Darwin and Alfred Russel Wallace were jointly publishing their first papers On the Tendency of Species to form Varieties; and on the Perpetuation of Varieties and Species by Natural Means of Selection. Darwins's On the Origin of Species came out in 1859, but he did not elucidate the theory of evolution as it applies to man until the Descent of Man in 1871. Meanwhile, Wallace read a paper in 1864 to the Anthropological Society of London that was a major influence on Sir John, publishing in the very next year. He quoted Wallace:From the moment when the first skin was used as a covering, when the first rude spear was formed to assist in the chase, the first seed sown or shoot planted, a grand revolution was effected in nature, a revolution which in all the previous ages of the world's history had had no parallel, for a being had arisen who was no longer necessarily subject to change with the changing universe,—a being who was in some degree superior to nature, inasmuch as he knew how to control and regulate her action, and could keep himself in harmony with her, not by a change in body, but by an advance in mind. Wallace distinguishing between mind and body was asserting that natural selection shaped the form of man only until the appearance of mind; after then, it played no part. Mind formed modern man, meaning that result of mind, culture. Its appearance overthrew the laws of nature. Wallace used the term "grand revolution." Although Lubbock believed that Wallace had gone too far in that direction he did adopt a theory of evolution combined with the revolution of culture. Neither Wallace not Lubbock offered any explanation of how the revolution came about, or felt that they had to offer one. Revolution is an acceptance that in the continuous evolution of objects and events sharp and inexplicable disconformities do occur, as in geology. And so it is not surprising that in the 1874 Stockholm meeting of the International Congress of Anthropology and Prehistoric Archaeology, in response to Ernst Hamy's denial of any "break" between Paleolithic and Neolithic based on material from dolmens near Paris "showing a continuity between the paleolithic and neolithic folks," Edouard Desor, geologist and archaeologist, replied: "that the introduction of domesticated animals was a complete revolution and enables us to separate the two epochs completely." A revolution as defined by Wallace and adopted by Lubbock is a change of regime, or rules. If man was the new rule-setter through culture then the initiation of each of Lubbock's four periods might be regarded as a change of rules and therefore as a distinct revolution, and so Chambers's Journal, a reference work, in 1879 portrayed each of them as:...an advance in knowledge and civilization which amounted to a revolution in the then existing manners and customs of the world. Because of the controversy over Westropp's Mesolithic and Mortillet's Gap beginning in 1872 archaeological attention focused mainly on the revolution at the Palaeolithic—Neolithic boundary as an explanation of the gap. For a few decades the Neolithic Period, as it was called, was described as a kind of revolution. In the 1890s, a standard term, the Neolithic Revolution, began to appear in encyclopedias such as Pears. In 1925 the Cambridge Ancient History reported:There are quite a large number of archaeologists who justifiably consider the period of the Late Stone Age to be a Neolithic revolution and an economic revolution at the same time. For that is the period when primitive agriculture developed and cattle breeding began. Vere Gordon Childe's revolution for the masses In 1936 a champion came forward who would advance the Neolithic Revolution into the mainstream view: Vere Gordon Childe. After giving the Neolithic Revolution scant mention in his first notable work, the 1928 edition of New Light on the Most Ancient East, Childe made a major presentation in the first edition of Man Makes Himself in 1936 developing Wallace's and Lubbock's theme of the human revolution against the supremacy of nature and supplying detail on two revolutions, the Paleolithic—Neolithic and the Neolithic-Bronze Age, which he called the Second or Urban revolution. Lubbock had been as much of an ethnologist as an archaeologist. The founders of cultural anthropology, such as Tylor and Morgan, were to follow his lead on that. Lubbock created such concepts as savages and barbarians based on the customs of then modern tribesmen and made the presumption that the terms can be applied without serious inaccuracy to the men of the Paleolithic and the Neolithic. Childe broke with this view:The assumption that any savage tribe today is primitive, in the sense that its culture faithfully reflects that of much more ancient men is gratuitous. Childe concentrated on the inferences to be made from the artifacts:But when the tools ... are considered ... in their totality, they may reveal much more. They disclose not only the level of technical skill ... but also their economy .... The archaeologists's ages correspond roughly to economic stages. Each new "age" is ushered in by an economic revolution .... The archaeological periods were indications of economic ones:Archaeologists can define a period when it was apparently the sole economy, the sole organization of production ruling anywhere on the earth's surface. These periods could be used to supplement historical ones where history was not available. He reaffirmed Lubbock's view that the Paleolithic was an age of food gathering and the Neolithic an age of food production. He took a stand on the question of the Mesolithic identifying it with the Epipaleolithic. The Mesolithic was to him "a mere continuance of the Old Stone Age mode of life" between the end of the Pleistocene and the start of the Neolithic. Lubbock's terms "savagery" and "barbarism" do not much appear in Man Makes Himself but the sequel, What Happened in History (1942), reuses them (attributing them to Morgan, who got them from Lubbock) with an economic significance: savagery for food-gathering and barbarism for Neolithic food production. Civilization begins with the urban revolution of the Bronze Age. The Pre-pottery Neolithic of Garstang and Kenyon at Jericho Even as Childe was developing this revolution theme the ground was sinking under him. Lubbock did not find any pottery associated with the Paleolithic, asserting of its to him last period, the Reindeer, "no fragments of metal or pottery have yet been found." He did not generalize but others did not hesitate to do so. The next year, 1866, Dawkins proclaimed of Neolithic people that "these invented the use of pottery...." From then until the 1930s pottery was considered a sine qua non of the Neolithic. The term Pre-Pottery Age came into use in the late 19th century but it meant Paleolithic. Meanwhile, the Palestine Exploration Fund founded in 1865 completing its survey of excavatable sites in Palestine in 1880 began excavating in 1890 at the site of ancient Lachish near Jerusalem, the first of a series planned under the licensing system of the Ottoman Empire. Under their auspices in 1908 Ernst Sellin and Carl Watzinger began excavation at Jericho (Tell es-Sultan) previously excavated for the first time by Sir Charles Warren in 1868. They discovered a Neolithic and Bronze Age city there. Subsequent excavations in the region by them and others turned up other walled cities that appear to have preceded the Bronze Age urbanization. All excavation ceased for World War I. When it was over the Ottoman Empire was no longer a factor there. In 1919 the new British School of Archaeology in Jerusalem assumed archaeological operations in Palestine. John Garstang finally resumed excavation at Jericho 1930–1936. The renewed dig uncovered another 3000 years of prehistory that was in the Neolithic but did not make use of pottery. He called it the Pre-pottery Neolithic, as opposed to the Pottery Neolithic, subsequently often called the Aceramic or Pre-ceramic and Ceramic Neolithic. Kathleen Kenyon was a young photographer then with a natural talent for archaeology. Solving a number of dating problems she soon advanced to the forefront of British archaeology through skill and judgement. In World War II she served as a commander in the Red Cross. In 1952–58 she took over operations at Jericho as the Director of the British School, verifying and expanding Garstang's work and conclusions. There were two Pre-pottery Neolithic periods, she concluded, A and B. Moreover, the PPN had been discovered at most of the major Neolithic sites in the near East and Greece. By this time her personal stature in archaeology was at least equal to that of V. Gordon Childe. While the three-age system was being attributed to Childe in popular fame, Kenyon became gratuitously the discoverer of the PPN. More significantly the question of revolution or evolution of the Neolithic was increasingly being brought before the professional archaeologists. Bronze Age subdivisions Danish archaeology took the lead in defining the Bronze Age, with little of the controversy surrounding the Stone Age. British archaeologists patterned their own excavations after those of the Danish, which they followed avidly in the media. References to the Bronze Age in British excavation reports began in the 1820s contemporaneously with the new system being promulgated by C.J. Thomsen. Mention of the Early and Late Bronze Age began in the 1860s following the bipartite definitions of Worsaae. The tripartite system of Sir John Evans In 1874 at the Stockholm meeting of the International Congress of Anthropology and Prehistoric Archaeology, a suggestion was made by A. Bertrand that no distinct age of bronze had existed, that the bronze artifacts discovered were really part of the Iron Age. Hans Hildebrand in refutation pointed to two Bronze Ages and a transitional period in Scandinavia. John Evans denied any defect of continuity between the two and asserted there were three Bronze Ages, "the early, middle and late Bronze Age." His view for the Stone Age, following Lubbock, was quite different, denying, in The Ancient Stone Implements, any concept of a Middle Stone Age. In his 1881 parallel work, The Ancient Bronze Implements, he affirmed and further defined the three periods, strangely enough recusing himself from his previous terminology, Early, Middle and Late Bronze Age (the current forms) in favor of "an earlier and later stage" and "middle". He uses Bronze Age, Bronze Period, Bronze-using Period and Bronze Civilization interchangeably. Apparently Evans was sensitive of what had gone before, retaining the terminology of the bipartite system while proposing a tripartite one. After stating a catalogue of types of bronze implements he defines his system:The Bronze Age of Britain may, therefore, be regarded as an aggregate of three stages: the first, that characterized by the flat or slightly flanged celts, and the knife-daggers ... the second, that characterized by the more heavy dagger-blades and the flanged celts and tanged spear-heads or daggers, ... and the third, by palstaves and socketed celts and the many forms of tools and weapons, ... It is in this third stage that the bronze sword and the true socketed spear-head first make their advent. From Evans' gratuitous Copper Age to the mythical chalcolithic In chapter 1 of his work, Evans proposes for the first time a transitional Copper Age between the Neolithic and the Bronze Age. He adduces evidence from far-flung places such as China and the Americas to show that the smelting of copper universally preceded alloying with tin to make bronze. He does not know how to classify this fourth age. On the one hand he distinguishes it from the Bronze Age. On the other hand, he includes it:In thus speaking of a bronze-using period I by no means wish to exclude the possible use of copper unalloyed with tin. Evans goes into considerable detail tracing references to the metals in classical literature: Latin aer, aeris and Greek first for "copper" and then for "bronze." He does not mention the adjective of aes, which is aēneus, nor is he interested in formulating New Latin words for the Copper Age, which is good enough for him and many English authors from then on. He offers literary proof that bronze had been in use before iron and copper before bronze. In 1884 the center of archaeological interest shifted to Italy with the excavation of Remedello and the discovery of the Remedello culture by Gaetano Chierici. According to his 1886 biographers, Luigi Pigorini and Pellegrino Strobel, Chierici devised the term Età Eneo-litica to describe the archaeological context of his findings, which he believed were the remains of Pelasgians, or people that preceded Greek and Latin speakers in the Mediterranean. The age (Età) was:A period of transition from the age of stone to that of bronze (periodo di transizione dall'età della pietra a quella del bronzo) Whether intentional or not, the definition was the same as Evans', except that Chierici was adding a term to New Latin. He describes the transition by stating the beginning (litica, or Stone Age) and the ending (eneo-, or Bronze Age); in English, "the stone-to-bronze period." Shortly after, "Eneolithic" or "Aeneolithic" began turning up in scholarly English as a synonym for "Copper Age." Sir John's own son, Arthur Evans, beginning to come into his own as an archaeologist and already studying Cretan civilization, refers in 1895 to some clay figures of "aeneolithic date" (quotes his). End of the Iron Age The three-age system is a way of dividing prehistory, and the Iron Age is therefore considered to end in a particular culture with either the start of its protohistory, when it begins to be written about by outsiders, or when its own historiography begins. Although iron is still the major hard material in use in modern civilization, and steel is a vital and indispensable modern industry, as far as archaeologists are concerned the Iron Age has therefore now ended for all cultures in the world. The date when it is taken to end varies greatly between cultures, and in many parts of the world there was no Iron Age at all, for example in Pre-Columbian America and the prehistory of Australia. For these and other regions the three-age system is little used. By a convention among archaeologists, in the Ancient Near East the Iron Age is taken to end with the start of the Achaemenid Empire in the 6th century BC, as the history of that is told by the Greek historian Herodotus. This remains the case despite a good deal of earlier local written material having become known since the convention was established. In Western Europe, the Iron Age is ended by the Roman conquest. In South Asia the start of the Maurya Empire about 320 BC is usually taken as the endpoint; although we have a considerable quantity of earlier written texts from India, they give us relatively little in the way of a conventional record of political history. For Egypt, China and Greece "Iron Age" is not a very useful concept, and relatively little used as a period term. In the first two prehistory has ended, and periodization by historical ruling dynasties has already begun, in the Bronze Age, which these cultures do have. In Greece, the Iron Age begins during the Greek Dark Ages, and coincides with the cessation of a historical record for some centuries. For Scandinavia and other parts of northern Europe that the Romans did not reach, the Iron Age continues until the start of the Viking Age in about 800 AD. Dating The question of the dates of the objects and events discovered through archaeology is the prime concern of any system of thought that seeks to summarize history through the formulation of ages or epochs. An age is defined through comparison of contemporaneous events. Increasingly, the terminology of archaeology is parallel to that of historical method. An event is "undocumented" until it turns up in the archaeological record. Fossils and artifacts are "documents" of the epochs hypothesized. The correction of dating errors is therefore a major concern. In the case where parallel epochs defined in history were available, elaborate efforts were made to align European and Near Eastern sequences with the datable chronology of Ancient Egypt and other known civilizations. The resulting grand sequence was also spot checked by evidence of calculateable solar or other astronomical events. These methods are only available for the relatively short term of recorded history. Most prehistory does not fall into that category. Physical science provides at least two general groups of dating methods, stated below. Data collected by these methods is intended to provide an absolute chronology to the framework of periods defined by relative chronology. Grand systems of layering The initial comparisons of artifacts defined periods that were local to a site, group of sites or region. Advances made in the fields of seriation, typology, stratification and the associative dating of artifacts and features permitted even greater refinement of the system. The ultimate development is the reconstruction of a global catalogue of layers (or as close to it as possible) with different sections attested in different regions. Ideally once the layer of the artifact or event is known a quick lookup of the layer in the grand system will provide a ready date. This is considered the most reliable method. It is used for calibration of the less reliable chemical methods. Measurement of chemical change Any material sample contains elements and compounds that are subject to decay into other elements and compounds. In cases where the rate of decay is predictable and the proportions of initial and end products can be known exactly, consistent dates of the artifact can be calculated. Due to the problem of sample contamination and variability of the natural proportions of the materials in the media, sample analysis in the case where verification can be checked by grand layering systems has often been found to be widely inaccurate. Chemical dates therefore are only considered reliable used in conjunction with other methods. They are collected in groups of data points that form a pattern when graphed. Isolated dates are not considered reliable. Other -liths and -lithics The term Megalithic does not refer to a period of time, but merely describes the use of large stones by ancient peoples from any period. An eolith is a stone that might have been formed by natural process but occurs in contexts that suggest modification by early humans or other primates for percussion. Three-age system resumptive table * Formation of states starts during the Early Bronze Age in Egypt and Mesopotamia and during the Late Bronze Age first empires are founded. Criticism The Three-age System has been criticized since at least the 19th century. Every phase of its development has been contested. Some of the arguments that have been presented against it follow. Unsound epochalism In some cases criticism resulted in other, parallel three-age systems, such as the concepts
Antiquaries"), published his principal manuscript in Ledetraad til Nordisk Oldkyndighed ("Guide to Scandinavian Archaeology") in 1836. The system has since been expanded by further subdivision of each era, and refined through further archaeological and anthropological finds. Stone Age subdivisions The savagery and civilization of Sir John Lubbock It was to be a full generation before British archaeology caught up with the Danish. When it did, the leading figure was another multi-talented man of independent means: John Lubbock, 1st Baron Avebury. After reviewing the Three-age System from Lucretius to Thomsen, Lubbock improved it and took it to another level, that of cultural anthropology. Thomsen had been concerned with techniques of archaeological classification. Lubbock found correlations with the customs of savages and civilization. In his 1865 book, Prehistoric Times, Lubbock divided the Stone Age in Europe, and possibly nearer Asia and Africa, into the Palaeolithic and the Neolithic: By "drift" Lubbock meant river-drift, the alluvium deposited by a river. For the interpretation of Palaeolithic artifacts, Lubbock, pointing out that the times are beyond the reach of history and tradition, suggests an analogy, which was adopted by the anthropologists. Just as the paleontologist uses modern elephants to help reconstruct fossil pachyderms, so the archaeologist is justified in using the customs of the "non-metallic savages" of today to understand "the early races which inhabited our continent." He devotes three chapters to this approach, covering the "modern savages" of the Indian and Pacific Oceans and the Western Hemisphere, but something of a deficit in what would be called today his correct professionalism reveals a field yet in its infancy: Perhaps it will be thought ... I have selected ... the passages most unfavorable to savages. ... In reality the very reverse in the case. ... Their real condition is even worse and more abject than that which I have endeavoured to depict. The elusive Mesolithic of Hodder Westropp Sir John Lubbock's use of the terms Palaeolithic ("Old Stone Age") and Neolithic ("New Stone Age") were immediately popular. They were applied, however, in two different senses: geologic and anthropologic. In 1867–68 Ernst Haeckel in 20 public lectures in Jena, entitled General Morphology, to be published in 1870, referred to the Archaeolithic, the Palaeolithic, the Mesolithic and the Caenolithic as periods in geologic history. He could only have got these terms from Hodder Westropp, who took Palaeolithic from Lubbock, invented Mesolithic ("Middle Stone Age") and Caenolithic instead of Lubbock's Neolithic. None of these terms appear anywhere, including the writings of Haeckel, before 1865. Haeckel's use was innovative. Westropp first used Mesolithic and Caenolithic in 1865, almost immediately after the publication of Lubbock's first edition. He read a paper on the topic before the Anthropological Society of London in 1865, published in 1866 in the Memoirs. After asserting: Man, in all ages and in all stages of his development, is a tool-making animal. Westropp goes on to define "different epochs of flint, stone, bronze or iron; ..." He never did distinguish the flint from the Stone Age (having realized they were one and the same), but he divided the Stone Age as follows: "The flint implements of the gravel-drift" "The flint implements found in Ireland and Denmark" "Polished stone implements" These three ages were named respectively the Palaeolithic, the Mesolithic and the Kainolithic. He was careful to qualify these by stating: Their presence is thus not always an evidence of a high antiquity, but of an early and barbarous state; ... Lubbock's savagery was now Westropp's barbarism. A fuller exposition of the Mesolithic waited for his book, Pre-Historic Phases, dedicated to Sir John Lubbock, published in 1872. At that time he restored Lubbock's Neolithic and defined a Stone Age divided into three phases and five stages. The First Stage, "Implements of the Gravel Drift," contains implements that were "roughly knocked into shape." His illustrations show Mode 1 and Mode 2 stone tools, basically Acheulean handaxes. Today they are in the Lower Palaeolithic. The Second Stage, "Flint Flakes" are of the "simplest form" and were struck off cores. Westropp differs in this definition from the modern, as Mode 2 contains flakes for scrapers and similar tools. His illustrations, however, show Modes 3 and 4, of the Middle and Upper Palaeolithic. His extensive lithic analysis leaves no doubt. They are, however, part of Westropp's Mesolithic. The Third Stage, "a more advanced stage" in which "flint flakes were carefully chipped into shape," produced small arrowheads from shattering a piece of flint into "a hundred pieces", selecting the most suitable and working it with a punch. The illustrations show that he had microliths, or Mode 5 tools in mind. His Mesolithic is therefore partly the same as the modern. The Fourth Stage is a part of the Neolithic that is transitional to the Fifth Stage: axes with ground edges leading to implements totally ground and polished. Westropp's agriculture is removed to the Bronze Age, while his Neolithic is pastoral. The Mesolithic is reserved to hunters. Piette finds the Mesolithic In that same year, 1872, Sir John Evans produced a massive work, The Ancient Stone Implements, in which he in effect repudiated the Mesolithic, making a point to ignore it, denying it by name in later editions. He wrote: Sir John Lubbock has proposed to call them the Archaeolithic, or Palaeolithic, and the Neolithic Periods respectively, terms which have met with almost general acceptance, and of which I shall avail myself in the course of this work. Evans did not, however, follow Lubbock's general trend, which was typological classification. He chose instead to use type of find site as the main criterion, following Lubbock's descriptive terms, such as tools of the drift. Lubbock had identified drift sites as containing Palaeolithic material. Evans added to them the cave sites. Opposed to drift and cave were the surface sites, where chipped and ground tools often occurred in unlayered contexts. Evans decided he had no choice but to assign them all to the most recent. He therefore consigned them to the Neolithic and used the term "Surface Period" for it. Having read Westropp, Sir John knew perfectly well that all the former's Mesolithic implements were surface finds. He used his prestige to quell the concept of Mesolithic as best he could, but the public could see that his methods were not typological. The less prestigious scientists publishing in the smaller journals continued to look for a Mesolithic. For example, Isaac Taylor in The Origin of the Aryans, 1889, mentions the Mesolithic but briefly, asserting, however, that it formed "a transition between the Palaeolithic and Neolithic Periods." Nevertheless, Sir John fought on, opposing the Mesolithic by name as late as the 1897 edition of his work. Meanwhile, Haeckel had totally abandoned the geologic uses of the -lithic terms. The concepts of Palaeozoic, Mesozoic and Cenozoic had originated in the early 19th century and were gradually becoming coin of the geologic realm. Realizing he was out of step, Haeckel started to transition to the -zoic system as early as 1876 in The History of Creation, placing the -zoic form in parentheses next to the -lithic form. The gauntlet was officially thrown down before Sir John by J. Allen Brown, speaking for the opposition before the Anthropological Institute on 8 March 1892. In the journal he opens the attack by striking at a "hiatus" in the record: It has been generally assumed that a break occurred between the period during which ... the continent of Europe was inhabited by Palaeolithic Man and his Neolithic successor ... No physical cause, no adequate reasons have ever been assigned for such a hiatus in human existence ... The main hiatus at that time was between British and French archaeology, as the latter had already discovered the gap 20 years earlier and had already considered three answers and arrived at one solution, the modern. Whether Brown did not know or was pretending not to know is unclear. In 1872, the very year of Evans' publication, Gabriel de Mortillet had presented the gap to the Congrès international d'Anthropologie at Brussels: Between the Palaeolithic and Neolithic, there is a wide and deep gap, a large hiatus. Apparently prehistoric man was hunting big game with stone tools one year and farming with domestic animals and ground stone tools the next. Mortillet postulated a "time then unknown (époque alors inconnue)" to fill the gap. The hunt for the "unknown" was on. On 16 April 1874, Mortillet retracted. "That hiatus is not real (Cet hiatus n'est pas réel)," he said before the Société d'Anthropologie, asserting that it was an informational gap only. The other theory had been a gap in nature, that, because of the ice age, man had retreated from Europe. The information must now be found. In 1895 Édouard Piette stated that he had heard Édouard Lartet speak of "the remains from the intermediate period (les vestiges de l'époque intermédiaire)", which were yet to be discovered, but Lartet had not published this view. The gap had become a transition. However, asserted Piette: I was fortunate to discover the remains of that unknown time which separated the Magdalenian age from that of polished stone axes ... it was, at Mas-d'Azil in 1887 and 1888 when I made this discovery. He had excavated the type site of the Azilian Culture, the basis of today's Mesolithic. He found it sandwiched between the Magdalenian and the Neolithic. The tools were like those of the Danish kitchen-middens, termed the Surface Period by Evans, which were the basis of Westropp's Mesolithic. They were Mode 5 stone tools, or microliths. He mentions neither Westropp nor the Mesolithic, however. For him this was a "solution of continuity (solution de continuité)" To it he assigns the semi-domestication of dog, horse, cow, etc., which "greatly facilitated the work of Neolithic man (a beaucoup facilité la tàche de l'homme néolithique)." Brown in 1892 does not mention Mas-d'Azil. He refers to the "transition or 'Mesolithic' forms" but to him these are "rough hewn axes chipped over the entire surface" mentioned by Evans as the earliest of the Neolithic. Where Piette believed he had discovered something new, Brown wanted to break out known tools considered Neolithic. The Epipaleolithic and Protoneolithic of Stjerna and Obermaier Sir John Evans never changed his mind, giving rise to a dichotomous view of the Mesolithic and a multiplication of confusing terms. On the continent, all seemed settled: there was a distinct Mesolithic with its own tools and both tools and customs were transitional to the Neolithic. Then in 1910, the Swedish archaeologist, Knut Stjerna, addressed another problem of the Three-Age System: although a culture was predominantly classified as one period, it might contain material that was the same as or like that of another. His example was the Gallery grave Period of Scandinavia. It was not uniformly Neolithic, but contained some objects of bronze and more importantly to him three different subcultures. One of these "civilisations" (sub-cultures) located in the north and east of Scandinavia was rather different, featuring but few gallery graves, using instead stone-lined pit graves containing implements of bone, such as harpoon and javelin heads. He observed that they "persisted during the recent Paleolithic period and also during the Protoneolithic." Here he had used a new term, "Protoneolithic", which was according to him to be applied to the Danish kitchen-middens. Stjerna also said that the eastern culture "is attached to the Paleolithic civilization (se trouve rattachée à la civilisation paléolithique)." However, it was not intermediary and of its intermediates he said "we cannot discuss them here (nous ne pouvons pas examiner ici)." This "attached" and non-transitional culture he chose to call the Epipaleolithic, defining it as follows: With Epipaleolithic I mean the period during the early days that followed the age of the reindeer, the one that retained Paleolithic customs. This period has two stages in Scandinavia, that of Maglemose and that of Kunda. (Par époque épipaléolithique j'entends la période qui, pendant les premiers temps qui ont suivi l'âge du Renne, conserve les coutumes paléolithiques. Cette période présente deux étapes en Scandinavie, celle de Maglemose et de Kunda.) There is no mention of any Mesolithic, but the material he described had been previously connected with the Mesolithic. Whether or not Stjerna intended his Protoneolithic and Epipaleolithic as a replacement for the Mesolithic is not clear, but Hugo Obermaier, a German archaeologist who taught and worked for many years in Spain, to whom the concepts are often erroneously attributed, used them to mount an attack on the entire concept of Mesolithic. He presented his views in El Hombre fósil, 1916, which was translated into English in 1924. Viewing the Epipaleolithic and the Protoneolithic as a "transition" and an "interim" he affirmed that they were not any sort of "transformation:" But in my opinion this term is not justified, as it would be if these phases presented a natural evolutionary development – a progressive transformation from Paleolithic to Neolithic. In reality, the final phase of the Capsian, the Tardenoisian, the Azilian and the northern Maglemose industries are the posthumous descendants of the Palaeolithic ... The ideas of Stjerna and Obermaier introduced a certain ambiguity into the terminology, which subsequent archaeologists found and find confusing. Epipaleolithic and Protoneolithic cover the same cultures, more or less, as does the Mesolithic. Publications on the Stone Age after 1916 include some sort of explanation of this ambiguity, leaving room for different views. Strictly speaking the Epipaleolithic is the earlier part of the Mesolithic. Some identify it with the Mesolithic. To others it is an Upper Paleolithic transition to the Mesolithic. The exact use in any context depends on the archaeological tradition or the judgement of individual archaeologists. The issue continues. Lower, middle and upper from Haeckel to Sollas The post-Darwinian approach to the naming of periods in earth history focused at first on the lapse of time: early (Palaeo-), middle (Meso-) and late (Ceno-). This conceptualization automatically imposes a three-age subdivision to any period, which is predominant in modern archaeology: Early, Middle and Late Bronze Age; Early, Middle and Late Minoan, etc. The criterion is whether the objects in question look simple or are elaborative. If a horizon contains objects that are post-late and simpler-than-late they are sub-, as in Submycenaean. Haeckel's presentations are from a different point of view. His History of Creation of 1870 presents the ages as "Strata of the Earth's Crust," in which he prefers "upper", "mid-" and "lower" based on the order in which one encounters the layers. His analysis features an Upper and Lower Pliocene as well as an Upper and Lower Diluvial (his term for the Pleistocene). Haeckel, however, was relying heavily on Lyell. In the 1833 edition of Principles of Geology (the first) Lyell devised the terms Eocene, Miocene and Pliocene to mean periods of which the "strata" contained some (Eo-, "early"), lesser (Mio-) and greater (Plio-) numbers of "living Mollusca represented among fossil assemblages of western Europe." The Eocene was given Lower, Middle, Upper; the Miocene a Lower and Upper; and the Pliocene an Older and Newer, which scheme would indicate an equivalence between Lower and Older, and Upper and Newer. In a French version, Nouveaux Éléments de Géologie, in 1839 Lyell called the Older Pliocene the Pliocene and the Newer Pliocene the Pleistocene (Pleist-, "most"). Then in Antiquity of Man in 1863 he reverted to his previous scheme, adding "Post-Tertiary" and "Post-Pliocene." In 1873 the Fourth Edition of Antiquity of Man restores Pleistocene and identifies it with Post-Pliocene. As this work was posthumous, no more was heard from Lyell. Living or deceased, his work was immensely popular among scientists and laymen alike. "Pleistocene" caught on immediately; it is entirely possible that he restored it by popular demand. In 1880 Dawkins published The Three Pleistocene Strata containing a new manifesto for British archaeology: The continuity between geology, prehistoric archaeology and history is so direct that it is impossible to picture early man in this country without using the results of all these three sciences. He intends to use archaeology and geology to "draw aside the veil" covering the situations of the peoples mentioned in proto-historic documents, such as Caesar's Commentaries and the Agricola of Tacitus. Adopting Lyell's scheme of the Tertiary, he divides Pleistocene into Early, Mid- and Late. Only the Palaeolithic falls into the Pleistocene; the Neolithic is in the "Prehistoric Period" subsequent. Dawkins defines what was to become the Upper, Middle and Lower Paleolithic, except that he calls them the "Upper Cave-Earth and Breccia," the "Middle Cave-Earth," and the "Lower Red Sand," with reference to the names of the layers. The next year, 1881, Geikie solidified the terminology into Upper and Lower Palaeolithic: In Kent's Cave the implements obtained from the lower stages were of a much ruder description than the various objects detected in the upper cave-earth ... And a very long time must have elapsed between the formation of the lower and upper Palaeolithic beds in that cave. The Middle Paleolithic in the modern sense made its appearance in 1911 in the 1st edition of William Johnson Sollas' Ancient Hunters. It had been used in varying senses before then. Sollas associates the period with the Mousterian technology and the relevant modern people with the Tasmanians. In the 2nd edition of 1915 he has changed his mind for reasons that are not clear. The Mousterian has been moved to the Lower Paleolithic and the people changed to the Australian aborigines; furthermore, the association has been made with Neanderthals and the Levalloisian added. Sollas says wistfully that they are in "the very middle of the Palaeolithic epoch." Whatever his reasons, the public would have none of it. From 1911 on, Mousterian was Middle Paleolithic, except for holdouts. Alfred L. Kroeber in 1920, Three essays on the antiquity and races of man, reverting to Lower Paleolithic, explains that he is following Gabriel de Mortillet. The English-speaking public remained with Middle Paleolithic. Early and late from Worsaae through the three-stage African system Thomsen had formalized the Three-age System by the time of its publication in 1836. The next step forward was the formalization of the Palaeolithic and Neolithic by Sir John Lubbock in 1865. Between these two times Denmark held the lead in archaeology, especially because of the work of Thomsen's at first junior associate and then successor, Jens Jacob Asmussen Worsaae, rising in the last year of his life to Kultus Minister of Denmark. Lubbock offers full tribute and credit to him in Prehistoric Times. Worsaae in 1862 in Om Tvedelingen af Steenalderen, previewed in English even before its publication by The Gentleman's Magazine, concerned about changes in typology during each period, proposed a bipartite division of each age:Both for Bronze and Stone it was now evident that a few hundred years would not suffice. In fact, good grounds existed for dividing each of these periods into two, if not more. He called them earlier or later. The three ages became six periods. The British seized on the concept immediately. Worsaae's earlier and later became Lubbock's palaeo- and neo- in 1865, but alternatively English speakers used Earlier and Later Stone Age, as did Lyell's 1883 edition of Principles of Geology, with older and younger as synonyms. As there is no room for a middle between the comparative adjectives, they were later modified to early and late. The scheme created a problem for further bipartite subdivisions, which would have resulted in such terms as early early Stone Age, but that terminology was avoided by adoption of Geikie's upper and lower Paleolithic. Amongst African archaeologists, the terms Old Stone Age, Middle Stone Age and Late Stone Age are preferred. Wallace's grand revolution recycled When Sir John Lubbock was doing the preliminary work for his 1865 magnum opus, Charles Darwin and Alfred Russel Wallace were jointly publishing their first papers On the Tendency of Species to form Varieties; and on the Perpetuation of Varieties and Species by Natural Means of Selection. Darwins's On the Origin of Species came out in 1859, but he did not elucidate the theory of evolution as it applies to man until the Descent of Man in 1871. Meanwhile, Wallace read a paper in 1864 to the Anthropological Society of London that was a major influence on Sir John, publishing in the very next year. He quoted Wallace:From the moment when the first skin was used as a covering, when the first rude spear was formed to assist in the chase, the first seed sown or shoot planted, a grand revolution was effected in nature, a revolution which in all the previous ages of the world's history had had no parallel, for a being had arisen who was no longer necessarily subject to change with the changing universe,—a being who was in some degree superior to nature, inasmuch as he knew how to control and regulate her action, and could keep himself in harmony with her,
in 1962 and 1969. The possibility of existence of faster-than-light particles was also proposed by Lev Yakovlevich Shtrum in 1923 (see https://arxiv.org/abs/2107.10739 and references therein). In September 2011, it was reported that a tau neutrino had traveled faster than the speed of light in a major release by CERN; however, later updates from CERN on the OPERA project indicate that the faster-than-light readings were due to a faulty element of the experiment's fibre optic timing system. Tachyons in relativity In special relativity, a faster-than-light particle would have space-like four-momentum, in contrast to ordinary particles that have time-like four-momentum. Although in some theories the mass of tachyons is regarded as imaginary, in some modern formulations the mass is considered real, the formulas for the momentum and energy being redefined to this end. Moreover, since tachyons are constrained to the spacelike portion of the energy–momentum graph, they could not slow down to subluminal (meaning slower-than-light) speeds. Mass In a Lorentz invariant theory, the same formulas that apply to ordinary slower-than-light particles (sometimes called "bradyons" in discussions of tachyons) must also apply to tachyons. In particular, the energy–momentum relation: (where p is the relativistic momentum of the bradyon and m is its rest mass) should still apply, along with the formula for the total energy of a particle: This equation shows that the total energy of a particle (bradyon or tachyon) contains a contribution from its rest mass (the "rest mass–energy") and a contribution from its motion, the kinetic energy. When (the particle's velocity) is larger than (the speed of light), the denominator in the equation for the energy is imaginary, as the value under the square root is negative. Because the total energy of the particle must be real (and not a complex or imaginary number) in order to have any practical meaning as a measurement, the numerator must also be imaginary: i.e. the rest mass m must be imaginary, as a pure imaginary number divided by another pure imaginary number is a real number. In some modern formulations of the theory, the mass of tachyons is regarded as real. Speed One curious effect is that, unlike ordinary particles, the speed of a tachyon increases as its energy decreases. In particular, approaches zero when approaches infinity. (For ordinary bradyonic matter, increases with increasing speed, becoming arbitrarily large as approaches , the speed of light). Therefore, just as bradyons are forbidden to break the light-speed barrier, so too are tachyons forbidden from slowing down to below c, because infinite energy is required to reach the barrier from either above or below. As noted by Albert Einstein, Tolman, and others, special relativity implies that faster-than-light particles, if they existed, could be used to communicate backwards in time. Neutrinos In 1985, Chodos proposed that neutrinos can have a tachyonic nature. The possibility of standard model particles moving at faster-than-light speeds can be modeled using Lorentz invariance violating terms, for example in the Standard-Model Extension. In this framework, neutrinos experience Lorentz-violating oscillations and can travel faster than light at high energies. This proposal was strongly criticized. Cherenkov radiation A tachyon with an electric charge would lose energy as Cherenkov radiation—just as ordinary charged particles do when they exceed the local speed of light in a medium (other than a hard vacuum). A charged tachyon traveling in a vacuum, therefore, undergoes a constant proper time acceleration and, by necessity, its world line forms a hyperbola in space-time. However reducing a tachyon's energy increases its speed, so that the single hyperbola formed is of two oppositely charged tachyons with opposite momenta (same magnitude, opposite sign) which annihilate each other when they simultaneously reach infinite speed at the same place in space. (At infinite speed, the two tachyons have no energy each and finite momentum of opposite direction, so no conservation laws are violated in their mutual annihilation. The time of annihilation is frame dependent.) Even an
"bradyons" in discussions of tachyons) must also apply to tachyons. In particular, the energy–momentum relation: (where p is the relativistic momentum of the bradyon and m is its rest mass) should still apply, along with the formula for the total energy of a particle: This equation shows that the total energy of a particle (bradyon or tachyon) contains a contribution from its rest mass (the "rest mass–energy") and a contribution from its motion, the kinetic energy. When (the particle's velocity) is larger than (the speed of light), the denominator in the equation for the energy is imaginary, as the value under the square root is negative. Because the total energy of the particle must be real (and not a complex or imaginary number) in order to have any practical meaning as a measurement, the numerator must also be imaginary: i.e. the rest mass m must be imaginary, as a pure imaginary number divided by another pure imaginary number is a real number. In some modern formulations of the theory, the mass of tachyons is regarded as real. Speed One curious effect is that, unlike ordinary particles, the speed of a tachyon increases as its energy decreases. In particular, approaches zero when approaches infinity. (For ordinary bradyonic matter, increases with increasing speed, becoming arbitrarily large as approaches , the speed of light). Therefore, just as bradyons are forbidden to break the light-speed barrier, so too are tachyons forbidden from slowing down to below c, because infinite energy is required to reach the barrier from either above or below. As noted by Albert Einstein, Tolman, and others, special relativity implies that faster-than-light particles, if they existed, could be used to communicate backwards in time. Neutrinos In 1985, Chodos proposed that neutrinos can have a tachyonic nature. The possibility of standard model particles moving at faster-than-light speeds can be modeled using Lorentz invariance violating terms, for example in the Standard-Model Extension. In this framework, neutrinos experience Lorentz-violating oscillations and can travel faster than light at high energies. This proposal was strongly criticized. Cherenkov radiation A tachyon with an electric charge would lose energy as Cherenkov radiation—just as ordinary charged particles do when they exceed the local speed of light in a medium (other than a hard vacuum). A charged tachyon traveling in a vacuum, therefore, undergoes a constant proper time acceleration and, by necessity, its world line forms a hyperbola in space-time. However reducing a tachyon's energy increases its speed, so that the single hyperbola formed is of two oppositely charged tachyons with opposite momenta (same magnitude, opposite sign) which annihilate each other when they simultaneously reach infinite speed at the same place in space. (At infinite speed, the two tachyons have no energy each and finite momentum of opposite direction, so no conservation laws are violated in their mutual annihilation. The time of annihilation is frame dependent.) Even an electrically neutral tachyon would be expected to lose energy via gravitational Cherenkov radiation (unless gravitons are themselves tachyons), because it has a gravitational mass, and therefore increases in speed as it travels, as described above. If the tachyon interacts with any other particles, it can also radiate Cherenkov energy into those particles. Neutrinos interact with the other particles of the Standard Model, and Andrew Cohen and Sheldon Glashow used this to argue that the 2011 faster-than-light neutrino anomaly cannot be explained by making neutrinos propagate faster than light, and must instead be due to an error in the experiment. Further investigation of the experiment showed that the results were indeed erroneous. Causality Causality is a fundamental principle of physics. If tachyons can transmit information faster than light, then according to relativity they violate causality, leading to logical paradoxes of the "kill your own grandfather" type. This is often illustrated with thought experiments such as the "tachyon telephone paradox" or "logically pernicious self-inhibitor." The problem can be understood in terms of the relativity of simultaneity in special relativity, which says that different inertial reference frames will disagree on whether two events at different locations happened "at the same time" or not, and they can also disagree on the order of the two events (technically, these disagreements occur when the spacetime interval between the events is 'space-like', meaning that neither event lies in the future light
the navigation and propulsion systems. Getting to the other end of the Ark, which is potentially hundreds of miles away, involves traveling through the many disparate communities on the starship -- some of which are hostile to outsiders, and all of which have different social customs, belief systems and law enforcement practices. Generally, each episode will have Devon, Rachel and Garth encountering a new society or group as they work their way through the ship. Occasionally, they are aided (or hindered) in their travels by the ship's frustrating and only partially functioning computer system interface, known as Mu Lambda 165 (portrayed by William Osler, who also provided the opening narration for each episode). 20th Century Fox was involved in the project with Douglas Trumbull as executive producer. Science fiction writer and editor Ben Bova was brought in as science advisor. Development and production Harlan Ellison was approached by Robert Kline, a 20th Century Fox television producer, to come up with an idea for a science fiction TV series consisting of eight episodes, to pitch to the BBC as a co-production in February 1973. The BBC rejected the idea. Unable to sell The Starlost for prime time, Kline decided to pursue a low budget approach and produce it for syndication. By May, Kline had sold the idea to 48 NBC stations and the Canadian CTV network. Ellison claimed that to get Canadian government subsidies, the production was shot in Canada and Canadian writers produced the scripts from story outlines by Ellison. However, several produced episodes were written entirely by American writers. Before Ellison could begin work on the show's production bible, a writers' strike began, running from March 6 to June 24. Kline negotiated an exception with the Writer's Guild, on the grounds that the production was wholly Canadian — and Ellison went to work on a bible for the series. Originally, the show was to be filmed with a special effects camera system developed by Doug Trumbull called Magicam. The system comprised two cameras, the motion of which was controlled by servos. One camera would film actors against a blue screen, while the other would shoot a model background. The motion of both cameras was synchronized and scaled appropriately, allowing both the camera and the actors to move through model sets. The technology did not work reliably. In the end, simple blue screen effects were used, forcing static camera shots. The failure of the Magicam system was a major blow — as the Canadian studio space that had been rented was too small to build the required sets. In the end, partial sets were built, but the lack of space hampered production. As the filming went on, Ellison grew disenchanted with the budget cuts, details that were changed, and what he characterized as a progressive dumbing down of the story. Ellison's dissatisfaction extended to the new title of the pilot episode; he had titled it "Phoenix without Ashes" but it was changed to "Voyage of Discovery". Before the production of the pilot episode was completed, Ellison invoked a clause in his contract to force the producers to use his alternative registered writer's name of "Cordwainer Bird" on the end credits. Sixteen episodes were made. Fox decided not to pick up the options for the remainder of the series. Reception and impact On March 31, 1974, Ellison received a Writers
come up with an idea for a science fiction TV series consisting of eight episodes, to pitch to the BBC as a co-production in February 1973. The BBC rejected the idea. Unable to sell The Starlost for prime time, Kline decided to pursue a low budget approach and produce it for syndication. By May, Kline had sold the idea to 48 NBC stations and the Canadian CTV network. Ellison claimed that to get Canadian government subsidies, the production was shot in Canada and Canadian writers produced the scripts from story outlines by Ellison. However, several produced episodes were written entirely by American writers. Before Ellison could begin work on the show's production bible, a writers' strike began, running from March 6 to June 24. Kline negotiated an exception with the Writer's Guild, on the grounds that the production was wholly Canadian — and Ellison went to work on a bible for the series. Originally, the show was to be filmed with a special effects camera system developed by Doug Trumbull called Magicam. The system comprised two cameras, the motion of which was controlled by servos. One camera would film actors against a blue screen, while the other would shoot a model background. The motion of both cameras was synchronized and scaled appropriately, allowing both the camera and the actors to move through model sets. The technology did not work reliably. In the end, simple blue screen effects were used, forcing static camera shots. The failure of the Magicam system was a major blow — as the Canadian studio space that had been rented was too small to build the required sets. In the end, partial sets were built, but the lack of space hampered production. As the filming went on, Ellison grew disenchanted with the budget cuts, details that were changed, and what he characterized as a progressive dumbing down of the story. Ellison's dissatisfaction extended to the new title of the pilot episode; he had titled it "Phoenix without Ashes" but it was changed to "Voyage of Discovery". Before the production of the pilot episode was completed, Ellison invoked a clause in his contract to force the producers to use his alternative registered writer's name of "Cordwainer Bird" on the end credits. Sixteen episodes were made. Fox decided not to pick up the options for the remainder of the series. Reception and impact On March 31, 1974, Ellison received a Writers Guild of America Award for Best Original Screenplay for the original script (the pilot script as originally written, not the version that was filmed). A novelization of this script by Edward Bryant, Phoenix Without Ashes, was published in 1975; this contained a lengthy foreword by Ellison describing what had gone on in production. In 2010, the novel was adapted into comic book form by IDW Publishing. Ben Bova, in an editorial in Analog Science Fiction (June 1974) and in interviews in fanzines, made it clear how disgruntled he had been as science adviser. In 1975, he published a novel entitled The Starcrossed, depicting a scientist taken on as a science adviser for a terrible science fiction series. The Starlost has generally received a negative reception from historians of science fiction television: The Encyclopedia of Science Fiction described The Starlost as "dire", while The Best of Science Fiction TV included The Starlost in its list of the "Worst Science Fiction Shows of All Time". Episodes The Starlog Photo Guidebook TV Episode Guides Volume 1 (1981) lists two unfilmed episodes, "God That Died" and "People in the Dark". Episodes of the original series were rebroadcast in 1978 and further in 1982. A number of episodes were also edited together to create movie-length installments that were sold to cable television broadcasters in the late 1980s. Commercial releases All 16 episodes were at one time available in a VHS boxed set. The first DVD release was limited to the five feature-length edited versions. In September/October 2008, the full series was released on DVD by VCI Entertainment. Aside from the digitally remastered episodes, a "presentation reel" created for potential broadcasters is also included. Hosted by Dullea
limestone, that had later been expanded into a CIA-financed complex built for the Afghan mujahideen. Tora Bora was known to be a stronghold location of the Afghan mujahideen, used by military forces against the Soviet Union during the 1980s. Geology The geology of Tora Bora is predominantly metamorphic gneiss and schist. History Military base In October - November 1980, during Operation "Shkval", this complex was taken by the "Kaskad" special forces unit of the USSR KGB, together with the 66th motorized rifle brigade of the 40th Army of the Soviet troops in Afghanistan. As Colonel Valentin Gerasimenko wrote about the first assault, “By that time, Tora Bora was still a little-known, but already covered with a veil of mystery, the base of the Dushmans. Only later will it surpass the Panjshir Valley in its glory and fame, in the number of assaults and destruction ”. June 18–19, 1981 - in the province of Nangarhar, 85 km south of Jalalabad, in the area of the Afghan-Pakistani border, units of the Soviet 66th motorized rifle brigade and part of the Afghan 11th Jalalabad infantry division take the fortified area of the Mujahideen Tora Bora. July 22–29, 1983 - operation in Tora-Bora of the 66th motorized rifle brigade. The base at Tora Bora was developed as a CIA-financed complex built for the Mujahideen following the 1979 Soviet invasion of Afghanistan, and has been described by the western media as an "impregnable cave fortress" housing 2,000 men complete with a hospital, a hydroelectric power plant, offices, a hotel, arms and ammunition stores, roads large enough to drive a tank into, and sophisticated tunnel, and ventilation systems. During the U.S. invasion of Afghanistan, the cave complex was one of the strongholds of the Taliban and Al-Qaeda, according to United States Secretary of Defense Donald Rumsfeld. It was the location of the December 2001 Battle of Tora Bora, and suspected
District of Nangarhar, approximately west of the Khyber Pass and north of the border of the Khyber Pakhtunkhwa province in Pakistan. Tora Bora and the surrounding Spin Ghar range had natural caverns formed by streams eating into the limestone, that had later been expanded into a CIA-financed complex built for the Afghan mujahideen. Tora Bora was known to be a stronghold location of the Afghan mujahideen, used by military forces against the Soviet Union during the 1980s. Geology The geology of Tora Bora is predominantly metamorphic gneiss and schist. History Military base In October - November 1980, during Operation "Shkval", this complex was taken by the "Kaskad" special forces unit of the USSR KGB, together with the 66th motorized rifle brigade of the 40th Army of the Soviet troops in Afghanistan. As Colonel Valentin Gerasimenko wrote about the first assault, “By that time, Tora Bora was still a little-known, but already covered with a veil of mystery, the base of the Dushmans. Only later will it surpass the Panjshir Valley in its glory and fame, in the number of assaults and destruction ”. June 18–19, 1981 - in the province of Nangarhar, 85 km south of Jalalabad, in the area of the Afghan-Pakistani border, units of the Soviet 66th motorized rifle brigade and part of the Afghan 11th Jalalabad infantry division take the fortified area of the Mujahideen Tora Bora. July 22–29, 1983 - operation in Tora-Bora of the 66th motorized rifle brigade. The base at Tora Bora was developed as a CIA-financed complex built for the Mujahideen following the 1979 Soviet invasion of Afghanistan, and has been described by the western media as an "impregnable cave fortress" housing 2,000 men complete with a hospital, a hydroelectric power plant, offices, a hotel, arms and ammunition stores, roads large enough to drive a tank into, and sophisticated tunnel, and
snake, common European adder, blue-spotted salamander, northern two-lined salamander, Siberian salamander, wood frog, northern leopard frog, boreal chorus frog, American toad, and Canadian toad. Most hibernate underground in winter. Fish of the taiga must be able to withstand cold water conditions and be able to adapt to life under ice-covered water. Species in the taiga include Alaska blackfish, northern pike, walleye, longnose sucker, white sucker, various species of cisco, lake whitefish, round whitefish, pygmy whitefish, Arctic lamprey, various grayling species, brook trout (including sea-run brook trout in the Hudson Bay area), chum salmon, Siberian taimen, lenok and lake chub. The taiga is home to a number of large herbivorous mammals, such as moose and reindeer/caribou. Some areas of the more southern closed boreal forest also have populations of other deer species such as the elk (wapiti) and roe deer. The largest animal in the taiga is the wood bison, found in northern Canada, Alaska and has been newly introduced into the Russian far-east. Small mammals of the Taiga biome include rodent species including beaver, squirrel, North American porcupine and vole, as well as a small number of lagomorph species such as snowshoe hare and mountain hare. These species have adapted to survive the harsh winters in their native ranges. Some larger mammals, such as bears, eat heartily during the summer in order to gain weight, and then go into hibernation during the winter. Other animals have adapted layers of fur or feathers to insulate them from the cold. Predatory mammals of the taiga must be adapted to travel long distances in search of scattered prey or be able to supplement their diet with vegetation or other forms of food (such as raccoons). Mammalian predators of the taiga include Canada lynx, Eurasian lynx, stoat, Siberian weasel, least weasel, sable, American marten, North American river otter, European otter, American mink, wolverine, Asian badger, fisher, gray wolf, coyote, red fox, brown bear, American black bear, Asiatic black bear, polar bear (only small areas at the taiga – tundra ecotone) and Siberian tiger. More than 300 species of birds have their nesting grounds in the taiga. Siberian thrush, white-throated sparrow, and black-throated green warbler migrate to this habitat to take advantage of the long summer days and abundance of insects found around the numerous bogs and lakes. Of the 300 species of birds that summer in the taiga only 30 stay for the winter. These are either carrion-feeding or large raptors that can take live mammal prey, including golden eagle, rough-legged buzzard (also known as the rough-legged hawk), and raven, or else seed-eating birds, including several species of grouse and crossbills. Fire Fire has been one of the most important factors shaping the composition and development of boreal forest stands; it is the dominant stand-renewing disturbance through much of the Canadian boreal forest. The fire history that characterizes an ecosystem is its fire regime, which has 3 elements: (1) fire type and intensity (e.g., crown fires, severe surface fires, and light surface fires), (2) size of typical fires of significance, and (3) frequency or return intervals for specific land units. The average time within a fire regime to burn an area equivalent to the total area of an ecosystem is its fire rotation (Heinselman 1973) or fire cycle (Van Wagner 1978). However, as Heinselman (1981) noted, each physiographic site tends to have its own return interval, so that some areas are skipped for long periods, while others might burn two-times or more often during a nominal fire rotation. The dominant fire regime in the boreal forest is high-intensity crown fires or severe surface fires of very large size, often more than 10,000 ha (100 km2), and sometimes more than 400,000 ha (4000 km2). Such fires kill entire stands. Fire rotations in the drier regions of western Canada and Alaska average 50–100 years, shorter than in the moister climates of eastern Canada, where they may average 200 years or more. Fire cycles also tend to be long near the tree line in the subarctic spruce-lichen woodlands. The longest cycles, possibly 300 years, probably occur in the western boreal in floodplain white spruce. Amiro et al. (2001) calculated the mean fire cycle for the period 1980 to 1999 in the Canadian boreal forest (including taiga) at 126 years. Increased fire activity has been predicted for western Canada, but parts of eastern Canada may experience less fire in future because of greater precipitation in a warmer climate. The mature boreal forest pattern in the south shows balsam fir dominant on well-drained sites in eastern Canada changing centrally and westward to a prominence of white spruce, with black spruce and tamarack forming the forests on peats, and with jack pine usually present on dry sites except in the extreme east, where it is absent. The effects of fires are inextricably woven into the patterns of vegetation on the landscape, which in the east favour black spruce, paper birch, and jack pine over balsam fir, and in the west give the advantage to aspen, jack pine, black spruce, and birch over white spruce. Many investigators have reported the ubiquity of charcoal under the forest floor and in the upper soil profile. Charcoal in soils provided Bryson et al. (1965) with clues about the forest history of an area 280 km north of the then-current tree line at Ennadai Lake, District Keewatin, Northwest Territories. Two lines of evidence support the thesis that fire has always been an integral factor in the boreal forest: (1) direct, eye-witness accounts and forest-fire statistics, and (2) indirect, circumstantial evidence based on the effects of fire, as well as on persisting indicators. The patchwork mosaic of forest stands in the boreal forest, typically with abrupt, irregular boundaries circumscribing homogenous stands, is indirect but compelling testimony to the role of fire in shaping the forest. The fact is that most boreal forest stands are less than 100 years old, and only in the rather few areas that have escaped burning are there stands of white spruce older than 250 years. The prevalence of fire-adaptive morphologic and reproductive characteristics of many boreal plant species is further evidence pointing to a long and intimate association with fire. Seven of the ten most common trees in the boreal forest—jack pine, lodgepole pine, aspen, balsam poplar (Populus balsamifera), paper birch, tamarack, black spruce – can be classed as pioneers in their adaptations for rapid invasion of open areas. White spruce shows some pioneering abilities, too, but is less able than black spruce and the pines to disperse seed at all seasons. Only balsam fir and alpine fir seem to be poorly adapted to reproduce after fire, as their cones disintegrate at maturity, leaving no seed in the crowns. The oldest forests in the northwest boreal region, some older than 300 years, are of white spruce occurring as pure stands on moist floodplains. Here, the frequency of fire is much less than on adjacent uplands dominated by pine, black spruce and aspen. In contrast, in the Cordilleran region, fire is most frequent in the valley bottoms, decreasing upward, as shown by a mosaic of young pioneer pine and broadleaf stands below, and older spruce–fir on the slopes above. Without fire, the boreal forest would become more and more homogeneous, with the long-lived white spruce gradually replacing pine, aspen, balsam poplar, and birch, and perhaps even black spruce, except on the peatlands. Threats Human activities Some of the larger cities situated in this biome are Murmansk, Arkhangelsk, Yakutsk, Anchorage, Yellowknife, Tromsø, Luleå, and Oulu. Large areas of Siberia's taiga have been harvested for lumber since the collapse of the Soviet Union. Previously, the forest was protected by the restrictions of the Soviet Forest Ministry, but with the collapse of the Union, the restrictions regarding trade with Western nations have vanished. Trees are easy to harvest and sell well, so loggers have begun harvesting Russian taiga evergreen trees for sale to nations previously forbidden by Soviet law. In Canada, only eight percent of the taiga is protected from development, and the provincial governments allows clearcutting to occur on Crown land, which destroys the forest in large blocks. The blocks are replanted with monocrop seedlings in the following season, but the trees do not grow back for many years, and the forest ecosystem is radically changed for 100s of years. Products from logged boreal forests include toilet paper, copy paper, newsprint, and lumber. More than 90% of boreal forest products from Canada are exported for consumption and processing in the United States. Most companies that harvest in Canadian forests use some certification by agencies such as the Forest Stewardship Council (FSC), Sustainable Forests Initiative (SFI), or the Canadian Standards Association (CSA), in their marketing. While the certification process differs between these groups, all of them include some mention of undefined "forest stewardship", "respect for aboriginal peoples", and compliance with local, provincial or national environmental laws, forest worker safety, education and training, and other issues. The certification is largely about tracking, to ensure traceability, and does not de-certify lumber obtained from clearcuts, or taken without the consent of aboriginal peoples. Climate change During the last quarter of the twentieth century, the zone of latitude occupied by the boreal forest experienced some of the greatest temperature increases on Earth. Winter temperatures have increased more than summer temperatures. In summer, the daily low temperature has increased more than the daily high temperature. The number of days with extremely cold temperatures (e.g., −20 to −40 °C (−4 to −40 °F) has decreased irregularly but systematically in nearly all the boreal region, allowing better survival for tree-damaging insects. In Fairbanks, Alaska, the length of the frost-free season has increased from 60 to 90 days in the early twentieth century to about 120 days a century later. Summer warming has been shown to increase water stress and reduce tree growth in dry areas of the southern boreal forest in central Alaska, western Canada and portions of far eastern Russia. Precipitation is relatively abundant in Scandinavia, Finland, northwest Russia and eastern Canada, where a longer growth season (i.e. the period when sap flow is not impeded by frozen water) accelerate tree growth. As a consequence of this warming trend, the warmer parts of the boreal forests are susceptible to replacement by grassland, parkland or temperate forest. In Siberia, the taiga is converting from predominantly needle-shedding larch trees to evergreen conifers in response to a warming climate. This is likely to further accelerate warming, as the evergreen trees will absorb more of the sun's rays. Given the vast size of the area, such a change has the potential to affect areas well outside of the region. In much of the boreal forest in Alaska, the growth of white spruce trees are stunted by unusually warm summers, while trees on some of the coldest fringes of the forest are experiencing faster growth than previously. Lack of moisture in the warmer summers are also stressing the birch trees of central Alaska. Insects Recent years have seen outbreaks of insect pests in forest-destroying plagues: the spruce-bark beetle (Dendroctonus rufipennis) in Yukon and Alaska; the mountain pine beetle in British Columbia; the aspen-leaf miner; the larch sawfly; the spruce budworm (Choristoneura fumiferana); the spruce coneworm. Pollution The effect of sulphur dioxide on woody boreal forest species was investigated by Addison et al. (1984), who exposed plants growing on native soils and tailings to 15.2 μmol/m3 (0.34 ppm) of SO2 on CO2 assimilation rate (NAR). The Canadian maximum acceptable limit for atmospheric SO2 is 0.34 ppm. Fumigation with SO2 significantly reduced NAR in all species and produced visible symptoms of injury in 2–20 days. The decrease in NAR of deciduous species (trembling aspen [Populus tremuloides], willow [Salix], green alder [Alnus viridis], and white birch [Betula papyrifera]) was significantly more rapid than of conifers (white spruce, black spruce [Picea mariana], and jack pine [Pinus banksiana]) or an evergreen angiosperm (Labrador tea) growing on a fertilized Brunisol. These metabolic and visible injury responses seemed to be related to the differences in S uptake owing in part to higher gas exchange rates for deciduous species than for conifers. Conifers growing in oil sands tailings responded to SO2 with a significantly more rapid decrease in NAR compared with those growing in the Brunisol, perhaps because of predisposing toxic material in the tailings. However, sulphur uptake and visible symptom development did not differ between conifers growing on the 2 substrates. Acidification of precipitation by anthropogenic, acid-forming emissions has been associated with damage to vegetation and reduced forest productivity, but 2-year-old white spruce that were subjected to simulated acid rain (at pH 4.6, 3.6, and 2.6) applied weekly for 7 weeks incurred no statistically significant (P 0.05) reduction in growth during the experiment compared with the background control (pH 5.6) (Abouguendia and Baschak 1987). However, symptoms of injury were observed in all treatments, the number of plants and the number of needles affected increased with increasing rain acidity and with time. Scherbatskoy and Klein (1983) found no significant effect of chlorophyll concentration in white spruce at pH 4.3 and 2.8, but Abouguendia and Baschak (1987) found a significant reduction in white spruce at pH 2.6, while the foliar sulphur content significantly greater at pH 2.6 than any of the other treatments. Protection The taiga stores enormous quantities of carbon, more than the world's temperate and tropical forests combined, much of it in wetlands and peatland. In fact, current estimates place boreal forests as storing twice as much carbon per unit area as tropical forests. Some nations are discussing protecting areas of the taiga by prohibiting logging, mining, oil and gas production, and other forms of
of the growing season and summer temperatures vary across the world. The taiga of North America is mostly spruce, Scandinavian and Finnish taiga consists of a mix of spruce, pines and birch, Russian taiga has spruces, pines and larches depending on the region, while the Eastern Siberian taiga is a vast larch forest. Taiga in its current form is a relatively recent phenomenon, having only existed for the last 12,000 years since the beginning of the Holocene epoch, covering land that had been mammoth steppe or under the Scandinavian Ice Sheet in Eurasia and under the Laurentide Ice Sheet in North America during the Late Pleistocene. Although at high elevations taiga grades into alpine tundra through Krummholz, it is not exclusively an alpine biome, and unlike subalpine forest, much of taiga is lowlands. The term "taiga" is not used consistently by all cultures. In the English language, "boreal forest" is used in the United States and Canada in referring to more southerly regions, while "taiga" is used to describe the more northern, barren areas approaching the tree line and the tundra. Hoffman (1958) discusses the origin of this differential use in North America and how this differentiation distorts established Russian usage. Climate change is a threat to taiga, and how the carbon dioxide absorbed should be treated by carbon accounting is controversial. Climate and geography Taiga covers or 11.5% of the Earth's land area, second only to deserts and xeric shrublands. The largest areas are located in Russia and Canada. In Sweden taiga is associated with the Norrland terrain. Temperature After the tundra and permanent ice caps, taiga is the terrestrial biome with the lowest annual average temperatures, with mean annual temperature generally varying from . Extreme winter minimums in the northern taiga are typically lower than those of the tundra. There are taiga areas of eastern Siberia and interior Alaska-Yukon where the mean annual reaches down to , and the lowest reliably recorded temperatures in the Northern Hemisphere were recorded in the taiga of northeastern Russia. Taiga has a subarctic climate with very large temperature range between seasons. would be a typical winter day temperature and an average summer day, but the long, cold winter is the dominant feature. This climate is classified as Dfc, Dwc, Dsc, Dfd and Dwd in the Köppen climate classification scheme, meaning that the short summers (24 h average or more), although generally warm and humid, only last 1–4 months, while winters, with average temperatures below freezing, last 5–7 months. In Siberian taiga the average temperature of the coldest month is between and . There are also some much smaller areas grading towards the oceanic Cfc climate with milder winters, whilst the extreme south and (in Eurasia) west of the taiga reaches into humid continental climates (Dfb, Dwb) with longer summers. According to some sources, the boreal forest grades into a temperate mixed forest when mean annual temperature reaches about . Discontinuous permafrost is found in areas with mean annual temperature below freezing, whilst in the Dfd and Dwd climate zones continuous permafrost occurs and restricts growth to very shallow-rooted trees like Siberian larch. Growing season The growing season, when the vegetation in the taiga comes alive, is usually slightly longer than the climatic definition of summer as the plants of the boreal biome have a lower temperature threshold to trigger growth than other plants. Some sources claim 130 days growing season as typical for the taiga. In Canada and Scandinavia, the growing season is often estimated by using the period of the year when the 24-hour average temperature is or more. For the Taiga Plains in Canada, growing season varies from 80 to 150 days, and in the Taiga Shield from 100 to 140 days. Other sources define growing season by frost-free days. Data for locations in southwest Yukon gives 80–120 frost-free days. The closed canopy boreal forest in Kenozersky National Park near Plesetsk, Arkhangelsk Province, Russia, on average has 108 frost-free days. The longest growing season is found in the smaller areas with oceanic influences; in coastal areas of Scandinavia and Finland, the growing season of the closed boreal forest can be 145–180 days. The shortest growing season is found at the northern taiga–tundra ecotone, where the northern taiga forest no longer can grow and the tundra dominates the landscape when the growing season is down to 50–70 days, and the 24-hr average of the warmest month of the year usually is or less. High latitudes mean that the sun does not rise far above the horizon, and less solar energy is received than further south. But the high latitude also ensures very long summer days, as the sun stays above the horizon nearly 20 hours each day, or up to 24 hours, with only around 6 hours of daylight, or none, occurring in the dark winters, depending on latitude. The areas of the taiga inside the Arctic Circle have midnight sun in mid-summer and polar night in mid-winter. Precipitation The taiga experiences relatively low precipitation throughout the year (generally annually, in some areas), primarily as rain during the summer months, but also as snow or fog. Snow may remain on the ground for as long as nine months in the northernmost extensions of the taiga biome. The fog, especially predominant in low-lying areas during and after the thawing of frozen Arctic seas, stops sunshine from getting through to plants even during the long summer days. As evaporation is consequently low for most of the year, annual precipitation exceeds evaporation, and is sufficient to sustain the dense vegetation growth including large trees. This explains the striking difference in biomass per square metre between the Taiga and the Steppe biomes, (in warmer climates), where evapotranspiration exceeds precipitation, restricting vegetation to mostly grasses. In general, taiga grows to the south of the July isotherm, occasionally as far north as the July isotherm, with the southern limit more variable. Depending on rainfall, and taiga may be replaced by forest steppe south of the July isotherm where rainfall is very low, but more typically extends south to the July isotherm, and locally where rainfall is higher (notably in eastern Siberia and adjacent Outer Manchuria) south to the July isotherm. In these warmer areas the taiga has higher species diversity, with more warmth-loving species such as Korean pine, Jezo spruce, and Manchurian fir, and merges gradually into mixed temperate forest or, more locally (on the Pacific Ocean coasts of North America and Asia), into coniferous temperate rainforests where oak and hornbeam appear and join the conifers, birch and Populus tremula. Glaciation The area currently classified as taiga in Europe and North America (except Alaska) was recently glaciated. As the glaciers receded they left depressions in the topography that have since filled with water, creating lakes and bogs (especially muskeg soil) found throughout the taiga. Soils Taiga soil tends to be young and poor in nutrients, lacking the deep, organically enriched profile present in temperate deciduous forests. The colder climate hinders development of soil, and the ease with which plants can use its nutrients. The relative lack of deciduous trees, which drop huge volumes of leaves annually, and grazing animals, which contribute significant manure, are also factors. The diversity of soil organisms in the boreal forest is high, comparable to the tropical rainforest. Fallen leaves and moss can remain on the forest floor for a long time in the cool, moist climate, which limits their organic contribution to the soil. Acids from evergreen needles further leach the soil, creating spodosol, also known as podzol, and the acidic forest floor often has only lichens and some mosses growing on it. In clearings in the forest and in areas with more boreal deciduous trees, there are more herbs and berries growing, and soils are consequently deeper. Flora Since North America and Asia used to be connected by the Bering land bridge, a number of animal and plant species (more animals than plants) were able to colonize both continents and are distributed throughout the taiga biome (see Circumboreal Region). Others differ regionally, typically with each genus having several distinct species, each occupying different regions of the taiga. Taigas also have some small-leaved deciduous trees like birch, alder, willow, and poplar; mostly in areas escaping the most extreme winter cold. However, the Dahurian larch tolerates the coldest winters in the Northern Hemisphere in eastern Siberia. The very southernmost parts of the taiga may have trees such as oak, maple, elm and lime scattered among the conifers, and there is usually a gradual transition into a temperate mixed forest, such as the eastern forest-boreal transition of eastern Canada. In the interior of the continents with the driest climate, the boreal forests might grade into temperate grassland. There are two major types of taiga. The southern part is the closed canopy forest, consisting of many closely spaced trees with mossy ground cover. In clearings in the forest, shrubs and wildflowers are common, such as the fireweed. The other type is the lichen woodland or sparse taiga, with trees that are farther-spaced and lichen ground cover; the latter is common in the northernmost taiga. In the northernmost taiga the forest cover is not only more sparse, but often stunted in growth form; moreover, ice pruned asymmetric black spruce (in North America) are often seen, with diminished foliage on the windward side. In Canada, Scandinavia and Finland, the boreal forest is usually divided into three subzones: The high boreal (north boreal) or taiga zone; the middle boreal (closed forest); and the southern boreal, a closed canopy boreal forest with some scattered temperate deciduous trees among the conifers, such as maple, elm and oak. This southern boreal forest experiences the longest and warmest growing season of the biome, and in some regions (including Scandinavia, Finland and western Russia) this subzone is commonly used for agricultural purposes. The boreal forest is home to many types of berries; some are confined to the southern and middle closed boreal forest (such as wild strawberry and partridgeberry); others grow in most areas of the taiga (such as cranberry and cloudberry), and some can grow in both the taiga and the low arctic (southern part of) tundra (such as bilberry, bunchberry and lingonberry). The forests of the taiga are largely coniferous, dominated by larch, spruce, fir and pine. The woodland mix varies according to geography and climate so for example the Eastern Canadian forests ecoregion of the higher elevations of the Laurentian Mountains and the northern Appalachian Mountains in Canada is dominated by balsam fir Abies balsamea, while further north the Eastern Canadian Shield taiga of northern Quebec and Labrador is notably black spruce Picea mariana and tamarack larch Larix laricina. Evergreen species in the taiga (spruce, fir, and pine) have a number of adaptations specifically for survival in harsh taiga winters, although larch, which is extremely cold-tolerant, is deciduous. Taiga trees tend to have shallow roots to take advantage of the thin soils, while many of them seasonally alter their biochemistry to make them more resistant to freezing, called "hardening". The narrow conical shape of northern conifers, and their downward-drooping limbs, also help them shed snow. Because the sun is low in the horizon for most of the year, it is difficult for plants to generate energy from photosynthesis. Pine, spruce and fir do not lose their leaves seasonally and are able to photosynthesize with their older leaves in late winter and spring when light is good but temperatures are still too low for new growth to commence. The adaptation of evergreen needles limits the water lost due to transpiration and their dark green color increases their absorption of sunlight. Although precipitation is not a limiting factor, the ground freezes during the winter months and plant roots are unable to absorb water, so desiccation can be a severe problem in late winter for evergreens. Although the taiga is dominated by coniferous forests, some broadleaf trees also occur, notably birch, aspen, willow, and rowan. Many smaller herbaceous plants, such as ferns and occasionally ramps grow closer to the ground. Periodic stand-replacing wildfires (with return times of between 20 and 200 years) clear out the tree canopies, allowing sunlight to invigorate new growth on the forest floor. For some species, wildfires are a necessary part of the life cycle in the taiga; some, e.g. jack pine have cones which only open to release their seed after a fire, dispersing their seeds onto the newly cleared ground; certain species of fungi (such as morels) are also known to do this. Grasses grow wherever they can find a patch of sun, and mosses and lichens thrive on the damp ground and
Union. In contrast to other German submarine types, few Type IIs were lost. This reflects their use as training boats, although accidents accounted for several vessels. These boats were a first step towards re-armament, intended to provide Germany with experience in submarine construction and operation and lay the foundation for larger boats to build upon. Only one of these submarines survive; the prototype CV-707, renamed Vesikko by the Finnish Navy which later bought it. On 3 February 2008, The Telegraph reported that U-20 had been discovered by Selçuk Kolay (a Turkish marine engineer) in of water off the coast of the Turkish city of Zonguldak. According to the report, Kolay knows where U-23 and U-19 are, scuttled in deeper water near U-20. Comparison of Finnish Crichton-Vulcan CV-707(U2A) to German Type II Type IIA The Type IIA was a single hull, all welded boat with internal ballast tanks. Compared to the other variants, it had a smaller bridge and could carry the German G7a, G7e torpedoes as well as TM-type torpedo mines. There were separated net cutters in the bow. The net cutters were adopted from World War I boats but were quickly discontinued during World War II. Deutsche Werke AG of Kiel built six Type IIAs in 1934 and 1935. List of Type IIA submarines The prototype, built in Finland: Finnish submarine Vesikko Type IIB The Type IIB was a lengthened version of the Type IIA. Three additional compartments were inserted amidships which were fitted with additional diesel tanks beneath the control room. The range was increased to 1,800 nautical miles at 12 knots. Diving time was also improved to 30 seconds. Deutsche Werke AG of Kiel built four Type IIBs in
Vesikko Type IIB The Type IIB was a lengthened version of the Type IIA. Three additional compartments were inserted amidships which were fitted with additional diesel tanks beneath the control room. The range was increased to 1,800 nautical miles at 12 knots. Diving time was also improved to 30 seconds. Deutsche Werke AG of Kiel built four Type IIBs in 1935 and 1936; Germaniawerft of Kiel built fourteen in 1935 and 1936; and Flender Werke AG of Lübeck built two between 1938 and 1940. In total, twenty were built. List of Type IIB submarines There were 20 Type IIB submarines commissioned. Type IIC The Type IIC was a further lengthened version of the Type IIB with an additional two compartments inserted amidships to accommodate improved radio room facilities. The additional diesel tanks beneath the control room were further enlarged, extending the range to 1,900 nautical miles at 12 knots. Deutsche Werke AG of Kiel built eight Type IICs between 1937 and 1940. List of Type IIC submarines There were eight Type IIC submarines commissioned. Type IID The Type IID had additional saddle tanks fitted to the sides of the external hull. These saddle tanks were used to accommodate additional diesel storage tanks. The diesel oil would float atop the saddle tanks. As oil was consumed, water would gradually fill the tanks to compensate for the positive buoyancy. The range was nearly doubled to at and enabled the Type II to conduct longer operations around the British Isles. A further development was the propellers were fitted with Kort nozzles, intended to improve propulsion efficiency. Deutsche Werke AG of Kiel built sixteen Type IIDs in 1939 and 1940. List of Type IID submarines There were 16 Type IID submarines commissioned. Ships in class See list of German Type II submarines for individual ship details. See also List of naval ship classes of Germany List
as the device detonates. In the extreme heat and pressure of the explosion, some of the tritium is then forced into fusion with deuterium, and that reaction releases even more neutrons. Since this fusion process requires an extremely high temperature for ignition, and it produces fewer and less energetic neutrons (only fission, deuterium-tritium fusion, and splitting are net neutron producers), lithium deuteride is not used in boosted bombs, but rather for multi-stage hydrogen bombs. Controlled nuclear fusion Tritium is an important fuel for controlled nuclear fusion in both magnetic confinement and inertial confinement fusion reactor designs. The experimental fusion reactor ITER and the National Ignition Facility (NIF) will use deuterium-tritium fuel. The deuterium-tritium reaction is favorable since it has the largest fusion cross section (about 5.0 barns) and it reaches this maximum cross section at the lowest energy (about 65 keV center-of-mass) of any potential fusion fuel. The Tritium Systems Test Assembly (TSTA) was a facility at the Los Alamos National Laboratory dedicated to the development and demonstration of technologies required for fusion-relevant deuterium-tritium processing. Analytical chemistry Tritium is sometimes used as a radiolabel. It has the advantage that almost all organic chemicals contain hydrogen, making it easy to find a place to put tritium on the molecule under investigation. It has the disadvantage of producing a comparatively weak signal. Electrical power source Tritium can be used in a betavoltaic device to create an atomic battery to generate electricity. Use as an oceanic transient tracer Aside from chlorofluorocarbons, tritium can act as a transient tracer and has the ability to "outline" the biological, chemical, and physical paths throughout the world oceans because of its evolving distribution. Tritium has thus been used as a tool to examine ocean circulation and ventilation and, for such purposes, is usually measured in Tritium Units where 1 TU is defined as the ratio of 1 tritium atom to 1018 hydrogen atoms, approximately equal to 0.118 Bq/liter. As noted earlier, nuclear weapons testing, primarily in the high-latitude regions of the Northern Hemisphere, throughout the late 1950s and early 1960s introduced large amounts of tritium into the atmosphere, especially the stratosphere. Before these nuclear tests, there were only about 3 to 4 kilograms of tritium on the Earth's surface; but these amounts rose by 2 or 3 orders of magnitude during the post-test period. Some sources reported natural background levels were exceeded by approximately 1,000 TU in 1963 and 1964 and the isotope is used in the northern hemisphere to estimate the age of groundwater and construct hydrogeologic simulation models. Recent scientific sources have estimated atmospheric levels at the height of weapons testing to approach 1,000 TU and pre-fallout levels of rainwater to be between 5 and 10 TU. In 1963 Valentia Island Ireland recorded 2,000 TU in precipitation. North Atlantic Ocean While in the stratosphere (post-test period), the tritium interacted with and oxidized to water molecules and was present in much of the rapidly produced rainfall, making tritium a prognostic tool for studying the evolution and structure of the hydrologic cycle as well as the ventilation and formation of water masses in the North Atlantic Ocean. Bomb-tritium data were used from the Transient Tracers in the Ocean (TTO) program in order to quantify the replenishment and overturning rates for deep water located in the North Atlantic. Bomb-tritium also enters the deep ocean around the Antarctic. Most of the bomb tritiated water (HTO) throughout the atmosphere can enter the ocean through the following processes: (a) precipitation (b) vapor exchange (c) river runoff These processes make HTO a great tracer for time-scales of up to a few decades. Using the data from these processes for 1981, the 1 TU isosurface lies between 500 and 1,000 meters deep in the subtropical regions and then extends to 1,500–2,000 meters south of the Gulf Stream due to recirculation and ventilation in the upper portion of the Atlantic Ocean. To the north, the isosurface deepens and reaches the floor of the abyssal plain which is directly related to the ventilation of the ocean floor over 10–20 year time-scales. Also evident in the Atlantic Ocean is the tritium profile near Bermuda between the late 1960s and late 1980s. There is a downward propagation of the tritium maximum from the surface (1960s) to 400 meters (1980s), which corresponds to a deepening rate of approximately 18 meters per year. There are also tritium increases at 1,500 meters depth in the late 1970s and 2,500 meters in the middle of the 1980s, both of which correspond to cooling events in the deep water and associated deep water ventilation. From a study in 1991, the tritium profile was used as a tool for studying the mixing and spreading of newly formed North Atlantic Deep Water (NADW), corresponding to tritium increases to 4 TU. This NADW tends to spill over sills that divide the Norwegian Sea from the North Atlantic Ocean and then flows to the west and equatorward in deep boundary currents. This process was explained via the large-scale tritium distribution in the deep North Atlantic between 1981 and 1983. The sub-polar gyre tends to be freshened (ventilated) by the NADW and is directly related to the high tritium values (> 1.5 TU). Also evident was the decrease in tritium in the deep western boundary current by a factor of 10 from the Labrador Sea to the Tropics, which is indicative of loss to ocean interior due to turbulent mixing and recirculation. Pacific and Indian oceans In a 1998 study, tritium concentrations in surface seawater and atmospheric water vapor (10 meters above the surface) were sampled at the following locations: the Sulu Sea, the Fremantle Bay, the Bay of Bengal, the Penang Bay, and the Strait of Malacca. Results indicated that the tritium concentration in surface seawater was highest at the Fremantle Bay (approximately 0.40 Bq/liter), which could be accredited to the mixing of runoff of freshwater from nearby lands due to large amounts found in coastal waters. Typically, lower concentrations were found between 35 and 45 degrees south latitude and near the equator. Results also indicated that (in general) tritium has decreased over the years (up to 1997) due to the physical decay of bomb tritium in the Indian Ocean. As for water vapor, the tritium concentration was approximately one order of magnitude greater than surface seawater concentrations (ranging from 0.46 to 1.15 Bq/liter). Therefore, the water vapor tritium is not affected by the surface seawater concentration; thus, the high tritium concentrations in the vapor were concluded to be a direct consequence of the downward movement of natural tritium from the stratosphere to the troposphere (therefore, the ocean air showed a dependence on latitudinal change). In the North Pacific Ocean, the tritium (introduced as bomb tritium in the Northern Hemisphere) spread in three dimensions. There were subsurface maxima in the middle and low latitude regions, which is indicative of lateral mixing (advection) and diffusion processes along lines of constant potential density (isopycnals) in the upper ocean. Some of these maxima even correlate well with salinity extrema. In order to obtain the structure for ocean circulation, the tritium concentrations were mapped on 3 surfaces of constant potential density (23.90, 26.02, and 26.81). Results indicated that the tritium was well-mixed (at 6 to 7 TU) on the 26.81 isopycnal in the subarctic cyclonic gyre and there appeared to be a slow exchange of tritium (relative to shallower isopycnals) between this gyre and the anticyclonic gyre to the south; also, the tritium on the 23.90 and 26.02 surfaces appeared to be exchanged at a slower rate between the central gyre of the North Pacific and the equatorial regions. The depth penetration of bomb tritium can be separated into 3 distinct layers: Layer 1 Layer 1 is the shallowest layer and includes the deepest, ventilated layer in winter; it has received tritium via radioactive fallout and lost some due to advection and/or vertical diffusion and contains approximately 28% of the total amount of tritium. Layer 2 Layer 2 is below the first layer but above the 26.81 isopycnal and is no longer part of the mixed layer. Its 2 sources are diffusion downward from the mixed layer and lateral expansions outcropping strata (poleward); it contains about 58% of the total tritium. Layer 3 Layer 3 is representative of waters that are deeper than the outcrop isopycnal and can only receive tritium via vertical diffusion; it contains the remaining 14% of the total tritium. Mississippi River System Nuclear fallout from Cold War weapons testing settled in the United States throughout the Mississippi River System. Tritium concentrations can be used to understand the residence times of continental hydrologic systems (as opposed to the usual oceanic hydrologic systems) which include surface waters such as lakes, streams, and rivers. Studying these systems can also provide societies and municipals with information for agricultural purposes and overall river water quality. In a 2004 study, several rivers were taken into account during the examination of tritium concentrations (starting in the 1960s) throughout the Mississippi River Basin: Ohio River (largest input to the Mississippi River flow), Missouri River, and Arkansas River. The largest tritium concentrations were found in 1963 at all the sampled locations throughout these rivers and correlate well with the peak concentrations in precipitation due to the nuclear bomb tests in 1962. The overall highest concentrations occurred in the Missouri River (1963) and were greater than 1,200 TU while the lowest concentrations were found in the Arkansas River (never greater than 850 TU and less than 10 TU in the mid-1980s). Several processes can be identified using the tritium data from the rivers: direct runoff and outflow of water from groundwater reservoirs. Using these processes, it becomes possible
(roughly 3,000 μSv). Use Biological radiometric assays Tritium has been used for biological radiometric assays, in a process akin to radiocarbon dating. For example in one paper, [3H] retinyl acetate was traced through the body of Sprague-Dawley rats. Self-powered lighting The beta particles emitted by the radioactive decay of small amounts of tritium cause chemicals called phosphors to glow. This radioluminescence is used in self-powered lighting devices called betalights, which are used for night illumination of firearm sights, watches, exit signs, map lights, navigational compasses (such as current-use M-1950 U.S. military compasses), knives and a variety of other devices. , commercial demand for tritium is 400 grams per year and the cost is approximately US$30,000 per gram. Nuclear weapons Tritium is an important component in nuclear weapons. It is used to enhance the efficiency and yield of fission bombs and the fission stages of hydrogen bombs in a process known as "boosting" as well as in external neutron initiators for such weapons. Neutron initiator These are devices incorporated in nuclear weapons which produce a pulse of neutrons when the bomb is detonated to initiate the fission reaction in the fissionable core (pit) of the bomb, after it is compressed to a critical mass by explosives. Actuated by an ultrafast switch like a krytron, a small particle accelerator drives ions of tritium and deuterium to energies above the 15 keV or so needed for deuterium-tritium fusion and directs them into a metal target where the tritium and deuterium are adsorbed as hydrides. High-energy fusion neutrons from the resulting fusion radiate in all directions. Some of these strike plutonium or uranium nuclei in the primary's pit, initiating a nuclear chain reaction. The quantity of neutrons produced is large in absolute numbers, allowing the pit to quickly achieve neutron levels that would otherwise need many more generations of chain reaction, though still small compared to the total number of nuclei in the pit. Boosting Before detonation, a few grams of tritium-deuterium gas are injected into the hollow "pit" of fissile plutonium or uranium. The early stages of the fission chain reaction supply enough heat and compression to start deuterium-tritium fusion; then both fission and fusion proceed in parallel, the fission assisting the fusion by continuing heating and compression, and the fusion assisting the fission with highly energetic (14.1 MeV) neutrons. As the fission fuel depletes and also explodes outward, it falls below the density needed to stay critical by itself, but the fusion neutrons make the fission process progress faster and continue longer than it would without boosting. Increased yield comes overwhelmingly from the increase in fission. The energy released by the fusion itself is much smaller because the amount of fusion fuel is so much smaller. The effects of boosting include: increased yield (for the same amount of fission fuel, compared to detonation without boosting) the possibility of variable yield by varying the amount of fusion fuel allowing the bomb to require a smaller amount of the very expensive fissile material – and also eliminating the risk of predetonation by nearby nuclear explosions not so stringent requirements on the implosion setup, allowing for a smaller and lighter amount of high-explosives to be used The tritium in a warhead is continually undergoing radioactive decay, hence becoming unavailable for fusion. Furthermore, its decay product, helium-3, absorbs neutrons if exposed to the ones emitted by nuclear fission. This potentially offsets or reverses the intended effect of the tritium, which was to generate many free neutrons, if too much helium-3 has accumulated from the decay of tritium. Therefore, it is necessary to replenish tritium in boosted bombs periodically. The estimated quantity needed is 4 grams per warhead. To maintain constant levels of tritium, about 0.20 grams per warhead per year must be supplied to the bomb. One mole of deuterium-tritium gas would contain about 3.0 grams of tritium and 2.0 grams of deuterium. In comparison, the 20 moles of plutonium in a nuclear bomb consists of about 4.5 kilograms of plutonium-239. Tritium in hydrogen bomb secondaries Since tritium undergoes radioactive decay, and is also difficult to confine physically, the much larger secondary charge of heavy hydrogen isotopes needed in a true hydrogen bomb uses solid lithium deuteride as its source of deuterium and tritium, producing the tritium in situ during secondary ignition. During the detonation of the primary fission bomb stage in a thermonuclear weapon (Teller-Ullam staging), the sparkplug, a cylinder of 235U/239Pu at the center of the fusion stage(s), begins to fission in a chain reaction, from excess neutrons channeled from the primary. The neutrons released from the fission of the sparkplug split lithium-6 into tritium and helium-4, while lithium-7 is split into helium-4, tritium, and one neutron. As these reactions occur, the fusion stage is compressed by photons from the primary and fission of the 238U or 238U/235U jacket surrounding the fusion stage. Therefore, the fusion stage breeds its own tritium as the device detonates. In the extreme heat and pressure of the explosion, some of the tritium is then forced into fusion with deuterium, and that reaction releases even more neutrons. Since this fusion process requires an extremely high temperature for ignition, and it produces fewer and less energetic neutrons (only fission, deuterium-tritium fusion, and splitting are net neutron producers), lithium deuteride is not used in boosted bombs, but rather for multi-stage hydrogen bombs. Controlled nuclear fusion Tritium is an important fuel for controlled nuclear fusion in both magnetic confinement and inertial confinement fusion reactor designs. The experimental fusion reactor ITER and the National Ignition Facility (NIF) will use deuterium-tritium fuel. The deuterium-tritium reaction is favorable since it has the largest fusion cross section (about 5.0 barns) and it reaches this maximum cross section at the lowest energy (about 65 keV center-of-mass) of any potential fusion fuel. The Tritium Systems Test Assembly (TSTA) was a facility at the Los Alamos National Laboratory dedicated to the development and demonstration of technologies required for fusion-relevant deuterium-tritium processing. Analytical chemistry Tritium is sometimes used as a radiolabel. It has the advantage that almost all organic chemicals contain hydrogen, making it easy to find a place to put tritium on the molecule under investigation. It has the disadvantage of producing a comparatively weak signal. Electrical power source Tritium can be used in a betavoltaic device to create an atomic battery to generate electricity. Use as an oceanic transient tracer Aside from chlorofluorocarbons, tritium can act as a transient tracer and has the ability to "outline" the biological, chemical, and physical paths throughout the world oceans because of its evolving distribution. Tritium has thus been used as a tool to examine ocean circulation and ventilation and, for such purposes, is usually measured in Tritium Units where 1 TU is defined as the ratio of 1 tritium atom to 1018 hydrogen atoms, approximately equal to 0.118 Bq/liter. As noted earlier, nuclear weapons testing, primarily in the high-latitude regions of the Northern Hemisphere, throughout the late 1950s and early 1960s introduced large amounts of tritium into the atmosphere, especially the stratosphere. Before these nuclear tests, there were only about 3 to 4 kilograms of tritium on the Earth's surface; but these amounts rose by 2 or 3 orders of magnitude during the post-test period. Some sources reported natural background levels were exceeded by approximately 1,000 TU in 1963 and 1964 and the isotope is used in the northern hemisphere to estimate the age of groundwater and construct hydrogeologic simulation models. Recent scientific sources have estimated atmospheric levels at the height of weapons testing to approach 1,000 TU and pre-fallout levels of rainwater to be between 5 and 10 TU. In 1963 Valentia Island Ireland recorded 2,000 TU in precipitation. North Atlantic Ocean While in the stratosphere (post-test period), the tritium interacted with and oxidized to water molecules and was present in much of the rapidly produced rainfall, making tritium a prognostic tool for studying the evolution and structure of the hydrologic cycle as well as the ventilation and formation of water masses in the North Atlantic Ocean. Bomb-tritium data were used from the Transient Tracers in the Ocean (TTO) program in order to quantify the replenishment and overturning rates for deep water located in the North Atlantic. Bomb-tritium also enters the deep ocean around the Antarctic. Most of the bomb tritiated water (HTO) throughout the atmosphere can enter the ocean through the following processes: (a) precipitation (b) vapor exchange (c) river runoff These processes make HTO a great tracer for time-scales of up to a few decades. Using the data from these processes for 1981, the 1 TU isosurface lies between 500 and 1,000 meters deep in the subtropical regions and then extends to 1,500–2,000 meters south of the Gulf Stream due to recirculation and ventilation in the upper portion of the Atlantic Ocean. To the north, the isosurface deepens and reaches the floor of the abyssal plain which is directly related to the ventilation of the ocean floor over 10–20 year time-scales. Also evident in the Atlantic Ocean is the tritium profile near Bermuda between the late 1960s and late 1980s. There is a downward propagation of the tritium maximum from the surface (1960s) to 400 meters (1980s), which corresponds to a deepening rate of approximately 18 meters per year. There are also tritium increases at 1,500 meters depth in the late 1970s and 2,500 meters in the middle of the 1980s, both of which correspond to cooling events in the deep water and associated deep water ventilation. From a study in 1991, the tritium profile was used as a tool for studying the mixing and spreading of newly formed North Atlantic Deep Water (NADW), corresponding to tritium increases to 4 TU. This NADW tends to spill over sills that divide the Norwegian Sea from the North Atlantic Ocean and then flows to the west and equatorward in deep boundary currents. This process was explained via the large-scale tritium distribution in the deep North Atlantic between 1981 and 1983. The sub-polar gyre tends to be freshened (ventilated) by the NADW and is directly related to the high tritium values (> 1.5 TU). Also evident was the decrease in tritium in the deep western boundary current by a factor of 10 from the Labrador Sea to the Tropics, which is indicative of loss to ocean interior due to turbulent mixing and recirculation. Pacific and Indian oceans In a 1998 study, tritium concentrations in surface seawater and atmospheric water vapor (10 meters above the surface) were sampled at the following locations: the Sulu Sea, the Fremantle Bay, the Bay of Bengal, the Penang Bay, and the Strait of Malacca. Results indicated that the tritium concentration in surface seawater was highest at the Fremantle Bay (approximately 0.40 Bq/liter), which could be accredited to the mixing of runoff of freshwater from nearby lands due to large amounts found in coastal waters. Typically, lower concentrations were found between 35 and 45 degrees south latitude and near the equator. Results also indicated that (in general) tritium has decreased over the years (up to 1997) due to the physical decay of bomb tritium in the Indian Ocean. As for water vapor, the tritium concentration was approximately one order of magnitude greater than surface seawater concentrations (ranging from 0.46 to 1.15 Bq/liter). Therefore, the water vapor tritium is not affected by the surface seawater concentration; thus, the high tritium concentrations in the vapor were concluded to be a direct consequence of the downward movement of natural tritium from the stratosphere to the troposphere (therefore, the ocean air showed a dependence on latitudinal change). In the North Pacific Ocean, the tritium (introduced as bomb tritium in the Northern Hemisphere) spread in three dimensions. There were subsurface maxima in the middle and low latitude regions, which is indicative of lateral mixing (advection) and diffusion processes along lines of constant potential density (isopycnals) in the upper ocean. Some of these maxima even correlate well with salinity extrema. In order to obtain the structure for ocean circulation, the tritium concentrations were mapped on 3 surfaces of constant potential density (23.90, 26.02, and 26.81). Results indicated that the tritium was well-mixed (at 6 to 7 TU) on the 26.81 isopycnal in the subarctic cyclonic gyre and there appeared to be a slow exchange of tritium (relative to shallower isopycnals) between this gyre and the anticyclonic gyre to the south; also, the tritium on the 23.90 and 26.02 surfaces appeared to be exchanged at a slower rate between the central gyre of the North Pacific and the equatorial regions. The depth penetration of bomb tritium can be separated into 3 distinct layers: Layer 1 Layer 1 is the shallowest layer and includes the deepest, ventilated layer in winter; it has received tritium via radioactive fallout and lost some due to advection and/or vertical diffusion and contains approximately 28% of the total amount of tritium. Layer 2 Layer 2 is below the first layer but above the 26.81 isopycnal and is no longer part of the mixed layer. Its 2 sources are diffusion downward from the mixed layer and lateral expansions outcropping strata (poleward); it contains about 58% of the total tritium. Layer 3 Layer 3 is representative of waters that are deeper than the outcrop isopycnal and can only receive tritium via vertical diffusion; it contains the remaining 14% of the total tritium. Mississippi River System Nuclear fallout from Cold War weapons testing settled in the United States throughout the Mississippi River System. Tritium concentrations can be used to understand the
orbiting giant planets, so smaller, Earth-like planets in orbit around the star, like those discovered in 2012, were not precluded. If hot Jupiters were to exist in close orbit, they would likely disrupt the star's habitable zone; their exclusion was thus considered positive for the possibility of Earth-like planets. General research has shown a positive correlation between the presence of planets and a relatively high-metallicity parent star, suggesting that stars with lower metallicity such as Tau Ceti have a lower chance of having planets. On December 19, 2012, evidence was presented that suggested a system of five planets orbiting Tau Ceti. The planets' estimated minimal masses were between 2 and 6 Earth masses, with orbital periods ranging from 14 to 640 days. One of them, Tau Ceti e, appears to orbit about half as far from Tau Ceti as Earth does from the Sun. With Tau Ceti's luminosity of 52% that of the Sun and a distance from the star of 0.552 AU, the planet would receive 1.71 times as much stellar radiation as Earth does, slightly less than Venus with 1.91 times Earth's. Nevertheless, some research places it within the star's habitable zone. The Planetary Habitability Laboratory has estimated that Tau Ceti f, which receives 28.5% as much starlight as Earth, would be within the star's habitable zone, albeit narrowly. The discovery team refined their methodology, improved their radial-velocity measurements, and published their new results in August 2017. They confirmed Tau Ceti e and f as candidates but failed to consistently detect planets b (which may be a false negative), c (whose weakly defined apparent signal was correlated to stellar rotation), and d (which did not show up in all data sets). Instead, they found two new planetary candidates, g and h, with orbits of 20 and 49 days. The updated 4-planet model is dynamically packed and potentially stable for billions of years. However, with further refinements, even more candidate planets have been detected. In 2019, a paper published in Astronomy & Astrophysics suggested that Tau Ceti could have a Jupiter or super-Jupiter based on a tangential astrometric velocity of around 11.3 m/s. The exact size and position of this conjectured object have not been determined, though it is at most 5 Jupiter masses if it orbits between 3 and 20 AU. A 2020 Astronomical Journal study by astronomers Jeremy Dietrich and Daniel Apai analyzed the orbital stability of the known planets and, considering statistical patterns identified from hundreds of other planetary systems, explored the orbits in which the presence of additional, yet-undetected planets are most likely. This analysis predicted three planet candidates at orbits coinciding with planet candidates b, c, and d. The close match between the independently predicted planet periods and the periods of the three planet candidates previously identified in radial velocity data strongly supports the genuine planet nature of candidates b, c, and d. Furthermore, the study also predicts at least one yet-undetected planet between planets e and f, i.e., within the habitable zone. This predicted exoplanet is identified as PxP-4. The signals detected from the candidate planets have radial velocities as low as 30 cm/s, and the experimental method used in their detection, as it was applied to HARPS, could in theory have detected down to around 20 cm/s. If Tau Ceti is aligned in such a way that it is nearly pole-on to Earth (as its rotation could indicate), its planets would be less similar to Earth's mass and more to Neptune, Saturn, or Jupiter. For example, were Tau Ceti f's orbit inclined 70 degrees from being face-on to Earth, its mass would be Earth masses, making it a middle-to-low end super-Earth. However, these scenarios aren't necessarily true; since Tau Ceti's debris disk has an inclination of , the planets' orbits could be similarly inclined. If the debris disk and f's orbits were assumed to be equal, f would be between and Earth masses, making it slightly more likely to be a mini-Neptune. Tau Ceti e Tau Ceti e is a confirmed planet orbiting Tau Ceti that was detected by statistical analyses of the data of the star's variations in radial velocity that were obtained using HIRES, AAPS, and HARPS. Its possible properties were refined in 2017: it orbits at a distance of 0.552 AU (between the orbits of Venus and Mercury in the Solar System) with an orbital period of 168 days and has a minimum mass of 3.93 Earth masses. If Tau Ceti e possessed an Earth-like atmosphere, the surface temperature would be around . Based upon the incident flux upon the planet, a study by Güdel et al. (2014) speculated that the planet may lie outside the habitable zone and closer to a Venus-like world. Tau Ceti f Tau Ceti f is a confirmed super-Earth orbiting Tau Ceti that was discovered in 2012 by statistical analyses of the star's variations in radial velocity, based on data obtained using HIRES, AAPS, and HARPS. It is of interest because its orbit places it in Tau Ceti's extended habitable zone. However, a 2015 study implies that it has been in the temperate zone for less than one billion years, so there may not be a detectable biosignature. Few properties of the planet are known other than its orbit and mass. It orbits Tau Ceti at a distance of 1.35 AU (near Mars's orbit in the Solar System) with an orbital period of 642 days and has a minimum mass of 3.93 Earth masses. Debris disk In 2004, a team of UK astronomers led by Jane Greaves discovered that Tau Ceti has more than ten times the amount of cometary and asteroidal material orbiting it than does the Sun. This was determined by measuring the disk of cold dust orbiting the star produced by collisions between such small bodies. This result puts a damper on the possibility of complex life in the system, because any planets would suffer from large impact events roughly ten times more frequently than Earth. Greaves noted at the time of her research that "it is likely that [any planets] will experience constant bombardment from asteroids of the kind believed to have wiped out the dinosaurs". Such bombardments would inhibit the development of biodiversity between impacts. However, it is possible that a large Jupiter-sized gas giant (such as the proposed planet "i") could deflect comets and asteroids. The debris disk was discovered by measuring the amount of radiation emitted by the system in the far infrared portion of the spectrum. The disk forms a symmetric feature that is centered on the star, and its outer radius averages . The lack of infrared radiation from the warmer parts of the disk near Tau Ceti implies an inner cut-off at a radius of . By comparison, the Solar System's Kuiper belt extends from 30 to . To be maintained over a long period of time, this ring of dust must be constantly replenished through collisions by larger bodies. The bulk of the disk appears to be orbiting Tau Ceti at a distance of 35–, well outside the orbit of the habitable zone. At this distance, the dust belt may be analogous to the Kuiper belt that lies outside the orbit of Neptune in the Solar System. Tau Ceti shows that stars need not lose large disks as they age, and such a thick belt may not be uncommon among Sun-like stars. Tau Ceti's belt is only 1/20 as dense as the belt around its young neighbor, Epsilon Eridani. The relative lack of debris around the Sun may be the unusual case: one research-team member suggests the Sun may have passed close to another star early in its history and had most of its comets and asteroids stripped away. Stars with large debris disks have changed the way astronomers think about planet formation because debris disk stars, where dust is continually generated by collisions, appear to form planets readily. Habitability Tau Ceti's habitable zone—the locations where liquid water could be present on an Earth-sized planet—spans a radius of 0.55–1.16 AU, where 1 AU is the average distance from the Earth to the Sun. Primitive life on Tau Ceti's planets may reveal itself through an analysis of atmospheric composition via spectroscopy, if the composition is unlikely to be abiotic, just as oxygen on Earth is indicative of life. The most optimistic search project to date was Project Ozma, which was intended to "search for extraterrestrial intelligence" (SETI) by examining selected stars for indications of artificial radio signals. It was run by the astronomer Frank Drake, who selected Tau Ceti and Epsilon Eridani as the initial targets. Both are located near the Solar System and are physically similar to the Sun. No artificial signals were found despite 200
2020 Astronomical Journal study by astronomers Jeremy Dietrich and Daniel Apai analyzed the orbital stability of the known planets and, considering statistical patterns identified from hundreds of other planetary systems, explored the orbits in which the presence of additional, yet-undetected planets are most likely. This analysis predicted three planet candidates at orbits coinciding with planet candidates b, c, and d. The close match between the independently predicted planet periods and the periods of the three planet candidates previously identified in radial velocity data strongly supports the genuine planet nature of candidates b, c, and d. Furthermore, the study also predicts at least one yet-undetected planet between planets e and f, i.e., within the habitable zone. This predicted exoplanet is identified as PxP-4. The signals detected from the candidate planets have radial velocities as low as 30 cm/s, and the experimental method used in their detection, as it was applied to HARPS, could in theory have detected down to around 20 cm/s. If Tau Ceti is aligned in such a way that it is nearly pole-on to Earth (as its rotation could indicate), its planets would be less similar to Earth's mass and more to Neptune, Saturn, or Jupiter. For example, were Tau Ceti f's orbit inclined 70 degrees from being face-on to Earth, its mass would be Earth masses, making it a middle-to-low end super-Earth. However, these scenarios aren't necessarily true; since Tau Ceti's debris disk has an inclination of , the planets' orbits could be similarly inclined. If the debris disk and f's orbits were assumed to be equal, f would be between and Earth masses, making it slightly more likely to be a mini-Neptune. Tau Ceti e Tau Ceti e is a confirmed planet orbiting Tau Ceti that was detected by statistical analyses of the data of the star's variations in radial velocity that were obtained using HIRES, AAPS, and HARPS. Its possible properties were refined in 2017: it orbits at a distance of 0.552 AU (between the orbits of Venus and Mercury in the Solar System) with an orbital period of 168 days and has a minimum mass of 3.93 Earth masses. If Tau Ceti e possessed an Earth-like atmosphere, the surface temperature would be around . Based upon the incident flux upon the planet, a study by Güdel et al. (2014) speculated that the planet may lie outside the habitable zone and closer to a Venus-like world. Tau Ceti f Tau Ceti f is a confirmed super-Earth orbiting Tau Ceti that was discovered in 2012 by statistical analyses of the star's variations in radial velocity, based on data obtained using HIRES, AAPS, and HARPS. It is of interest because its orbit places it in Tau Ceti's extended habitable zone. However, a 2015 study implies that it has been in the temperate zone for less than one billion years, so there may not be a detectable biosignature. Few properties of the planet are known other than its orbit and mass. It orbits Tau Ceti at a distance of 1.35 AU (near Mars's orbit in the Solar System) with an orbital period of 642 days and has a minimum mass of 3.93 Earth masses. Debris disk In 2004, a team of UK astronomers led by Jane Greaves discovered that Tau Ceti has more than ten times the amount of cometary and asteroidal material orbiting it than does the Sun. This was determined by measuring the disk of cold dust orbiting the star produced by collisions between such small bodies. This result puts a damper on the possibility of complex life in the system, because any planets would suffer from large impact events roughly ten times more frequently than Earth. Greaves noted at the time of her research that "it is likely that [any planets] will experience constant bombardment from asteroids of the kind believed to have wiped out the dinosaurs". Such bombardments would inhibit the development of biodiversity between impacts. However, it is possible that a large Jupiter-sized gas giant (such as the proposed planet "i") could deflect comets and asteroids. The debris disk was discovered by measuring the amount of radiation emitted by the system in the far infrared portion of the spectrum. The disk forms a symmetric feature that is centered on the star, and its outer radius averages . The lack of infrared radiation from the warmer parts of the disk near Tau Ceti implies an inner cut-off at a radius of . By comparison, the Solar System's Kuiper belt extends from 30 to . To be maintained over a long period of time, this ring of dust must be constantly replenished through collisions by larger bodies. The bulk of the disk appears to be orbiting Tau Ceti at a distance of 35–, well outside the orbit of the habitable zone. At this distance, the dust belt may be analogous to the Kuiper belt that lies outside the orbit of Neptune in the Solar System. Tau Ceti shows that stars need not lose large disks as they age, and such a thick belt may not be uncommon among Sun-like stars. Tau Ceti's belt is only 1/20 as dense as the belt around its young neighbor, Epsilon Eridani. The relative lack of debris around the Sun may be the unusual case: one research-team member suggests the Sun may have passed close to another star early in its history and had most of its comets and asteroids stripped away. Stars with large debris disks have changed the way astronomers think about planet formation because debris disk stars, where dust is continually generated by collisions, appear to form planets readily. Habitability Tau Ceti's habitable zone—the locations where liquid water could be present on an Earth-sized planet—spans a radius of 0.55–1.16 AU, where 1 AU is the average distance from the Earth to the Sun. Primitive life on Tau Ceti's planets may reveal itself through an analysis of atmospheric composition via spectroscopy, if the composition is unlikely to be abiotic, just as oxygen on Earth is indicative of life. The most optimistic search project to date was Project Ozma, which was intended to "search for extraterrestrial intelligence" (SETI) by examining selected stars for indications of artificial radio signals. It was run by the astronomer Frank Drake, who selected Tau Ceti and Epsilon Eridani as the initial targets. Both are located near the Solar System and are physically similar to the Sun. No artificial signals were found despite 200 hours of observations. Subsequent radio searches of this star system have turned up negative. This lack of results has not dampened interest in observing the Tau Ceti system for biosignatures. In 2002, astronomers Margaret Turnbull and Jill Tarter developed the Catalog of Nearby Habitable Systems (HabCat) under the auspices of Project Phoenix, another SETI endeavour. The list contained more than theoretically habitable systems, approximately 10% of the original sample. The next year, Turnbull would further refine the list to the 30 most promising systems out of within 100 light-years from the Sun, including Tau Ceti; this will form part of the basis of radio searches with the
in 1486, though it is still somewhat unclear how. Some sources suggest that he was poisoned, others that he fell to illness. In popular culture The Obsidian and Blood series by Aliette de Bodard is set in the last year of the reign of Axayacatl and the first years of the reign of Tizoc, with their youngest brother Ahuitzotl appearing as a primary character. The second book, Harbinger of the Storm is primarily set during the election of Tizoc as tlatoani after the death of Axayacatl. See also List of Tenochtitlan rulers Stone of Tizoc Notes References External links Year of birth missing 1486 deaths Tenochca tlatoque 15th-century monarchs in North America 15th-century murdered monarchs 15th century in the Aztec civilization Deaths by poisoning
was the Queen Chalchiuhnenetzin, married to Moquihuix, tlatoani of Tlatelōlco. He was an uncle of Emperors Cuauhtémoc, Moctezuma II and Cuitláhuac and grandfather of Diego de San Francisco Tehuetzquititzin. Reign Most sources agree that Tizoc took power in 1481 (the Aztec year "2 House"), succeeding his older brother. Although Tizoc's reign was relatively short, he began the rebuilding of the Great Pyramid of Tenochtitlan (a task completed by his younger brother in 1487), and also put down a rebellion of the Matlatzincan peoples of the Toluca Valley. According to
life of Darwin and his significance to western thought. A sequel to that book, Darwin & his Children: His Other Legacy, was published by Oxford University Press in 2013. It examines the lives of Darwin's 10 children from birth to death. Dr. Berra's latest book, Bourbon: What the Educated Drinker Should Know, was published in spring 2019 by Acclaim Press and describes bourbon's history and the bourbon making process from start to finish. The unique format of the book is lavishly illustrated with color photographs by the author. In 1992 Berra was visiting professor at the University of Concepción in Chile, and in 1996 he was visiting professor at the University of Otago in New Zealand. He took early retirement from The Ohio State University in July 1995 to devote full-time to research and writing. Dr. Berra is the former editor of The Ohio Journal of Science and was a member of the Board of Trustees of the Columbus Zoo and Aquarium where he also served
drawings and 1,700 references was published by University of Chicago Press in 2007. Charles Darwin: The Concise Story of an Extraordinary Man, was published by Johns Hopkins University Press in 2009 and features 60 b/w illustrations and 16 color plates. It describes the life of Darwin and his significance to western thought. A sequel to that book, Darwin & his Children: His Other Legacy, was published by Oxford University Press in 2013. It examines the lives of Darwin's 10 children from birth to death. Dr. Berra's latest book, Bourbon: What the Educated Drinker Should Know, was published in spring 2019 by Acclaim Press and describes bourbon's history and the bourbon making process from start to finish. The unique format of the book is lavishly illustrated with color photographs by the author. In 1992 Berra was visiting professor at the University of Concepción in Chile, and in 1996 he was visiting professor at the University of Otago in New Zealand. He took early retirement from The Ohio State University in July 1995 to devote full-time to research and writing. Dr. Berra is the former editor of
and Industry in Chicago, and was completely renovated after being moved in 2004 to a purpose-built indoor berth. List of Type IXC submarines DeSchiMAG AG Weser and Seebeckwerft of Bremen, and Deutsche Werft of Hamburg built 54 Type IXC submarines. Only four survived the war, one of which is preserved in the US. - Sunk 6 May 1944 - Sunk 16 July 1943 - Sunk 10 April 1944 - Sunk, 6 May 1943 - Sunk by aircraft 3 June 1943 - Sunk, 15 December 1941 - Sunk by aircraft and surface ships, 17 May 1943 - taken out of service 4 July 1944 - sunk 12 March 1943 - Scuttled 17 December 1941 - sunk by ship in July 1942 - sunk 3 July 1944 - scuttled post war by British - Sunk 8 March 1943 - Sunk 13 June 1942 - Sunk 30 June 1942 - Sunk 28 July 1943 - Sunk 14 July 1943 - Sunk 27 September 1943 - Sunk 3 September 1942 - Sunk 12/13 March 1943 - Sunk 6 January 1943 - Sunk 27 September 1942 - sunk on 30 July 1942 - Sunk by mine 9 October 1942 - Sunk, 13 December 1943 - sunk 16 November 1942 - sunk by aircraft 27 April 1943 - sunk, 17 April 1943 - sunk by Cuban Navy, 15 May 1943 - Sunk by escorts, 10 September 1941 - Sunk by aircraft 6 July 1942 - Sunk, 15 March 1942 - Sunk, 30 July 1943 - Captured by US Navy, 4 June 1944. Preserved in museum - Sunk by aircraft 12 July 1943 - Sunk by aircraft 13 January 1943 - Sunk by aircraft 12 November 1943 - Sunk by aircraft 15 July 1943 - given to French Navy post war - transferred to Japan on 16 September 1943 - Sunk by aircraft 2 October 1942 - Sunk by aircraft 19 July 1943 - Sunk 8 July 1943 - Sunk, 9 April 1944 - scuttled post war by British - Sunk by aircraft 21 November 1942 - Sunk, 22 April 1944 - Posted missing 31 January 1943 - Sunk, 30 October 1942 - Sunk 2 June 1943 - Sunk 23 February 1943 - Sunk, 25 August 1943 - Sunk on 22 March 1943 by aircraft Type IXC/40 Type IXC/40 was an improved Type IXC with slightly increased range and surfaced speed. The remains of are on display at Woodside Ferry Terminal, Birkenhead. List of Type IXC/40 submarines DeSchiMAG AG Weser and Seebeckwerft of Bremen, and Deutsche Werft of Hamburg, built 87 of this type. Type IXD Type IXD was significantly longer and heavier than the IXC/40. It was faster than the IXC but at the cost of slightly reduced maneuverability. They had three pairs of Daimler Benz diesels: two pairs for cruise and one for high speed or battery recharge. There were three variants: the IXD1, IXD2 and IXD/42. The IXD1 had unreliable engines and they were later converted for use in surface transport vessels. The IXD2 comprised most of the class and had a range
February 1940 - sunk on 13 October 1939 by depth charges - sunk on 30 July 1943 - sunk by mine on 13 March 1940 Type IXB Type IXB was an improved model with an increased range. It was the most successful version overall with each boat averaging a total of over sunk. Notable IXB boats included commanded by Reinhard Hardegen, which opened up the attack in the US waters in early 1942 known as Operation Drumbeat, and operating off Freetown, Sierra Leone under the command of Günther Hessler, which had the most successful single mission of the war ever with close to sunk. List of Type IXB submarines DeSchiMAG AG Weser of Bremen built 14 Type IXB U-boats. Thirteen were sunk in the course of the war. Type IXC The Type IXC was a further refinement of the class with storage for an additional 43 tonnes of fuel, increasing the boat's range. This series omitted the control room periscope leaving the boats with two tower scopes. As mine-layers they could carry 44 TMA or 66 TMB mines, though the 35 boats of through and through were not fitted for mine operations. The only U-boat sunk in the Gulf of Mexico, , was a Type IXC. U-505 survives at the Museum of Science and Industry in Chicago, and was completely renovated after being moved in 2004 to a purpose-built indoor berth. List of Type IXC submarines DeSchiMAG AG Weser and Seebeckwerft of Bremen, and Deutsche Werft of Hamburg built 54 Type IXC submarines. Only four survived the war, one of which is preserved in the US. - Sunk 6 May 1944 - Sunk 16 July 1943 - Sunk 10 April 1944 - Sunk, 6 May 1943 - Sunk by aircraft 3 June 1943 - Sunk, 15 December 1941 - Sunk by aircraft and surface ships, 17 May 1943 - taken out of service 4 July 1944 - sunk 12 March 1943 - Scuttled 17 December 1941 - sunk by ship in July 1942 - sunk 3 July 1944 - scuttled post war by British - Sunk 8 March 1943 - Sunk 13 June 1942 - Sunk 30 June 1942 - Sunk 28 July 1943 - Sunk 14 July 1943 - Sunk 27 September 1943 - Sunk 3 September 1942 - Sunk 12/13 March 1943 - Sunk 6 January 1943 - Sunk 27 September 1942 - sunk on 30 July 1942 - Sunk by mine 9 October 1942 - Sunk, 13 December 1943 - sunk 16 November 1942 - sunk by aircraft 27 April 1943 - sunk, 17 April 1943 - sunk by Cuban Navy, 15 May 1943 - Sunk by escorts, 10 September 1941 - Sunk by aircraft 6 July 1942 - Sunk, 15 March 1942 - Sunk, 30 July 1943 - Captured by US Navy, 4 June 1944. Preserved in museum - Sunk by aircraft 12 July 1943 - Sunk by aircraft 13 January 1943 - Sunk by aircraft 12 November 1943 - Sunk by aircraft 15
of elimination rounds. By tradition, no information is given about the total number of entries for each competition. Winning entries are awarded with a category, such as "Worst Abuse of the C preprocessor" or "Most Erratic Behavior", and then announced on the official IOCCC website. The contest states that being announced on the IOCCC website is the reward for winning. History The IOCCC was started by Landon Curt Noll and Larry Bassel in 1984 while employed at National Semiconductor's Genix porting group. The idea for the contest came after they compared notes with each other about some poorly written code that they had to fix, notably the Bourne shell, which used macros to emulate ALGOL 68 syntax, and a buggy version of finger for BSD. The contest itself was the topic of a quiz question in the 1993 Computer Bowl. After a hiatus of five years starting in 2006, the contest returned in 2011. Compared with other programming contests, the IOCCC is described as "not all that serious" by Michael Swaine, editor of Dr. Dobb's Journal. Rules Each year, the rules of the contest are published on the IOCCC website. All material is published under Creative Commons license BY-SA 3.0 Unported. Rules vary from year to year and are posted with a set of guidelines that attempt to convey the spirit of the rules. The rules are often deliberately written with loopholes that contestants are encouraged to find and abuse. Entries that take advantage of loopholes can cause the rules for the following year's contest to be adjusted. Obfuscations employed Entries often employ strange or unusual tricks, such as using the C preprocessor to do things it was not designed to do (in some cases "spectacularly", according to Dr. Dobbs, with one entry creating an 11-bit ALU in the C preprocessor<ref name="cpp_abuse">IOCCC 2004 – Best Abuse of CPP IOCCC. Retrieved 2013-04-08.</ref>), or avoiding commonly used constructs in the C programming language in favor of much more obscure ways of achieving the same thing. Contributions have included source code formatted to resemble images, text, etc., after the manner of ASCII art, preprocessor redefinitions to make code harder to read, and self-modifying code. In several years, an entry was submitted that required a new definition of some of the rules for the next year. This is regarded as a high honor. An example is the world's shortest self-reproducing program. The entry was a program designed to output its own source code, and which had zero bytes of source code. When the program ran, it printed out zero bytes, equivalent to its source code. In the effort to take obfuscation to its extremes, contestants have produced programs which skirt around the edges of C standards, or result in constructs which trigger rarely used code path combinations in compilers. As a result, several of the past entries may not compile directly in a modern compiler, and some may cause crashes. Examples Within the code size limit of only a few kilobytes, contestants have managed to do complicated things – a 2004 winner turned out an operating system. Toledo NanochessToledo Nanochess is a chess engine created by Mexican software developer Oscar Toledo Gutiérrez, a five-time winner of the IOCCC. In accordance with IOCCC rules,
the rules of the contest are published on the IOCCC website. All material is published under Creative Commons license BY-SA 3.0 Unported. Rules vary from year to year and are posted with a set of guidelines that attempt to convey the spirit of the rules. The rules are often deliberately written with loopholes that contestants are encouraged to find and abuse. Entries that take advantage of loopholes can cause the rules for the following year's contest to be adjusted. Obfuscations employed Entries often employ strange or unusual tricks, such as using the C preprocessor to do things it was not designed to do (in some cases "spectacularly", according to Dr. Dobbs, with one entry creating an 11-bit ALU in the C preprocessor<ref name="cpp_abuse">IOCCC 2004 – Best Abuse of CPP IOCCC. Retrieved 2013-04-08.</ref>), or avoiding commonly used constructs in the C programming language in favor of much more obscure ways of achieving the same thing. Contributions have included source code formatted to resemble images, text, etc., after the manner of ASCII art, preprocessor redefinitions to make code harder to read, and self-modifying code. In several years, an entry was submitted that required a new definition of some of the rules for the next year. This is regarded as a high honor. An example is the world's shortest self-reproducing program. The entry was a program designed to output its own source code, and which had zero bytes of source code. When the program ran, it printed out zero bytes, equivalent to its source code. In the effort to take obfuscation to its extremes, contestants have produced programs which skirt around the edges of C standards, or result in constructs which trigger rarely used code path combinations in compilers. As a result, several of the past entries may not compile directly in a modern compiler, and some may cause crashes. Examples Within the code size limit of only a few kilobytes, contestants have managed to do complicated things – a 2004 winner turned out an operating system. Toledo NanochessToledo Nanochess is a chess engine created by Mexican software developer Oscar Toledo Gutiérrez, a five-time winner of the IOCCC. In accordance with IOCCC rules, it is 1255 characters long. The author claims that it is the world's smallest chess program written in C. The source code for Toledo Nanochess and other engines is available. Because Toledo Nanochess is based on Toledo's winning entry from the 18th IOCCC (Best Game), it is heavily obfuscated. On February 2, 2014, the author published the book Toledo Nanochess: The commented source code, which contains the fully commented source code. As of February 7, 2010, it appears to be one of only two chess engines written in less than 2 kilobytes of C that are able to play full legal chess moves, along with Micro-Max by Dutch physicist H. G. Muller. In 2014 the 1 kilobyte barrier was broken by Super Micro Chess – a derivative of Micro-Max – totaling 760 characters (spaces and newlines included). There is also a smaller version of Toledo's engine, the Toledo Picochess, consisting of 944 non-blank characters. Source code excerpt B,i,y,u,b,I[411],*G=I,x=10,z=15,M=1e4;X(w,c,h,e,S,s){int t,o,L,E,d,O=e,N=-M*M,K =78-h<<x,p,*g,n,*m,A,q,r,C,J,a=y?-x:x;y^=8;G++;d=w||s&&s>=h&&v 0,0)>M;do{_ o=I[ p=O]){q=o&z^y _ q<7){A=q--&2?8:4;C=o-9&z?q["& .$ "]:42;do{r=I[p+=C[l]-64]_!w|p ==w){g=q|p+a-S?0:I+S _!r&(q|A<3||g)||(r+1&z^y)>9&&q|A>2){_ m=!(r-2&7))P G[1]=O, K;J=n=o&z;E=I[p-a]&z;t=q|E-7?n:(n+=2,6^y);Z n<=t){L=r?l[r&7]*9-189-h-q:0 _ s)L +=(1-q?l[p/x+5]-l[O/x+5]+l[p%x+6]*-~!q-l[O%x+6]+o/16*8:!!m*9)+(q?0:!(I[p-1]^n)+ !(I[p+1]^n)+l[n&7]*9-386+!!g*99+(A<2))+!(E^y^9)_ s>h||1<s&s==h&&L>z|d){p[I]=n,O [I]=m?*g=*m,*m=0:g?*g=0:0;L-=X(s>h|d?0:p,L-N,h+1,G[1],J=q|A>1?0:p,s)_!(h||s-1|B -O|i-n|p-b|L<-M))P y^=8,u=J;J=q-1|A<7||m||!s|d|r|o<z||v 0,0)>M;O[I]=o;p[I]=r;m? *m=*g,*g=0:g?*g=9^y:0;}_ L>N){*G=O _ s>1){_ h&&c-L<0)P L _!h)i=n,B=O,b=p;}N=L;} n+=J||(g=I+p,m=p<O?g-3:g+2,*m<z|m[O-p]||I[p+=p-O]);}}}}Z!r&q>2||(p=O,q|A>2|o>z& !r&&++C*--A));}}}Z++O>98?O=20:e-O);P N+M*M&&N>-K+1924|d?N:0;}main(){Z++B<121)*G ++=B/x%x<2|B%x<2?7:B/x&4?0:*l++&31;Z B=19){Z B++<99)putchar(B%x?l[B[I]|16]:x)_ x-(B=F)){i=I[B+=(x-F)*x]&z;b=F;b+=(x-F)*x;Z x-(*G=F))i=*G^8^y;}else v u,5);v u, 1);}} Pi Below is a 1988 entry which calculates pi by looking at its own area: #define _ -F<00||--F-OO--; int F=00,OO=00;main(){F_OO();printf("%1.3f\n",4.*-F/OO/OO);}F_OO() { _-_-_-_ _-_-_-_-_-_-_-_-_
particular circumstances of each territory and its peoples and their varying stages of advancement." History of territorial integrity As far back as the earliest written records known, there have been political units claiming a definite territory. Intrusion into these territories was often considered an act of war, and normally resulted in combat. There were also sometimes several layers of authority, with units waging war on each other while both recognising some higher authority. Ancient and medieval nobility would fight private wars amongst while still acknowledging the same king or emperor, such as was case in the Spring and Autumn period in ancient China, when the Eastern Zhou Dynasty were nominal rulers. Supporters of the concept of Westphalian sovereignty consider that the modern idea of territorial integrity began with the Peace of Westphalia in 1648. However, ancient Chinese and ancient Indigenous cultures of North America and Australia, amongst others, contain diverse territorial understandings surrounding regional integrity. The League of Nations was intended to uphold territorial integrity and other principles of international law. It did condemn the Italian invasion of Ethiopia. It broadly supported the Chinese Republic over the creation of Manchukuo in Manchuria and eastern Inner Mongolia. Most historians say that the League was discredited by its failure to make these judgements effective. With the formation of the United Nations (UN) and, later, such organizations as the Conference on Security and Cooperation in Europe (now Organization for Security and Co-operation
territorial integrity became a part of international resolutions. The Helsinki Final Act dealt with both the inviolability of frontiers and the territorial integrity of States, among other things. In a changing world The recent (post-World War II) strict application of territorial integrity has given rise to a number of problems and, when faced with reality "on the ground", can be seen as too artificial a construct. At the 2005 World Summit, the world's nations agreed on a "Responsibility to Protect", allowing a right for humanitarian intervention. It has been argued that this could create a flexible application of concepts of sovereignty and territorial integrity, easing the strict adherence and taking into account the de facto status of the territory and other factors present on a case by case basis. The United Nations Security Council Resolution 1674, adopted by the United Nations Security Council on April 28, 2006, "Reaffirm[ed] the provisions of paragraphs 138 and 139 of the 2005 World Summit Outcome Document regarding the responsibility to protect populations from genocide, war crimes, ethnic cleansing and crimes against humanity". However, this responsibility to protect refers only to the ability of external powers to override sovereignty and does not explicitly involve the changing of borders. The International Court of Justice advisory opinion on Kosovo's declaration of independence claims that territorial integrity is not violated as far as international law is concerned by declarations of independence in themselves. See also Breakaway states Crime of aggression Secession Self-determination 1974 Turkish invasion of Cyprus 2014 Russian military intervention in Ukraine Turkish occupation of northern
Revolution Terran Confederation (Wing Commander), the primary human government in the Wing Commander science fiction series Terrans, the human faction from the game Galaxy on Fire Terrans, the human faction from the Solar System in the X series, named so to distinguish them from the descendants of their lost X-Universe colonies, the Argon Terran, the humanoid race in the wargaming series Warhammer 40,000 Terran, the birthplace of humanity in Forsaken Terran Khanate, a playable race in Master of Orion: Conquer the Stars Collector's Edition Terran Alliance, the human faction from the Galactic Civilizations game series People Terran
Commander), the primary human government in the Wing Commander science fiction series Terrans, the human faction from the game Galaxy on Fire Terrans, the human faction from the Solar System in the X series, named so to distinguish them from the descendants of their lost X-Universe colonies, the Argon Terran, the humanoid race in the wargaming series Warhammer 40,000 Terran, the birthplace of humanity in Forsaken Terran Khanate, a playable race in Master of Orion: Conquer the Stars Collector's Edition Terran Alliance, the human faction from the Galactic Civilizations game series People Terran Campbell (born 1998), Canadian soccer player Jennifer Terran, American singer-songwriter and pianist Terran Sandwith (born 1972), retired Canadian ice hockey player Tony Terran (1926–2017), Los Angeles session musician and trumpet player Other Terran (grape), alternative name used in Eastern Europe for the Mondeuse Noire wine grape See also Terra (disambiguation) Terrain
swords as "It is a treasured sword with a scabbard made of fragrant wood covered with fish skin, decorated with brass and copper, and capable of exorcising evil spirits. It is imported at a great cost.". In the Kamakura period (1185–1333), high-ranking samurai worn hyogo gusari tachi (hyogo kusari tachi) in the style of covering the scabbard with gilt-bronze plates and suspending the scabbard with chains, while ordinary samurai worn kuro urushi tachi (kokushitsu no tachi) in the style of wrapping the scabbard with leather or stingray skin, wrapping it with leather strings or black threads, and coating it with black lacquer. The Mongol invasions of Japan in the 13th century during the Kamakura period facilitated a change in the designs of Japanese swords. The swordsmiths of the Sōshū school represented by Masamune studied ruined tachi -- broken or bent in battle -- to develop new production methods, and create innovative Japanese swords. They forged the blade using a combination of soft and hard steel to optimize the temperature and timing of the heating and cooling of the blade, resulting in a lighter and very robust blade. They also made the curve of the blade gentle, lengthened the tip linearly, widened the width from the cutting edge to the opposite side of the blade, and thinned the cross section to improve the penetration and cutting ability of the blade. Historically in Japan, the ideal blade of a Japanese sword is considered to be the kotō in the Kamakura period, and the swordsmiths from the Edo period to the present day after the Shinto period focused on reproducing the blade of a Japanese sword in the Kamakura period. There are more than 100 Japanese swords designated as National Treasures in Japan, of which the Kotō of the Kamakura period account for 80% and the tachi account for 70%. Traditionally, yumi (bows) were the main weapon of war in Japan, and tachi and naginata were for close combat. The Ōnin War in the late 15th century in the Muromachi period expanded into a large-scale domestic war, in which employed farmers called ashigaru were mobilized in large numbers. They fought on foot using katana shorter than tachi. In the Sengoku period (period of warring states) in the late Muromachi period, the war became bigger; ashigaru fought in a close formation using yari (spears) lent to them. Furthermore, in the late 16th century, tanegashima (muskets) were introduced from Portugal, and Japanese swordsmiths mass-produced improved products, with ashigaru fighting with leased guns. On the battlefield in Japan, guns and spears became main weapons in addition to bows. Due to the changes in fighting styles in these wars, the tachi and naginata became obsolete among samurai, and the katana, which was easy to carry, became the mainstream. The dazzling-looking tachi gradually became
preceded the development of the katana, which was not mentioned by name until near the end of the twelfth century. Tachi were the mainstream Japanese swords of the Kotō period between 900 and 1596. Even after the Muromachi period (1336–1573), when katana became the mainstream, tachi were often worn by high-ranking samurai. History The production of swords in Japan is divided into specific time periods: Jōkotō (ancient swords, until around 900) Kotō (old swords from around 900–1596) Shintō (new swords 1596–1780) Shinshintō (new new swords 1781–1876) Gendaitō (modern or contemporary swords 1876–present) The predecessor of the Japanese sword has been called warabitetō (:ja:蕨手刀). In the middle of the Heian period (794–1185), samurai improved on the warabitetō to develop kenukigata-tachi (:ja:毛抜形太刀) -early Japanese sword-. To be more precise, it is thought that the Emishi improved the warabitetō and developed Kenukigata-warabitetō (:ja:毛抜形蕨手刀) with a hole in the hilt and kenukigatatō (:ja:毛抜形刀) without decorations on the tip of the hilt, and the samurai developed kenukigata-tachi based on these swords. Kenukigata-tachi, which was developed in the first half of the 10th century, has a three-dimensional cross-sectional shape of an elongated pentagonal or hexagonal blade called shinogi-zukuri and a gently curved single-edged blade, typical features of Japanese swords. There is no wooden hilt attached to kenukigata-tachi, and the tang (nakago), integrated with the blade, is directly gripped and used. The term kenukigata is derived from the fact the central part of tang is hollowed in the shape of a ancient Japanese tweezers (kenuki). In the tachi developed after kenukigata-tachi, a structure in which the hilt is fixed to the tang (nakago) with a pin called mekugi was adopted. As a result, a sword with three basic external elements of Japanese swords, the cross-sectional shape of shinogi-zukuri, a gently curved single-edged blade, and the structure of nakago, was completed. Its shape may reflect the changing form of warfare in Japan. Cavalry were now the dominant fighting unit, and the older straight chokutō were unsuitable for fighting from horseback. The curved sword is a far more efficient weapon wielded by a warrior on horseback; the curve of the blade adds considerably to the downward force of a cutting action. According to author Karl F. Friday, before the 13th century, there are no written references or drawings showing swords of any kind were used from horseback. However, According to Yoshikazu Kondo, bow and arrows were certainly the main weapons used in cavalry battles, but from around the Genpei War in the 12th century, the use of tachi on horseback increased. Early models had uneven curves with the deepest part of the curve at the hilt. As eras changed, the center of the curve tended to move up the blade. By the 11th century during the Heian period, tachi were exported to neighboring countries in Asia. For example, in the poem "The Song of Japanese Swords" Ouyang Xiu, a statesman of the Song Dynasty in China, described Japanese swords as "It is a treasured sword with a scabbard made of fragrant wood covered with fish skin, decorated with brass and copper, and capable of exorcising evil spirits. It is imported at a great cost.". In the Kamakura period (1185–1333), high-ranking samurai worn hyogo gusari tachi (hyogo kusari tachi) in the style of covering the scabbard with gilt-bronze plates and suspending the scabbard with chains, while ordinary samurai worn kuro urushi tachi (kokushitsu no tachi) in the style of wrapping the scabbard with leather or stingray skin, wrapping it with leather strings or black threads, and coating it with black lacquer. The Mongol invasions of Japan in the 13th century during the Kamakura period facilitated a change in the designs of Japanese swords. The swordsmiths of the Sōshū school represented by Masamune studied ruined tachi -- broken or bent in battle -- to develop new production methods, and create innovative Japanese swords. They forged the blade using a combination of soft and hard steel to optimize the temperature and timing of the heating and cooling of the blade, resulting in a lighter and very robust blade. They also made the curve of the blade gentle, lengthened the tip linearly, widened the width from the cutting edge to the opposite side of the blade, and thinned the cross section to improve the penetration and cutting ability of the blade. Historically in Japan, the ideal blade of a Japanese sword is considered to be the kotō in the Kamakura period, and the swordsmiths from the Edo period to the present day after the Shinto period focused on reproducing the blade of a Japanese sword in the Kamakura period. There are more than 100 Japanese swords designated as National Treasures in Japan, of which the Kotō of the Kamakura period account for
a variety of media besides the original comic strip and its collections. Hergé encouraged adaptations and members of his studio working on the animated films. After Hergé's death in 1983, the Hergé Foundation and Moulinsart, the foundation's commercial and copyright wing, became responsible for authorising adaptations and exhibitions. Television and radio Two animated television adaptations and one radio adaptation have been made. Hergé's Adventures of Tintin () (1957) was the first production of Belvision Studios. Ten of Hergé's books were adapted, each serialised into a set of five-minute episodes, with 103 episodes produced. The series was directed by Ray Goossens and written by Belgian comic artist Greg, later editor-in-chief of Tintin magazine, and produced by Raymond Leblanc. Most stories in the series varied widely from the original books, often changing whole plots. The Adventures of Tintin () (1991–92) was the more successful Tintin television series. An adaptation of twenty-one Tintin books, it was directed by Stéphane Bernasconi and was produced by Ellipse (France) and Canadian Nelvana on behalf of the Hergé Foundation. The series adhered closely to the albums to such an extent that panels from the original were often transposed directly to the screen. The series aired in over fifty countries and was released on DVD. It aired in the US on HBO. The Adventures of Tintin (1992–93) radio series was produced by BBC Radio 5. The dramas starred Richard Pearce as Tintin and Andrew Sachs as Snowy. Captain Haddock was played by Leo McKern in Series One and Lionel Jeffries in Series Two, Professor Calculus was played by Stephen Moore and Thomson and Thompson were played by Charles Kay. The Adventures of Tintin were also released as radio dramas on LP and compact cassette recordings in French language versions in Belgium, France and Canada, German language versions in Germany, Swedish language versions in Sweden, Danish language versions in Denmark and Norwegian language versions in Norway. Cinema Five feature-length Tintin films were made before Hergé's death in 1983 and one more in 2011. The Crab with the Golden Claws () (1947) was the first successful attempt to adapt one of the comics into a feature film. Written and directed by Claude Misonne and João B Michiels, the film was a stop-motion puppet production created by a small Belgian studio. Tintin and the Golden Fleece () (1961), the first live action Tintin film, was adapted not from one of Hergé's Adventures of Tintin but instead from an original script written by André Barret and Rémo Forlani. Directed by Jean-Jacques Vierne and starring Jean-Pierre Talbot as Tintin and Georges Wilson as Haddock, the plot involves Tintin travelling to Istanbul to collect the Golden Fleece, a ship left to Haddock in the will of his friend, Themistocle Paparanic. Whilst in the city however, Tintin and Haddock discover that a group of villains also want possession of the ship, believing that it would lead them to a hidden treasure. Tintin and the Blue Oranges () (1964), the second live action Tintin film, was released due to the success of the first. Again based upon an original script, once more by André Barret, it was directed by Philippe Condroyer and starred Talbot as Tintin and Jean Bouise as Haddock. The plot reveals a new invention, the blue orange, that can grow in the desert and solve world famines, devised by Calculus' friend, the Spanish Professor Zalamea. An emir whose interests are threatened by the invention of the blue orange proceeds to kidnap both Zalamea and Calculus, and Tintin and Haddock travel to Spain in order to rescue them. Tintin and the Temple of the Sun () (1969), the first traditional animation Tintin film, was adapted from two of Hergé's Adventures of Tintin: The Seven Crystal Balls and Prisoners of the Sun. The first full-length, animated film from Raymond Leblanc's Belvision, which had recently completed its television series based upon the Tintin stories; it was directed by Eddie Lateste and featured a musical score by the critically acclaimed composer François Rauber. The adaptation is mostly faithful, although the Seven Crystal Balls portion of the story was heavily condensed. Tintin and the Lake of Sharks () (1972), the second traditional animation Tintin film and the last Tintin release for nearly 40 years, it was based on an original script by Greg and directed by Raymond Leblanc. Belvision's second feature takes Tintin to Syldavia to outwit his old foe Rastapopoulos. While the look of the film is richer, the story is less convincing. The movie was subsequently adapted into a comic album made up of stills from the film. The Adventures of Tintin: The Secret of the Unicorn (2011) was Steven Spielberg's motion capture 3D film based on three Hergé albums: The Crab with the Golden Claws (1941), The Secret of the Unicorn (1943), and Red Rackham's Treasure (1944). Peter Jackson's company Weta Digital provided the animation and special effects. The movie received positive reviews and was a box office success. Documentaries I, Tintin () (1976) was produced by Belvision Studios and Pierre Film. Tintin and I () (2003), a documentary film directed by Anders Høgsbro Østergaard and co-produced by companies from Denmark, Belgium, France, and Switzerland, was based on a taped interview with Hergé by Numa Sadoul from 1971. Although the interview was published as a book, Hergé was allowed to edit the work prior to publishing and much of the interview was excised. Years after Hergé's death, the filmmaker returned to the original tapes and restored Hergé's often personal, insightful thoughts—and in the process brought viewers closer to the world of Tintin and Hergé. It was broadcast in the US on the PBS network on 11 July 2006. Sur les traces de Tintin (On the trail of Tintin) (2010) was a five-part documentary television series which recaps several albums of the book series by combining comic panels (motionless or otherwise) with live-action imagery, with commentary provided. Theatre Hergé himself helped to create two stage plays, collaborating with humourist Jacques Van Melkebeke. Tintin in the Indies: The Mystery of the Blue Diamond (1941) covers much of the second half of Cigars of the Pharaoh as Tintin attempts to rescue a stolen blue diamond. Mr. Boullock's Disappearance (1941–1942) has Tintin, Snowy, and Thomson and Thompson travel around the world and back to Brussels again to unmask an impostor trying to lay claim to a missing millionaire's fortune. The plays were performed at the Théâtre Royal des Galeries in Brussels. The scripts of the plays are unfortunately lost. In the late 1970s and early 1980s, two Tintin plays were produced at the Arts Theatre in the West End of London, adapted by Geoffrey Case for the Unicorn Theatre Company. These were Tintin's Great American Adventure, based on the comic Tintin in America (1976–1977) and Tintin and the Black Island, based on The Black Island (1980–81); this second play later toured. A musical based on The Seven Crystal Balls and Prisoners of the Sun premièred on 15 September 2001 at the (City Theatre) in Antwerp, Belgium. It was entitled ("Tintin – Temple of the Sun (The Musical)") and was broadcast on Canal Plus, before moving on to Charleroi in 2002 as . The Young Vic theatre company in London ran Hergé's Adventures of Tintin, a musical version of Tintin in Tibet, at the Barbican Arts Centre (2005–2006); the production was directed by Rufus Norris and was adapted by Norris and David Greig. The show was successfully revived at the Playhouse Theatre in the West End of London before touring (2006–2007) to celebrate the centenary of Hergé's birth in 2007. Video games Tintin began appearing in video games when Infogrames Entertainment, SA, a French game company, released the side scroller Tintin on the Moon in 1989. The same company released a platform game titled Tintin in Tibet in 1995 for the Super NES and Mega Drive/Genesis. Another platform game from Infogrames titled Prisoners of the Sun was released the following year for the Super NES, Microsoft Windows, and Game Boy Color. In 2001, Tintin became 3D in Tintin: Destination Adventure, released by Infogrames for Windows and PlayStation. Then in 2011, an action-adventure game called The Adventures of Tintin: The Secret of the Unicorn, a tie-in to the 2011 movie, was released by Ubisoft in October. In 2020 a match-3 mobile game called Tintin Match, was released by 5th Planet games. Memorabilia and merchandise Images from the series have long been licensed for use on merchandise, the success of Tintin magazine helping to create a market for such items. Tintin's image has been used to sell a wide variety of products, from alarm clocks to underpants. Countless separate items related to the character have been available, with some becoming collectors' items in their own right. The Hergé Foundation has maintained control of the licenses, through Moulinsart, the commercial wing of the foundation. Speaking in 2002, Peter Horemans, the then director general at Moulinsart, noted this control: "We have to be very protective of the property. We don't take lightly any potential partners and we have to be very selective ... for him to continue to be as popular as he is, great care needs to be taken of his use". However, the Foundation has been criticised by scholars as "trivialising the work of Hergé by concentrating on the more lucrative merchandising" in the wake of a move in the late 1990s to charge them for using relevant images to illustrate their papers on the series. Tintin memorabilia and merchandise has allowed a chain of stores based solely on the character to become viable. The first shop was launched in 1984 in Covent Garden, London. Tintin shops have also opened in both Bruges and Brussels in Belgium, and in Montpellier, France. In 2014, a Tintin shop opened in Taguig, the Philippines, only the second of its kind in Southeast Asia. The first Tintin shop in Southeast Asia opened in Singapore in 2010. The British bookstore chain, Ottakar's, founded in 1987, was named after the character of King Ottokar from the Tintin book King Ottokar's Sceptre, and their shops stocked a large amount of Tintin merchandise until their takeover by Waterstone's in 2006. Stamps and coins Tintin's image has been used on postage stamps on numerous occasions. The first Tintin postage stamp was an eight-franc stamp issued by Belgian Post for the 50th anniversary of the publication of Tintin's first adventure on 29 September 1979, featuring Tintin and Snowy looking through a magnifying glass at several stamps. In 1999, a nine-stamp block celebrating ten years of the Belgian Comic Strip Center was issued, with the center stamp a photo of Tintin's famous moon rocket that dominates the Comic Strip Center's entry hall. To mark the end of the Belgian Franc and to celebrate the seventieth anniversary of the publication of Tintin in the Congo, two more stamps were issued by Belgian Post on 31 December 2001: Tintin in a pith helmet and a souvenir sheet with a single stamp in the center. The stamps were jointly issued in the Democratic Republic of the Congo. In 2004, Belgian Post celebrated its own seventy-fifth anniversary, as well as the fiftieth anniversary of the publication of Explorers on the Moon, and the thirty-fifth anniversary of the moon landings with a souvenir sheet of five stamps based upon the Explorers on the Moon adventure. To celebrate the centenary of Hergé's birth in 2007, Belgian Post issued a sheet of 25 stamps depicting the album covers of all 24 Adventures of Tintin (in 24 languages) plus Hergé's portrait in the center. A souvenir sheet of ten stamps called "Tintin on screen", issued 30 August 2011, depicts the Tintin film and television adaptations. Tintin has also been commemorated by coin several times. In 1995, the (Paris Mint) issued a set of twelve gold medallions, available in a limited edition of 5000. A silver medallion was minted in 2004 to commemorate the 50th anniversary of the Tintin book Explorers on the Moon, again in a limited run, this time of 10,000. It quickly sold out. In 2004, Belgium minted a limited edition commemorative euro coin featuring Tintin and Snowy celebrating the 75th anniversary of Tintin's first adventure in January 2004. Although it has a face value of €10, it is, as with other commemorative euro coins, legal tender only in the country in which it was issued—in this case, Belgium. In 2006–2012 France issued the Comic Strip Heroes commemorative coin series featuring famous Franco-Belgian comics, beginning in 2006 with Tintin. It was a set of six different euro coins honouring Hergé: three 1½-euro silver coins featuring Tintin and the Professor, Tintin and Captain Haddock, and Tintin and Chang; a €10 (gold) featuring Tintin; and a €20 (silver) and a €50 (gold) featuring Tintin and Snowy. In 2007, on Hergé's centenary, Belgium issued its €20 (silver) Hergé/Tintin coin. Parody and pastiche During Hergé's lifetime, parodies were produced of the Adventures of Tintin, with one of the earliest appearing in Belgian newspaper La Patrie after the liberation of the country from Nazi German occupation in September 1944. Entitled ("Tintin in the Land of the Nazis"), the short and crudely drawn strip lampoons Hergé for working for a Nazi-run newspaper during the occupation. Following Hergé's death, hundreds more unofficial parodies and pastiches of the Adventures of Tintin were produced, covering a wide variety of different genres. Tom McCarthy divided such works into three specific groupings: pornographic, political, and artistic. In a number of cases, the actual name "Tintin" is replaced by something similar, like Nitnit, Timtim, or Quinquin, within these books. McCarthy's first group, pornographic parodies, includes 1976's Tintin en Suisse ("Tintin in Switzerland") and Jan Bucquoy's 1992 work La Vie Sexuelle de Tintin ("Tintin's Sex Life"), featuring Tintin and the other characters engaged in sexual acts. Another such example was Tintin in Thailand, in which Tintin, Haddock, and Calculus travel to the East Asian country for a sex holiday. The book began circulating in December 1999, but in 2001, Belgian police arrested those responsible and confiscated 650 copies for copyright violation. Other parodies have been produced for political reasons: for instance, Tintin in Iraq lampoons the world politics of the early 21st century, with Hergé's character General Alcazar representing President of the United States George W. Bush. Written by the pseudonymous Jack Daniels, Breaking Free (1989) is a revolutionary socialist comic set in Britain during the 1980s, with Tintin and his uncle (modelled after Captain Haddock) being working class Englishmen who turn to socialism in order to oppose the capitalist policies of the Conservative Party government of Margaret Thatcher. When first published in Britain, it caused an outrage in the mainstream press, with one paper issuing the headline that "Commie nutters turn Tintin into picket yob!" Other comic creators have chosen to create artistic stories that are more like fan fiction than parody. The Swiss artist Exem created the irreverent comic adventures of Zinzin, what The Guardian calls "the most beautifully produced of the pastiches." Similarly, Canadian cartoonist Yves Rodier has produced a number of Tintin works, none of which have been authorised by the Hergé Foundation, including a 1986 "completion" of the unfinished Tintin and Alph-art, which he drew in Hergé's style. The response to these parodies has been mixed in the Tintinological community. Many despise them, seeing them as an affront to Hergé's work. Nick Rodwell of the Hergé Foundation took this view, declaring that "none of these copyists count as true fans of Hergé. If they were, they would respect his wishes that no one but him draw Tintin's adventures". Where possible, the foundation has taken legal action against those known to be producing such items. Others have taken a different attitude, considering such parodies and pastiches to be tributes to Hergé, and collecting them has become a "niche specialty". Exhibitions After Hergé's death in 1983, his art began to be honoured at exhibitions around the world, keeping Tintin awareness at a high level. The first major Tintin exhibition in London was Tintin: 60 years of Adventure, held in 1989 at the Town Hall in Chelsea. This early exhibition displayed many of Hergé's original sketches and inks, as well as some original gouaches. In 2001, an exhibition entitled ("Billions of Blistering Barnacles!") was shown at the National Navy Museum () in Paris. In 2002, the Bunkamura Museum of Art in Tokyo staged an exhibition of original Hergé drawings as well as of the submarine and rocket ship invented in the strips by Professor Calculus. The National Maritime Museum in Greenwich, London, hosted the exhibition The Adventures of Tintin at Sea in 2004, focusing on Tintin's sea exploits, and in commemoration of the 75th anniversary of the publication of Tintin's first adventure. 2004 also saw an exhibition in Halles Saint Géry in Brussels titled Tintin et la ville ("Tintin and the City") showcasing all cities in the world Tintin had travelled. The Belgian Comic Strip Center in the Brussels business district added exhibits dedicated to Hergé in 2004. The Brussels' Comic Book Route in the center of Brussels added its first Tintin mural in July 2005. The centenary of Hergé's birth in 2007 was commemorated at the largest museum for modern art in Europe, the Centre Georges Pompidou in Paris, with Hergé, an art exhibition honouring his work. The exhibition, which ran from 20 December 2006 until 19 February 2007, featured some 300 of Hergé's boards and original drawings, including all 124 original plates of The Blue Lotus. Laurent le Bon, organiser of the exhibit said: "It was important for the Centre to show the work of Hergé next to that of Matisse or Picasso". Michael Farr claimed: "Hergé has long been seen as a father figure in the comics world. If he's now recognised as a modern artist, that's very important". 2009 saw the opening of the Hergé Museum (), designed in contemporary style, in the town of Louvain-la-Neuve, south of Brussels. Visitors follow a sequence of eight permanent exhibit rooms covering the entire range of Hergé's work, showcasing the world of Tintin and his other creations. In addition, the new museum has already seen many temporary exhibits, including Into Tibet With Tintin. Legacy Hergé is recognised as one of the leading cartoonists of the twentieth century. Most notably, Hergé's style has been influential to creators of other Franco-Belgian comics. Contributors to Tintin magazine have employed , and later artists Jacques Tardi, Yves Chaland, Jason Little, Phil Elliott, Martin Handford, Geof Darrow, Eric Heuvel, Garen Ewing, Joost Swarte, and others have produced works using it. In the wider art world, both Andy Warhol and Roy Lichtenstein have claimed Hergé as one of their most important influences. Lichtenstein made paintings based on fragments from Tintin comics, whilst Warhol used and even made a series of paintings with Hergé as the subject. Warhol, who admired Tintin's "great political and satirical dimensions", said, "Hergé has influenced my work in the same way as Walt Disney. For me, Hergé was more than a comic strip artist". Hergé has been lauded as "creating in art a powerful graphic record of the 20th century's tortured history" through his work on Tintin, whilst Maurice Horn's World Encyclopedia of Comics declares him to have "spear-headed the post-World War II renaissance of European comic art". French philosopher Michel Serres noted that the twenty-three completed Tintin albums constituted a "" ("masterpiece") to which "the work of no French novelist is comparable in importance or greatness". In 1966, Charles de Gaulle said: "Basically, you know, my only international rival is Tintin! We are the little ones who don't let themselves be fooled by the big ones". In March 2015, Brussels Airlines painted an Airbus A320-200 with registration OO-SNB in a special Tintin livery. Tintin has become a symbol of Belgium and so was used in a variety of visual responses to the 2016 Brussels bombings. List of titles Following are the twenty-four canonical Tintin comic albums, with their English titles. Publication dates are for the original French-language versions. The following are double albums with a continuing story arc: Cigars of the Pharaoh (no. 4) & The Blue Lotus (no. 5) The Secret of the Unicorn (no. 11) & Red Rackham's Treasure (no. 12) The Seven Crystal Balls (no. 13) & Prisoners of the Sun (no. 14) Destination Moon (no. 16) & Explorers on the Moon (no. 17) Hergé attempted and then abandoned
walking sticks except when sent abroad; during those missions they attempt the national costume of the locality they are visiting, but instead dress in conspicuously stereotypical folkloric attire which makes them stand apart. The detectives were based partly on Hergé's father Alexis and uncle Léon, identical twins who often took walks together, wearing matching bowler hats while carrying matching walking sticks. Bianca Castafiore is an opera singer of whom Haddock is terrified. She was first introduced in King Ottokar's Sceptre and seems to appear wherever the protagonists travel, along with her maid Irma and pianist Igor Wagner. Although amiable and strong-willed, she is also comically foolish, whimsical, absent-minded, talkative, and seemingly unaware that her voice is shrill and appallingly loud. Her speciality is the Jewel Song ( / Ah! My beauty past compare, these jewels bright I wear) from opera, Faust, which she sings at the least provocation, much to Haddock's dismay. She is often maternal toward Haddock, of whose dislike she remains ignorant. She often confuses words, especially names, with other words that rhyme with them or of which they remind her; "Haddock" is frequently replaced by malapropisms such as "Paddock", "Stopcock", or "Hopscotch", while Nestor, Haddock's butler, is confused with "Chestor" and "Hector". Her own name means "white and chaste flower": a meaning to which Professor Calculus once refers when he breeds a white rose and names it for the singer. She was based upon opera divas in general (according to Hergé's perception), Hergé's Aunt Ninie (who was known for her "shrill" singing of opera), and, in the post-war comics, on Maria Callas. Other recurring characters include Nestor the butler, Chang (or Chang-Chong-Chen in full) the loyal Chinese boy who, like Tintin, is not defined by a particular backstory, Rastapopoulos the criminal mastermind, Jolyon Wagg the infuriating (to Haddock) insurance salesman, General Alcazar the South American freedom fighter and President of San Theodoros, Mohammed Ben Kalish Ezab the Arab emir, and Abdullah his mischievous son, Dr. Müller the evil German psychiatrist, Oliveira da Figueira the friendly Portuguese salesman, Cutts the butcher whose phone number is repeatedly confused with Haddock's, and Allan the henchman of Rastapopoulos and formerly Haddock's first mate. Settings The settings within Tintin have also added depth to the strips. Hergé mixes real and fictional lands into his stories. In King Ottokar's Sceptre (revisited once more in The Calculus Affair) Hergé creates two fictional countries, Syldavia and Borduria, and invites the reader to tour them in text through the insertion of a travel brochure into the storyline. Other fictional lands include Khemed on the Arabian Peninsula and San Theodoros, São Rico, and Nuevo Rico in South America, as well as the kingdom of Gaipajama in India. Apart from these fictitious locations, Tintin also visits real places such as Switzerland, the United Kingdom, the United States, the Soviet Union, Belgian Congo, Peru, India, Egypt, Morocco, Indonesia, Nepal, Tibet, and China. Other actual locales used were the Sahara Desert, the Atlantic Ocean, and the Moon. Research Hergé's extensive research began with The Blue Lotus; Hergé said that "it was from that time that I undertook research and really interested myself in the people and countries to which I sent Tintin, out of a sense of responsibility to my readers". Hergé's use of research and photographic reference allowed him to build a realised universe for Tintin, going so far as to create fictionalised countries, dressing them with specific political cultures. These were heavily informed by the cultures evident in Hergé's lifetime. Pierre Skilling has asserted that Hergé saw monarchy as "the legitimate form of government", noting that democratic "values seem underrepresented in [such] a classic Franco-Belgian strip". Syldavia in particular is described in considerable detail, Hergé creating a history, customs, and a language, which is actually a Slavic-looking transcript of Marols, a working-class Brussels dialect. He set the country in the Balkans, and it is, by his own admission, modelled after Albania. The country finds itself threatened by neighbouring Borduria, with an attempted annexation appearing in King Ottokar's Sceptre. This situation parallels the Italian conquest of Albania, and that of Czechoslovakia and Austria by expansionist Nazi Germany prior to World War II. Hergé's use of research would include months of preparation for Tintin's voyage to the moon in the two-part storyline spread across Destination Moon and Explorers on the Moon. His research for the storyline was noted in New Scientist: "The considerable research undertaken by Hergé enabled him to come very close to the type of space suit that would be used in future Moon exploration, although his portrayal of the type of rocket that was actually used was a long way off the mark". The moon rocket is based on the German V-2 rockets. Influences In his youth, Hergé admired and suggested that a number of images within Tintin in the Land of the Soviets reflected this influence, particularly the pictures of animals. , the Art Deco designer, also affected early Tintin adventures: "His influence can be detected at the beginning of the Soviets, where my drawings are designed along a decorative line, like an 'S'". Hergé also felt no compunction in admitting that he had stolen the image of round noses from George McManus, feeling they were "so much fun that I used them, without scruples!" During the extensive research Hergé carried out for The Blue Lotus, he became influenced by Chinese and Japanese illustrative styles and woodcuts. This is especially noticeable in the seascapes, which are reminiscent of works by Hokusai and Hiroshige. Hergé also declared Mark Twain an influence, although this admiration may have led him astray when depicting Incas as having no knowledge of an upcoming solar eclipse in Prisoners of the Sun, an error T. F. Mills attributed to an attempt to portray "Incas in awe of a latter-day 'Connecticut Yankee'". Translation into English British Tintin first appeared in English in the weekly British children's comic Eagle in 1951 with the story King Ottokar's Sceptre. It was translated in conjunction with Casterman, Tintin's publishers, and starts by describing Tintin as "a French boy". Snowy was called by his French name "Milou". The process of translating Tintin into British English was then commissioned in 1958 by Methuen, Hergé's British publishers. It was a joint operation, headed by Leslie Lonsdale-Cooper and Michael Turner, working closely with Hergé to attain an accurate translation as true as possible to the original work. Due in part to the large amount of language-specific word play (such as punning) in the series, especially the jokes which played on Professor Calculus' partial deafness, it was never the intention to translate literally, instead striving to sculpt a work whose idioms and jokes would be meritorious in their own right. Despite the free hand Hergé afforded the two, they worked closely with the original text, asking for regular assistance to understand Hergé's intentions. The British translations were also Anglicised to appeal to British customs and values. Milou, for example, was renamed Snowy at the translators' discretion. Captain Haddock's was renamed Marlinspike Hall. When it came time to translate The Black Island, which is set in Great Britain, the opportunity was taken to redraw the entire book. Methuen had decided that the book did not portray Great Britain accurately enough, and had compiled a list of 131 errors of detail which should be put right, such as ensuring that the British police were unarmed and ensuring scenes of the British countryside were more accurate for discerning British readers. The resulting album is the dramatically updated and redrawn 1966 version that is the most commonly available today. , Egmont publishes Tintin books in the United Kingdom and elsewhere. American The Tintin books have had relatively limited popularity in the United States. The works were first adapted for the American English market by Golden Books, a branch of the Western Publishing Company in the 1950s. The albums were translated from French into American English with some artwork panels blanked except for the speech balloons. This was done to remove content considered to be inappropriate for children, such as drunkenness and free mixing of races. The albums were not popular and only six were published in mixed order. The edited albums later had their blanked areas redrawn by Hergé to be more acceptable, and they currently appear this way in published editions around the world. From 1966 to 1979, Children's Digest included monthly instalments of The Adventures of Tintin. These serialisations served to increase Tintin's popularity, introducing him to many thousands of new readers in the United States. Atlantic Monthly Press, in cooperation with Little, Brown and Company beginning in the 1970s, republished the albums based on the British translations. Alterations were made to vocabulary not well known to an American audience (such as gaol, tyre, saloon, and spanner). , Little, Brown and Company (owned by the Hachette Book Group USA) continues to publish Tintin books in the United States. Digital Moulinsart's official Tintin app in Apple's App Store, launched with the release of the digital version of Tintin in the Congo on 5 June 2015, features brand new English language translations by journalist, writer and Tintin expert Michael Farr. Lettering and typography The English-language Adventures of Tintin books were originally published with handwritten lettering created by cartographer Neil Hyslop. 1958's The Crab with the Golden Claws was the first to be published with Hyslop's lettering. Hyslop was given versions of Hergé's artwork with blank panels. Hyslop would write his English script on a clear cellophane-like material, aiming to fit within the original speech bubble. Occasionally the size of the bubbles would need to be adjusted if the translated text would not fit. In the early 2000s, Tintin's English publishers Egmont discontinued publishing books featuring Hyslop's handwritten lettering, instead publishing books with text created with digital fonts. This change was instigated by publisher Casterman and Hergé's estate managers Moulinsart, who decided to replace localised hand-lettering with a single computerised font for all Tintin titles worldwide. Reception Awards On 1 June 2006, the Dalai Lama bestowed the International Campaign for Tibet's Light of Truth Award upon the Hergé Foundation, along with South African Archbishop Desmond Tutu. The award was in recognition of Hergé's book Tintin in Tibet, Hergé's most personal adventure, which the Executive Director of ICT Europe Tsering Jampa noted was "for many ... their introduction to the awe-inspiring landscape and culture of Tibet". In 2001, the Hergé Foundation demanded the recall of the Chinese translation of the work, which had been released with the title Tintin in Chinese Tibet. The work was subsequently published with the correct translation of the title. Accepting on behalf of the Hergé Foundation, Hergé's widow Fanny Rodwell said: "We never thought that this story of friendship would have a resonance more than 40 years later". Literary criticism The study of Tintin, sometimes referred to as "Tintinology", has become the life work of some literary critics in Belgium, France and England. Belgian author Philippe Goddin has written Hergé et Tintin reporters: Du Petit Vingtième au Journal Tintin (1986, later republished in English as Hergé and Tintin Reporters: From "Le Petit Vingtième" to "Tintin" Magazine in 1987) and Hergé et les Bigotudos (1993) amongst other books on the series. In 1983, French author Benoît Peeters released Le Monde d'Hergé, subsequently published in English as Tintin and the World of Hergé in 1988. English reporter Michael Farr has written works such as Tintin, 60 Years of Adventure (1989), Tintin: The Complete Companion (2001), Tintin & Co. (2007) and The Adventures of Hergé (2007), while English television producer Harry Thompson authored Tintin: Hergé and his Creation (1991). Literary critics, primarily in French-speaking Europe, have also examined The Adventures of Tintin. In 1984, Jean-Marie Apostolidès published his study of the Adventures of Tintin from a more "adult" perspective as Les Métamorphoses de Tintin, published in English as The Metamorphoses of Tintin, or Tintin for Adults in 2010. In reviewing Apostolidès' book, Nathan Perl-Rosenthal of The New Republic thought that it was "not for the faint of heart: it is packed with close textual analysis and laden with psychological jargon". Following Apostolidès's work, French psychoanalyst Serge Tisseron examined the series in his books Tintin et les Secrets de Famille ("Tintin and the Family Secrets"), which was published in 1990, and Tintin et le Secret d'Hergé ("Tintin and Hergé's Secret"), published in 1993. The first English-language work of literary criticism devoted to the series was Tintin and the Secret of Literature, written by the novelist Tom McCarthy and published in 2006. McCarthy compares Hergé's work with that of Aeschylus, Honoré de Balzac, Joseph Conrad, and Henry James and argues that the series contains the key to understanding literature itself. McCarthy considered the Adventures of Tintin to be "stupendously rich", containing "a mastery of plot and symbol, theme and sub-text" which, influenced by Tisseron's psychoanalytical readings of the work, he believed could be deciphered to reveal a series of recurring themes, ranging from bartering to implicit sexual intercourse that Hergé had featured throughout the series. Reviewing the book in The Telegraph, Toby Clements argued that McCarthy's work, and literary criticism of Hergé's comic strips in general, cut "perilously close" to simply feeding "the appetite of those willing to cross the line between enthusiast and obsessive" in the Tintinological community. Controversy The earliest stories in The Adventures of Tintin have been criticised for displaying racial stereotypes, animal cruelty, colonialism, violence, and even fascist leanings, including ethnocentric, caricatured portrayals of non-Europeans. While the Hergé Foundation has presented such criticism as naïveté and scholars of Hergé such as Harry Thompson have said that "Hergé did what he was told by the Abbé Wallez", Hergé himself felt that his background made it impossible to avoid prejudice, stating: "I was fed the prejudices of the bourgeois society that surrounded me". In Tintin in the Land of the Soviets, the Bolsheviks were presented as villains. Hergé drew on Moscow Unveiled, a work given to him by Wallez and authored by Joseph Douillet, the former Belgian consul in Russia, that is highly critical of the Soviet regime, although Hergé contextualised this by noting that in Belgium, at the time a devout Catholic nation, "anything Bolshevik was atheist". In the story, Bolshevik leaders are motivated by personal greed and a desire to deceive the world. Tintin discovers, buried, "the hideout where Lenin, Trotsky, and Stalin have collected together wealth stolen from the people". In 1999 the issue of Tintin's politics was the subject of a debate in the French parliament; this event prompted the British weekly newspaper The Economist to publish an editorial on the matter. Tintin in the Congo has been criticised as presenting the Africans as naïve and primitive. In the original work, Tintin is shown at a blackboard addressing a class of African children: "My dear friends. I am going to talk to you today about your fatherland: Belgium". Hergé redrew this in 1946 to show a lesson in mathematics. Hergé later admitted the flaws in the original story, excusing it saying: "I portrayed these Africans according to ... this purely paternalistic spirit of the time". Sue Buswell, who was the editor of Tintin at Methuen, summarised the perceived problems with the book in 1988 as "all to do with rubbery lips and heaps of dead animals", although Thompson noted her quote may have been "taken out of context". Drawing on André Maurois' Les Silences du colonel Bramble,
32.4% had children under the age of 18 living with them, 49.0% were married couples living together, 11.3% had a female householder with no husband present, 3.6% had a male householder with no wife present, and 36.1% were non-families. 31.2% of all households were made up of individuals, and 14.1% had someone living alone who was 65 years of age or older. The average household size was 2.35 and the average family size was 2.96. The median age in the city was 39.8 years. 24.7% of residents were under the age of 18; 7.1% were between the ages of 18 and 24; 25.4% were from 25 to 44; 27.4% were from 45 to 64; and 15.5% were 65 years of age or older. The gender makeup of the city was 46.8% male and 53.2% female. 2000 census As of the census of 2000, there were 8,574 people, 3,499 households, and 2,337 families residing in the city. The population density was 1,659.4 per square mile (640.3/km2). There were 3,651 housing units at an average density of . The racial makeup of the city was 95.85% White, 0.19% African American, 0.63% Native American, 0.69% Asian, 0.01% Pacific Islander, 1.49% from other races, and 1.14% from two or more races. Hispanic or Latino of any race were 4.40% of the population. There were 3,499 households, out of which 33.9% had children under the age of 18 living with them, 52.8% were married couples living together, 10.5% had a female householder with no husband present, and 33.2% were non-families. 28.5% of all households were made up of individuals, and 12.2% had someone living alone who was 65 years of age or older. The average household size was 2.42 and the average family size was 2.99. In the city, the population was spread out, with 26.4% under the age of 18, 7.5% from 18 to 24, 29.4% from 25 to 44, 21.5% from 45 to 64, and 15.1% who were 65 years of age or older. The median age was 36 years. For every 100 females, there were 92.6 males. For every 100 females age 18 and over, there were 87.2 males. The median income for a household in the city was $46,106, and the median income for a family was $58,239. Males had a median income of $39,672 versus $27,630 for females. The per capita income for the city was $22,797. About 3.5% of families and 4.9% of the population were below the poverty line, including 3.9% of those under age 18 and 7.4% of those age 65 or over. Economy One of the village's most well-known manufacturers was Tecumseh Products. Founded by the Herrick family during the early part
units at an average density of . The racial makeup of the city was 95.85% White, 0.19% African American, 0.63% Native American, 0.69% Asian, 0.01% Pacific Islander, 1.49% from other races, and 1.14% from two or more races. Hispanic or Latino of any race were 4.40% of the population. There were 3,499 households, out of which 33.9% had children under the age of 18 living with them, 52.8% were married couples living together, 10.5% had a female householder with no husband present, and 33.2% were non-families. 28.5% of all households were made up of individuals, and 12.2% had someone living alone who was 65 years of age or older. The average household size was 2.42 and the average family size was 2.99. In the city, the population was spread out, with 26.4% under the age of 18, 7.5% from 18 to 24, 29.4% from 25 to 44, 21.5% from 45 to 64, and 15.1% who were 65 years of age or older. The median age was 36 years. For every 100 females, there were 92.6 males. For every 100 females age 18 and over, there were 87.2 males. The median income for a household in the city was $46,106, and the median income for a family was $58,239. Males had a median income of $39,672 versus $27,630 for females. The per capita income for the city was $22,797. About 3.5% of families and 4.9% of the population were below the poverty line, including 3.9% of those under age 18 and 7.4% of those age 65 or over. Economy One of the village's most well-known manufacturers was Tecumseh Products. Founded by the Herrick family during the early part of the 20th century, Tecumseh Products initially began business manufacturing refrigeration compressors, leading Tecumseh to be known as the "Refrigeration Capital of the World." The company moved out of Tecumseh in 2008, moving the remaining production to a plant in Tupelo, Mississippi, and its headquarters to Pittsfield Township, Michigan, just outside Ann Arbor, Michigan. Consolidated Biscuit Company of McComb, Ohio, agreed to buy the Products plant in 2008, pending an environmental review. However, the deal fell through after Consolidated Biscuit Company was sold The site was found to be contaminated and cleanup begun in 2017. The land was purchased by a local developer - 100 E. Patterson LLC - with plans to clean up the land and develop mixed use space for light industrial, commercial and retail uses. The State of Michigan Department of Environmental Quality (MDEQ) awarded the City of Tecumseh $2,000,000 in funding to aid the developer in cleanup efforts. At the end of 2018 demolition at the site was nearly complete and cleanup efforts were underway with new industrial building construction planned for 2019. Overall, the City of Tecumseh's economy is quite diverse including over 250 businesses ranging from Tier 1 Automotive Suppliers to small locally owned bakeries and shoe stores. The downtown is thriving with successful businesses ranging from antiques, breweries and wineries, retail, restaurants, customer jewelers, locally owned department stores and more. Some of the largest employers include: Kirchhoff Automotive, Tecumseh Public Schools, ProMedica, Busch's,
specifications. It should describe the external specifications of the system in detail, that is everything that the user sees. The manual should be altered as feedback comes in from the implementation teams and the users. The pilot system When designing a new kind of system, a team will design a throw-away system (whether it intends to or not). This system acts as a "pilot plan" that reveals techniques that will subsequently cause a complete redesign of the system. This second, smarter system should be the one delivered to the customer, since delivery of the pilot system would cause nothing but agony to the customer, and possibly ruin the system's reputation and maybe even the company. Formal documents Every project manager should create a small core set of formal documents defining the project objectives, how they are to be achieved, who is going to achieve them, when they are going to be achieved, and how much they are going to cost. These documents may also reveal inconsistencies that are otherwise hard to see. Project estimation When estimating project times, it should be remembered that programming products (which can be sold to paying customers) and programming systems are both three times as hard to write as simple independent in-house programs. It should be kept in mind how much of the work week will actually be spent on technical issues, as opposed to administrative or other non-technical tasks, such as meetings, and especially "stand-up" or "all-hands" meetings. Communication To avoid disaster, all the teams working on a project should remain in contact with each other in as many ways as possible (e-mail, phone, meetings, memos, etc.). Instead of assuming something, implementers should ask the architect(s) to clarify their intent on a feature they are implementing, before proceeding with an assumption that might very well be completely incorrect. The architect(s) are responsible for formulating a group picture of the project and communicating it to others. The surgical team Much as a surgical team during surgery is led by one surgeon performing the most critical work, while directing the team to assist with less critical parts, it seems reasonable to have a "good" programmer develop critical system components while the rest of a team provides what is needed at the right time. Additionally, Brooks muses that "good" programmers are generally five to ten times as productive as mediocre ones. Code freeze and system versioning Software is invisible. Therefore, many things only become apparent once a certain amount of work has been done on a new system, allowing a user to experience it. This experience will yield insights, which will change a user's needs or the perception of the user's needs. The system should, therefore, be changed to fulfill the changed requirements of the user. This can only occur up to a certain point, otherwise the system may never be completed. At a certain date, no more changes should be allowed to the system and the code should be frozen. All requests for changes should be delayed until the next version of the system. Specialized tools Instead of every programmer having their own special set
of magnitude [tenfold] improvement within a decade in productivity, in reliability, in simplicity." The argument relies on the distinction between accidental complexity and essential complexity, similar to the way Amdahl's law relies on the distinction between "parallelizable" and "strictly serial". The second-system effect The second-system effect proposes that, when an architect designs a second system, it is the most dangerous system they will ever design, because they will tend to incorporate all of the additions they originally did not add to the first system due to inherent time constraints. Thus, when embarking on a second system, an engineer should be mindful that they are susceptible to over-engineering it. The tendency towards irreducible number of errors The author makes the observation that in a suitably complex system there is a certain irreducible number of errors. Any attempt to fix observed errors tends to result in the introduction of other errors. Progress tracking Brooks wrote "Question: How does a large software project get to be one year late? Answer: One day at a time!" Incremental slippages on many fronts eventually accumulate to produce a large overall delay. Continued attention to meeting small individual milestones is required at each level of management. Conceptual integrity To make a user-friendly system, the system must have conceptual integrity, which can only be achieved by separating architecture from implementation. A single chief architect (or a small number of architects), acting on the user's behalf, decides what goes in the system and what stays out. The architect or team of architects should develop an idea of what the system should do and make sure that this vision is understood by the rest of the team. A novel idea by someone may not be included if it does not fit seamlessly with the overall system design. In fact, to ensure a user-friendly system, a system may deliberately provide fewer features than it is capable of. The point being, if a system is too complicated to use, many features will go unused because no one has time to learn them. The manual The chief architect produces a manual of system specifications. It should describe the external specifications of the system in detail, that is everything that the user sees. The manual should be altered as feedback comes in from the implementation teams and the users. The pilot system When designing a new kind of system, a team will design a throw-away system (whether it intends to or not). This system acts as a "pilot plan" that reveals techniques that will subsequently cause a complete redesign of the system. This second, smarter system should be the one delivered to the customer, since delivery of the pilot system would cause nothing but agony to the customer, and possibly ruin the system's reputation and maybe even the company. Formal documents Every project manager should create a small core set of formal documents defining the project objectives, how they are to be achieved, who is going to achieve them, when they are going to be achieved, and how much they are going to cost. These documents may also reveal inconsistencies that are otherwise hard to see. Project estimation When estimating project times, it should be remembered that programming products (which can be sold to paying customers) and programming systems are both three times as hard to write as simple independent in-house programs. It should be kept in mind how much of the work week will actually be spent on technical issues, as opposed to administrative or other non-technical tasks, such as meetings, and especially "stand-up" or "all-hands" meetings. Communication To avoid disaster, all the teams working on a project should remain in contact with each other in as many ways as possible (e-mail, phone, meetings, memos, etc.). Instead of assuming something, implementers should ask the architect(s) to clarify their intent on a feature they are implementing, before proceeding with an assumption that might very well be completely incorrect. The architect(s) are responsible for formulating a group picture of the project and communicating it to others. The surgical team Much as a surgical team during surgery is led by one surgeon performing the most critical work, while directing the team to assist with less critical parts, it seems reasonable to have a "good" programmer develop critical system components while the rest of a
productions. Shakur did not graduate from high school, but he later earned his GED. Music career MC New York Shakur began recording under the stage name MC New York in 1989. That year, he began attending the poetry classes of Leila Steinberg, and she soon became his manager. Steinberg organized a concert for Shakur and his rap group Strictly Dope. Steinberg managed to get Shakur signed by Atron Gregory, manager of the rap group Digital Underground. In 1990, Gregory placed him with the Underground as a roadie and backup dancer. Digital Underground In January 1991 Shakur debuted under the stage name 2Pac on Digital Underground, under a new record label, Interscope Records, on the group's January 1991 single "Same Song", the song was featured on the soundtrack of the 1991 film Nothing but Trouble, starring Dan Aykroyd, John Candy, Chevy Chase, and Demi Moore. The song opened the group's January 1991 EP titled This Is an EP Release, while Shakur appeared in the music video. Shakur's early days with Digital Underground made his acquainted with Randy "Stretch" Walker, who along with his brother, dubbed Majesty, and a friend debuted with an EP as rap group and production team, Live Squad, in the Queens, New York. Stretch was featured on a track of the Digital Underground's 1991 album Sons of the P. Becoming fast friends, Shakur and Stretch recorded and performed together often. 2Pacalypse Now Shakur's debut album, 2Pacalypse Now—alluding to the 1979 film Apocalypse Now—arriving in November 1991, would bear three singles. Some prominent rappers—like Nas, Eminem, Game, and Talib Kweli—cite it as an inspiration. Aside from "If My Homie Calls", the singles "Trapped" and "Brenda's Got a Baby" poetically depict individual struggles under socioeconomic disadvantage. US Vice President Dan Quayle partially reacted, "There's no reason for a record like this to be released. It has no place in our society." Tupac, finding himself misunderstood, explained, in part; In any case, 2Pacalypse Now was certified Gold, half a million copies sold. The album addresses urban Black concerns said to remain relevant to the present day. Strictly 4 My N.I.G.G.A.Z... Shakur's second album, Strictly 4 My N.I.G.G.A.Z..., arrived in February 1993. A critical and commercial advance, it debuted at No. 24 on the pop albums chart, the Billboard 200. An overall more hardcore album, it emphasizes Tupac's sociopolitical views, and has a metallic production quality. It features Ice Cube, the famed primary creator of N.W.A's "Fuck tha Police", who, in his own solo albums, had newly gone militantly political, along with L.A.'s original gangsta rapper, Ice-T, who in June 1992 had sparked controversy with his band Body Count's track "Cop Killer". In fact, in its vinyl release, side A, tracks 1 to 8, is labeled the "Black Side", while side B, tracks 9 to 16, is the "Dark Side". Nonetheless, the album carries the single "I Get Around", a party anthem featuring Digital Underground's Shock G and Money-B, which would render Shakur's popular breakthrough, reaching No. 11 on the pop singles chart, the Billboard Hot 100. And it carries the optimistic compassion of another hit, "Keep Ya Head Up", an anthem for women's empowerment. This album would be certified Platinum, with a million copies sold. As of 2004, among Shakur albums, including of posthumous and compilation albums, the Strictly album would be 10th in sales, about 1,366,000 copies. Thug Life In late 1993, Shakur formed the group Thug Life with Tyrus "Big Syke" Himes, Diron "Macadoshis" Rivers, his stepbrother Mopreme Shakur, and Walter "Rated R" Burns. Thug Life released its only album, Thug Life: Volume 1, on October 11, 1994, which is certified Gold. It carries the single "Pour Out a Little Liquor", produced by Johnny "J" Jackson, who would also produce much of Shakur's album All Eyez on Me. Usually, Thug Life performed live without Tupac. The track also appears on the 1994 film Above the Rim's soundtrack. Due to gangsta rap being under heavy criticism at the time, the album's original version was scrapped, and the album redone with mostly new tracks. Still, along with Stretch, Tupac would perform the first planned single, "Out on Bail", which was never released, at the 1994 Source Awards. Biggie and Junior M.A.F.I.A. In 1993, while visiting Los Angeles, The Notorious B.I.G. asked a local drug dealer to introduce him to Shakur and they instantly became friends. The pair would socialize when Shakur went to New York or Biggie to Los Angeles. During this period, at his own live shows, Shakur would call Biggie onto stage to rap with him and Stretch. Together, they recorded the songs "Runnin' from tha Police" and "House of Pain". Reportedly, Biggie asked Shakur to manage him, whereupon Shakur advised him that Puffy would make him a star. Yet in the meantime, Shakur's lifestyle was comparatively lavish to Biggie who hadn't established himself yet. Shakur welcomed Biggie to join his side group Thug Life, but he would instead form his own side group, the Junior M.A.F.I.A., with his Brooklyn friends Lil' Cease and Lil' Kim. Shakur had a falling out with Biggie after he was shot at Quad Studios in 1994. Me Against the World Shakur's third album, Me Against the World, was released while he was incarcerated in March 1995. It is now hailed as his magnum opus, and commonly ranks among the greatest, most influential rap albums. The album debuted at No. 1 on the Billboard 200 and sold 240,000 copies in its first week, setting a then record for highest first-week sales for a solo male rapper. The lead single, "Dear Mama", was released in February 1995 with "Old School" as the B-side. It is the album's most successful single, topping the Hot Rap Singles chart, and peaking at No. 9 on the Billboard Hot 100. In July, it was certified Platinum. It ranked No. 51 on the year-end charts. The second single, "So Many Tears", was released in June 1995, reaching No. 6 on the Hot Rap Singles chart and No. 44 on Hot 100. The final single, "Temptations", was released in August 1995. It reached No. 68 on the Hot 100, No. 35 on the Hot R&B/Hip-Hop Singles & Tracks, and No. 13 on the Hot Rap Singles. Several celebrities showed their support for Shakur by appearing in the music video for "Temptations." Shakur won best rap album at the 1996 Soul Train Music Awards. In 2001, it ranked 4th among his total albums in sales, with about 3 million copies sold in the US. All Eyez on Me While Shakur was imprisoned in 1995, his mother was about to lose her house. Shakur had his wife Keisha Morris contact Death Row Records founder Suge Knight in Los Angeles. Reportedly, Shakur's mother promptly received $15,000. After an August visit to Clinton Correctional Facility in northern New York state, Knight traveled southward to New York City to attend the 2nd Annual Source Awards ceremony. Meanwhile, an East Coast–West Coast hip hop rivalry was brewing between Death Row and Bad Boy Records. In October 1995, Knight visited Shakur in prison again and posted $1.4 million bond. Shakur returned to Los Angeles and joined Death Row with the appeal of his December 1994 conviction pending. Shakur's fourth album, All Eyez on Me, arrived on February 13, 1996. It was rap's first double album—meeting two of the three albums due in Shakur's contract with Death Row—and bore five singles. The album shows Shakur rapping about the gangsta lifestyle, leaving behind his previous political messages. With standout production, the album has more party tracks and often a triumphant tone. Music journalist Kevin Powell noted that Shakur, once released from prison, became more aggressive, and "seemed like a completely transformed person". As Shakur's second album to hit No. 1 on both the Top R&B/Hip-Hop Albums chart and the pop albums chart, the Billboard 200, it sold 566,000 copies in its first week and was it was certified 5× Multi-Platinum in April. The singles "How Do U Want It" and "California Love" reached No. 1 on the Billboard Hot 100. Death Row released Shakur's diss track "Hit 'Em Up" as the non-album B-side to "How Do U Want It." In this venomous tirade, the proclaimed "Bad Boy killer" threatens violent payback on all things Bad Boy—Biggie, Puffy, Junior M.A.F.I.A., the company—and on any in New York's rap scene, like rap duo Mobb Deep and rapper Chino XL, who allegedly had commented against Shakur about the dispute. All Eyez on Me won R&B/Soul or Rap Album of the Year at the 1997 Soul Train Music Awards. At the 1997 American Music Awards, Shakur won Favorite Rap/Hip-Hop Artist. The album was certified 9× Multi-Platinum in June 1998, and 10× in July 2014. Posthumous albums At the time of his death, a fifth and final solo album was already finished, The Don Killuminati: The 7 Day Theory, under the stage name Makaveli. It had been recorded in one week in August 1996 and released that year. The lyrics were written and recorded in three days, and mixing took another four days. In 2005, MTV.com ranked The 7 Day Theory at No. 9 among hip hop's greatest albums ever, and by 2006 a classic album. Its singular poignance, through hurt and rage, contemplation and vendetta, resonate with many fans. According to George "Papa G" Pryce, Death Row Records' then director of public relations, the album was meant to be "underground", and was not intended for release before the artist was murdered. It peaked at No. 1 on Billboard's Top R&B/Hip-Hop Albums chart and on the Billboard 200, with the second-highest debut-week sales total of any album that year. On June 15, 1999, it was certified 4× Multi-Platinum. Later posthumous albums are archival productions, these albums are: R U Still Down? (1997) Greatest Hits (1998) Still I Rise (1999) Until the End of Time (2001) Better Dayz (2002) Loyal to the Game (2004) Pac's Life (2006) Film career Shakur's first film appearance was in the 1991 film Nothing but Trouble, a cameo by the Digital Underground. In 1992, he starred in Juice, where he plays the fictional Roland Bishop, a militant and haunting individual. Rolling Stones Peter Travers calls him "the film's most magnetic figure". In 1993, Shakur starred alongside Janet Jackson in John Singleton's romance film, Poetic Justice. Singleton later fired Shakur from the 1995 film Higher Learning because the studio wouldn't finance the film following his arrest. For the lead role in the eventual 2001 film Baby Boy, a role played by Tyrese Gibson, Singleton originally had Shakur in mind. Ultimately, the set design includes a Shakur mural in the protagonist's bedroom, and the film's score includes Shakur's song "Hail Mary". Director Allen Hughes had cast Shakur as Sharif in the 1993 film Menace II Society, but replaced him once Shakur assaulted him on set due to a discrepancy with the script. Nonetheless, in 2013, Hughes appraises that Shakur would have outshone the other actors "because he was bigger than the movie". Shakur played a gangster, the fictional Birdie, in the 1994 film Above the Rim. By some accounts, the role Birdie, played by Shakur in the 1994 film Above the Rim, had been modeled after former New York drug dealer Jacques "Haitian Jack" Agnant, who managed and promoted rappers. Shakur was introduced to him at a Queens nightclub. Reportedly, Biggie advised Shakur to avoid him, but Shakur disregarded the warning. Through Haitian Jack, Shakur met James "Jimmy Henchman" Rosemond, also a drug dealer who doubled as music manager. Soon after Shakur's death, three more films starring him were released, Bullet (1996), Gridlock'd (1997), and Gang Related (1997). 1994 Quad Studios shooting On November 30, 1994, while in New York recording verses for a mixtape of Ron G, Shakur was repeatedly distracted by his beeper. Music manager James "Jimmy Henchman" Rosemond, reportedly offered Shakur $7,000 to stop by Quad Studios, in Times Square, that night to record a verse for his client Little Shawn. Shakur was unsure, but agreed to the session as he needed the cash to offset legal costs. He arrived with Stretch and one or two others. In the lobby, three men robbed and beat him at gunpoint; Shakur resisted and was shot. Shakur speculated that the shooting had been a set-up. Against doctor's advice, Shakur checked out of Metropolitan Hospital Center a few hours after surgery and secretly went to the house of the actress Jasmine Guy to recuperate. The next day, Shakur arrived at a Manhattan courthouse bandaged in a wheelchair to receive the jury's verdict for his sexual abuse case. Shakur posted a $25,000 bond and spent the next few weeks being cared for by his mother and a private doctor at Guy's home. The Fruit of Islam and former members of the Black Panther Party stood guard to protect him. Set up accusations involving The Notorious B.I.G. In a 1995 interview with Vibe magazine, Shakur accused Sean Combs, Jimmy Henchman, and Biggie, among others, of setting up or being privy to the November 1994 robbery and shooting. Vibe alerted the names of the accused. The accusations were significant to the East-West Coast rivalry in hip-hop, the accusation was because Sean Combs and Biggie were at Quad Studios at the time and in 1995, months later, Combs and Biggie releasing song "Who Shot Ya?", whereas the song made no direct reference or naming of Shakur, Shakur mistakenly took it as a mockery of his shooting and thought they could be responsible, so he released a direct diss song called "Hit 'Em Up", where he targeted Wallace, Combs, their record label, Junior M.A.F.I.A., and at the end of "Hit 'Em Up", he mentions rivals Mobb Deep and Chino XL. In March 2008, Chuck Philips, in the Los Angeles Times, reported on the 1994 ambush and shooting. The newspaper later retracted the article since it relied partially on FBI documents later discovered forged, supplied by a man convicted of fraud. In June 2011, convicted murderer Dexter Isaac, incarcerated in Brooklyn, issued a confession that he had been one of the gunmen who had robbed and shot Shakur at Henchman's order. Philips then named Isaac as one of his own, retracted article's unnamed sources. Personal life In his 1995 interview with Vibe magazine, Shakur listed Jada Pinkett, Jasmine Guy, Treach and Mickey Rourke among the people who were looking out for him while he was in prison. Shakur also mentioned that Madonna was a supportive friend. Madonna later revealed that they had dated in 1994. Shakur had met Jada Pinkett while attending the Baltimore School for the Arts. She appeared in his music videos "Keep Ya Head Up" and "Temptations." In 1995, Pinkett contributed $100,000 towards Shakur's bail as he awaited an appeal on his sexual abuse conviction. Speaking about Pinkett, Shakur stated: "Jada is my heart. She will be my friend for my whole life"; and Pinkett said he was "one of my best friends. He was like a brother. It was beyond friendship for us. The type of relationship we had, you only get that once in a lifetime." After Shakur was shot in 1994, he recuperated at Jasmine Guy's home. They had met during his guest appearance on the sitcom A Different World in 1993. Guy appeared in his music video "Temptations" and later wrote his mother's 2004 biography, Afeni Shakur: Evolution of a Revolutionary. Shakur befriended Treach when they were both roadies on Public Enemy's tour in 1990. He made a cameo in Naughty by Nature's music video "Uptown Anthem" in 1992. Treach collaborated with Shakur on his song "5 Deadly Venomz" and appeared in his music video "Temptations." Treach was also a speaker at a public memorial service for Shakur in 1996. Shakur and Mickey Rourke formed a bond while filming the movie Bullet in 1994. Rourke recalled that Shakur "was there for me during some very hard times." Shakur had friendships with other celebrities, including Mike Tyson Chuck D, Jim Carrey, and Alanis Morissette. In April 1996, Shakur said that Morrissette, Snoop Dogg, and Suge Knight were planning to open a restaurant together. On April 29, 1995, Shakur married his then girlfriend Keisha Morris, a pre-law student. Their marriage was annulled ten months later. In a 1993 interview published in The Source, Shakur berated record producer Quincy Jones for his interracial marriage to actress Peggy Lipton. Their daughter Rashida Jones responded with an irate open letter. Years later, Shakur apologized to her sister Kidada Jones, who he was dating at the time of his death in 1996. From June 29–July 3, 1996, Shakur and Kidada Jones were in Italy, specifically in Milan and Florence, for a tour of fashion shows, most notably Gianni and Donatella Versace's fashion show and Giorgio Armani's fashion show. Legal issues Sexual assault case, prison sentence, appeal and release In November 1993, Shakur and two other men were charged in New York with sodomizing a woman in Shakur's hotel room. The woman, Ayanna Jackson, alleged that after she performed oral sex on Shakur at the public dance floor of a Manhattan nightclub, she went to his hotel room a later day, when Shakur, record executive Jacques "Haitian Jack" Agnant, Shakur's road manager Charles Fuller and a fourth man never apprehended forced her to perform non-consensual oral sex on each of them. Shakur was also charged with illegal possession of a firearm as two guns were found in the hotel room. Interviewed on The Arsenio Hall Show, Shakur said he was hurt that "a woman would accuse me of taking something from her", as he had been raised in a female household and surrounded by women his whole life. On December 1, 1994, Shakur was acquitted of three counts of sodomy and the associated gun charges, but convicted of two counts of first-degree sexual abuse for "forcibly touching the woman's buttocks" in his hotel room. Jurors have said the lack of evidence stymied a sodomy conviction. In February 1995, he was sentenced to 18 months to years in prison by a judge who decried "an act of brutal violence against a helpless woman". Shakur's lawyer characterized the sentence as "out of line" with the groping conviction and the setting of bail at $3 million as "inhumane". Shakur's accuser later filed a civil suit against Shakur seeking $10 million for punitive damages which was subsequently settled. In November 1994, after Shakur had been convicted of sexual abuse, Jacques Agnant's case was separated and closed via misdemeanor plea without incarceration. New York Daily News's A. J. Benza reported Shakur's new disdain for Agnant who Shakur theorized had set him up with the case. Shakur reportedly believed his accuser was connected to and had sexual relations with Agnant and James Rosemond behind his 1994 Quad Studios shooting. Shakur began serving his prison sentence on sexual abuse charges inside Clinton Correctional Facility on February 14, 1995; he also spent a few months recuperating at Rikers Island. While imprisoned, he began reading again, which he was unable to do as his career progressed due to his marijuana and alcohol habits. Works such as The Prince by Italian philosopher Niccolò Machiavelli and The Art of War by Chinese military strategist Sun Tzu sparked Shakur's interest in philosophy, philosophy of war and military strategy. On April 4, 1995, Shakur married his longtime girlfriend Keisha Morris; the marriage was
on the 1994 film Above the Rim's soundtrack. Due to gangsta rap being under heavy criticism at the time, the album's original version was scrapped, and the album redone with mostly new tracks. Still, along with Stretch, Tupac would perform the first planned single, "Out on Bail", which was never released, at the 1994 Source Awards. Biggie and Junior M.A.F.I.A. In 1993, while visiting Los Angeles, The Notorious B.I.G. asked a local drug dealer to introduce him to Shakur and they instantly became friends. The pair would socialize when Shakur went to New York or Biggie to Los Angeles. During this period, at his own live shows, Shakur would call Biggie onto stage to rap with him and Stretch. Together, they recorded the songs "Runnin' from tha Police" and "House of Pain". Reportedly, Biggie asked Shakur to manage him, whereupon Shakur advised him that Puffy would make him a star. Yet in the meantime, Shakur's lifestyle was comparatively lavish to Biggie who hadn't established himself yet. Shakur welcomed Biggie to join his side group Thug Life, but he would instead form his own side group, the Junior M.A.F.I.A., with his Brooklyn friends Lil' Cease and Lil' Kim. Shakur had a falling out with Biggie after he was shot at Quad Studios in 1994. Me Against the World Shakur's third album, Me Against the World, was released while he was incarcerated in March 1995. It is now hailed as his magnum opus, and commonly ranks among the greatest, most influential rap albums. The album debuted at No. 1 on the Billboard 200 and sold 240,000 copies in its first week, setting a then record for highest first-week sales for a solo male rapper. The lead single, "Dear Mama", was released in February 1995 with "Old School" as the B-side. It is the album's most successful single, topping the Hot Rap Singles chart, and peaking at No. 9 on the Billboard Hot 100. In July, it was certified Platinum. It ranked No. 51 on the year-end charts. The second single, "So Many Tears", was released in June 1995, reaching No. 6 on the Hot Rap Singles chart and No. 44 on Hot 100. The final single, "Temptations", was released in August 1995. It reached No. 68 on the Hot 100, No. 35 on the Hot R&B/Hip-Hop Singles & Tracks, and No. 13 on the Hot Rap Singles. Several celebrities showed their support for Shakur by appearing in the music video for "Temptations." Shakur won best rap album at the 1996 Soul Train Music Awards. In 2001, it ranked 4th among his total albums in sales, with about 3 million copies sold in the US. All Eyez on Me While Shakur was imprisoned in 1995, his mother was about to lose her house. Shakur had his wife Keisha Morris contact Death Row Records founder Suge Knight in Los Angeles. Reportedly, Shakur's mother promptly received $15,000. After an August visit to Clinton Correctional Facility in northern New York state, Knight traveled southward to New York City to attend the 2nd Annual Source Awards ceremony. Meanwhile, an East Coast–West Coast hip hop rivalry was brewing between Death Row and Bad Boy Records. In October 1995, Knight visited Shakur in prison again and posted $1.4 million bond. Shakur returned to Los Angeles and joined Death Row with the appeal of his December 1994 conviction pending. Shakur's fourth album, All Eyez on Me, arrived on February 13, 1996. It was rap's first double album—meeting two of the three albums due in Shakur's contract with Death Row—and bore five singles. The album shows Shakur rapping about the gangsta lifestyle, leaving behind his previous political messages. With standout production, the album has more party tracks and often a triumphant tone. Music journalist Kevin Powell noted that Shakur, once released from prison, became more aggressive, and "seemed like a completely transformed person". As Shakur's second album to hit No. 1 on both the Top R&B/Hip-Hop Albums chart and the pop albums chart, the Billboard 200, it sold 566,000 copies in its first week and was it was certified 5× Multi-Platinum in April. The singles "How Do U Want It" and "California Love" reached No. 1 on the Billboard Hot 100. Death Row released Shakur's diss track "Hit 'Em Up" as the non-album B-side to "How Do U Want It." In this venomous tirade, the proclaimed "Bad Boy killer" threatens violent payback on all things Bad Boy—Biggie, Puffy, Junior M.A.F.I.A., the company—and on any in New York's rap scene, like rap duo Mobb Deep and rapper Chino XL, who allegedly had commented against Shakur about the dispute. All Eyez on Me won R&B/Soul or Rap Album of the Year at the 1997 Soul Train Music Awards. At the 1997 American Music Awards, Shakur won Favorite Rap/Hip-Hop Artist. The album was certified 9× Multi-Platinum in June 1998, and 10× in July 2014. Posthumous albums At the time of his death, a fifth and final solo album was already finished, The Don Killuminati: The 7 Day Theory, under the stage name Makaveli. It had been recorded in one week in August 1996 and released that year. The lyrics were written and recorded in three days, and mixing took another four days. In 2005, MTV.com ranked The 7 Day Theory at No. 9 among hip hop's greatest albums ever, and by 2006 a classic album. Its singular poignance, through hurt and rage, contemplation and vendetta, resonate with many fans. According to George "Papa G" Pryce, Death Row Records' then director of public relations, the album was meant to be "underground", and was not intended for release before the artist was murdered. It peaked at No. 1 on Billboard's Top R&B/Hip-Hop Albums chart and on the Billboard 200, with the second-highest debut-week sales total of any album that year. On June 15, 1999, it was certified 4× Multi-Platinum. Later posthumous albums are archival productions, these albums are: R U Still Down? (1997) Greatest Hits (1998) Still I Rise (1999) Until the End of Time (2001) Better Dayz (2002) Loyal to the Game (2004) Pac's Life (2006) Film career Shakur's first film appearance was in the 1991 film Nothing but Trouble, a cameo by the Digital Underground. In 1992, he starred in Juice, where he plays the fictional Roland Bishop, a militant and haunting individual. Rolling Stones Peter Travers calls him "the film's most magnetic figure". In 1993, Shakur starred alongside Janet Jackson in John Singleton's romance film, Poetic Justice. Singleton later fired Shakur from the 1995 film Higher Learning because the studio wouldn't finance the film following his arrest. For the lead role in the eventual 2001 film Baby Boy, a role played by Tyrese Gibson, Singleton originally had Shakur in mind. Ultimately, the set design includes a Shakur mural in the protagonist's bedroom, and the film's score includes Shakur's song "Hail Mary". Director Allen Hughes had cast Shakur as Sharif in the 1993 film Menace II Society, but replaced him once Shakur assaulted him on set due to a discrepancy with the script. Nonetheless, in 2013, Hughes appraises that Shakur would have outshone the other actors "because he was bigger than the movie". Shakur played a gangster, the fictional Birdie, in the 1994 film Above the Rim. By some accounts, the role Birdie, played by Shakur in the 1994 film Above the Rim, had been modeled after former New York drug dealer Jacques "Haitian Jack" Agnant, who managed and promoted rappers. Shakur was introduced to him at a Queens nightclub. Reportedly, Biggie advised Shakur to avoid him, but Shakur disregarded the warning. Through Haitian Jack, Shakur met James "Jimmy Henchman" Rosemond, also a drug dealer who doubled as music manager. Soon after Shakur's death, three more films starring him were released, Bullet (1996), Gridlock'd (1997), and Gang Related (1997). 1994 Quad Studios shooting On November 30, 1994, while in New York recording verses for a mixtape of Ron G, Shakur was repeatedly distracted by his beeper. Music manager James "Jimmy Henchman" Rosemond, reportedly offered Shakur $7,000 to stop by Quad Studios, in Times Square, that night to record a verse for his client Little Shawn. Shakur was unsure, but agreed to the session as he needed the cash to offset legal costs. He arrived with Stretch and one or two others. In the lobby, three men robbed and beat him at gunpoint; Shakur resisted and was shot. Shakur speculated that the shooting had been a set-up. Against doctor's advice, Shakur checked out of Metropolitan Hospital Center a few hours after surgery and secretly went to the house of the actress Jasmine Guy to recuperate. The next day, Shakur arrived at a Manhattan courthouse bandaged in a wheelchair to receive the jury's verdict for his sexual abuse case. Shakur posted a $25,000 bond and spent the next few weeks being cared for by his mother and a private doctor at Guy's home. The Fruit of Islam and former members of the Black Panther Party stood guard to protect him. Set up accusations involving The Notorious B.I.G. In a 1995 interview with Vibe magazine, Shakur accused Sean Combs, Jimmy Henchman, and Biggie, among others, of setting up or being privy to the November 1994 robbery and shooting. Vibe alerted the names of the accused. The accusations were significant to the East-West Coast rivalry in hip-hop, the accusation was because Sean Combs and Biggie were at Quad Studios at the time and in 1995, months later, Combs and Biggie releasing song "Who Shot Ya?", whereas the song made no direct reference or naming of Shakur, Shakur mistakenly took it as a mockery of his shooting and thought they could be responsible, so he released a direct diss song called "Hit 'Em Up", where he targeted Wallace, Combs, their record label, Junior M.A.F.I.A., and at the end of "Hit 'Em Up", he mentions rivals Mobb Deep and Chino XL. In March 2008, Chuck Philips, in the Los Angeles Times, reported on the 1994 ambush and shooting. The newspaper later retracted the article since it relied partially on FBI documents later discovered forged, supplied by a man convicted of fraud. In June 2011, convicted murderer Dexter Isaac, incarcerated in Brooklyn, issued a confession that he had been one of the gunmen who had robbed and shot Shakur at Henchman's order. Philips then named Isaac as one of his own, retracted article's unnamed sources. Personal life In his 1995 interview with Vibe magazine, Shakur listed Jada Pinkett, Jasmine Guy, Treach and Mickey Rourke among the people who were looking out for him while he was in prison. Shakur also mentioned that Madonna was a supportive friend. Madonna later revealed that they had dated in 1994. Shakur had met Jada Pinkett while attending the Baltimore School for the Arts. She appeared in his music videos "Keep Ya Head Up" and "Temptations." In 1995, Pinkett contributed $100,000 towards Shakur's bail as he awaited an appeal on his sexual abuse conviction. Speaking about Pinkett, Shakur stated: "Jada is my heart. She will be my friend for my whole life"; and Pinkett said he was "one of my best friends. He was like a brother. It was beyond friendship for us. The type of relationship we had, you only get that once in a lifetime." After Shakur was shot in 1994, he recuperated at Jasmine Guy's home. They had met during his guest appearance on the sitcom A Different World in 1993. Guy appeared in his music video "Temptations" and later wrote his mother's 2004 biography, Afeni Shakur: Evolution of a Revolutionary. Shakur befriended Treach when they were both roadies on Public Enemy's tour in 1990. He made a cameo in Naughty by Nature's music video "Uptown Anthem" in 1992. Treach collaborated with Shakur on his song "5 Deadly Venomz" and appeared in his music video "Temptations." Treach was also a speaker at a public memorial service for Shakur in 1996. Shakur and Mickey Rourke formed a bond while filming the movie Bullet in 1994. Rourke recalled that Shakur "was there for me during some very hard times." Shakur had friendships with other celebrities, including Mike Tyson Chuck D, Jim Carrey, and Alanis Morissette. In April 1996, Shakur said that Morrissette, Snoop Dogg, and Suge Knight were planning to open a restaurant together. On April 29, 1995, Shakur married his then girlfriend Keisha Morris, a pre-law student. Their marriage was annulled ten months later. In a 1993 interview published in The Source, Shakur berated record producer Quincy Jones for his interracial marriage to actress Peggy Lipton. Their daughter Rashida Jones responded with an irate open letter. Years later, Shakur apologized to her sister Kidada Jones, who he was dating at the time of his death in 1996. From June 29–July 3, 1996, Shakur and Kidada Jones were in Italy, specifically in Milan and Florence, for a tour of fashion shows, most notably Gianni and Donatella Versace's fashion show and Giorgio Armani's fashion show. Legal issues Sexual assault case, prison sentence, appeal and release In November 1993, Shakur and two other men were charged in New York with sodomizing a woman in Shakur's hotel room. The woman, Ayanna Jackson, alleged that after she performed oral sex on Shakur at the public dance floor of a Manhattan nightclub, she went to his hotel room a later day, when Shakur, record executive Jacques "Haitian Jack" Agnant, Shakur's road manager Charles Fuller and a fourth man never apprehended forced her to perform non-consensual oral sex on each of them. Shakur was also charged with illegal possession of a firearm as two guns were found in the hotel room. Interviewed on The Arsenio Hall Show, Shakur said he was hurt that "a woman would accuse me of taking something from her", as he had been raised in a female household and surrounded by women his whole life. On December 1, 1994, Shakur was acquitted of three counts of sodomy and the associated gun charges, but convicted of two counts of first-degree sexual abuse for "forcibly touching the woman's buttocks" in his hotel room. Jurors have said the lack of evidence stymied a sodomy conviction. In February 1995, he was sentenced to 18 months to years in prison by a judge who decried "an act of brutal violence against a helpless woman". Shakur's lawyer characterized the sentence as "out of line" with the groping conviction and the setting of bail at $3 million as "inhumane". Shakur's accuser later filed a civil suit against Shakur seeking $10 million for punitive damages which was subsequently settled. In November 1994, after Shakur had been convicted of sexual abuse, Jacques Agnant's case was separated and closed via misdemeanor plea without incarceration. New York Daily News's A. J. Benza reported Shakur's new disdain for Agnant who Shakur theorized had set him up with the case. Shakur reportedly believed his accuser was connected to and had sexual relations with Agnant and James Rosemond behind his 1994 Quad Studios shooting. Shakur began serving his prison sentence on sexual abuse charges inside Clinton Correctional Facility on February 14, 1995; he also spent a few months recuperating at Rikers Island. While imprisoned, he began reading again, which he was unable to do as his career progressed due to his marijuana and alcohol habits. Works such as The Prince by Italian philosopher Niccolò Machiavelli and The Art of War by Chinese military strategist Sun Tzu sparked Shakur's interest in philosophy, philosophy of war and military strategy. On April 4, 1995, Shakur married his longtime girlfriend Keisha Morris; the marriage was later annulled. While in prison, Shakur exchanged letters with Jim Carrey, Freddie Foxx, Madonna, Tony Danza, Treach and Salt of the group Salt-n-Peppa among others. He was also visited by Al Sharpton, who helped Shakur get released from solitary confinement. By October 1995, pending judicial appeal, Shakur was incarcerated in New York. On October 12, he bonded out of the maximum security Dannemora Clinton Correctional Facility in the process of appealing his conviction, once Suge Knight, CEO of Death Row Records, arranged for posting of his $1.4 million bond. On April 5, 1996, Shakur was sentenced to 120 days in jail for violating his release terms by failing to appear for a road cleanup job, but on June 8, his sentence was deferred via appeals pending in other cases. 1993 Shooting in Atlanta On October 31, 1993, Shakur was arrested in Atlanta for shooting two off-duty police officers, brothers Mark Whitwell and Scott Whitwell. The Atlanta police claimed the shooting occurred after the brothers were almost struck by a car carrying Shakur while they were crossing the street with their wives. As they argued with the driver, Shakur's car pulled up and he shot the Whitwells in the buttocks and the abdomen. However, there are conflicting accounts that the Whitwells were harassing a black motorist and uttered racial slurs. According to some witnesses, Shakur and his entourage had fired in self-defense as Mark Whitwell shot at them first. Shakur was charged with two counts of aggravated assault. Mark Whitwell was charged with firing at Shakur's car and later with making false statements to investigators. Scott Whitwell admitted to possessing a gun he had taken from a Henry County police evidence room. Prosecutors ultimately dropped all charges against both parties. Mark Whitwell resigned from the force seven months after the shooting. Both brothers filed civil suits against Shakur; Mark Whitwell's suit was settled out of court, while Scott Whitwell's $2 million lawsuit resulted in a default judgment entered against the rapper's estate in 1998. Other criminal or civil cases 1991 Oakland Police Department lawsuit In October 1991, one month before the release of 2Pacalypse Now, two Oakland Police Department officers stopped Shakur for jaywalking. The officers allegedly asked for his name since it did not sound American, he answered them and they brutalized him scratching his face over the street. Shakur filed a $10 million lawsuit against the Oakland Police Department. The case was settled for about $43,000. Misdemeanor assault convictions On April 5, 1993, charged with felonious assault, Shakur allegedly threw a microphone and swung a baseball bat at rapper Chauncey Wynn, of the group M.A.D., at a concert at Michigan State University. Shakur claimed the bat was a part of his show and there was no criminal intent. Nonetheless, on September 14, 1994, Shakur pleaded guilty to a misdemeanor, and was sentenced to 30 days in jail, twenty of them suspended, and ordered to 35 hours of community service. Slated to star as Sharif in the 1993 Hughes Brothers' film Menace II Society, Shakur was replaced by actor Vonte Sweet after allegedly assaulting one of the film's directors, Allen Hughes. In early 1994, Shakur served 15 days in jail after being found guilty of the assault. The prosecution's evidence included a Yo! MTV Raps interview where Shakur boasts that he had "beat up the director of Menace II Society". 1995 Wrongful death suit On August 22, 1992, in Marin City, Shakur performed outdoors at a festival. For about an hour after the performance, he signed autographs and posed for photos. A conflict broke out and Shakur allegedly drew a legally carried Colt Mustang but dropped it on the ground. Shakur claimed that someone with him then picked it up when it accidentally discharged. About 100 yards (90 meters) away in a schoolyard, Qa'id Walker-Teal, a boy aged 6 on his bicycle, was fatally shot in the forehead. Police matched the bullet to a .38-caliber pistol registered to Shakur. His stepbrother Maurice Harding was arrested in suspicion of having fired the gun, but no charges were filed. Lack of witnesses stymied prosecution. In 1995, Qa'id's mother filed a wrongful death suit against Shakur, which was settled for about $300,000 to $500,000. Death On the night of September 7, 1996, Shakur was in
to London, Dorian tells Lord Henry that he will live righteously from now on. His new probity begins with deliberately not breaking the heart of the naïve Hetty Merton, his current romantic interest. Dorian wonders if his newly-found goodness has rescinded the corruption in the picture but when he looks at it, he sees only an even uglier image of himself. From that, Dorian understands that his true motives for the self-sacrifice of moral reformation were the vanity and curiosity of his quest for new experiences, along with the desire to restore beauty to the picture. Deciding that only full confession will absolve him of wrongdoing, Dorian decides to destroy the last vestige of his conscience and the only piece of evidence remaining of his crimes; the picture. In a rage, he takes the knife with which he murdered Basil Hallward and stabs the picture. The servants of the house awaken on hearing a cry from the locked room; on the street, a passerby who also heard the cry calls the police. On entering the locked room, the servants find an unknown old man stabbed in the heart, his figure withered and decrepit. The servants are able to identify the disfigured corpse as Dorian only by the rings on the fingers, while the portrait beside him is beautiful again. Characters Dorian Gray – a handsome, narcissistic young man enthralled by Lord Henry's "new" hedonism. He indulges in every pleasure and virtually every 'sin', studying its effect upon him. Basil Hallward – a deeply moral man, the painter of the portrait, and infatuated with Dorian, whose patronage realises his potential as an artist. The picture of Dorian Gray is Basil's masterpiece. Lord Henry "Harry" Wotton – an imperious aristocrat and a decadent dandy who espouses a philosophy of self-indulgent hedonism. Initially Basil's friend, he neglects him for Dorian's beauty. The character of witty Lord Harry is a critique of Victorian culture at the Fin de siècle – of Britain at the end of the 19th century. Lord Harry's libertine world view corrupts Dorian, who then successfully emulates him. To the aristocrat Harry, the observant artist Basil says, "You never say a moral thing, and you never do a wrong thing." Lord Henry takes pleasure in impressing, influencing, and even misleading his acquaintances (to which purpose he bends his considerable wit and eloquence) but appears not to observe his own hedonistic advice, preferring to study himself with scientific detachment. His distinguishing feature is total indifference to the consequences of his actions. Sibyl Vane – a talented actress and singer, she is a beautiful girl from a poor family with whom Dorian falls in love. Her love for Dorian ruins her acting ability, because she no longer finds pleasure in portraying fictional love as she is now experiencing real love in her life. She commits suicide with poison on learning that Dorian no longer loves her; at that, Lord Henry likens her to Ophelia, in Hamlet. James Vane – Sibyl's younger brother, a sailor who leaves for Australia. He is very protective of his sister, especially as their mother cares only for Dorian's money. Believing that Dorian means to harm Sibyl, James hesitates to leave, and promises vengeance upon Dorian if any harm befalls her. After Sibyl's suicide, James becomes obsessed with killing Dorian, and stalks him, but a hunter accidentally kills James. The brother's pursuit of vengeance upon the lover (Dorian Gray), for the death of the sister (Sibyl) parallels that of Laertes' vengeance against Prince Hamlet. Alan Campbell – chemist and one-time friend of Dorian who ended their friendship when Dorian's libertine reputation devalued such a friendship. Dorian blackmails Alan into destroying the body of the murdered Basil Hallward; Campbell later shoots himself dead. Lord Fermor – Lord Henry's uncle, who tells his nephew, Lord Henry Wotton, about the family lineage of Dorian Gray. Adrian Singleton – A youthful friend of Dorian's, whom he evidently introduced to opium addiction, which induced him to forge a cheque and made him a total outcast from his family and social set. Victoria, Lady Henry Wotton – Lord Henry's wife, whom he treats disdainfully; she later divorces him. Influences and allusions Wilde's own life Wilde wrote in an 1894 letter: Hallward is supposed to have been formed after painter Charles Haslewood Shannon. Scholars generally accept that Lord Henry is partly inspired by Wilde's friend Lord Ronald Gower. It was purported that Wilde's inspiration for Dorian Gray was the poet John Gray, but Gray distanced himself from the rumour. Faust Wilde is purported to have said, "in every first novel the hero is the author as Christ or Faust." In both the legend of Faust and in The Picture of Dorian Gray a temptation (ageless beauty) is placed before the protagonist, which he indulges. In each story, the protagonist entices a beautiful woman to love him, and then destroys her life. In the preface to the novel, Wilde said that the notion behind the tale is "old in the history of literature", but was a thematic subject to which he had "given a new form". Unlike the academic Faust, the gentleman Dorian makes no deal with the Devil, who is represented by the cynical hedonist Lord Henry, who presents the temptation that will corrupt the virtue and innocence that Dorian possesses at the start of the story. Throughout, Lord Henry appears unaware of the effect of his actions upon the young man; and so frivolously advises Dorian, that "the only way to get rid of a temptation is to yield to it. Resist it, and your soul grows sick with longing." As such, the devilish Lord Henry is "leading Dorian into an unholy pact, by manipulating his innocence and insecurity." Shakespeare In the preface, Wilde speaks of the sub-human Caliban character from The Tempest. In chapter five, he writes: "He felt as if he had come to look for Miranda and had been met by Caliban". When Dorian tells Lord Henry about his new love Sibyl Vane, he mentions the Shakespeare plays in which she has acted, and refers to her by the name of the heroine of each play. Later, Dorian speaks of his life by quoting Hamlet, a privileged character who impels his potential suitor (Ophelia) to suicide, and prompts her brother (Laertes) to swear mortal revenge. Joris-Karl Huysmans The anonymous "poisonous French novel" that leads Dorian to his fall is a thematic variant of À rebours (1884), by Joris-Karl Huysmans. In the biography Oscar Wilde (1989), the literary critic Richard Ellmann said: Wilde does not name the book, but at his trial he conceded that it was, or almost [was], Huysmans's À rebours ... to a correspondent, he wrote that he had played a "fantastic variation" upon À rebours, and someday must write it down. The references in Dorian Gray to specific chapters are deliberately inaccurate. Possible Disraeli influence Some commentators have suggested that The Picture of Dorian Gray was influenced by the British Prime Minister Benjamin Disraeli's (anonymously published) first novel Vivian Grey (1826) as, "a kind of homage from one outsider to another." The name of Dorian Gray's love interest, Sibyl Vane, may be a modified fusion of the title of Disraeli's best known novel (Sybil) and Vivian Grey's love interest Violet Fane, who, like Sibyl Vane, dies tragically. There is also a scene in Vivian Grey in which the eyes in the portrait of a "beautiful being" move when its subject dies. Reactions Contemporary response Even bowdlerized, The Picture of Dorian Gray offended the moral sensibilities of British book reviewers, to the extent, in some cases, of saying that Wilde merited prosecution for violating the laws guarding public morality. In the 30 June 1890 issue of the Daily Chronicle, the book critic said that Wilde's novel contains "one element ... which will taint every young mind that comes in contact with it." In the 5 July 1890 issue of the Scots Observer, a reviewer asked "Why must Oscar Wilde 'go grubbing in muck-heaps?'" The book critic of The Irish Times said, The Picture of Dorian Gray was "first published to some scandal." Such book reviews achieved for the novel a "certain notoriety for being 'mawkish and nauseous', 'unclean', 'effeminate' and 'contaminating'." Such moralistic scandal arose from the novel's homoeroticism, which offended the sensibilities (social, literary, and aesthetic) of Victorian book critics. Most of the criticism was, however, personal, attacking Wilde for being a hedonist with values that deviated from the conventionally accepted morality of Victorian Britain. In response to such criticism, Wilde aggressively defended his novel and the sanctity of art in his correspondence with the British press. Wilde also obscured the homoeroticism of the story and expanded the personal background of the characters in the 1891 book edition. Due to controversy, retailing chain W H Smith, then Britain's largest bookseller, withdrew every copy
into chapters 19 and 20 for the novel. The edits have been construed as having been done in response to criticism, but Wilde denied this in his 1895 trials, only ceding that critic Walter Pater, whom Wilde respected, did write several letters to him "and in consequence of what he said I did modify one passage" that was "liable to misconstruction". A number of edits involved obscuring homoerotic references, to simplify the moral message of the story. In the magazine edition (1890), Basil tells Lord Henry how he "worships" Dorian, and begs him not to "take away the one person that makes my life absolutely lovely to me." In the magazine edition, Basil focuses upon love, whereas, in the book edition (1891), he focuses upon his art, saying to Lord Henry, "the one person who gives my art whatever charm it may possess: my life as an artist depends on him." Wilde's textual additions were about the "fleshing out of Dorian as a character" and providing details of his ancestry that made his "psychological collapse more prolonged and more convincing." The introduction of the James Vane character to the story develops the socio-economic background of the Sibyl Vane character, thus emphasising Dorian's selfishness and foreshadowing James's accurate perception of the essentially immoral character of Dorian Gray; thus, he correctly deduced Dorian's dishonourable intent towards Sibyl. The sub-plot about James Vane's dislike of Dorian gives the novel a Victorian tinge of class struggle. With such textual changes, Oscar Wilde meant to diminish the moralistic controversy about the novel The Picture of Dorian Gray. In April 1891, the publishing firm of Ward, Lock and Company, who had distributed the shorter, more inflammatory, magazine version in England the previous year, published the revised version of The Picture of Dorian Gray. In the decade after Wilde's death, the authorized edition of the novel was published by Charles Carrington, who specialized in literary erotica. 2011 "uncensored" novella The original typescript submitted to Lippincott's Monthly Magazine, housed at UCLA, had been largely forgotten outside of professional Wilde scholars until the 2011 publication of The Picture of Dorian Gray: An Annotated, Uncensored Edition by the Belknap Press. This includes the roughly 500 words of text deleted by J. M. Stoddart, the story's initial editor, prior to its publication in Lippincott's in 1890. Preface Following the criticism of the magazine edition of the novel, the 1891 publication of The Picture of Dorian Gray included a preface in which Wilde addressed the criticisms and defended the reputation of his novel. The content, style, and presentation of the preface made it famous in its own right as a literary and artistic manifesto in support of artists' rights and art for art's sake. To communicate how the novel should be read, Wilde used aphorisms to explain the role of the artist in society, the purpose of art, and the value of beauty. It traces Wilde's cultural exposure to Taoism and to the philosophy of Chuang Tsǔ (Zhuang Zhou). Before writing the preface, Wilde had written a book review of Herbert Giles's translation of the work of Zhuang Zhou, and in the essay The Artist as Critic, Oscar Wilde said: The preface was first published in the April 1891 edition of the novel; nonetheless, by June 1891, Wilde was defending The Picture of Dorian Gray against accusations that it was a bad book. Summary On a beautiful summer day in Victorian England, Lord Henry Wotton, an opinionated man, is observing the sensitive artist Basil Hallward painting the portrait of Dorian Gray, a handsome young man who is Basil's ultimate muse. While sitting for the painting, Dorian listens to Lord Henry espousing his hedonistic world view and begins to think that beauty is the only aspect of life worth pursuing, prompting Dorian to wish that his portrait would age instead of himself. Under Lord Henry's hedonistic influence, Dorian fully explores his sensuality. He discovers the actress Sibyl Vane, who performs Shakespeare plays in a dingy, working-class theatre. Dorian approaches and courts her, and soon proposes marriage. The enamoured Sibyl calls him "Prince Charming", and swoons with the happiness of being loved, but her protective brother, James, warns that if "Prince Charming" harms her, he will murder him. Dorian invites Basil and Lord Henry to see Sibyl perform in Romeo and Juliet. Sibyl, too enamoured with Dorian to act, performs poorly, which makes both Basil and Lord Henry think Dorian has fallen in love with Sibyl because of her beauty instead of her acting talent. Embarrassed, Dorian rejects Sibyl, telling her that acting was her beauty; without that, she no longer interests him. On returning home, Dorian notices that the portrait has changed; his wish has come true, and the man in the portrait bears a subtle sneer of cruelty. Conscience-stricken and lonely, Dorian decides to reconcile with Sibyl, but he is too late, as Lord Henry informs him that Sibyl has killed herself. Dorian then understands that, where his life is headed, lust and beauty shall suffice. Dorian locks the portrait up, and over the following eighteen years, he experiments with every vice, influenced by a morally poisonous French novel that Lord Henry Wotton gave him. One night, before leaving for Paris, Basil goes to Dorian's house to ask him about rumours of his self-indulgent sensualism. Dorian does not deny his debauchery, and takes Basil to see the portrait. The portrait has become so hideous that Basil is only able to identify it as his by the signature he affixes to all of his portraits. Basil is horrified, and beseeches Dorian to pray for salvation. In anger, Dorian blames his fate on Basil and stabs him to death. Dorian then calmly blackmails an old friend, the scientist Alan Campbell, into using his knowledge of chemistry to destroy the body of Basil Hallward. Alan later kills himself. To escape the guilt of his crime, Dorian goes to an opium den, where, unbeknownst to Dorian, James Vane is present. James had been seeking vengeance upon Dorian ever since Sibyl killed herself, but had no leads to pursue as the only thing he knew about Dorian was the name Sibyl called him, "Prince Charming". In the opium den, however, he hears someone refer to Dorian as "Prince Charming", and he accosts Dorian. Dorian deceives James into believing that he is too young to have known Sibyl, who killed herself eighteen years earlier, as his face is still that of a young man. James relents and releases Dorian, but is then approached by a woman from the opium den who reproaches James for not killing Dorian. She confirms that the man was Dorian Gray and explains that he has not aged in eighteen years. James runs after Dorian, but he has gone. James then begins to stalk Dorian, causing Dorian to fear for his life. However, during a shooting party, a hunter accidentally kills James Vane, who was lurking in a thicket. On returning to London, Dorian tells Lord Henry that
operas by Richard Wagner. In films and entertainment: Dark Kingdom: The Dragon King, also titled Ring of the Nibelungs, Die Nibelungen, Curse of
epic operas by Richard Wagner. In films and entertainment: Dark Kingdom: The Dragon King, also titled Ring of the Nibelungs, Die Nibelungen, Curse of the Ring, and Sword of Xanten,
Byzantine Empire governed by a Strategos Theme (computing), a custom graphical appearance for certain software. Theme (linguistics), topic Theme (narrative) Theme Building, a landmark building in the Los Angeles International Airport Theme music, a piece often written specifically for a radio program, television program, video game or film, and usually played during the intro, opening credits or ending credits Theme vowel or thematic vowel, a vowel placed before the word ending in certain Proto-Indo-European words Subject (music), sometimes called theme, a musical idea, usually a
may refer to: Theme (arts), the unifying subject or idea of the type of visual work Theme (Byzantine district), an administrative district in the Byzantine Empire governed by a Strategos Theme (computing), a custom graphical appearance for certain software. Theme (linguistics), topic Theme (narrative) Theme Building, a landmark building in the Los Angeles International Airport Theme music, a piece often
partly in Berlin, Germany. The term is seldom applied outside art. One example is the "Marshall Trilogy", a common term for three rulings written by U.S. Supreme Court Chief Justice John Marshall from 1823 to 1832 concerning the legal status of Native Americans under U.S. law. Trilogies—and series in general—are common in speculative fiction. History Trilogies ( trilogia) date back to ancient times. In the Dionysia festivals of ancient Greece, for example, trilogies of plays were performed followed by a fourth satyr play. The Oresteia is the only surviving trilogy of these ancient Greek plays, originally performed at the festival in Athens in 458 BC. The three Theban plays, or Oedipus cycle, by Sophocles, originating in 5th century BC, is not a true example of a trilogy because the plays were written at separate times and with different themes/purposes. Modern fiction trilogies were popularized by the publication of The Lord of the Rings in three volumes for
musical sound and lyrical themes, all having been recorded at least partly in Berlin, Germany. The term is seldom applied outside art. One example is the "Marshall Trilogy", a common term for three rulings written by U.S. Supreme Court Chief Justice John Marshall from 1823 to 1832 concerning the legal status of Native Americans under U.S. law. Trilogies—and series in general—are common in speculative fiction. History Trilogies ( trilogia) date back to ancient times. In the Dionysia festivals of ancient Greece, for example, trilogies of plays were performed followed by a fourth satyr play. The Oresteia is the only surviving trilogy of these ancient Greek plays, originally performed at the festival in Athens in 458 BC. The three Theban plays, or Oedipus cycle, by Sophocles, originating in 5th century BC, is not a true example of a trilogy because the plays were written at separate times and with different themes/purposes. Modern fiction trilogies were popularized by the publication of The Lord of the Rings in three volumes for economic reasons (although it was written as a single novel). In addition, technical changes in printing and film in the mid-to-late 20th century made
chief justice under a Pennsylvania constitution he considered flawed, he assumed it the right of the court to strike down legislative acts it deemed unconstitutional, preceding by ten years the U.S. Supreme Court's establishment of the doctrine of judicial review. He augmented the rights of defendants and sought penal reform, but on the other hand was slow to recognize expansion of the legal rights of women and the processes in the state's gradual elimination of slavery." He was a member of the convention of Pennsylvania that ratified the Constitution of the United States. In the Pennsylvania State Constitutional Convention of 1789/90, he argued for a strong executive and was himself a Federalist. Nevertheless, in 1796, dissatisfied with the Federalists' domestic policies and compromises with Great Britain, he became an outspoken Jeffersonian Republican, or Democratic-Republican. While chief justice of Pennsylvania, McKean played a role in the Whiskey Rebellion. On August 2, 1794, he took part in a conference on the rebellion. In attendance were Washington, his Cabinet, the governor of Pennsylvania, and other officials. Washington interpreted the rebellion to be a grave threat could mean "an end to our Constitution and laws." Washington advocated "the most spirited and firm measure" but held back on what that meant. McKean argued that the matter should be left up to the courts, not the military, to prosecute and punish the rebels. Alexander Hamilton insisted upon the "propriety of an immediate resort to Military force." Some weeks later, Mckean and General William Irvine wrote to Pennsylvania Governor Thomas Mifflin and discussed the mission of federal committees to negotiate with the Rebels, describing them as "well disposed." However, McKean and Irvine felt the government must suppress the insurrection to prevent it from spreading to nearby counties. McKean was elected governor of Pennsylvania and served three terms from December 17, 1799 to December 20, 1808. In the 1799 election, he defeated the Federalist Party nominee James Ross and again more easily in the 1802 election. At first, McKean ousted Federalists from state government positions and so he has been called the father of the spoils system. However, in seeking a third term in 1805, McKean was at odds with factions of his own Democratic-Republican Party, and the Pennsylvania General Assembly instead nominated Speaker Simon Snyder for governor. McKean then forged an alliance with Federalists, called "the Quids," and defeated Snyder. Afterwards, he began removing Jeffersonians from state positions. The governor's beliefs in stronger executive and judicial powers were bitterly denounced by the influential Aurora newspaper publisher William P. Duane and the Philadelphia populist Michael Leib. After they led public attacks calling for his impeachment, McKean filed a partially successful libel suit against Duane in 1805. The Pennsylvania House of Representatives impeached the governor in 1807, but his friends prevented a trial for the rest of his term, and the matter was dropped. When the suit was settled after McKean left office, his son Joseph angrily criticized Duane's attorney for alleging out of context that McKean referred to the people of Pennsylvania as "clodpoles" (clodhoppers). Some of McKean's other accomplishments included expanding free education for all and, at age eighty, leading a Philadelphia citizens group to organize a strong defense during the War of 1812. He spent his retirement in Philadelphia in writing, discussing political affairs, and enjoying the considerable wealth that he had earned through investments and real estate. Death and legacy McKean was a member of the Pennsylvania Society of the Cincinnati in 1785 and was subsequently its vice president. Princeton College gave him the degree of L.L.D. in 1781, Dartmouth College presented the same honor in 1782, and the University of Pennsylvania gave him the degree of A.M. in 1763 and L.L.D. in 1785. With Professor John Wilson he published "Commentaries on the Constitution of the United States" in 1790. McKean died in Philadelphia and was buried in the First Presbyterian Church Cemetery there. In 1843, his body was moved to Laurel Hill Cemetery. McKean County, Pennsylvania is named in his honor, as is Thomas McKean High School in New Castle County, also McKean Street in Philadelphia, and the McKean Hall dormitory at the University of Delaware. Penn State University also has a residence hall and a campus road named for him. Oddly, the name of "Keap Street" in Brooklyn, New York, is the result of an erroneous effort to name a street after him. Many Brooklyn streets are named after signers of the Declaration of Independence, and "Keap Street" is the result of planners being unable to accurately read his signature. In some accounts the "M" of McKean was mistaken for a middle initial, and the flourish on the "n" in McKean led to the n being misread as a "p." McKean was over six feet tall, and he typically wore a large cocked hat and carried a gold-headed cane. He was a man of quick temper and vigorous personality, "with a thin face, hawk nose and hot eyes." John Adams described him as "one of the three men in the Continental Congress who appeared to me to see more clearly to the end of the business than any others in the body." As chief justice and governor of Pennsylvania he was frequently the center of controversy. In popular culture In the 1969 Broadway musical, 1776, McKean is portrayed as a gun-toting cantankerous old Scot who cannot get along with the wealthy and conservative planter George Read. In truth, McKean and Read belonged to opposing political factions in Delaware, but McKean was not a Scottish immigrant. His parents were Irish Presbyterians (referred to as "Scotch-Irish" in America and "Ulster Scots" in Northern Ireland). His surname is pronounced mc-CANE but was mispronounced as mc-KEEN in the film adaptation of the musical. McKean was portrayed by Bruce MacKay in the original Broadway cast and Ray Middleton in the 1972 film version. Almanac Delaware elections were held October 1, and members of the General Assembly took office on October 20 or the following weekday. State Assemblymen had a one-year term. The whole General Assembly
Thomas, Sophia, and Maria. They were members of the New Castle Presbyterian Church and the First Presbyterian Church in Philadelphia. McKean's daughter Sarah married the Spanish diplomat Carlos Martínez de Irujo, 1st Marquis of Casa Irujo; their son, Carlos Martínez de Irujo y McKean, would later become Prime Minister of Spain. Colonial career McKean's education began at the Reverend Francis Allison's New London Academy. At age sixteen, he began the study of law under his cousin, David Finney. In 1755, he was admitted to the bar of the Lower Counties, as Delaware was then known, and likewise in the Province of Pennsylvania the following year. In 1756, he was appointed deputy attorney general for Sussex County. From the 1762-1763 session to the 1775-1776 session, he was a member of the General Assembly of the Lower Counties, serving as its speaker in 1772-1773. From July 1765, he also served as a judge of the Court of Common Pleas and began service as the customs collector at New Castle in 1771. In November 1765, his Court of Common Pleas became the first such court in the colonies to establish a rule for all the proceedings of the court to be recorded on unstamped paper. In 1768, McKean was elected to the revived American Philosophical Society. Eighteenth-century Delaware was politically divided into loose political factions known as the "Court Party" and the "Country Party." The majority Court Party was generally Anglican, was strongest in Kent and Sussex counties, worked well with the colonial Proprietary government, and supported reconciliation with the British government. The minority Country Party was largely Irish Presbyterian (also referred to as "Scotch-Irish" in America), was centered in New Castle County, and quickly advocated independence from the British. The revolutionary slogan "no taxation without representation" had originated in the north of Ireland under the British Penal Laws, which denied Presbyterians and Catholics the right to vote for members of the parliament. McKean was the epitome of the Country Party politician and was, as much as anyone else, its leader. As such, he generally worked in partnership with Caesar Rodney from Kent County and in opposition to his friend and neighbor, George Read. At the Stamp Act Congress of 1765, McKean and Caesar Rodney represented Delaware. McKean proposed the voting procedure that the Continental Congress later adopted: each colony, regardless of size or population, would have one vote. That decision set the precedent, the Congress of the Articles of Confederation adopted the practice, and the principle of state equality has continued in the composition of the United States Senate. McKean quickly became one of the most influential members of the Stamp Act Congress. He was on the committee that drew the memorial to parliament and, with John Rutledge and Philip Livingston, revised its proceedings. On the last day of its session, when the business session ended, Timothy Ruggles, the president of the body, and a few other more cautious members refused to sign the memorial of rights and grievances. McKean arose and addressing the chair insisted that the president give his reasons for his refusal. After refusing at first, Ruggles remarked that "it was against his conscience." McKean then disputed his use of the word "conscience" so loudly and so long that a challenge was given by Ruggles and accepted in the presence of the Congress. However, Ruggles left the next morning at daybreak, and so the duel did not take place. American Revolution In spite of his primary residence in Philadelphia, McKean remained the effective leader for American independence in Delaware. Along with Read and Caesar Rodney, he was one of Delaware's delegates to the First Continental Congress in 1774 and the Second Continental Congress in 1775 and 1776. Being an outspoken advocate of independence, McKean was a key voice in persuading others to vote for a split with Great Britain. When Congress began debating a resolution of independence in June 1776, Rodney was absent. Read was against independence, which meant that the Delaware delegation was split between McKean and Read and therefore could not vote in favor of independence. McKean requested that the absent Rodney ride all night from Dover to break the tie. After the vote in favor of independence on July 2, McKean participated in the debate over the wording of the official Declaration of Independence, which was approved on July 4. A few days after McKean cast his vote, he left Congress to serve as colonel in command of the Fourth Battalion of the Pennsylvania Associators, a militia unit created by Benjamin Franklin in 1747. They joined General George Washington's defense of New York City at Perth Amboy, New Jersey. Being away, McKean was not available when most of the signers placed their signatures on the Declaration of Independence on August 2, 1776. Since his signature did not appear on the printed copy that was authenticated on January 17, 1777, it is assumed that he signed after that date, possibly as late as 1781. In a conservative reaction against the advocates of American independence, the 1776-1777 Delaware General Assembly did not reelect either McKean or Rodney to the Continental Congress in October 1776. However, the British occupation after the Battle of Brandywine swung opinions enough that McKean was returned to Congress in October 1777 by the 1777-1778 Delaware General Assembly. During that time, he was constantly pursued by British forces. Over the course of the following years, he was forced to relocate his family five times. He served continuously in the Congress until February 1, 1783. McKean helped draft the Articles of Confederation and voted for their adoption on March 1, 1781. When poor health caused Samuel Huntington to resign as president of Congress in July 1781, McKean was elected as his successor. He served from July 10 to November 4, 1781. The position was mostly ceremonial with no real authority, but the office required McKean to handle a good deal of correspondence and sign official documents. During his time in office, Lord Cornwallis's British army surrendered at Yorktown, which effectively ended the war. Government of Delaware Meanwhile, McKean led the effort in the General Assembly of Delaware to declare its separation from the British government, which it did on June 15, 1776. In August, he was elected to the special convention to draft a new state constitution. Upon hearing of it, McKean made the long ride to Dover, Delaware, from Philadelphia in a single day, went to a room in an inn, and that night, virtually by himself, drafted the document. It was adopted September 20, 1776. The Delaware Constitution of 1776 became the first state constitution to be produced after the Declaration of Independence. McKean was elected to Delaware's first House of Assembly for both the 1776-1777 and the 1778-1779 sessions, succeeding John McKinly as speaker on February 12, 1777, when McKinly became president of Delaware. Shortly after President McKinly's capture and imprisonment, McKean served as the president of Delaware for a month, from September 22 to October 20, 1777. That was the time needed for the successor George Read to return from the Continental Congress in Philadelphia and to assume the duties. Immediately after the Battle of Brandywine, the British Army occupied Wilmington and much of northern New Castle County. Its navy also controlled the lower Delaware River
phenylalanine, is found in many high-protein food products such as chicken, turkey, fish, milk, yogurt, cottage cheese, cheese, peanuts, almonds, pumpkin seeds, sesame seeds, soy products and lima beans, but also in avocados and bananas. For example, the white of an egg has about 250 mg per egg, while lean beef/lamb/pork/salmon/chicken/turkey contains about 1 g per portion. Biosynthesis In plants and most microorganisms, tyrosine is produced via prephenate, an intermediate on the shikimate pathway. Prephenate is oxidatively decarboxylated with retention of the hydroxyl group to give p-hydroxyphenylpyruvate, which is transaminated using glutamate as the nitrogen source to give tyrosine and α-ketoglutarate. Mammals synthesize tyrosine from the essential amino acid phenylalanine (Phe), which is derived from food. The conversion of Phe to Tyr is catalyzed by the enzyme phenylalanine hydroxylase, a monooxygenase. This enzyme catalyzes the reaction causing the addition of a hydroxyl group to the end of the 6-carbon aromatic ring of phenylalanine, such that it becomes tyrosine. Metabolism Phosphorylation and sulfation Some of the tyrosine residues can be tagged (at the hydroxyl group) with a phosphate group (phosphorylated) by protein kinases. In its phosphorylated form, tyrosine is called phosphotyrosine. Tyrosine phosphorylation is considered to be one of the key steps in signal transduction and regulation of enzymatic activity. Phosphotyrosine can be detected through specific antibodies. Tyrosine residues may also be modified by the addition of a sulfate group, a process known as tyrosine sulfation. Tyrosine sulfation is catalyzed by tyrosylprotein sulfotransferase (TPST). Like the phosphotyrosine antibodies mentioned above, antibodies have recently been described that specifically detect sulfotyrosine. Precursor to neurotransmitters and hormones In dopaminergic cells in the brain, tyrosine is converted to L-DOPA by the enzyme tyrosine hydroxylase (TH). TH is the rate-limiting enzyme involved in the synthesis of the neurotransmitter dopamine. Dopamine can then be converted into other catecholamines, such as norepinephrine (noradrenaline) and epinephrine (adrenaline). The thyroid hormones triiodothyronine (T3) and thyroxine (T4) in the colloid of the thyroid are also derived from tyrosine. Precursor to alkaloids The latex of Papaver somniferum, the opium poppy, has been shown to convert tyrosine into the alkaloid morphine and the bio-synthetic pathway has been established from tyrosine to morphine by using Carbon-14 radio-labelled tyrosine to trace the in-vivo synthetic route. Precursor to natural phenols Tyrosine ammonia lyase (TAL) is
portion. Biosynthesis In plants and most microorganisms, tyrosine is produced via prephenate, an intermediate on the shikimate pathway. Prephenate is oxidatively decarboxylated with retention of the hydroxyl group to give p-hydroxyphenylpyruvate, which is transaminated using glutamate as the nitrogen source to give tyrosine and α-ketoglutarate. Mammals synthesize tyrosine from the essential amino acid phenylalanine (Phe), which is derived from food. The conversion of Phe to Tyr is catalyzed by the enzyme phenylalanine hydroxylase, a monooxygenase. This enzyme catalyzes the reaction causing the addition of a hydroxyl group to the end of the 6-carbon aromatic ring of phenylalanine, such that it becomes tyrosine. Metabolism Phosphorylation and sulfation Some of the tyrosine residues can be tagged (at the hydroxyl group) with a phosphate group (phosphorylated) by protein kinases. In its phosphorylated form, tyrosine is called phosphotyrosine. Tyrosine phosphorylation is considered to be one of the key steps in signal transduction and regulation of enzymatic activity. Phosphotyrosine can be detected through specific antibodies. Tyrosine residues may also be modified by the addition of a sulfate group, a process known as tyrosine sulfation. Tyrosine sulfation is catalyzed by tyrosylprotein sulfotransferase (TPST). Like the phosphotyrosine antibodies mentioned above, antibodies have recently been described that specifically detect sulfotyrosine. Precursor to neurotransmitters and hormones In dopaminergic cells in the brain, tyrosine is converted to L-DOPA by the enzyme tyrosine hydroxylase (TH). TH is the rate-limiting enzyme involved in the synthesis of the neurotransmitter dopamine. Dopamine can then be converted into other catecholamines, such as norepinephrine (noradrenaline) and epinephrine (adrenaline). The thyroid hormones triiodothyronine (T3) and thyroxine (T4) in the colloid of the thyroid are also derived from tyrosine. Precursor to alkaloids The latex of Papaver somniferum, the opium poppy, has been shown to convert tyrosine into the alkaloid morphine and the bio-synthetic pathway has been established from tyrosine to morphine by using Carbon-14 radio-labelled tyrosine to trace the in-vivo synthetic route. Precursor to natural phenols Tyrosine ammonia lyase (TAL) is an enzyme in the natural phenols biosynthesis pathway. It transforms L-tyrosine into p-coumaric acid. Precursor to pigments Tyrosine is also the precursor to the pigment melanin. Role in coenzyme Q10 synthesis Tyrosine (or its precursor phenylalanine) is needed to synthesize the benzoquinone structure which forms part of coenzyme Q10. Degradation The decomposition of L-tyrosine (syn. para-hydroxyphenylalanine) begins with an α-ketoglutarate dependent transamination through the tyrosine transaminase to para-hydroxyphenylpyruvate. The positional description para, abbreviated p, mean that the hydroxyl group and side chain on the phenyl ring are across from each other (see the illustration below). The next oxidation step catalyzes by p-hydroxyphenylpyruvate dioxygenase and splitting off CO2 homogentisate (2,5-dihydroxyphenyl-1-acetate). In order to split the aromatic ring of homogentisate, a further dioxygenase, homogentisate 1,2-dioxygenase is required. Thereby, through the incorporation of a further O2 molecule, maleylacetoacetate is created. Fumarylacetoacetate is created by maleylacetoacetate cis-trans-isomerase through rotation of the carboxyl group created from the hydroxyl group via oxidation. This cis-trans-isomerase contains glutathione as a coenzyme. Fumarylacetoacetate is finally split by the enzyme fumarylacetoacetate hydrolase through the addition of a water molecule. Thereby fumarate (also a metabolite of the citric acid cycle) and acetoacetate (3-ketobutyroate) are liberated. Acetoacetate is a ketone body, which is activated with succinyl-CoA, and thereafter it can be converted into acetyl-CoA, which in turn can be oxidized by the citric acid cycle or be used for fatty acid synthesis. Phloretic acid is also a urinary metabolite of tyrosine in rats. Ortho- and meta-tyrosine Three structural isomers of L-tyrosine are known. In addition to the common amino acid L-tyrosine, which is the para isomer (para-tyr, p-tyr or 4-hydroxyphenylalanine), there are two additional regioisomers, namely meta-tyrosine (also known
the African continent. Simultaneously, however, he argued for increased developmental aid to Africa. He called for Western leaders to address global apartheid and unequal development, most memorably in a speech to the World Summit on Sustainable Development in Johannesburg in August 2002. Africa Although Mbeki also forged strategic individual relationships with key African leaders, especially the heads of state of Nigeria, Algeria, Mozambique, and Tanzania, perhaps his central foreign policy instrument was multilateral cooperation. Mbeki's government, and Mbeki personally, are frequently cited as the single most significant driving force behind the creation in 2001 of the New Partnership for Africa's Development (NEPAD), which aims to develop a framework for accelerating economic development and cooperation in Africa. Olivier calls Mbeki the "seminal thinker" behind NEPAD and its "principal author and articulator." According to academic Chris Landsberg, NEPAD's central principle – "African leaders holding one another accountable in exchange for the recommitment of the industrialised world to Africa's development" – epitomised Mbeki's strategy in Africa. Mbeki was also involved in the dissolution of the Organisation of African Unity and its replacement by the African Union (AU), of which he became the inaugural chairperson in 2002, and his government spearheaded the introduction of the AU's African Peer Review Mechanism in 2003. He was twice chairperson of the Southern African Development Community (SADC), first from 1999 to 2000 and second, briefly, in 2008. Through these multilateral organisations and by contributing forces to various United Nations (UN) peacekeeping missions, Mbeki and his government were involved in peacekeeping initiatives in African countries including Zimbabwe, Ethiopia and Eritrea, Liberia, the Democratic Republic of Congo, and Burundi. Global South Outside Africa, Mbeki was the chairperson of the Non-Aligned Movement between 1999 and 2003 and the chairperson of the Group of 77 + China in 2006. He also pursued South-South solidarity in a coalition with India and Brazil under the IBSA Dialogue Forum, which was launched in June 2003 and held its first summit in September 2006. The IBSA countries together pressed for changes in the agricultural subsidy regimes of developed countries at the 2003 World Trade Organisation conference, and also pressed for reforms at the UN which would allow developing countries a stronger role. Indeed, Mbeki had called for reform at the UN as early as 1999 and 2000. In 2007, following a prolonged diplomatic campaign, South Africa secured a non-permanent seat on the UN Security Council for a two-year term. Controversially, in February 2007, South Africa followed Russia and China in voting against a draft resolution calling for an end to political detentions and military attacks against ethnic minorities in Myanmar. Mbeki later told the media that the resolution exceeded the Security Council's mandate, and that its tabling had been illegal in terms of international law. Quiet diplomacy in Zimbabwe Mbeki's presidency coincided with an escalating political and economic crisis in South Africa's neighbour, Zimbabwe, under president Mugabe of ZANU-PF. Problems included land invasions under the "fast-track" land reform programme, political violence and state-sponsored human rights violations, and hyperinflation. With SADC's endorsement, Mbeki frequently acted as a mediator between ZANU-PF and the Zimbabwean opposition. However, controversially, his policy towards the Mugabe regime was one of non-confrontational "quiet diplomacy" and "constructive engagement": he refused to condemn Mugabe and instead attempted to persuade him to accept gradual political reforms. He was firmly opposed to forcible or manufactured regime change in Zimbabwe, and also opposed the use of sanctions. The Economist posited an "Mbeki doctrine" holding that South Africa "cannot impose its will on others, but it can help to deal with instability in African countries by offering its resources and its leadership to bring rival groups together, and to keep things calm until an election is safely held." Mbeki said in 2004:...the critical role we should play is to assist the Zimbabweans to find each other, really to agree among themselves about the political, economic, social, other solutions that their country needs. We could have stepped aside from that task and then shouted, and that would be the end of our contribution... They would shout back at us and that would be the end of the story. I’m actually the only head of government that I know anywhere in the world who has actually gone to Zimbabwe and spoken publicly very critically of the things that they are doing.The motives behind Mbeki's Zimbabwe policy have been interpreted in various ways: for example, some suggest that he was attempting to maintain economic stability in Zimbabwe and therefore to protect South African economic interests, while others cite his attachment to ideals of African solidarity and opposition to what he perceived as quasi-imperial Western interference in Africa. In any case, Mbeki's policy on Zimbabwe attracted widespread criticism both domestically and internationally. Some also questioned Mbeki's neutrality in his role as mediator. After a South African observer mission endorsed the result of the Zimbabwean presidential election of 2002, in which Mugabe was re-elected, Zimbabwean opposition leader Morgan Tsvangirai accused Mbeki of being a "dishonest broker" and his government of becoming "part of the Zimbabwe problem because its actions are worsening the crisis." Commentators later said that Mbeki's soft stance on Mugabe during this period permanently damaged relations between South Africa and the Zimbabwean opposition. A South African government observer mission also endorsed the result of the Zimbabwean parliamentary elections of 2005, apparently leading Tsvangirai's party, the Movement for Democratic Change (MDC), to effectively sever relations with Mbeki's administration. Power-sharing negotiations Following another contested election in Zimbabwe – after which Mbeki controversially denied that there was a "crisis" in Zimbabwe – the MDC and ZANU-PF entered into negotiations towards the formation of a power-sharing government, with talks beginning in July 2008. Mbeki mediated the negotiations and brokered the resulting power-sharing agreement, signed on 15 September 2008, which retained Mugabe as president but diluted his executive power across posts to be held by opposition leaders. HIV/AIDS Policy and treatment According to political scientist Jeffrey Herbst, Mbeki's HIV/AIDS policies were "bizarre at best, severely negligent at worst." In 2000, amid a burgeoning HIV/AIDS epidemic in South Africa, Mbeki's government launched the HIV/AIDS/STD Strategic Plan for South Africa, 2000–2005, a "multi-sectoral" plan which was criticised by HIV/AIDS activists for lacking concrete timeframes and failing to commit to antiretroviral treatment programmes. Indeed, according to economist Nicoli Nattrass, resistance to the roll-out of antiretroviral drugs for prevention and treatment became central to the HIV/AIDS policy of Mbeki's government in subsequent years. A national mother-to-child transmission prevention programme was not introduced until 2002, when it was mandated by the Constitutional Court in response to a successful legal challenge by the Treatment Action Campaign. Similarly, chronic highly active antiretroviral therapy for AIDS-sick people was not introduced in the public healthcare system until late 2003, reportedly at the insistence of some members of Mbeki's cabinet. According to Nattrass, better access to antiretroviral drugs in South Africa could have prevented about 171,000 HIV infections and 343,000 deaths between 1999 and 2007. In November 2008, a Harvard University study estimated that more than 330,000 people died between 2000 and 2005 due to insufficient antiretroviral programmes under Mbeki's government. Even after these programmes were introduced, Mbeki's appointee as Minister of Health, Manto Tshabalala-Msimang, continued to advocate publicly for unproven alternative treatments in place of antiretrovirals, leading to continual calls by civil society for her dismissal. In late 2006, the cabinet transferred responsibility for AIDS policy from Tshabalala-Msimang to Deputy President Phumzile Mlambo-Ngcuka, who subsequently spearheaded a new draft National Strategic Plan on HIV/AIDS. Association with denialism While president, Mbeki was also criticised for his public messaging on HIV/AIDS. He was viewed as sympathetic to or influenced by the views of a small minority of scientists who challenged the scientific consensus that HIV caused AIDS and that antiretroviral drugs were the most effective means of treatment. In an April 2000 letter to UN secretary-general Kofi Annan and the heads of state of the United States, United Kingdom, Germany, and France, Mbeki pointed to differences in how the AIDS epidemic had manifested in Africa and in the West, and committed to "the search for specific and targeted responses to the specifically African incidence of HIV-AIDS." He also defended scientists who had challenged the scientific consensus on AIDS: Not long ago, in our own country, people were killed, tortured, imprisoned and prohibited from being quoted in private and in public because the established authority believed that their views were dangerous and discredited. We are now being asked to do precisely the same thing that the racist apartheid tyranny we opposed did, because, it is said, there exists a scientific view that is supported by the majority, against which dissent is prohibited... People who otherwise would fight very hard to defend the critically important rights of freedom of thought and speech occupy, with regard to the HIV-AIDS issue, the frontline in the campaign of intellectual intimidation and terrorism... The letter was leaked to the Washington Post and caused controversy. During the same period, Mbeki convened a panel to investigate the cause of AIDS, staffed by researchers who believed that AIDS was caused by malnutrition and parasites as well as by orthodox researchers. In July 2000, opening the 13th International AIDS Conference in Durban, he proposed that the "disturbing phenomenon of the collapse of immune systems among millions of our people" was the result of various factors, especially poverty, and that "we could not blame everything on a single virus." It was characteristic of Mbeki's stance on HIV/AIDS to draw attention to socioeconomic differences between the West and Africa, emphasising the importance of poverty in poor health outcomes in Africa, and to insist that African countries should not be asked blindly to accept Western scientific theories and policy models. Commentators speculate that his stance was motivated by suspicion of the West and was a response to what he perceived as racist stereotypes of the continent and its people. For example, in October 2001, in a speech at the University of Fort Hare, he said of the West: "Convinced that we are but natural-born, promiscuous carriers of germs, unique in the world, they proclaim that our continent is doomed to an inevitable mortal end because of our unconquerable devotion to the sin of lust." Mbeki announced in October 2000 that he would withdraw from the public debate on HIV/AIDS science, and in 2002 his cabinet staunchly affirmed that HIV causes AIDS. However, critics claimed that he continued to influence – and impede – HIV/AIDS policy, a charge which Mbeki denied. AIDS activist Zackie Achmat said in 2002 that "Mbeki epitomizes leadership in denial and his stand has fuelled government inaction." Gevisser writes that in 2007 Mbeki continued to defend his position on HIV/AIDS, and directed Gevisser to a controversial and anonymous ANC discussion document titled Castro Hlongwane, Caravans, Cats, Geese, Foot & Mouth and Statistics: HIV/Aids and the Struggle for the Humanisation of the African. The Gevisser biography also says that, while Mbeki never explicitly denied the link between HIV and AIDS, he is a "profound sceptic" – as Mbeki himself wrote in 2016, in a newsletter cautioning "great care and caution" in the use of antiretrovirals, he had not denied that HIV caused AIDS but that "a virus [could] cause a syndrome." He is generally referred to as an HIV/AIDS "dissident" rather than an outright denialist, although Nattrass questions the value of that distinction. FIFA World Cup bid As president, Mbeki spearheaded South Africa's successful bid to host the 2010 FIFA World Cup. Commentators, and Mbeki himself, frequently linked the bid to his vision for an African renaissance. In 2015, amid an American investigation into corruption at FIFA, soccer administrator Chuck Blazer testified that, between 2004 and 2011, he and other FIFA executives had received bribes in connection with South Africa's bid. Mbeki denied any knowledge of the bribes. Electricity crisis In late 2007, Mbeki's government announced that the public power utility, Eskom, would introduce electricity rationing or rolling blackouts, commonly known in South Africa as loadshedding. In subsequent months, Mbeki publicly apologised, acknowledging that the government had failed to heed Eskom's warnings, offered regularly for several consecutive years, that infrastructure investments were required to avoid energy shortages – in his words, "Eskom was right and government was wrong." However, some analysts suggested that insufficient investment was not the hindrance to electricity supply, and that other policy decisions by government and at Eskom, including the implementation of black economic empowerment criteria in coal procurement contracts, had contributed to the crisis. In his last State of the Nation address in February 2008, Mbeki repeated the apology and devoted nearly three pages of his speech to government's plans for addressing the energy crisis. 2008 xenophobic attacks In May 2008, a series of riots took place in a number of South African townships, mainly in Gauteng province, when South African residents violently attacked migrants from other African countries. At least 62 people were killed, several hundred injured, and many thousand displaced. To contain the violence, Mbeki deployed the army to affected areas – the first such deployment to a civilian area since the end of apartheid. In a televised address towards the end of the saga, Mbeki called the attacks "an absolute disgrace," saying, "Never since the birth of our democracy have we witnessed such callousness." Some commentators argued that Mbeki's government had failed to acknowledge or sufficiently to address growing xenophobia in South Africa in the years preceding the attacks. Indeed, the AU's African Peer Review Mechanism had reported in 2006 that xenophobia was an urgent concern in South Africa. These criticisms were often linked to criticisms of Mbeki's policy in Zimbabwe, because a large proportion of South Africa's growing foreign-born population were Zimbabwean refugees. Moreover, when Mbeki argued that the attacks had other motives, both economic and "criminal," some critics accused him of "xenophobia denialism" and of refusing to acknowledge the genuine xenophobic sentiment in parts of the population. Succession Polokwane conference In June 2005, Mbeki removed Zuma from his post as national deputy president, after Zuma's associate Schabir Shaik was convicted of making corrupt payments to Zuma in relation to the 1999 Arms Deal. The National Prosecuting Authority (NPA) charged Zuma with corruption later that year. However, Zuma remained deputy president of the ANC, and in subsequent years, the rivalry between Zuma and Mbeki and their allies intensified, with Zuma supporters frequently alleging that the charges against Zuma were politically motivated. By 2007, Zuma had emerged as an apparent contender in the ANC's next presidential elections, to be held at the party's 52nd National Conference in Polokwane, Limpopo. By April of that year, it was also clear that Mbeki intended to stand for a third term as ANC president.Gevisser, Mark (2007). "Home". Thabo Mbeki: The Dream Deferred. Jonathan Ball. ISBN 978-1-86842-301-9. Mbeki's term as national president would expire in 2009, and he had said in 2006 that he had no intention of having the Constitution changed to permit him a third term in office, saying, "By the end of 2009, I will have been in a senior position in government for 15 years. I think that's too
executive, and he was sent back to Swaziland to begin establishing the base. In Swaziland, he lived at Stanley Mabizela's family home in Manzini. Working with Albert Dhlomo, Mbeki was responsible for helping to re-establish underground ANC networks in the South African provinces of Natal and Transvaal, which shared a border with Swaziland. His counterpart inside South Africa was MK operative Jacob Zuma, who ran the Natal underground. According to Gevisser, the pair developed "an unlikely rapport." Mbeki was also responsible for recruiting new MK operatives, for liaising with South African student and labour activists, and for liaising with Inkatha, which was becoming dominant in Natal. However, still another part of his duties was to act as the ANC's official representative in the country, and to maintain good diplomatic relations with the Swazi government. In March 1976, the government discovered that Mbeki was involved in military activity inside Swaziland, and he and Dhlomo – as well as Zuma, who was in the country illegally – were detained and then deported, though they managed to negotiate their deportation to the neutral territory of Mozambique rather than to South Africa. Mbeki's management of the Swaziland base later became a point of contention between him and Mac Maharaj, with whom his relationship has remained acrimonious decades later. In 1978, Maharaj and Mbeki argued at a top-level strategic meeting in Luanda, Angola, when Maharaj, who had been tasked with running the political underground, claimed that Mbeki's records from the Swaziland office were in fact "just an empty folder." 1976–78: Nigeria After being deported, Mbeki returned to Lusaka, where he was made Duma Nokwe's deputy in the ANC's Department of Information and Propaganda (DIP). In January 1977, he was posted to Lagos, Nigeria, where he was to be – as in Swaziland – the ANC's first representative to the country. Although there was some debate about whether the appointment was a signal that he had been sidelined, Gevisser says that Mbeki performed well in Lagos, establishing good relations with Olusegun Obasanjo's regime and establishing an ANC presence to eclipse that of its rival Pan Africanist Congress (PAC). 1978–80: Political secretary When he returned to Lusaka from Lagos in 1978, he was promoted again: he replaced Nokwe as head of DIP, and simultaneously was appointed Tambo's political secretary, an extremely influential position in which he became one of Tambo's closest advisors and confidantes. He also continued to ghostwrite for Tambo, now in a formal capacity. At DIP, his approach was encapsulated by the change he made to the department's name, replacing "propaganda" with "publicity." He eschewed the secrecy of earlier years and openly gave interviews and access to American journalists, to the disapproval of some hardline communists. According to various sources, he was responsible for reforming the public image of the ANC from that of a terrorist organisation to that of a "government-in-waiting." {{Quote box | quote = When I look at Thabo, I look at my husband's son. Physically, they bear a striking resemblance... They are both perfectionists, but without the intolerance that comes from many who share that quality. They are loyal and true. They are their own harshest critics. They both have the gift to draw people to them... They were soul mates, different generations fusing at that particular time. | source = — Adelaide Tambo reflects on Mbeki's relationship with O. R. Tambo, June 2002| align = left | width = 24% }}He established some of his own high-level intelligence networks, with key underground operatives reporting directly to him, and Gevisser claims that these led to the initiation of relationships with many of the domestic activists who later became his political allies. Moreover, he was responsible for innovating some of the vocabulary which became emblematic of the 1980s anti-apartheid struggle, which burgeoned in the aftermath of the 1976 Soweto uprising. Such phrases as "mass democratic movement," "people's power," and the exhortation to "make the country ungovernable" are attributed to Mbeki, and gained widespread popularity inside South Africa through Radio Freedom broadcasts written by DIP or by Mbeki personally. Zuma has said that it was Mbeki's "drafting skills" which enabled his ascendancy in the ANC and ultimately to the presidency.In 1980, Mbeki led the ANC's delegation to Zimbabwe, where the party hoped to establish relations with Robert Mugabe's newly elected government. This was a sensitive mission, because the ANC had historically been strongly allied to the Zimbabwe African People's Union, the arch rival of Mugabe's ZANU-PF. Working primarily through Mugabe's righthand man, future Zimbabwean president Emmerson Mnangagwa, Mbeki negotiated an extraordinarily congenial agreement between ZANU-PF and the ANC. The agreement allowed the ANC to open an office in Zimbabwe and to move MK weapons and cadres over Zimbabwean borders; moreover, it committed the Zimbabwean military to assisting the ANC, and the government to providing MK cadres with Zimbabwean identity documents. However, Mbeki handed the running of the Salisbury office over to another ANC official, and the deal later collapsed. 1980s: Negotiations In 1985, PW Botha declared a State of Emergency and gave the army and police special powers. In 1986, the South African Army sent a captain in the South African Defence Force (SADF) to kill Mbeki. The plan was to put a bomb in his house in Lusaka, but the assassin was arrested by the Zambian police before he could go through with the plan. In 1985, Mbeki became the ANC's director of the Department of Information and Publicity and coordinated diplomatic campaigns to involve more white South Africans in anti-apartheid activities. In 1989, he rose in the ranks to head the ANC's Department of International Affairs and was involved in the ANC's negotiations with the South African government. Mbeki played a major role in turning the international media against apartheid. Raising the diplomatic profile of the ANC, Mbeki acted as a point of contact for foreign governments and international organisations and he was extremely successful in this position. Mbeki also played the role of ambassador to the steady flow of delegates from the elite sectors of white South Africa. These included academics, clerics, business people and representatives of liberal white groups who travelled to Lusaka to assess the ANC's views on a democratic, free South Africa. Mbeki was seen as pragmatic, eloquent, rational and urbane. He was known for his diplomatic style and sophistication. In the early 1980s, Mbeki, Jacob Zuma and Aziz Pahad were appointed by Tambo to conduct private talks with representatives of the National Party government. Twelve meetings between the parties took place between November 1987 and May 1990, most of them held at Mells Park House, a country house near Bath in Somerset, England. By September 1989, the team secretly met with Maritz Spaarwater and Mike Louw in a hotel in Switzerland. Known as "Operation Flair", PW Botha was kept informed of all the meetings. At the same time, Mandela and Kobie Coetzee, the Minister of Justice, were also holding secret talks. When Mbeki finally was able to return home to South Africa and was reunited with his own father, the elder Mbeki told a reporter, "You must remember that Thabo Mbeki is no longer my son. He is my comrade!" A news article pointed out that this was an expression of pride, explaining, "For Govan Mbeki, a son was a mere biological appendage; to be called a comrade, on the other hand, was the highest honour." In the late 1970s, Mbeki made a number of trips to the United States in search of support among US corporations. Literate and funny, he made a wide circle of friends in New York City. Mbeki was appointed head of the ANC's information department in 1984 and then became head of the international department in 1989, reporting directly to Oliver Tambo, then President of the ANC. Tambo was Mbeki's long-time mentor. In 1985, Mbeki was a member of a delegation that began meeting secretly with representatives of the South African business community, and in 1989, he led the ANC delegation that conducted secret talks with the South African government. These talks led to the unbanning of the ANC and the release of political prisoners. He also participated in many of the other important negotiations between the ANC and the government that eventually led to the democratisation of South Africa. As a sign of goodwill, De Klerk set free a few of the ANC's top leadership at the end of 1989, among them Govan Mbeki. Rise to the presidency On 2 February 1990, Botha's successor as state president, F. W. de Klerk, announced that the ANC and other political organisations would be unbanned, and ANC exiles began to return to South Africa. At the same time that it was to negotiate the end of apartheid, the ANC had to implement a significant internal reorganisation, absorbing into its official exile bodies the domestic ANC underground, released political prisoners, and other activists from the trade unions and the United Democratic Front. It also had an ageing leadership, meaning that a new generation of leaders had to be prepared for succession. 1993: ANC chairperson In the late 1980s and early 1990s, Mbeki's key role in the early negotiations made him a likely contender for top leadership positions in the party, and he was even considered to be in line for the ANC presidency. However, at the reconstituted ANC's first national elective conference in December 1991, Mbeki was not elected to any of the "Top Six" leadership positions. Sisulu was elected ANC deputy president, almost certainly as a compromise candidate, and trade unionist Cyril Ramaphosa was elected secretary general. According to historian Tom Lodge, Ramaphosa's election was a putsch carried out by the party's "internal wing," in defiance of the former exiles and political prisoners who had hitherto dominated the ANC's leadership. Over the next three years, Ramaphosa also came to eclipse Mbeki as the party's central negotiator when he, not Mbeki, was appointed to lead the ANC's delegation to the CODESA talks. Once SACP leader Chris Hani was assassinated in April 1993, Ramaphosa became Mbeki's primary competition in the ANC succession battle. When Tambo died later the same month, Mbeki succeeded him as ANC national chairperson. 1994: Deputy president Following the 1994 elections, South Africa's first under universal suffrage, Mbeki became one of the two national deputy presidents in the ANC-led Government of National Unity, in which Mandela was president. At the ANC's next national conference, held in December that year, Mbeki was elected unopposed to the ANC deputy presidency, also under Mandela. In June 1996, the National Party withdrew from the Government of National Unity and, with the second deputy, de Klerk, having thereby resigned, Mbeki became the sole deputy president. The same year, as deputy president, Mbeki acted as a peace broker in what was then known as Zaire, following the First Congo War and the deposition of Zairean president Mobutu Sese Seko. Mbeki also took on increasing domestic responsibilities, including executive powers delegated to him by Mandela, to such an extent that Mandela called him "a de facto president." Mandela had made it clear publicly since early 1995 or earlier that he intended to retire after one term in office, and by then Mbeki was already seen as his most likely successor. 1997: ANC president In December 1997, the ANC's 50th National Conference elected Mbeki unopposed to succeed Mandela as ANC president. On some accounts, the election was not contested because the top leadership had prepared assiduously for the conference, lobbying and negotiating on Mbeki's behalf in the interest of unity and continuity. Pursuant to the 1999 national elections, which the ANC won by a significant majority, Mbeki was elected president of South Africa. He was re-elected for a second term in 2004. Presidency of South Africa Economic policy Mbeki had been highly involved in economic policy as deputy president, especially in spearheading the Growth, Employment and Redistribution (GEAR) programme, which was introduced in 1996 and remained a cornerstone of Mbeki's administration after 1999. In comparison to the Reconstruction and Development Programme policy which had been the basis of the ANC's platform in 1994, GEAR placed less emphasis on developmental and redistributive imperatives, and subscribed to elements of the liberalisation, deregulation, and privatisation at the centre of Washington Consensus-style reforms. It was therefore viewed by some as a "policy reversal" and embrace of neoliberalism, and thus as an abandonment of the ANC's socialist principles. Mbeki also emphasised communication between government, business, and labour, establishing four working groups – for big business, black business, trade unions, and commercial agriculture – under which ministers, senior officials, and Mbeki himself met regularly with business and union leaders to build trust and explore solutions to structural economic problems. Conservative groups such as the Cato Institute commended Mbeki's macroeconomic policies, which reduced the budget deficit and public debt and which likely played a role in increasing economic growth. According to the Free Market Foundation, during the Mbeki presidency, average annualised quarter-on-quarter GDP growth was 4.2%, and average annual inflation was 5.7%. On the other hand, the shift alienated leftists, including inside in the ANC and its Tripartite Alliance. Zwelinzima Vavi of the Congress of South African Trade Unions (COSATU) was an outspoken critic of Mbeki's "market-friendly" economic policies, claiming that Mbeki's "flirtation" with neoliberalism had been "absolutely disastrous" for development, and especially for the labour-intensive development required to address South Africa's high unemployment rate. The discord between Mbeki and the left was on public display by December 2002, when Mbeki attacked what he called divisive "ultra-leftists" in a speech to the ANC's 51st National Conference. However, Mbeki clearly never subscribed to undiluted neoliberalism. He retained various social democratic programmes and principles, and generally endorsed a mixed economy in South Africa. One of the ANC's slogans in the campaign for his 2004 re-election was, "A people's contract for growth and development." He popularised the concept of a dual or two-track economy in South Africa, with severe underdevelopment in one segment of the population, and, for example in a 2003 newsletter, argued that high growth alone would only benefit the developed segment, without significant trickle-down benefits for the rest of the population. Yet, somewhat paradoxically, he explicitly advocated state support for the creation of a black capitalist class in South Africa. The government's black economic empowerment policy, which was expanded and consolidated under his administration, was criticised precisely for benefitting only a small black elite and thereby failing to address inequality. Foreign policy According to academic and diplomat Gerrit Olivier, during his presidency Mbeki "succeeded in placing Africa high on the global agenda." He was known for his Pan-Africanism, having emphasised related themes both in his famous "I am an African" speech in 1996 and in his first speech to Parliament as president in June 1999, when he foregrounded his trademark ideal of an "African renaissance." He advocated for greater solidarity among African countries and, in place of reliance on Western intervention and aid, for greater self-sufficiency for the African continent. Simultaneously, however, he argued for increased developmental aid to Africa. He called for Western leaders to address global apartheid and unequal development, most memorably in a speech to the World Summit on Sustainable Development in Johannesburg in August 2002. Africa Although Mbeki also forged strategic individual relationships with key African leaders, especially the heads of state of Nigeria, Algeria, Mozambique, and Tanzania, perhaps his central foreign policy instrument was multilateral cooperation. Mbeki's government, and Mbeki personally, are frequently cited as the single most significant driving force behind the creation in 2001 of the New Partnership for Africa's Development (NEPAD), which aims to develop a framework for accelerating economic development and cooperation in Africa. Olivier calls Mbeki the "seminal thinker" behind NEPAD and its "principal author and articulator." According to academic Chris Landsberg, NEPAD's central principle – "African leaders holding one another accountable in exchange for the recommitment of the industrialised world to Africa's development" – epitomised Mbeki's strategy in Africa. Mbeki was also involved in the dissolution of the Organisation of African Unity and its replacement by the African Union (AU), of which he became the inaugural chairperson in 2002, and his government spearheaded the introduction of the AU's African Peer Review Mechanism in 2003. He was twice chairperson of the Southern African Development Community (SADC), first from 1999 to 2000 and second, briefly, in 2008. Through these multilateral organisations and by contributing forces to various United Nations (UN) peacekeeping missions, Mbeki and his government were involved in peacekeeping initiatives in African countries including Zimbabwe, Ethiopia and Eritrea, Liberia, the Democratic Republic of Congo, and Burundi. Global South Outside Africa, Mbeki was the chairperson of the Non-Aligned Movement between 1999 and 2003 and the chairperson of the Group of 77 + China in 2006. He also pursued South-South solidarity in a coalition with India and Brazil under the IBSA Dialogue Forum, which was launched in June 2003 and held its first summit in September 2006. The IBSA countries together pressed for changes in the agricultural subsidy regimes of developed countries at the 2003 World Trade Organisation conference, and also pressed for reforms at the UN which would allow developing countries a stronger role. Indeed, Mbeki had called for reform at the UN as early as 1999 and 2000. In 2007, following a prolonged diplomatic campaign, South Africa secured a non-permanent seat on the UN Security Council for a two-year term. Controversially, in February 2007, South Africa followed Russia and China in voting against a draft resolution calling for an end to political detentions and military attacks against ethnic minorities in Myanmar. Mbeki later told the media that the resolution exceeded the Security Council's mandate, and that its tabling had been illegal in terms of international law. Quiet diplomacy in Zimbabwe Mbeki's presidency coincided with an escalating political and economic crisis in South Africa's neighbour, Zimbabwe, under president Mugabe of ZANU-PF. Problems included land invasions under the "fast-track" land reform programme, political violence and state-sponsored human rights violations, and hyperinflation. With SADC's endorsement, Mbeki frequently acted as a mediator between ZANU-PF and the Zimbabwean opposition. However, controversially, his policy towards the Mugabe regime was one of non-confrontational "quiet diplomacy" and "constructive engagement": he refused to condemn Mugabe and instead attempted to persuade him to accept gradual political reforms. He was firmly opposed to forcible or manufactured regime change in Zimbabwe, and also opposed the use of sanctions. The Economist posited an "Mbeki doctrine" holding that South Africa "cannot impose its will on others, but it can help to deal with instability in African countries by offering its resources and its leadership to bring rival groups together, and to keep things calm until an election is safely held." Mbeki said in 2004:...the critical role we should play is to assist the Zimbabweans to find each other, really to agree among themselves about the political, economic, social, other solutions that their country needs. We could have stepped aside from that task and then shouted, and that would be the end of our contribution... They would shout back at us and that would be the end of the story. I’m actually the only head of government that I know anywhere in the world who has actually gone to Zimbabwe and spoken publicly very critically of the things that they are doing.The motives behind Mbeki's Zimbabwe policy have been interpreted in various ways:
is eventually found lying on his kitchen floor. His daughter, Rose, takes her reluctant father to see a doctor, who sternly admonishes Alvin to give up tobacco and use a walking frame. Alvin refuses and instead opts to use two canes. Shortly after, Alvin learns that his brother, Lyle, has suffered a stroke. Longing to visit him, but unable to drive, Alvin develops a plan to travel 240 miles to Mount Zion, Wisconsin on his riding lawnmower, towing a small homemade travel-trailer along the way. This stirs doubt and worry in the minds of his family, friends, and neighbors. Alvin's first attempt fails: after experiencing difficulty starting the old mower's motor, he does not get far before the machine breaks down. Alvin arranges for his mower to be transported back home on a flatbed truck, where he takes out his frustrations on the mower with a shotgun blast. At the John Deere dealership, he purchases a used lawn tractor whose transmission is still intact from 1966. The salesman offers Alvin kind words as his journey resumes. On the side of the highway, Alvin passes a young female hitchhiker who later approaches his campfire and says that she could not get a ride. In conversation, Alvin deduces that she is pregnant and has run away from home. Alvin tells her about the importance of family by describing a bundle of sticks that is hard to break compared to a single stick. The next day, Alvin emerges from the trailer to find that she has left him a bundle of sticks tied together. Later, a huge group of RAGBRAI cyclists race past him. He arrives at the cyclists' camp and is greeted with applause. That night, he speaks with a pair of friendly cyclists around the campfire about growing old. The next day, Alvin is troubled by massive trucks passing him. He then interacts with a distraught woman who has hit a deer and is being driven insane by the fact she continually hits deer while commuting, no matter how hard she tries to avoid them. She drives away in a tearful huff, and Alvin, who has started to run short on food, cooks and eats the deer. He mounts the antlers on his trailer as a tribute to the deer and the sustenance it provided. Alvin's brakes fail as he travels down a steep hill; he struggles to maintain control of the speeding tractor and finally manages to bring the vehicle to a complete stop. A man named Danny helps Alvin get his mower and trailer off the main road. They discover that the mower has transmission problems. Now beginning to run low on cash, Alvin borrows a cordless phone from Danny – gently refusing an invitation to come indoors – and calls Rose to ask her to send him his Social Security check. He leaves money on the doorstep to pay for his telephone call. Danny offers Alvin a ride the rest of the way to Lyle's, but Alvin declines, stating that he prefers to travel his own way. Verlyn, an elderly war veteran, takes Alvin into town for a drink. Though Alvin does not drink alcohol, he orders a glass of milk, and the two men exchange traumatic stories about their experiences in World War II fighting against the Germans. Alvin's tractor is fixed, and he is presented with an exorbitant bill by the mechanics, who are twins and are constantly bickering. Alvin successfully negotiates the price down and explains his mission to help his brother. The twins seem to relate to Alvin's struggle. Alvin crosses the Mississippi River and makes camp in a cemetery. He chats with a Catholic priest who recognizes Lyle's name and is aware of his stroke. The priest says that Lyle did not mention he had a brother. Alvin responds that all he wants is to make peace with Lyle after their falling out ten years prior. Finally arriving in Mount Zion, Alvin stops at a bar to have a single beer: his first drink in years. He asks the bartender for directions to Lyle's house. Alvin experiences engine trouble just a few miles from Lyle's house and stops in the middle of the road. A large farm tractor driving by stops to help, then leads the way to make sure Alvin gets to his destination. When he arrives, Alvin finds the house dilapidated. He calls for his brother, who appears using a zimmer frame. Using two canes, Alvin makes his way to the door. Lyle invites Alvin to sit down on the porch. Lyle tearfully looks at Alvin's mower-tractor contraption and asks if Alvin had ridden it just to see him. Alvin simply responds, "I did, Lyle." The two men sit together silently and gaze up at the stars. Cast Production The Straight Story was independently shot along the actual route taken by Alvin Straight, and all scenes were shot in chronological order in the autumn of 1998. Lynch would later call the film "my most experimental movie". The Straight Story was
Security check. He leaves money on the doorstep to pay for his telephone call. Danny offers Alvin a ride the rest of the way to Lyle's, but Alvin declines, stating that he prefers to travel his own way. Verlyn, an elderly war veteran, takes Alvin into town for a drink. Though Alvin does not drink alcohol, he orders a glass of milk, and the two men exchange traumatic stories about their experiences in World War II fighting against the Germans. Alvin's tractor is fixed, and he is presented with an exorbitant bill by the mechanics, who are twins and are constantly bickering. Alvin successfully negotiates the price down and explains his mission to help his brother. The twins seem to relate to Alvin's struggle. Alvin crosses the Mississippi River and makes camp in a cemetery. He chats with a Catholic priest who recognizes Lyle's name and is aware of his stroke. The priest says that Lyle did not mention he had a brother. Alvin responds that all he wants is to make peace with Lyle after their falling out ten years prior. Finally arriving in Mount Zion, Alvin stops at a bar to have a single beer: his first drink in years. He asks the bartender for directions to Lyle's house. Alvin experiences engine trouble just a few miles from Lyle's house and stops in the middle of the road. A large farm tractor driving by stops to help, then leads the way to make sure Alvin gets to his destination. When he arrives, Alvin finds the house dilapidated. He calls for his brother, who appears using a zimmer frame. Using two canes, Alvin makes his way to the door. Lyle invites Alvin to sit down on the porch. Lyle tearfully looks at Alvin's mower-tractor contraption and asks if Alvin had ridden it just to see him. Alvin simply responds, "I did, Lyle." The two men sit together silently and gaze up at the stars. Cast Production The Straight Story was independently shot along the actual route taken by Alvin Straight, and all scenes were shot in chronological order in the autumn of 1998. Lynch would later call the film "my most experimental movie". The Straight Story was acquired by Walt Disney Pictures in the United States after a successful debut at Cannes and was given a G-rating by the MPAA (the only Lynch film to receive such a rating). It is also the only Lynch film for which Lynch himself did not contribute to the screenplay (although it was co-written by his recurring associate, Mary Sweeney). As with many of Lynch's films, there are no chapter markers on the original North American DVD release, because Lynch wants the film to be watched as a whole. During production, Richard Farnsworth was terminally ill with metastatic prostate cancer which had spread to his bones. The paralysis of his legs as shown in the film was real. He took the role out of admiration for Alvin Straight, and astonished his co-workers with his tenacity during production. Farnsworth died by suicide the following year, at the age of 80. Music The musical score for The Straight Story was composed by Angelo Badalamenti, continuing a 13-plus year collaboration with Lynch that began with Blue Velvet. A soundtrack album was released on October 12, 1999, by Windham Hill Records. All music composed and conducted by Angelo Badalamenti. "Laurens, Iowa" "Rose's Theme" "Laurens Walking" "Sprinkler" "Alvin's Theme" "Final Miles" "Country Waltz" "Rose's Theme (Variation)" "Country Theme" "Crystal" "Nostalgia" "Farmland Tour" "Montage" Reception The Straight Story was critically acclaimed upon its release, with critics lauding Lynch's uncharacteristic subject matter. Entertainment Weekly described it as a "celestial piece of Americana". The Chicago Tribune wrote of the film, "we see something American studio movies usually don't give us: the simple, unsentimentalized beauty of the rural American Midwestern landscape." On review aggregator Rotten Tomatoes, the film has an approval rating of 95% based on 103 reviews, with an average rating of 8.17/10. The website's critical consensus reads, "With strong performances and director David Lynch at the helm, The Straight Story steers past sentimental byways on its ambling journey across the American heartland." On Metacritic, the film has a score of 86 out of 100, based on 32 critics, indicating "universal acclaim". AllMovie wrote, "David Lynch offers an uncharacteristically straightforward and warmly sentimental approach to his material in this film", calling it "one of his best films". Roger Ebert gave the film four out of four stars, the first positive review he had ever given for a film by Lynch. He wrote, "The movie isn't just about the old Alvin Straight's odyssey through the sleepy towns and rural districts of the Midwest, but about the people he finds to listen and care for him." Awards and honors The Straight Story was the recipient of twelve awards and twenty-nine nominations. The film was nominated for the Palme d'Or at the 1999 Cannes Film Festival. Cinematographer Freddie Francis was nominated for the Golden Frog. Richard Farnsworth earned an Academy Award nomination for Best Actor for his portrayal of Alvin Straight. For 20 years he held the record for the oldest
Saviour Who desires the salvation of every human being. He will take care of them. You and I should not be burdened with such a concern. Study yourself and your own sins... I will tell you one thing, however: should you, being Orthodox and possessing the Truth in its fullness, betray Orthodoxy, and enter a different faith, you will lose your soul forever." "Where there is no prayer and fasting there are the demons." Books in English translation }. Turning the Heart to God (Partial translation of The Path to Salvation'') }. } }. This book consists of excerpts from his "The Path of Salvation" See also Hermit Hesychasm Poustinia Theophanes the Confessor, a Byzantine saint References External links St Theophan the Recluse: The Bishop of Tambov biography (Orthodox Church in America website) What is Prayer? by Theophan the Recluse (Youtube playlist of 5 videos containing the complete English translation of this work.) Writings of St. Theophan the Recluse at theophan.net English translation of a letter of Theophan the Recluse to the husband of his sister of 12th of February 1874 The Act of Canonization of the Local Council of the Russian Orthodox Church, Trinity-Sergius Laura, 6–9 June, 1988. Theophanes the Recluse Theophanes the Recluse People from Izmalkovsky District People from Oryol Governorate 19th-century Eastern Orthodox
the Philokalia from Church Slavonic into Russian. The Philokalia is a classic of orthodox spirituality, composed of the collected works of a number of church fathers which were edited and placed in a four volume set in the 17th and 18th centuries. A persistent theme is developing an interior life of continuous prayer, learning to "pray without ceasing" as St. Paul teaches in his first letter to the Thessalonians. Death He died on January 6, 1894 and lay in state for three days in his church. Even after that length of time there was no sign of decay in his unembalmed body. Theophan the Recluse was buried in the Kazan church of the Vysha Monastery. The Spiritual Life and How to Be Attuned To It The Spiritual Life and How to Be Attuned To It was originally written in response to Theophan's encounter with a young woman. While at a ball, this upper class Moscow woman began having irrational thoughts about the meaning of life and the immortality of man. After contacting Theophan, the two began corresponding through letters, the lady writing on her spiritual difficulties and Theophan responding with spiritual advice. This correspondence had a significant impact on the woman; she later became a nun. The Saint Herman Press, the publisher of the illustrated edition of The Spiritual Life and How to Be Attuned to It, notes that it was of great importance to Theophan that the young woman should "be able to keenly hear the right 'tone' of spiritual life". Veneration as a saint Theophan was canonized by the Local Council of the Russian Orthodox Church of 1988. The act of canonization declared that his "deep theological understanding of the Christian teaching, as well as its performance in practice, and, as a consequence of this, the loftiness and holiness of the life of the sviatitel''' allow for his writings to be regarded as a development of the teaching of the Holy Fathers, preserving the same Orthodox purity and Divine enlightenment." His feast day is celebrated January 6 or January 10. Quotes "He who believes in God, but does not confess Him as the Father of the Son, does not believe in a god that is the true God, but in some personal invention." "You
preferred. At least two reference works make note of the inconsistency in the titles. Both, however, repeat the statement that Adams decided in 2000 that "everyone should spell it the same way [one word, no hyphen] from then on." Synopsis The various versions follow the same basic plot but they are in many places mutually contradictory, as Adams rewrote the story substantially for each new adaptation. Throughout all versions, the series follows the adventures of Arthur Dent, a hapless Englishman, following the destruction of the Earth by the Vogons (a race of unpleasant and bureaucratic aliens) to make way for an intergalactic bypass. Dent's adventures intersect with several other characters: Ford Prefect (an alien and researcher for the eponymous guidebook who rescues Dent from Earth's destruction), Zaphod Beeblebrox (Ford's eccentric semi-cousin and the Galactic President who has stolen the Heart of Gold — a spacecraft equipped with Infinite Improbability Drive), the depressed robot Marvin the Paranoid Android, and Trillian (formerly known as Tricia McMillan) who is a woman Arthur once met at a party in Islington and who — thanks to Beeblebrox's intervention — is the only other human survivor of Earth's destruction. In their travels, Arthur comes to learn that the Earth was actually a giant supercomputer, created by another supercomputer, Deep Thought. Deep Thought had been built by its creators to give the answer to the "Ultimate Question of Life, the Universe, and Everything", which, after eons of calculations, was given simply as "42". Deep Thought was then instructed to design the Earth supercomputer to determine what the Question actually is. The Earth was subsequently destroyed by the Vogons moments before its calculations were completed, and Arthur becomes the target of the descendants of the Deep Thought creators, believing his mind must hold the Question. With his friends' help, Arthur escapes and they decide to have lunch at The Restaurant at the End of the Universe, before embarking on further adventures. Background The first radio series comes from a proposal called "The Ends of the Earth": six self-contained episodes, all ending with Earth being destroyed in a different way. While writing the first episode, Adams realised that he needed someone on the planet who was an alien to provide some context, and that this alien needed a reason to be there. Adams finally settled on making the alien a roving researcher for a "wholly remarkable book" named The Hitchhiker's Guide to the Galaxy. As the first radio episode's writing progressed, the Guide became the centre of his story, and he decided to focus the series on it, with the destruction of Earth being the only hold-over. Adams claimed that the title came from a 1971 incident while he was hitchhiking around Europe as a young man with a copy of the Hitch-hiker's Guide to Europe book: while lying drunk in a field near Innsbruck with a copy of the book and looking up at the stars, he thought it would be a good idea for someone to write a hitchhiker's guide to the galaxy as well. However, he later claimed that he had forgotten the incident itself, and only knew of it because he'd told the story of it so many times. His friends are quoted as saying that Adams mentioned the idea of "hitch-hiking around the galaxy" to them while on holiday in Greece in 1973. Adams's fictional Guide is an electronic guidebook to the entire universe, originally published by Megadodo Publications, one of the great publishing houses of Ursa Minor Beta. The narrative of the various versions of the story is frequently punctuated with excerpts from the Guide. The voice of the Guide (Peter Jones in the first two radio series and TV versions, later William Franklyn in the third, fourth and fifth radio series, and Stephen Fry in the movie version), also provides general narration. Radio Overview Original radio series The first radio series of six episodes (called "Fits" after the names of the sections of Lewis Carroll's nonsense poem "The Hunting of the Snark") was broadcast in 1978 on BBC Radio 4. Despite a low-key launch of the series (the first episode was broadcast at 10:30 pm on Wednesday, 8 March 1978), it received generally good reviews and a tremendous audience reaction for radio. A one-off episode (a "Christmas special") was broadcast later in the year. The BBC had a practice at the time of commissioning "Christmas Special" episodes for popular radio series, and while an early draft of this episode of The Hitchhiker's Guide had a Christmas-related plotline, it was decided to be "in slightly poor taste" and the episode as transmitted served as a bridge between the two series. This episode was released as part of the second radio series and, later, The Secondary Phase on cassettes and CDs. The Primary and Secondary Phases were aired, in a slightly edited version, in the United States on NPR Playhouse. The first series was repeated twice in 1978 alone and many more times in the next few years. This led to an LP re-recording, produced independently of the BBC for sale, and a further adaptation of the series as a book. A second radio series, which consisted of a further five episodes, and bringing the total number of episodes to 12, was broadcast in 1980. The radio series (and the LP and TV versions) were narrated by comedy actor Peter Jones as The Book. Jones was cast after a three-month-long casting search and after at least three actors (including Michael Palin) turning down the role. The series was also notable for its use of sound, being the first comedy series to be produced in stereo. Adams said that he wanted the programme's production to be comparable to that of a modern rock album. Much of the programme's budget was spent on sound effects, which were largely the work of Paddy Kingsland (for the pilot episode and the complete second series) at the BBC Radiophonic Workshop and Dick Mills and Harry Parker (for the remaining episodes (2–6) of the first series). The fact that they were at the forefront of modern radio production in 1978 and 1980 was reflected when the three new series of Hitchhiker's became some of the first radio shows to be mixed into four-channel Dolby Surround. This mix was also featured on DVD releases of the third radio series. The theme tune used for the radio, television, LP, and film versions is "Journey of the Sorcerer", an instrumental piece composed by Bernie Leadon and recorded by the Eagles on their 1975 album One of These Nights. Only the transmitted radio series used the original recording; a sound-alike cover by Tim Souster was used for the LP and TV series, another arrangement by Joby Talbot was used for the 2005 film, and still another arrangement, this time by Philip Pope, was recorded to be released with the CDs of the last three radio series. Apparently, Adams chose this song for its futuristic-sounding nature, but also for the fact that it had a banjo in it, which, as Geoffrey Perkins recalls, Adams said would give an "on the road, hitch-hiking feel" to it. The twelve episodes were released (in a slightly edited form, removing the Pink Floyd music and two other tunes "hummed" by Marvin when the team land on Magrathea) on CD and cassette in 1988, becoming the first CD release in the BBC Radio Collection. They were re-released in 1992, and at this time Adams suggested that they could retitle Fits the First to Sixth as "The Primary Phase" and Fits the Seventh to Twelfth as "The Secondary Phase" instead of just "the first series" and "the second series". It was at about this time that a "Tertiary Phase" was first discussed with Dirk Maggs, adapting Life, the Universe and Everything, but this series would not be recorded for another ten years. Radio series 3–5 On 21 June 2004, the BBC announced in a press release that a new series of Hitchhiker's based on the third novel would be broadcast as part of its autumn schedule, produced by Above the Title Productions Ltd. The episodes were recorded in late 2003, but actual transmission was delayed while an agreement was reached with The Walt Disney Company over Internet re-broadcasts, as Disney had begun pre-production on the film. This was followed by news that further series would be produced based on the fourth and fifth novels. The third series was broadcast in September and October 2004. The fourth and fifth were broadcast in May and June 2005, with the fifth series following immediately after the fourth. CD releases accompanied the transmission of the final episode in each series. The adaptation of the third novel followed the book very closely, which caused major structural issues in meshing with the preceding radio series in comparison to the second novel. Because many events from the radio series were omitted from the second novel, and those that did occur happened in a different order, the two series split in completely different directions. The last two adaptations vary somewhat—some events in Mostly Harmless are now foreshadowed in the adaptation of So Long and Thanks For All The Fish, while both include some additional material that builds on incidents in the third series to tie all five (and their divergent plotlines) together, most especially including the character Zaphod more prominently in the final chapters and addressing his altered reality to include the events of the Secondary Phase. While Mostly Harmless originally contained a rather bleak ending, Dirk Maggs created a different ending for the transmitted radio version, ending it on a much more upbeat note, reuniting the cast one last time. The core cast for the third to fifth radio series remained the same, except for the replacement of Peter Jones by William Franklyn as the Book, and Richard Vernon by Richard Griffiths as Slartibartfast, since both had died. (Homage to Jones' iconic portrayal of the Book was paid twice: the gradual shift of voices to a "new" version in episode 13, launching the new productions, and a blend of Jones and Franklyn's voices at the end of the final episode, the first part of Maggs' alternative ending.) Sandra Dickinson, who played Trillian in the TV series, here played Tricia McMillan, an English-born, American-accented alternate-universe version of Trillian, while David Dixon, the television series' Ford Prefect, made a cameo appearance as the "Ecological Man". Jane Horrocks appeared in the new semi-regular role of Fenchurch, Arthur's girlfriend, and Samantha Béart joined in the final series as Arthur and Trillian's daughter, Random Dent. Also reprising their roles from the original radio series were Jonathan Pryce as Zarniwoop (here blended with a character from the final novel to become Zarniwoop Vann Harl), Rula Lenska as Lintilla and her clones (and also as the Voice of the Bird), and Roy Hudd as Milliways compere Max Quordlepleen, as well as the original radio series' announcer, John Marsh. The series also featured guest appearances by such noted personalities as Joanna Lumley as the Sydney Opera House Woman, Jackie Mason as the East River Creature, Miriam Margolyes as the Smelly Photocopier Woman, BBC Radio cricket legends Henry Blofeld and Fred Trueman as themselves, June Whitfield as the Raffle Woman, Leslie Phillips as Hactar, Saeed Jaffrey as the Man on the Pole, Sir Patrick Moore as himself, and Christian Slater as Wonko the Sane. Finally, Adams himself played the role of Agrajag, a performance adapted from his book-on-tape reading of the third novel, and edited into the series created some time after the author's death. Radio series 6 The first of six episodes in a sixth series, the Hexagonal Phase, was broadcast on BBC Radio 4 on 8 March 2018 and featured Professor Stephen Hawking introducing himself as the voice of The Hitchhiker's Guide to the Galaxy Mk II by saying: "I have been quite popular in my time. Some even read my books." Novels The novels are described as "a trilogy in five parts", having been described as a trilogy on the release of the third book, and then a "trilogy in four parts" on the release of the fourth book. The US edition of the fifth book was originally released with the legend "The fifth book in the increasingly inaccurately named Hitchhiker's Trilogy" on the cover. Subsequent re-releases of the other novels bore the legend "The [first, second, third, fourth] book in the increasingly inaccurately named Hitchhiker's Trilogy". In addition, the blurb on the fifth book describes it as "the book that gives a whole new meaning to the word 'trilogy. The plots of the television and radio series are more or less the same as that of the first two novels, though some of the events occur in a different order and many of the details are changed. Much of parts five and six of the radio series were written by John Lloyd, but his material did not make it into the other versions of the story and is not included here. Many consider the books' version of events to be definitive because they are the most readily accessible and widely distributed version of the story. However, they are not the final version that Adams produced. Before his death from a heart attack on 11 May 2001, Adams was considering writing a sixth novel in the Hitchhiker's series. He was working on a third Dirk Gently novel, under the working title The Salmon of Doubt, but felt that the book was not working and abandoned it. In an interview, he said some of the ideas in the book might fit better in the Hitchhiker's series, and suggested he might rework those ideas into a sixth book in that series. He described Mostly Harmless as "a very bleak book" and said he "would love to finish Hitchhiker on a slightly more upbeat note". Adams also remarked that if he were to write a sixth instalment, he would at least start with all the characters in the same place. Eoin Colfer, who wrote the sixth book in the Hitchhiker's series in 2008–09, used this latter concept but none of the plot ideas from The Salmon of Doubt. The Hitchhiker's Guide to the Galaxy The first book was adapted from the first four radio episodes (the Primary Phase), with Arthur being rescued from Earth's destruction by Ford, meeting Zaphod and Trillian, coming to the planet of Magrathea to discover the true purpose of Earth, and ending with the group preparing to go to the Restaurant at the End of the Universe. It was first published in 1979, initially in paperback, by Pan Books, after BBC Publishing had turned down the offer of publishing a novelisation, an action they would later regret. The book reached number one on the book charts in only its second week, and sold over 250,000 copies within three months of its release. A hardback edition was published by Harmony Books, a division of Random House in the United States in October 1980, and the 1981 US paperback edition was promoted by the give-away of 3,000 free copies in the magazine Rolling Stone to build word of mouth. In 2005, Del Rey Books re-released the Hitchhiker series with new covers for the release of the 2005 movie. To date, it has sold over 14 million copies. A photo-illustrated edition of the first novel appeared in 1994. The Restaurant at the End of the Universe In The Restaurant at the End of the Universe (published in 1980), Zaphod is separated from the others and finds he is part of a conspiracy to uncover who really runs the Universe. Zaphod meets Zarniwoop, a conspirator and editor for The Guide, who knows where to find the secret ruler. Zaphod becomes briefly reunited with the others for a trip to Milliways, the restaurant of the title. Zaphod and Ford decide to steal a ship from there, which turns out to be a stunt ship pre-programmed to plunge into a star as a special effect in a stage show. Unable to change course, the main characters get Marvin to run the teleporter they find in the ship, which is working other than having no automatic control (someone must remain behind to operate it), and Marvin seemingly sacrifices himself. Zaphod and Trillian discover that the Universe is in the safe hands of a simple man living on a remote planet in a wooden shack with his cat. Ford and Arthur, meanwhile, end up on a spacecraft full of the outcasts of the Golgafrinchan civilisation. The ship crashes on prehistoric Earth; Ford and Arthur are stranded, and it becomes clear that the inept Golgafrinchans are the ancestors of modern humans, having displaced the Earth's indigenous hominids. This has disrupted the Earth's programming so that when Ford and Arthur manage to extract the final readout from Arthur's subconscious mind by pulling lettered tiles from a Scrabble set, it is "What do you get if you multiply six by nine?" Arthur then comments, "I've always said there was something fundamentally wrong with the universe." The book was adapted from the remaining material in the radio series—covering from the fifth episode to the twelfth episode, although the ordering was greatly changed (in particular, the events of Fit the Sixth, with Ford and Arthur being stranded on pre-historic Earth, end the book, and their rescue in Fit the Seventh is deleted), and most of the Brontitall incident was omitted, instead of the Haggunenon sequence, co-written by John Loyd, the Disaster Area stunt ship was substituted—this having first been introduced in the LP version. Adams himself considered Restaurant to be his best novel of the five. Life, the Universe and Everything In Life, the Universe and Everything (published in 1982), Ford and Arthur travel through the space-time continuum from prehistoric Earth to Lord's Cricket Ground. There they run into Slartibartfast, who enlists their aid in preventing galactic war. Long ago, the people of Krikkit attempted to wipe out all life in the Universe, but they were stopped and imprisoned on their home planet; now they are poised to escape. With the help of Marvin, Zaphod, and Trillian, our heroes prevent the destruction of life in the Universe and go their separate ways. This was the first Hitchhiker's book originally written as a book and not adapted from radio. Its story was based on a treatment Adams had written for a Doctor Who theatrical release, with the Doctor role being split between Slartibartfast (to begin with), and later Trillian and Arthur. In 2004, it was adapted for radio as the Tertiary Phase of the radio series. So Long, and Thanks for All the Fish In So Long, and Thanks for All the Fish (published in 1984), Arthur returns home to Earth, rather surprisingly since it was destroyed when he left. He meets and falls in love with a girl named Fenchurch, and discovers this Earth is a replacement provided by the dolphins in their Save the Humans campaign. Eventually, he rejoins Ford, who claims to have saved the Universe in the meantime, to hitch-hike one last time and see God's Final Message to His Creation. Along the way, they are joined by Marvin, the Paranoid Android, who, although 37 times older than the universe itself (what with time travel and all), has just enough power left in his failing body to read the message and feel better about it all before expiring. This was the first Hitchhiker's novel which was not an adaptation of any previously written story or script. In 2005 it was adapted for radio as the Quandary Phase of the radio series. Mostly Harmless Finally, in Mostly Harmless (published in 1992), Vogons take over The Hitchhiker's Guide (under the name of InfiniDim Enterprises), to finish, once and for all, the task of obliterating the Earth. After abruptly losing Fenchurch and travelling around the galaxy despondently, Arthur's spaceship crashes on the planet Lamuella, where he settles in happily as the official sandwich-maker for a small village of simple, peaceful people. Meanwhile, Ford Prefect breaks into The Guide's offices, gets himself an infinite expense account from the computer system, and then meets The Hitchhiker's Guide to the Galaxy, Mark II, an artificially intelligent, multi-dimensional guide with vast power and a hidden purpose. After he declines this dangerously powerful machine's aid (which he receives anyway), he sends it to Arthur Dent for safety ("Oh yes, whose?"—Arthur). Trillian uses DNA that Arthur donated for travelling money to have a daughter, and when she goes to cover a war, she leaves her daughter Random Frequent Flyer Dent with Arthur. Random, a more than typically troubled teenager, steals The Guide Mark II and uses it to get to Earth. Arthur, Ford, Trillian, and Tricia McMillan (Trillian in this alternate universe) follow her to a crowded club, where an anguished Random becomes startled by a noise and inadvertently fires her gun at Arthur. The shot misses Arthur and kills a man (the ever-unfortunate Agrajag). Immediately afterwards, The Guide Mark II causes the removal of all possible Earths from probability. All of the main characters, save Zaphod, were on Earth at the time and are apparently killed, bringing a good deal of satisfaction to the Vogons. In 2005 it was adapted for radio as the Quintessential Phase of the radio series, with the final episode first transmitted on 21 June 2005. And Another Thing... It was announced in September 2008 that Eoin Colfer, author of Artemis Fowl, had been commissioned to write the sixth instalment entitled And Another Thing... with the support of Jane Belson, Adams's widow. The book was published by Penguin Books in the UK and Hyperion in the US in October 2009. The story begins as death rays bear down on Earth, and the characters awaken from a virtual reality. Zaphod picks them up shortly before they are killed, but completely fails to escape the death beams. They are then saved by Bowerick Wowbagger, the Infinitely Prolonged, whom they agree to help kill. Zaphod travels to Asgard to get Thor's help. In the meantime, the Vogons are heading to destroy a colony of people who also escaped Earth's destruction, on the planet Nano. Arthur, Wowbagger, Trillian and Random head to Nano to try to stop the Vogons, and on the journey, Wowbagger and Trillian fall in love, making Wowbagger question whether or not he wants to be killed. Zaphod arrives with Thor, who then signs up to be the planet's God. With Random's help, Thor almost kills Wowbagger. Wowbagger, who merely loses his immortality, then marries Trillian. Thor then stops the first Vogon attack and apparently dies. Meanwhile, Constant Mown, son of Prostetnic Jeltz, convinces his father that the people on the planet are not citizens of Earth, but are, in fact, citizens of Nano, which means that it would be illegal to kill them. As the book draws to a close, Arthur is on his way to check out a possible university for Random, when, during a hyperspace jump, he is flung across alternate universes, has a brief encounter with Fenchurch, and ends up exactly where he would want to be. And then the Vogons turn up again. In 2017 it was adapted for radio as the Hexagonal Phase of the radio series, with its premiere episode first transmitted on 8 March 2018 (exactly forty years, to the day, from the first episode of the first series, the Primary Phase). Omnibus editions Two omnibus editions were created by Douglas Adams to combine the Hitchhiker series novels and to "set the record straight". The stories came in so many different formats that Adams stated that every time he told it he would contradict himself. Therefore, he stated in the introduction of The More Than Complete Hitchhiker's Guide that "anything I put down wrong here is, as far as I'm concerned, wrong for good." The two omnibus editions were The More Than Complete Hitchhiker's Guide, Complete and Unabridged (published in 1987) and The Ultimate Hitchhiker's Guide, Complete and Unabridged (published in 1997). The More Than Complete Hitchhiker's Guide Published in 1987, this 624-page leatherbound omnibus edition contains "wrong for good" versions of the four Hitchhiker series novels at the time, and also includes one short story: The Hitchhiker's Guide to the Galaxy The Restaurant at the End of the Universe Life, the Universe and Everything So Long, and Thanks for All the Fish "Young Zaphod Plays it Safe" The Ultimate Hitchhiker's Guide Published in 1997, this 832-page leatherbound final omnibus edition contains five Hitchhiker series novels and one short story: The Hitchhiker's Guide to
new semi-regular role of Fenchurch, Arthur's girlfriend, and Samantha Béart joined in the final series as Arthur and Trillian's daughter, Random Dent. Also reprising their roles from the original radio series were Jonathan Pryce as Zarniwoop (here blended with a character from the final novel to become Zarniwoop Vann Harl), Rula Lenska as Lintilla and her clones (and also as the Voice of the Bird), and Roy Hudd as Milliways compere Max Quordlepleen, as well as the original radio series' announcer, John Marsh. The series also featured guest appearances by such noted personalities as Joanna Lumley as the Sydney Opera House Woman, Jackie Mason as the East River Creature, Miriam Margolyes as the Smelly Photocopier Woman, BBC Radio cricket legends Henry Blofeld and Fred Trueman as themselves, June Whitfield as the Raffle Woman, Leslie Phillips as Hactar, Saeed Jaffrey as the Man on the Pole, Sir Patrick Moore as himself, and Christian Slater as Wonko the Sane. Finally, Adams himself played the role of Agrajag, a performance adapted from his book-on-tape reading of the third novel, and edited into the series created some time after the author's death. Radio series 6 The first of six episodes in a sixth series, the Hexagonal Phase, was broadcast on BBC Radio 4 on 8 March 2018 and featured Professor Stephen Hawking introducing himself as the voice of The Hitchhiker's Guide to the Galaxy Mk II by saying: "I have been quite popular in my time. Some even read my books." Novels The novels are described as "a trilogy in five parts", having been described as a trilogy on the release of the third book, and then a "trilogy in four parts" on the release of the fourth book. The US edition of the fifth book was originally released with the legend "The fifth book in the increasingly inaccurately named Hitchhiker's Trilogy" on the cover. Subsequent re-releases of the other novels bore the legend "The [first, second, third, fourth] book in the increasingly inaccurately named Hitchhiker's Trilogy". In addition, the blurb on the fifth book describes it as "the book that gives a whole new meaning to the word 'trilogy. The plots of the television and radio series are more or less the same as that of the first two novels, though some of the events occur in a different order and many of the details are changed. Much of parts five and six of the radio series were written by John Lloyd, but his material did not make it into the other versions of the story and is not included here. Many consider the books' version of events to be definitive because they are the most readily accessible and widely distributed version of the story. However, they are not the final version that Adams produced. Before his death from a heart attack on 11 May 2001, Adams was considering writing a sixth novel in the Hitchhiker's series. He was working on a third Dirk Gently novel, under the working title The Salmon of Doubt, but felt that the book was not working and abandoned it. In an interview, he said some of the ideas in the book might fit better in the Hitchhiker's series, and suggested he might rework those ideas into a sixth book in that series. He described Mostly Harmless as "a very bleak book" and said he "would love to finish Hitchhiker on a slightly more upbeat note". Adams also remarked that if he were to write a sixth instalment, he would at least start with all the characters in the same place. Eoin Colfer, who wrote the sixth book in the Hitchhiker's series in 2008–09, used this latter concept but none of the plot ideas from The Salmon of Doubt. The Hitchhiker's Guide to the Galaxy The first book was adapted from the first four radio episodes (the Primary Phase), with Arthur being rescued from Earth's destruction by Ford, meeting Zaphod and Trillian, coming to the planet of Magrathea to discover the true purpose of Earth, and ending with the group preparing to go to the Restaurant at the End of the Universe. It was first published in 1979, initially in paperback, by Pan Books, after BBC Publishing had turned down the offer of publishing a novelisation, an action they would later regret. The book reached number one on the book charts in only its second week, and sold over 250,000 copies within three months of its release. A hardback edition was published by Harmony Books, a division of Random House in the United States in October 1980, and the 1981 US paperback edition was promoted by the give-away of 3,000 free copies in the magazine Rolling Stone to build word of mouth. In 2005, Del Rey Books re-released the Hitchhiker series with new covers for the release of the 2005 movie. To date, it has sold over 14 million copies. A photo-illustrated edition of the first novel appeared in 1994. The Restaurant at the End of the Universe In The Restaurant at the End of the Universe (published in 1980), Zaphod is separated from the others and finds he is part of a conspiracy to uncover who really runs the Universe. Zaphod meets Zarniwoop, a conspirator and editor for The Guide, who knows where to find the secret ruler. Zaphod becomes briefly reunited with the others for a trip to Milliways, the restaurant of the title. Zaphod and Ford decide to steal a ship from there, which turns out to be a stunt ship pre-programmed to plunge into a star as a special effect in a stage show. Unable to change course, the main characters get Marvin to run the teleporter they find in the ship, which is working other than having no automatic control (someone must remain behind to operate it), and Marvin seemingly sacrifices himself. Zaphod and Trillian discover that the Universe is in the safe hands of a simple man living on a remote planet in a wooden shack with his cat. Ford and Arthur, meanwhile, end up on a spacecraft full of the outcasts of the Golgafrinchan civilisation. The ship crashes on prehistoric Earth; Ford and Arthur are stranded, and it becomes clear that the inept Golgafrinchans are the ancestors of modern humans, having displaced the Earth's indigenous hominids. This has disrupted the Earth's programming so that when Ford and Arthur manage to extract the final readout from Arthur's subconscious mind by pulling lettered tiles from a Scrabble set, it is "What do you get if you multiply six by nine?" Arthur then comments, "I've always said there was something fundamentally wrong with the universe." The book was adapted from the remaining material in the radio series—covering from the fifth episode to the twelfth episode, although the ordering was greatly changed (in particular, the events of Fit the Sixth, with Ford and Arthur being stranded on pre-historic Earth, end the book, and their rescue in Fit the Seventh is deleted), and most of the Brontitall incident was omitted, instead of the Haggunenon sequence, co-written by John Loyd, the Disaster Area stunt ship was substituted—this having first been introduced in the LP version. Adams himself considered Restaurant to be his best novel of the five. Life, the Universe and Everything In Life, the Universe and Everything (published in 1982), Ford and Arthur travel through the space-time continuum from prehistoric Earth to Lord's Cricket Ground. There they run into Slartibartfast, who enlists their aid in preventing galactic war. Long ago, the people of Krikkit attempted to wipe out all life in the Universe, but they were stopped and imprisoned on their home planet; now they are poised to escape. With the help of Marvin, Zaphod, and Trillian, our heroes prevent the destruction of life in the Universe and go their separate ways. This was the first Hitchhiker's book originally written as a book and not adapted from radio. Its story was based on a treatment Adams had written for a Doctor Who theatrical release, with the Doctor role being split between Slartibartfast (to begin with), and later Trillian and Arthur. In 2004, it was adapted for radio as the Tertiary Phase of the radio series. So Long, and Thanks for All the Fish In So Long, and Thanks for All the Fish (published in 1984), Arthur returns home to Earth, rather surprisingly since it was destroyed when he left. He meets and falls in love with a girl named Fenchurch, and discovers this Earth is a replacement provided by the dolphins in their Save the Humans campaign. Eventually, he rejoins Ford, who claims to have saved the Universe in the meantime, to hitch-hike one last time and see God's Final Message to His Creation. Along the way, they are joined by Marvin, the Paranoid Android, who, although 37 times older than the universe itself (what with time travel and all), has just enough power left in his failing body to read the message and feel better about it all before expiring. This was the first Hitchhiker's novel which was not an adaptation of any previously written story or script. In 2005 it was adapted for radio as the Quandary Phase of the radio series. Mostly Harmless Finally, in Mostly Harmless (published in 1992), Vogons take over The Hitchhiker's Guide (under the name of InfiniDim Enterprises), to finish, once and for all, the task of obliterating the Earth. After abruptly losing Fenchurch and travelling around the galaxy despondently, Arthur's spaceship crashes on the planet Lamuella, where he settles in happily as the official sandwich-maker for a small village of simple, peaceful people. Meanwhile, Ford Prefect breaks into The Guide's offices, gets himself an infinite expense account from the computer system, and then meets The Hitchhiker's Guide to the Galaxy, Mark II, an artificially intelligent, multi-dimensional guide with vast power and a hidden purpose. After he declines this dangerously powerful machine's aid (which he receives anyway), he sends it to Arthur Dent for safety ("Oh yes, whose?"—Arthur). Trillian uses DNA that Arthur donated for travelling money to have a daughter, and when she goes to cover a war, she leaves her daughter Random Frequent Flyer Dent with Arthur. Random, a more than typically troubled teenager, steals The Guide Mark II and uses it to get to Earth. Arthur, Ford, Trillian, and Tricia McMillan (Trillian in this alternate universe) follow her to a crowded club, where an anguished Random becomes startled by a noise and inadvertently fires her gun at Arthur. The shot misses Arthur and kills a man (the ever-unfortunate Agrajag). Immediately afterwards, The Guide Mark II causes the removal of all possible Earths from probability. All of the main characters, save Zaphod, were on Earth at the time and are apparently killed, bringing a good deal of satisfaction to the Vogons. In 2005 it was adapted for radio as the Quintessential Phase of the radio series, with the final episode first transmitted on 21 June 2005. And Another Thing... It was announced in September 2008 that Eoin Colfer, author of Artemis Fowl, had been commissioned to write the sixth instalment entitled And Another Thing... with the support of Jane Belson, Adams's widow. The book was published by Penguin Books in the UK and Hyperion in the US in October 2009. The story begins as death rays bear down on Earth, and the characters awaken from a virtual reality. Zaphod picks them up shortly before they are killed, but completely fails to escape the death beams. They are then saved by Bowerick Wowbagger, the Infinitely Prolonged, whom they agree to help kill. Zaphod travels to Asgard to get Thor's help. In the meantime, the Vogons are heading to destroy a colony of people who also escaped Earth's destruction, on the planet Nano. Arthur, Wowbagger, Trillian and Random head to Nano to try to stop the Vogons, and on the journey, Wowbagger and Trillian fall in love, making Wowbagger question whether or not he wants to be killed. Zaphod arrives with Thor, who then signs up to be the planet's God. With Random's help, Thor almost kills Wowbagger. Wowbagger, who merely loses his immortality, then marries Trillian. Thor then stops the first Vogon attack and apparently dies. Meanwhile, Constant Mown, son of Prostetnic Jeltz, convinces his father that the people on the planet are not citizens of Earth, but are, in fact, citizens of Nano, which means that it would be illegal to kill them. As the book draws to a close, Arthur is on his way to check out a possible university for Random, when, during a hyperspace jump, he is flung across alternate universes, has a brief encounter with Fenchurch, and ends up exactly where he would want to be. And then the Vogons turn up again. In 2017 it was adapted for radio as the Hexagonal Phase of the radio series, with its premiere episode first transmitted on 8 March 2018 (exactly forty years, to the day, from the first episode of the first series, the Primary Phase). Omnibus editions Two omnibus editions were created by Douglas Adams to combine the Hitchhiker series novels and to "set the record straight". The stories came in so many different formats that Adams stated that every time he told it he would contradict himself. Therefore, he stated in the introduction of The More Than Complete Hitchhiker's Guide that "anything I put down wrong here is, as far as I'm concerned, wrong for good." The two omnibus editions were The More Than Complete Hitchhiker's Guide, Complete and Unabridged (published in 1987) and The Ultimate Hitchhiker's Guide, Complete and Unabridged (published in 1997). The More Than Complete Hitchhiker's Guide Published in 1987, this 624-page leatherbound omnibus edition contains "wrong for good" versions of the four Hitchhiker series novels at the time, and also includes one short story: The Hitchhiker's Guide to the Galaxy The Restaurant at the End of the Universe Life, the Universe and Everything So Long, and Thanks for All the Fish "Young Zaphod Plays it Safe" The Ultimate Hitchhiker's Guide Published in 1997, this 832-page leatherbound final omnibus edition contains five Hitchhiker series novels and one short story: The Hitchhiker's Guide to the Galaxy The Restaurant at the End of the Universe Life, the Universe and Everything So Long, and Thanks for All the Fish Mostly Harmless "Young Zaphod Plays it Safe" Also appearing in The Ultimate Hitchhiker's Guide, at the end of Adams's introduction, is a list of instructions on "How to Leave the Planet", providing a humorous explanation of how one might replicate Arthur and Ford's feat at the beginning of Hitchhiker's. Television series 1981 series The popularity of the radio series gave rise to a six-episode television series, directed and produced by Alan J. W. Bell, which first aired on BBC 2 in January and February 1981. It employed many of the actors from the radio series and was based mainly on the radio versions of Fits the First to Sixth. A second series was at one point planned, with a storyline, according to Alan Bell and Mark Wing-Davey that would have come from Adams's abandoned Doctor Who and the Krikkitmen project (instead of simply making a TV version of the second radio series). However, Adams got into disputes with the BBC (accounts differ: problems with budget, scripts, and having Alan Bell involved are all offered as causes), and the second series was never made. Elements of Doctor Who and the Krikkitmen were instead used in the third novel, Life, the Universe and Everything. The main cast was the same as the original radio series, except for David Dixon as Ford Prefect instead of McGivern, and Sandra Dickinson as Trillian instead of Sheridan. Upcoming television series A new television series for Hulu was announced in July 2019. Carlton Cuse was named as the showrunner alongside Jason Fuchs, who will also be writing for the show. The show will be produced by ABC Signature and Genre Arts. The series was set to premiere in 2021. Production was slated to begin in the summer of 2020 and air on Fox in international markets. The series has reportedly been renewed for a second season. Due to the COVID-19 pandemic, production on the series has most likely been delayed. However, a production outlet claimed that the series began production in May 2021. Other television appearances Segments of several of the books were adapted as part of the BBC's The Big Read survey and programme, broadcast in late 2003. The film, directed by Deep Sehgal, starred Sanjeev Bhaskar as Arthur Dent, alongside Spencer Brown as Ford Prefect, Nigel Planer as the voice of Marvin, Stephen Hawking as the voice of Deep Thought, Patrick Moore as the voice of the Guide, Roger Lloyd-Pack as Slartibartfast, and Adam Buxton and Joe Cornish as Loonquawl and Phouchg. Film After several years of setbacks and renewed efforts to start production and a quarter of a century after the first book was published, the big-screen adaptation of The Hitchhiker's Guide to the Galaxy was finally shot. Pre-production began in 2003, filming began on 19 April 2004 and post-production began in early September 2004. Adams died during the film's production but had still helped with early screenplays and concepts introduced with the film. After a London premiere on 20 April 2005, it was released on 28 April in the UK and Australia and on 29 April in the United States and Canada. The movie stars Martin Freeman as Arthur, Mos Def as Ford, Sam Rockwell as President of the Galaxy Zaphod Beeblebrox and Zooey Deschanel as Trillian, with Alan Rickman providing the voice of Marvin the Paranoid Android (and Warwick Davis acting in Marvin's costume), and Stephen Fry as the voice of the Guide/Narrator. The plot of the film adaptation of Hitchhiker's Guide differs widely from that of the radio show, book and television series. The romantic triangle between Arthur, Zaphod, and Trillian is more prominent in the film; and visits to Vogsphere, the homeworld of the Vogons (which, in the books, was already abandoned), and Viltvodle VI are inserted. The film covers roughly events in the first four radio episodes, and ends with the characters en route to the Restaurant at the End of the Universe, leaving the opportunity for a sequel open. A unique appearance is made by the Point-of-View Gun, a device specifically created by Adams himself for the movie. Commercially the film was a modest success, taking $21 million in its opening weekend in the United States, and nearly £3.3 million in its opening weekend in the United Kingdom. The film was released on DVD (Region 2, PAL) in the UK on 5 September 2005. Both a standard double-disc edition and a UK-exclusive numbered limited edition "Giftpack" were released on this date. The "Giftpack" edition includes a copy of the novel with a "movie tie-in" cover, and collectible prints from the film, packaged in a replica of the film's version of the Hitchhiker's Guide prop. A single-disc widescreen or full-screen edition (Region 1, NTSC) were made available in the United States and Canada on 13 September 2005. Single-disc releases in the Blu-ray format and UMD format for the PlayStation Portable were also released on the respective dates in these three countries. Stage shows There have been multiple professional and amateur stage adaptations of The Hitchhiker's Guide to the Galaxy. Three early professional productions were staged in 1979 and 1980. The first of these was performed at the Institute of Contemporary Arts in London, between 1 and 19 May 1979, starring Chris Langham as Arthur Dent (Langham later returned to Hitchhiker's as Prak in the final episode of 2004's Tertiary Phase) and Richard Hope as Ford Prefect. This show was adapted from the first series' scripts and was directed by Ken Campbell, who went on to perform a character in the final episode of the second radio series. The show ran 90 minutes, but had an audience limited to eighty people per night. Actors performed on a variety of ledges and platforms, and the audience was pushed around in a hovercar, 1/2000th of an inch above the floor. This was the first time that Zaphod was represented by having two actors in one large costume. The narration of "The
question in contemporary research. Knuth's dedication reads: This series of books is affectionately dedicatedto the Type 650 computer once installed atCase Institute of Technology,with whom I have spent many pleasant evenings. Assembly language in the book All examples in the books use a language called "MIX assembly language", which runs on the hypothetical MIX computer. Currently, the MIX computer is being replaced by the MMIX computer, which is a RISC version. Software such as GNU MDK exists to provide emulation of the MIX architecture. Knuth considers the use of assembly language necessary for the speed and memory usage of algorithms to be judged. Critical response Knuth was awarded the 1974 Turing Award "for his major contributions to the analysis of algorithms […], and in particular for his contributions to the 'art of computer programming' through his well-known books in a continuous series by this title." American Scientist has included this work among "100 or so Books that shaped a Century of Science", referring to the twentieth century, Covers of the third edition of Volume 1 quote Bill Gates as saying, "If you think you're a really good programmer… read (Knuth's) Art of Computer Programming… You should definitely send me a résumé if you can read the whole thing." The New York Times referred to it as "the profession's defining treatise". Volumes Completed Volume 1 – Fundamental Algorithms Chapter 1 – Basic concepts Chapter 2 – Information structures Volume 2 – Seminumerical Algorithms Chapter 3 – Random numbers Chapter 4 – Arithmetic Volume 3 – Sorting and Searching Chapter 5 – Sorting Chapter 6 – Searching Volume 4A – Combinatorial Algorithms Chapter 7 – Combinatorial searching (part 1) Planned Volume 4B... – Combinatorial Algorithms (chapters 7 & 8 released in several subvolumes) Chapter 7 – Combinatorial searching (continued) Chapter 8 – Recursion Volume 5 – Syntactic Algorithms Chapter 9 – Lexical scanning (also includes string search and data compression) Chapter 10 – Parsing techniques Volume 6 – The Theory of Context-Free Languages Volume 7 – Compiler Techniques Chapter outlines Completed Volume 1 – Fundamental Algorithms Chapter 1 – Basic concepts 1.1. Algorithms 1.2. Mathematical Preliminaries 1.2.1. Mathematical Induction 1.2.2. Numbers, Powers, and Logarithms 1.2.3. Sums and Products 1.2.4. Integer Functions and Elementary Number Theory 1.2.5. Permutations and Factorials 1.2.6. Binomial Coefficients 1.2.7. Harmonic Numbers 1.2.8. Fibonacci Numbers 1.2.9. Generating Functions 1.2.10. Analysis of an Algorithm 1.2.11. Asymptotic Representations 1.2.11.1. The O-notation 1.2.11.2. Euler's summation formula 1.2.11.3. Some asymptotic calculations 1.3 MMIX (MIX in the hardback copy but updated by fascicle 1) 1.3.1. Description of MMIX 1.3.2. The MMIX Assembly Language 1.3.3. Applications to Permutations 1.4. Some Fundamental Programming Techniques 1.4.1. Subroutines 1.4.2. Coroutines 1.4.3. Interpretive Routines 1.4.3.1. A MIX simulator 1.4.3.2. Trace routines 1.4.4. Input and Output 1.4.5. History and Bibliography Chapter 2 – Information Structures 2.1. Introduction 2.2. Linear Lists 2.2.1. Stacks, Queues, and Deques 2.2.2. Sequential Allocation 2.2.3. Linked Allocation (topological sorting) 2.2.4. Circular Lists 2.2.5. Doubly Linked Lists 2.2.6. Arrays and Orthogonal Lists 2.3. Trees 2.3.1. Traversing Binary Trees 2.3.2. Binary Tree Representation of Trees 2.3.3. Other Representations of Trees 2.3.4. Basic Mathematical Properties of Trees 2.3.4.1. Free trees 2.3.4.2. Oriented trees 2.3.4.3. The "infinity lemma" 2.3.4.4. Enumeration of trees 2.3.4.5. Path length 2.3.4.6. History and bibliography 2.3.5. Lists and Garbage Collection 2.4. Multilinked Structures 2.5. Dynamic Storage Allocation 2.6. History and Bibliography Volume 2 – Seminumerical Algorithms Chapter 3 – Random Numbers 3.1. Introduction 3.2. Generating Uniform Random Numbers 3.2.1. The Linear Congruential Method 3.2.1.1. Choice of modulus 3.2.1.2. Choice of multiplier 3.2.1.3. Potency 3.2.2. Other Methods 3.3. Statistical Tests 3.3.1. General Test Procedures for Studying Random Data 3.3.2. Empirical Tests 3.3.3. Theoretical Tests 3.3.4. The Spectral Test 3.4. Other Types of Random Quantities 3.4.1. Numerical Distributions 3.4.2. Random Sampling and Shuffling 3.5. What Is a Random Sequence? 3.6. Summary Chapter 4 – Arithmetic 4.1. Positional Number Systems 4.2. Floating Point Arithmetic 4.2.1. Single-Precision Calculations 4.2.2. Accuracy of Floating Point Arithmetic 4.2.3. Double-Precision Calculations 4.2.4. Distribution of Floating Point Numbers 4.3. Multiple Precision Arithmetic 4.3.1. The Classical Algorithms 4.3.2. Modular Arithmetic 4.3.3. How Fast Can We Multiply? 4.4. Radix Conversion 4.5. Rational Arithmetic 4.5.1. Fractions 4.5.2. The Greatest Common Divisor 4.5.3. Analysis of Euclid's Algorithm 4.5.4. Factoring into Primes 4.6. Polynomial Arithmetic 4.6.1. Division of Polynomials 4.6.2. Factorization of Polynomials 4.6.3. Evaluation of Powers (addition-chain exponentiation) 4.6.4. Evaluation of Polynomials 4.7. Manipulation of Power Series Volume 3 – Sorting and Searching Chapter 5 – Sorting 5.1. Combinatorial Properties of Permutations 5.1.1. Inversions 5.1.2. Permutations of a Multiset 5.1.3. Runs 5.1.4. Tableaux and Involutions 5.2. Internal sorting 5.2.1. Sorting by Insertion 5.2.2. Sorting by Exchanging 5.2.3. Sorting by Selection 5.2.4. Sorting by Merging 5.2.5. Sorting by Distribution 5.3. Optimum Sorting 5.3.1. Minimum-Comparison Sorting 5.3.2. Minimum-Comparison Merging 5.3.3. Minimum-Comparison Selection 5.3.4. Networks for Sorting 5.4. External Sorting 5.4.1. Multiway Merging and Replacement Selection 5.4.2. The Polyphase Merge 5.4.3. The Cascade Merge 5.4.4. Reading Tape Backwards 5.4.5. The Oscillating Sort 5.4.6. Practical Considerations for Tape Merging 5.4.7. External Radix Sorting 5.4.8. Two-Tape Sorting 5.4.9. Disks and Drums 5.5. Summary, History, and Bibliography Chapter 6 – Searching 6.1. Sequential Searching 6.2. Searching by Comparison of Keys 6.2.1. Searching an Ordered Table 6.2.2. Binary Tree Searching 6.2.3. Balanced Trees 6.2.4. Multiway Trees 6.3. Digital Searching 6.4. Hashing 6.5. Retrieval on Secondary Keys Volume 4A – Combinatorial Algorithms, Part 1 Chapter 7 – Combinatorial Searching 7.1. Zeros and Ones 7.1.1. Boolean Basics 7.1.2. Boolean Evaluation 7.1.3. Bitwise Tricks and Techniques 7.1.4. Binary Decision Diagrams 7.2. Generating All Possibilities 7.2.1. Generating Basic Combinatorial Patterns 7.2.1.1. Generating all n-tuples 7.2.1.2. Generating all permutations 7.2.1.3. Generating all combinations 7.2.1.4. Generating all partitions 7.2.1.5. Generating all set partitions 7.2.1.6. Generating all trees 7.2.1.7. History and further references Planned Volume 4B, 4C, 4D – Combinatorial Algorithms Chapter 7 – Combinatorial Searching (continued) 7.2. Generating all possibilities (continued) 7.2.2. Backtrack programming (published in Fascicle 5) 7.2.2.1. Dancing links (published in Fascicle 5) 7.2.2.2. Satisfiability (published in Fascicle 6) 7.2.2.3. Constraint satisfaction 7.2.2.4. Hamiltonian paths and cycles (online draft in pre-fascicle 8A) 7.2.2.5. Cliques 7.2.2.6. Covers (Vertex cover, Set cover problem, Exact cover, Clique cover) 7.2.2.7. Squares 7.2.2.8. A potpourri of puzzles (online draft in pre-fascicle 9B) (includes Perfect digital invariant) 7.2.2.9. Estimating backtrack costs (chapter 6 of "Selected Papers on Analysis of Algorithms", and Fascicle 5, pp 44−47, under the heading "Running time estimates") 7.2.3. Generating inequivalent patterns (includes discussion of Pólya enumeration theorem) (see "Techniques for Isomorph Rejection", Ch 4 of "Classification Algorithms for Codes and Designs" by Kaski and Östergård) 7.3. Shortest paths 7.4. Graph algorithms 7.4.1. Components and traversal 7.4.1.1. Union-find algorithms 7.4.1.2. Depth-first search 7.4.1.3. Vertex and edge connectivity 7.4.2. Special classes of graphs 7.4.3. Expander graphs 7.4.4. Random graphs 7.5. Graphs and optimization 7.5.1. Bipartite matching (including maximum-cardinality matching, Stable marriage problem, Mariages Stables) 7.5.2. The assignment problem 7.5.3. Network flows 7.5.4. Optimum subtrees 7.5.5. Optimum matching 7.5.6. Optimum orderings 7.6. Independence theory 7.6.1. Independence structures 7.6.2. Efficient matroid algorithms 7.7. Discrete dynamic programming (see also Transfer-matrix method) 7.8. Branch-and-bound techniques 7.9. Herculean tasks (aka NP-hard problems) 7.10. Near-optimization Chapter 8 – Recursion (chapter 22 of "Selected Papers on Analysis of Algorithms") Volume 5 – Syntactic Algorithms Chapter 9 – Lexical scanning (includes also string search and data compression) Chapter 10 – Parsing techniques Volume 6 – The Theory of Context-free Languages Volume 7 – Compiler Techniques English editions Current editions These
to award him a master of science upon his completion of the bachelor degree. During his summer vacations, Knuth was hired by the Burroughs Corporation to write compilers, earning more in his summer months than full professors did for an entire year. Such exploits made Knuth a topic of discussion among the mathematics department, which included Richard S. Varga. In January 1962, when he was a graduate student in the mathematics department at Caltech, Knuth was approached by Addison-Wesley to write a book about compiler design, and he proposed a larger scope. He came up with a list of 12 chapter titles the same day. In the summer of 1962 he worked on a FORTRAN compiler for UNIVAC. During this time, he also came up with a mathematical analysis of linear probing, which convinced him to present the material with a quantitative approach. After receiving his PhD in June 1963, he began working on his manuscript, of which he finished his first draft in June 1965, at hand-written pages. He had assumed that about five hand-written pages would translate into one printed page, but his publisher said instead that about hand-written pages translated to one printed page. This meant he had approximately printed pages of material, which closely matches the size of the first three published volumes. The publisher was nervous about accepting such a project from a graduate student. At this point, Knuth received support from Richard S. Varga, who was the scientific adviser to the publisher. Varga was visiting Olga Taussky-Todd and John Todd at Caltech. With Varga's enthusiastic endorsement, the publisher accepted Knuth's expanded plans. In its expanded version, the book would be published in seven volumes, each with just one or two chapters. Due to the growth in Chapter 7, which was fewer than 100 pages of the 1965 manuscript, per Vol. 4A p. vi, the plan for Volume 4 has since expanded to include Volumes 4A, 4B, 4C, 4D, and possibly more. In 1976, Knuth prepared a second edition of Volume 2, requiring it to be typeset again, but the style of type used in the first edition (called hot type) was no longer available. In 1977, he decided to spend some time creating something more suitable. Eight years later, he returned with TEX, which is currently used for all volumes. The offer of a so-called Knuth reward check worth "one hexadecimal dollar" (100HEX base 16 cents, in decimal, is $2.56) for any errors found, and the correction of these errors in subsequent printings, has contributed to the highly polished and still-authoritative nature of the work, long after its first publication. Another characteristic of the volumes is the variation in the difficulty of the exercises. Knuth even has a numerical difficulty scale for rating those exercises, varying from 0 to 50, where 0 is trivial, and 50 is an open question in contemporary research. Knuth's dedication reads: This series of books is affectionately dedicatedto the Type 650 computer once installed atCase Institute of Technology,with whom I have spent many pleasant evenings. Assembly language in the book All examples in the books use a language called "MIX assembly language", which runs on the hypothetical MIX computer. Currently, the MIX computer is being replaced by the MMIX computer, which is a RISC version. Software such as GNU MDK exists to provide emulation of the MIX architecture. Knuth considers the use of assembly language necessary for the speed and memory usage of algorithms to be judged. Critical response Knuth was awarded the 1974 Turing Award "for his major contributions to the analysis of algorithms […], and in particular for his contributions to the 'art of computer programming' through his well-known books in a continuous series by this title." American Scientist has included this work among "100 or so Books that shaped a Century of Science", referring to the twentieth century, Covers of the third edition of Volume 1 quote Bill Gates as saying, "If you think you're a really good programmer… read (Knuth's) Art of Computer Programming… You should definitely send me a résumé if you can read the whole thing." The New York Times referred to it as "the profession's defining treatise". Volumes Completed Volume 1 – Fundamental Algorithms Chapter 1 – Basic concepts Chapter 2 – Information structures Volume 2 – Seminumerical Algorithms Chapter 3 – Random numbers Chapter 4 – Arithmetic Volume 3 – Sorting and Searching Chapter 5 – Sorting Chapter 6 – Searching Volume 4A – Combinatorial Algorithms Chapter 7 – Combinatorial searching (part 1) Planned Volume 4B... – Combinatorial Algorithms (chapters 7 & 8 released in several subvolumes) Chapter 7 – Combinatorial searching (continued) Chapter 8 – Recursion Volume 5 – Syntactic Algorithms Chapter 9 – Lexical scanning (also includes string search and data compression) Chapter 10 – Parsing techniques Volume 6 – The Theory of Context-Free Languages Volume 7 – Compiler Techniques Chapter outlines Completed Volume 1 – Fundamental Algorithms Chapter 1 – Basic concepts 1.1. Algorithms 1.2. Mathematical Preliminaries 1.2.1. Mathematical Induction 1.2.2. Numbers, Powers, and Logarithms 1.2.3. Sums and Products 1.2.4. Integer Functions and Elementary Number Theory 1.2.5. Permutations and Factorials
Tapas Competition for Culinary Schools. Various schools from around the world come to Spain annually to compete for the best tapa concept. Origin Though the primary meaning of tapa is cover or lid, in Spain it has also become a term for this style of food. The origin of this new meaning is uncertain but there are several theories: The tapas tradition may have begun when king Alfonso X of Castile recovered from an illness by drinking wine with small dishes between meals. After regaining his health, the king ordered that taverns would not be allowed to serve wine to customers unless it was accompanied by a small snack or "tapa". Another popular explanation says that King Alfonso XIII stopped by a famous tavern in Cádiz (Andalusian city) where he ordered a cup of wine. The waiter covered the glass with a slice of cured ham before offering it to the king, to protect the wine from the beach sand, as Cádiz is a windy place. The king, after drinking the wine and eating the tapa, ordered another wine "with the cover".
readily accepted and easily grown in Spain's microclimates. There are many tapas competitions throughout Spain, but there is only one National Tapas competition, which is celebrated every year in November. Since 2008, the City of Valladolid and the International School of Culinary Arts have celebrated the International Tapas Competition for Culinary Schools. Various schools from around the world come to Spain annually to compete for the best tapa concept. Origin Though the primary meaning of tapa is cover or lid, in Spain it has also become a term for this style of food. The origin of this new meaning is uncertain but there are several theories: The tapas tradition may have begun when king Alfonso X of Castile recovered from an illness by drinking wine with small dishes between meals. After regaining his health, the king ordered that taverns would not be allowed to serve wine to customers unless it was accompanied by a small snack or "tapa". Another popular explanation says that King Alfonso XIII stopped by a famous tavern in Cádiz (Andalusian city) where he ordered a cup of wine. The waiter covered the glass with a slice of cured ham before offering it to the king, to protect the wine from the beach sand, as Cádiz is a windy place. The king, after drinking the wine and eating the tapa, ordered another wine "with the cover". See also List of tapas List of hors d'oeuvre Aahaan kap klaem Antipasto Crostino Hors d'œuvre Meze Pincho Pu pu platter Smörgåsbord Smørrebrød Zakuski
new bishopric there, Wamba removed power over royal succession from the bishop of Toledo and granted it to the new bishop. The Twelfth Council of Toledo was held in 681 after Wamba's removal from office. Convinced that he was dying, Wamba had accepted a state of penitence that according to the decision of a previous church council, made him ineligible to remain king. The Twelfth Council, led by newly installed bishop Julian confirmed the validity of Wamba's removal from office and his succession by Ervig. The Twelfth Council eliminated the new bishopric that Wamba had created and returned the powers over succession to the bishop of Toledo. The Twelfth Council of Toledo approved 28 laws against the Jews. Julian of Toledo, despite a Jewish origin, was strongly anti-Semitic as reflected in his writings and activities. The leading Jews of Toledo were assembled in the church of Saint Mary on January 27, 681, where the new laws were read out to them. The Thirteenth, Fourteenth, and Fifteenth Councils of Toledo were held in 683, 684, and 688. The Thirteenth Council restored property and legal rights to those who had rebelled against King Wamba in 673. The Thirteenth Council also approved laws protecting the king's family after the king's death. In 687, Ervig took the penitent state before dying, and the kingship passed to Egica, who was anointed king in Toledo on November 24. In 688, the Fifteenth Council lifted the ban on taking property from the families of former kings, whereupon Egica was able to plunder Ervig's family properties. In the late seventh century, Toledo became a main center of literacy and writing in the Iberian peninsula. Toledo's development as a center of learning was influenced by Isidore of Seville, an author and advocate of literacy who attended several church councils in Toledo. King Chindasuinth had a royal library in Toledo, and at least one count called Laurentius had a private library. Sometime before 651, Chindasuinth sent the bishop of Zaragoza, Taio, to Rome to obtain books that were not available in Toledo. Taio obtained, at least, parts of pope Gregory's Moralia. The library also contained a copy of a Hexameron by Dracontius, which Chindasuinth liked so much that he commissioned Eugenius II to revise it by adding a new part dealing with the seventh day of creation. Chindasuinth issued laws that were gathered together in a book called Liber Iudiciorum by his successor Reccesuinth in 654; this book was revised twice, widely copied, and was an important influence on medieval Spanish law. Three bishops of Toledo wrote works that were widely copied and disseminated in western Europe and parts of which survive to this day: Eugenius II, Ildefonsus, and Julian. "In intellectual terms the leading Spanish churchmen of the seventh century had no equals before the appearance of Bede." In 693, the Sixteenth Council of Toledo condemned Sisebert, Julian's successor as bishop of Toledo, for having rebelled against King Egica in alliance with Liuvigoto, the widow of king Ervig. A rebel king called Suniefred seized power in Toledo briefly at about this time. Whether or not Sisebert's and Suniefred's rebellions were the same or separate is unknown. Suniefred is known only from having minted coins in Toledo during what should have been Egica's reign. The Seventeenth Council of Toledo was held in 694. The Eighteenth Council of Toledo, the last one, took place shortly after Egica's death around 702 or 703. By the end of the seventh century the bishop of Toledo was the leader of the Spanish bishops, a situation unusual in Europe: "The metropolitan bishops of Toledo had achieved by the last quarter of the seventh century an authority and a primacy that was unique in Western Europe. Not even the pope could count on such support from neighbouring metropolitans." Toledo "had been matched by no other city in western Europe outside Italy as the governmental and symbolic center of a powerful monarchy". Toledo had "emerged from relative obscurity to become the permanent governmental centre of the Visigothic monarchy; a true capital, whose only equivalent in western Europe was to be Lombard Pavia". When Wittiza died around 710, Ruderic became Visigothic king in Toledo, but the kingdom was split, as a rival king Achila ruled Tarraconensis and Narbonensis. Meanwhile, Arabic and Berber troops under Musa ibn Nusayr had conquered Tangiers and Ceuta between 705 and 710, and commenced raids into the Visigothic kingdom in 711. Ruderic led an army to confront the raiders. He was defeated and killed in battle, apparently after being betrayed by Visigothic nobles who wished to replace him as king and did not consider the Arabs and Berbers a serious threat. The commander of the invading forces was Tariq bin Ziyad, a Luwata Berber freedman in the service of governor Musa. It is possible that a king called Oppa ruled in Toledo between Ruderic's death and the fall of Toledo. Tariq, seizing the opportunity presented by the death of Ruderic and the internal divisions of the Visigothic nobles, captured Toledo, in 711 or 712. Governor Musa disembarked in Cádiz and proceeded to Toledo, where he executed numerous Visigothic nobles, thus destroying much of the Visigothic power structure. Collins suggests that the Visigothic emphasis on Toledo as the center of royal ceremony became a weakness. Since the king was chosen in or around Toledo, by nobles based in Toledo, and had to be anointed king by the bishop of Toledo in a church in Toledo, when Tariq captured Toledo and executed the Visigothic nobles, having already killed the king, there was no way for the Visigoths to select a legitimate king. Toledo under Moorish rule Soon after the conquest, Musa and Tariq returned to Damascus. The Arab centre of administration was placed first in Seville, then moved to Córdoba. With most of the rest of the Iberian peninsula, Toledo was ruled from Córdoba by the governor of Al-Andalus, under the ultimate notional command of the Umayyad Caliph in Damascus. Arab conquerors had often replaced former capital cities with new ones to mark the change in political power, and they did so here: "Toledo suffered a period of profound decline throughout much of the earlier centuries of Arab dominance in the peninsula." The invaders were ethnically diverse, and available evidence suggests that in the area of Toledo, Berber settlement predominated over Arab. In 742 the Berbers in Al-Andalus rebelled against the Arab Umayyad governors. They took control of the north and marched south, laying siege to Toledo. After a siege of one month the Berber troops were defeated outside Toledo by troops sent from Cordoba by the governor Abd al-Malik ibn Katan and commanded by the governor's son. However, while Ibn Katan's troops were engaged with the Berbers, his Arab allies betrayed and killed him and took over Cordoba. After the Arabs' first leader, Talama ibn Salama, died, Yusuf al-Fihri became ruler of Al-Andalus. The Umayyad dynasty in Damascus collapsed and Yusuf ruled independently with the support of his Syrian Arab forces. The Qays Arab commander As-Sumayl was made governor of Toledo under Yusuf around 753. There is evidence that Toledo retained its importance as a literary and ecclesiastical centre into the middle 700s, in the Chronicle of 754, the life of Saint Ildefonsus by Cixila, and ecclesiastical letters sent from Toledo. The eighth century bishop of Toledo, Cixila, wrote a life of Saint Ildefonsus of Toledo, probably before 737. This life of Ildefonsus emphasised two episodes in the life of the bishop of Toledo. In the first episode the covering of the tomb of Saint Leocadia levitated while Ildefonsus was saying mass, with king Reccesuinth present. In the second episode Mary appears to Ildefonsus and Reccesuinth. These episodes are said to have resulted from Ildefonsus' devotion to Saint Leocadia, patroness saint of Toledo. Collins suggests that Cixila's life of Ildefonsus helped maintain Ildefonsus' appeal and helped the church in Toledo to retain some of its authority among Christian churches in the Iberian peninsula. An archdeacon in Toledo called Evantius, who was active around 720 and died in 737, wrote a letter to address the existence of judaizing tendencies among the Christians of Zaragoza, specifically the belief that there are unclean forms of meat and the literal interpretation of Deuteronomic law. A deacon and cantor from Toledo called Peter wrote a second letter, to Seville, in about the year 750, to explain that they were celebrating Easter and a September liturgical fast incorrectly, again confusing them with Jewish feasts celebrated at the same time. These letters show that some of the primacy of the church of Toledo within the Iberian peninsula still existed in the 700s: "Not only were its clerics still well enough equipped in intellectual terms to provide authoritative guidance on a wide range of ecclesiastical discipline and doctrine, but this was also actively sought." There is a strong possibility that the Chronicle of 754 was written in Toledo (though scholars have also proposed Cordoba and Guadix) based on the information available to the chronicler. The chronicler showed awareness of the Historia Gothorum, the Etymologiae, and the chronicle of Isidore of Seville, the work of Braulio of Zaragoza, the acts of the councils of Toledo, De Perpetua Virginitate by Ildefonsus, and De Comprobatione Sextae Aetatis and Historia Wambae by Julian of Toledo, all works that would have existed in the Visigothic libraries of seventh century Toledo and whose existence together "makes more sense in a Toledan context than in any other". In 756 Abd ar-Rahman, a descendant of the fallen Umayyad caliphs, came to Al-Andalus and initiated a revolt against Yusuf. He defeated Yusuf and forced him to reside in Cordoba, but Yusuf broke the agreement and raised a Berber army to fight Abd ar-Rahman. In this conflict, Toledo was held against Abd ar-Rahman by Yusuf's cousin Hisham ibn Urwa. Yusuf attempted to march on Seville, but was defeated and instead attempted to reach his cousin in Toledo. He was either killed on his way to Toledo, or he reached Toledo and held out there for as many as two or three years before being betrayed and killed by his own people. Whether or not Yusuf himself held out in Toledo, Hisham ibn Urwa did hold power in Toledo for several years, resisting the authority of Abd ar-Rahman. In 761 Hisham is reported as again being in rebellion in Toledo against Abd ar-Rahman. Abd ar-Rahman failed to take Toledo by force and instead signed a treaty allowing Hisham to remain in control of Toledo, but giving one of his sons as hostage to Abd ar-Rahman. Hisham continued to defy Abd ar-Rahman, who had Hisham's son executed and the head catapulted over the city walls into Toledo. Abd ar-Rahman attacked Toledo in 764, winning only when some of Hisham's own people betrayed him and turned him over to Abd ar-Rahman and his freedman Badr. Ibn al-Athir states that towards the end of Abd ar-Rahman's reign, a governor of Toledo raided in force into the Kingdom of Asturias during the reign of Mauregatus, though the Asturian chronicles do not record the event. Under the Umayyad Emirate of Cordoba, Toledo was the centre of numerous insurrections dating from 761 to 857. Twenty years after the rebellion of Hisham ibn Urwa, the last of Yusuf's sons, Abu al-Aswad ibn Yusuf, rebelled in Toledo in 785. After the suppression of ibn Yusuf's revolt, Abd ar-Rahman's oldest son Sulayman was made governor of Toledo. However, Abd ar-Rahman designated as his successor a younger son, Hisham. On Hisham's accession to the Emirate in 788, Sulayman refused to make the oath of allegiance at the mosque, as succession custom would have dictated, and thus declared himself in rebellion. He was joined in Toledo by his brother Abdallah. Hisham laid siege to Toledo. While Abdallah held Toledo against Hisham, Sulayman escaped and attempted to find support elsewhere, but was unsuccessful. In 789, Abdallah submitted and Hisham took control of Toledo. The following year, Sulayman gave up the fight and went into exile. Hisham's son Al-Hakam was governor of Toledo from 792 to 796 when he succeeded his father as emir in Cordoba. After Al-Hakam's accession and departure, a poet resident in Toledo named Girbib ibn-Abdallah wrote verses against the Umayyads, helping to inspire a revolt in Toledo against the new emir in 797. Chroniclers disagree as to the leader of this revolt, though Ibn Hayyan states that it was led by Ibn Hamir. Al-Hakam sent Amrus ibn Yusuf to fight the rebellion. Amrus took control of the Berber troops in Talavera. From there, Amrus negotiated with a faction inside Toledo called the Banu Mahsa, promising to make them governors if they would betray Ibn Hamir. The Banu Mahsa brought Ibn Hamir's head to Amrus at Talavera, but instead of making them governors, Amrus executed them. Amrus now persuaded the remaining factions in Toledo to submit to him. Once he entered Toledo, he invited the leaders to a celebratory feast. As they entered Amrus' fortress, the guests were beheaded one by one and their bodies thrown in a specially dug ditch. The massacre was thus called "The Day of the Ditch". Amrus' soldiers killed about 700 people that day. Amrus was governor of Toledo until 802. "In 785, Bishop Elipandus of Toledo wrote a letter condemning the teaching of a certain Migetius." In his letter, Elipandus asserted that Christ had adopted his humanity, a position that came to be known as Adoptionism. Two Asturian bishops, Beatus and Eterius, bishop of Osma, wrote a treatise condemning Elipandus' views. Pope Hadrian wrote a letter between 785 and 791 in which he condemned Migetius, but also the terminology used by Elipandus. The Frankish court of Charlemagne also condemned Adoptionism at the Synod of Frankfurt in 794. Although Ramon Abadals y de Vinyals argued that this controversy represented an ideological assertion of independence by the Asturian church against the Moslem-ruled church of Toledo, Collins believes this argument applies eleventh century ideology to the eighth century and is anachronistic. However, Collins notes that the controversy and the alliances formed during it between Asturias and the Franks broke the old unity of the Spanish church. The influence of the bishops of Toledo would be much more limited until the eleventh century. By the end of the 700s, the Umayyads had created three frontier districts stretching out from the southern core of their Iberian territories. These were called the Lower March (al-Tagr al-Adna), Central March (al-Tagr al-Awsat), and Upper March (al-Tagr al-A'la). Toledo became the administrative center of the Central March, while Merida became the centre of the Lower March and Zaragoza of the Upper March. Following the death of Abd al-Rahman II, a new revolt broke out in Toledo. The Umayyad governor was held hostage in order to secure the return of Toledan hostages held in Córdoba. Toledo now engaged in an inter-city feud with the nearby city of Calatrava la Vieja. Toledan soldiers attacked Calatrava, destroyed the walls, and massacred or expelled many inhabitants of Calatrava in 853. Soldiers from Cordoba came to restore the walls and protect Calatrava from Toledo. The new emir, Muhammad I, sent a second army to attack the Toledans, but was defeated. Toledo now made an alliance with King Ordoño I of Asturias. The Toledans and Asturians were defeated at the Battle of Guadacelete, with sources claiming 8000 Toledan and Asturian soldiers were killed and their heads sent back to Cordoba for display throughout Al-Andalus. Despite this defeat, Toledo did not surrender to Cordoba. The Umayyads reinforced nearby fortresses with cavalry forces to try to contain the Toledans. Toledans attacked Talavera in 857, but were again defeated. In 858 emir Muhammad I personally led an expedition against Toledo and destroyed a bridge, but was unable to take the city. In 859, Muhammad I negotiated a truce with Toledo. Toledo became virtually independent for twenty years, though locked in conflict with neighboring cities. Muhammad I recovered control of Toledo in 873, when he successfully besieged the city and forced it to submit. The Banu Qasi gained nominal control of the city until 920 and in 932 Abd-ar-Rahman III captured the city following an extensive siege. According to the Chronicle of Alfonso III, Musa ibn Musa of the Banu Qasi had, partly by war and partly by strategy, made himself master of Zaragoza, Tudela, Huesca, and Toledo. He had installed his son Lupus (Lubb) as governor of Toledo. King Ordoño I of Asturias fought a series of battles with Musa ibn Musa. According to the Chronicle, Musa ibn Musa allied with his brother-in-law Garcia, identified as Garcia Iñiquez, King of Pamplona. Ordoño defeated Musa's forces at the Battle of Monte Laturce. Musa died of injuries, and his son Lubb submitted to Ordoño's authority in 862 or 863, for the duration of Ordoño's reign (up to 866). Thus, according to the Chronicle of Alfonso III, Toledo was ruled by the Asturian kings. However, Arabic sources do not confirm these campaigns, instead stating that Musa ibn Musa was killed in a failed attack on Guadalajara, and that Andalusi forces repeatedly defeated Asturian forces in the area of Alava from 862 to 866. By the 870s the Umayyad had regained control over Toledo. In 878 Al-Mundhir led an expedition against Asturias, of which one of the main components was a force from Toledo. One source portrays this raid as an attack by the 'King of Toledo', but other sources portray it as an Umayyad raid involving substantial Toledan forces. The forces from Toledo were defeated by Alfonso III of Asturias at the Battle of Polvoraria. Spanish chronicles state that twelve to thirteen thousand in the Toledo army were killed in the battle. Collins states that these figures are "totally unreliable" but demonstrate that Asturian chroniclers thought of this as an important and decisive battle. In 920s and 930s, the governors of Toledo were in rebellion against the Umayyad regime in Cordoba, led by Abd al-Rahman III. In 930, Abd al-Rahman III, having now adopted the title of caliph, attacked Toledo. The governor of Toledo asked for help from King Ramiro II of Leon, but Ramiro was preocuppied with a civil war against his brother Alfonso IV and was unable to help. In 932, Abd al-Rahman III conquered Toledo, re-establishing control of al-Tagr al-Awsat, the Central March of the Umayyad state. In 1009 one of the last Umayyad caliphs, Muhammad II al-Mahdi, fled to Toledo after being expelled from Cordoba by Berber forces backing the rival claimant Sulayman. Al-Mahdi and his Siqlabi general Wadih formed an alliance with the Count of Barcelona and his brother the Count of Urgell. These Catalans joined with Wadih and al-Mahdi in Toledo in 1010 and marched on Cordoba. The combination of Wadih's army and the Catalans defeated the Berbers in a battle outside Cordoba in 1010. After the fall of the Umayyad caliphate in the early 11th century, Toledo became an independent taifa kingdom. The population of Toledo at this time was about 28 thousand, including a Jewish population estimated at 4 thousand. The Mozarab community had its own Christian bishop, and after the Christian conquest of Toledo, the city was a destination for Mozarab immigration from the Muslim south. The taifa of Toledo was centered on the Tajo River. The border with the taifa of Badajoz was on the Tajo
Halevi, and El Greco. , the city had a population of 83,226. The municipality has an area of . Coat of arms The town was granted arms in the 16th century, which by special royal privilege was based on the royal of arms of Spain. History Antiquity Toledo (Latin: Toletum) is mentioned by the Roman historian Livy (ca. 59 BC – 17 AD) as urbs parva, sed loco munita ("a small city, but fortified by location"). Roman general Marcus Fulvius Nobilior fought a battle near the city in 193 BC against a confederation of Celtic tribes including the Vaccaei, Vettones, and Celtiberi, defeating them and capturing a king called Hilermus. At that time, Toletum was a city of the Carpetani tribe, and part of the region of Carpetania. It was incorporated into the Roman Empire as a civitas stipendiaria, that is, a tributary city of non-citizens, and by Flavian times it had achieved the status of a municipium. With this status, city officials, even of Carpetani origin, obtained Roman citizenship for public service, and the forms of Roman law and politics were increasingly adopted. At approximately this time, a Roman circus, city walls, public baths, and a municipal water supply and storage system were constructed in Toletum. The Roman circus in Toledo was one of the largest in Hispania, at long and wide, with a track dimension of long and wide. Chariot races were only held on Roman holidays and were also commissioned by private citizens to celebrate career achievements. A fragmentary stone inscription records circus games paid for by a citizen of unknown name to celebrate his achieving the sevirate, a kind of priesthood conferring high status. Archaeologists have also identified portions of a special seat of the sort used by the city elites to attend circus games, called a sella curulis. The circus could hold up to 15000 spectators. During Roman times, Toledo was never a provincial capital nor a conventus iuridicus, but it started to gain importance in late antiquity. There are indications that large private houses (domus) within the city walls were enlarged, while several large villas were built north of the city through the third and fourth centuries. Games were held in the circus into the late fourth and early fifth centuries C.E., also an indication of active city life and ongoing patronage by wealthy elites. A church council was held in Toledo in the year 400 to discuss the conflict with Priscillianism. A second council of Toledo was held in 527. The Visigothic king Theudis was in Toledo in 546, where he promulgated a law. This is strong though not certain evidence that Toledo was the chief residence for Theudis. King Athanagild died in Toledo, probably in 568. Although Theudis and Athangild based themselves in Toledo, Toledo was not yet the capital city of the Iberian peninsula, as Theudis and Athangild's power was limited in extent, the Suevi ruling Galicia and local elites dominating Lusitania, Betica, and Cantabria. This changed with Liuvigild (Leovigild), who brought the peninsula under his control. The Visigoths ruled from Toledo until the Moors conquered the Iberian peninsula in the early years of 8th century (711–719). Today in the historic center basements, passages, wells, baths and ancient water pipes are preserved that since Roman times have been used in the city. Visigothic Toledo A series of church councils were held in Toledo under the Visigoths. A synod of Arian bishops was held in 580 to discuss theological reconciliation with Nicene Christianity. Liuvigild's successor, Reccared, hosted the Third Council of Toledo, at which the Visigothic kings abandoned Arianism and reconciled with the existing Hispano-Roman episcopate. A synod held in 610 transferred the metropolitanate of the old province of Carthaginensis from Cartagena to Toledo. At that time, Cartagena was ruled by the Byzantines, and this move ensured a closer relation between the bishops of Spain and the Visigothic kings. King Sisebut forced Jews in the Visigothic kingdom to convert to Christianity; this act was criticized and efforts were made to reverse it at the Fourth Council of Toledo in 633. The Fifth and Sixth Councils of Toledo placed church sanctions on anyone who would challenge the Visigothic kings. The Seventh Council of Toledo instituted a requirement that all bishops in the area of a royal city, that is, of Toledo, must reside for one month per year in Toledo. This was a stage in "the elevation of Toledo as the primatial see of the whole church of the Visgothic kingdom". In addition, the seventh council declared that any clergy fleeing the kingdom, assisting conspirators against the king, or aiding conspirators, would be excommunicated and no one should remove this sentence. The ban on lifting these sentences of excommunication was lifted at the Eighth Council of Toledo in 653, at which, for the first time, decisions were signed by palace officials as well as bishops. The eighth council of Toledo took measures that enhanced Toledo's significance as the center of royal power in the Iberian peninsula. The council declared that the election of a new king following the death of the old one should only take place in the royal city, or wherever the old king died. In practice this handed the power to choose kings to only such palace officials and military commanders who were in regular attendance on the king. The decision also took king-making power away from the bishops, who would be in their own sees and would not have time to come together to attend the royal election. The decision did allow the bishop of Toledo, alone among bishops, to be involved in decisions concerning the royal Visigothic succession. The ninth and tenth councils were held in rapid succession in 655 and 656. When Reccesuinth died in 672 at his villa in Gerticos, his successor Wamba was elected on the spot, then went to Toledo to be anointed king by the bishop of Toledo, according to the procedures laid out in prior church councils. In 673, Wamba defeated a rebel duke named Paul, and held his victory parade in Toledo. The parade included ritual humiliation and scalping of the defeated Paul. Wamba carried out renovation works in Toledo in 674–675, marking these with inscriptions above the city gates that are no longer extant but were recorded in the eighth century. The Eleventh Council of Toledo was held in 675 under king Wamba. Wamba weakened the power of the bishop of Toledo by creating a new bishopric outside Toledo at the church of Saints Peter and Paul. This was one of the main churches of Toledo and was the church where Wamba was anointed king, and the church from which Visigothic kings departed for war after special ceremonies in which they were presented with a relic of the True Cross. By creating a new bishopric there, Wamba removed power over royal succession from the bishop of Toledo and granted it to the new bishop. The Twelfth Council of Toledo was held in 681 after Wamba's removal from office. Convinced that he was dying, Wamba had accepted a state of penitence that according to the decision of a previous church council, made him ineligible to remain king. The Twelfth Council, led by newly installed bishop Julian confirmed the validity of Wamba's removal from office and his succession by Ervig. The Twelfth Council eliminated the new bishopric that Wamba had created and returned the powers over succession to the bishop of Toledo. The Twelfth Council of Toledo approved 28 laws against the Jews. Julian of Toledo, despite a Jewish origin, was strongly anti-Semitic as reflected in his writings and activities. The leading Jews of Toledo were assembled in the church of Saint Mary on January 27, 681, where the new laws were read out to them. The Thirteenth, Fourteenth, and Fifteenth Councils of Toledo were held in 683, 684, and 688. The Thirteenth Council restored property and legal rights to those who had rebelled against King Wamba in 673. The Thirteenth Council also approved laws protecting the king's family after the king's death. In 687, Ervig took the penitent state before dying, and the kingship passed to Egica, who was anointed king in Toledo on November 24. In 688, the Fifteenth Council lifted the ban on taking property from the families of former kings, whereupon Egica was able to plunder Ervig's family properties. In the late seventh century, Toledo became a main center of literacy and writing in the Iberian peninsula. Toledo's development as a center of learning was influenced by Isidore of Seville, an author and advocate of literacy who attended several church councils in Toledo. King Chindasuinth had a royal library in Toledo, and at least one count called Laurentius had a private library. Sometime before 651, Chindasuinth sent the bishop of Zaragoza, Taio, to Rome to obtain books that were not available in Toledo. Taio obtained, at least, parts of pope Gregory's Moralia. The library also contained a copy of a Hexameron by Dracontius, which Chindasuinth liked so much that he commissioned Eugenius II to revise it by adding a new part dealing with the seventh day of creation. Chindasuinth issued laws that were gathered together in a book called Liber Iudiciorum by his successor Reccesuinth in 654; this book was revised twice, widely copied, and was an important influence on medieval Spanish law. Three bishops of Toledo wrote works that were widely copied and disseminated in western Europe and parts of which survive to this day: Eugenius II, Ildefonsus, and Julian. "In intellectual terms the leading Spanish churchmen of the seventh century had no equals before the appearance of Bede." In 693, the Sixteenth Council of Toledo condemned Sisebert, Julian's successor as bishop of Toledo, for having rebelled against King Egica in alliance with Liuvigoto, the widow of king Ervig. A rebel king called Suniefred seized power in Toledo briefly at about this time. Whether or not Sisebert's and Suniefred's rebellions were the same or separate is unknown. Suniefred is known only from having minted coins in Toledo during what should have been Egica's reign. The Seventeenth Council of Toledo was held in 694. The Eighteenth Council of Toledo, the last one, took place shortly after Egica's death around 702 or 703. By the end of the seventh century the bishop of Toledo was the leader of the Spanish bishops, a situation unusual in Europe: "The metropolitan bishops of Toledo had achieved by the last quarter of the seventh century an authority and a primacy that was unique in Western Europe. Not even the pope could count on such support from neighbouring metropolitans." Toledo "had been matched by no other city in western Europe outside Italy as the governmental and symbolic center of a powerful monarchy". Toledo had "emerged from relative obscurity to become the permanent governmental centre of the Visigothic monarchy; a true capital, whose only equivalent in western Europe was to be Lombard Pavia". When Wittiza died around 710, Ruderic became Visigothic king in Toledo, but the kingdom was split, as a rival king Achila ruled Tarraconensis and Narbonensis. Meanwhile, Arabic and Berber troops under Musa ibn Nusayr had conquered Tangiers and Ceuta between 705 and 710, and commenced raids into the Visigothic kingdom in 711. Ruderic led an army to confront the raiders. He was defeated and killed in battle, apparently after being betrayed by Visigothic nobles who wished to replace him as king and did not consider the Arabs and Berbers a serious threat. The commander of the invading forces was Tariq bin Ziyad, a Luwata Berber freedman in the service of governor Musa. It is possible that a king called Oppa ruled in Toledo between Ruderic's death and the fall of Toledo. Tariq, seizing the opportunity presented by the death of Ruderic and the internal divisions of the Visigothic nobles, captured Toledo, in 711 or 712. Governor Musa disembarked in Cádiz and proceeded to Toledo, where he executed numerous Visigothic nobles, thus destroying much of the Visigothic power structure. Collins suggests that the Visigothic emphasis on Toledo as the center of royal ceremony became a weakness. Since the king was chosen in or around Toledo, by nobles based in Toledo, and had to be anointed king by the bishop of Toledo in a church in Toledo, when Tariq captured Toledo and executed the Visigothic nobles, having already killed the king, there was no way for the Visigoths to select a legitimate king. Toledo under Moorish rule Soon after the conquest, Musa and Tariq returned to Damascus. The Arab centre of administration was placed first in Seville, then moved to Córdoba. With most of the rest of the Iberian peninsula, Toledo was ruled from Córdoba by the governor of Al-Andalus, under the ultimate notional command of the Umayyad Caliph in Damascus. Arab conquerors had often replaced former capital cities with new ones to mark the change in political power, and they did so here: "Toledo suffered a period of profound decline throughout much of the earlier centuries of Arab dominance in the peninsula." The invaders were ethnically diverse, and available evidence suggests that in the area of Toledo, Berber settlement predominated over Arab. In 742 the Berbers in Al-Andalus rebelled against the Arab Umayyad governors. They took control of the north and marched south, laying siege to Toledo. After a siege of one month the Berber troops were defeated outside Toledo by troops sent from Cordoba by the governor Abd al-Malik ibn Katan and commanded by the governor's son. However, while Ibn Katan's troops were engaged with the Berbers, his Arab allies betrayed and killed him and took over Cordoba. After the Arabs' first leader, Talama ibn Salama, died, Yusuf al-Fihri became ruler of Al-Andalus. The Umayyad dynasty in Damascus collapsed and Yusuf ruled independently with the support of his Syrian Arab forces. The Qays Arab commander As-Sumayl was made governor of Toledo under Yusuf around 753. There is evidence that Toledo retained its importance as a literary and ecclesiastical centre into the middle 700s, in the Chronicle of 754, the life of Saint Ildefonsus by Cixila, and ecclesiastical letters sent from Toledo. The eighth century bishop of Toledo, Cixila, wrote a life of Saint Ildefonsus of Toledo, probably before 737. This life of Ildefonsus emphasised two episodes in the life of the bishop of Toledo. In the first episode the covering of the tomb of Saint Leocadia levitated while Ildefonsus was saying mass, with king Reccesuinth present. In the second episode Mary appears to Ildefonsus and Reccesuinth. These episodes are said to have resulted from Ildefonsus' devotion to Saint Leocadia, patroness saint of Toledo. Collins suggests that Cixila's life of Ildefonsus helped maintain Ildefonsus' appeal and helped the church in Toledo to retain some of its authority among Christian churches in the Iberian peninsula. An archdeacon in Toledo called Evantius, who was active around 720 and died in 737, wrote a letter to address the existence of judaizing tendencies among the Christians of Zaragoza, specifically the belief that there are unclean forms of meat and the literal interpretation of Deuteronomic law. A deacon and cantor from Toledo called Peter wrote a second letter, to Seville, in about the year 750, to explain that they were celebrating Easter and a September liturgical fast incorrectly, again confusing them with Jewish feasts celebrated at the same time. These letters show that some of the primacy of the church of Toledo within the Iberian peninsula still existed in the 700s: "Not only were its clerics still well enough equipped in intellectual terms to provide authoritative guidance on a wide range of ecclesiastical discipline and doctrine, but this was also actively sought." There is a strong possibility that the Chronicle of 754 was written in Toledo (though scholars have also proposed Cordoba and Guadix) based on the information available to the chronicler. The chronicler showed awareness of the Historia Gothorum, the Etymologiae, and the chronicle of Isidore of Seville, the work of Braulio of Zaragoza, the acts of the councils of Toledo, De Perpetua Virginitate by Ildefonsus, and De Comprobatione Sextae Aetatis and Historia Wambae by Julian of Toledo, all works that would have existed in the Visigothic libraries of seventh century Toledo and whose existence together "makes more sense in a Toledan context than in any other". In 756 Abd ar-Rahman, a descendant of the fallen Umayyad caliphs, came to Al-Andalus and initiated a revolt against Yusuf. He defeated Yusuf and forced him to reside in Cordoba, but Yusuf broke the agreement and raised a Berber army to fight Abd ar-Rahman. In this conflict, Toledo was held against Abd ar-Rahman by Yusuf's cousin Hisham ibn Urwa. Yusuf attempted to march on Seville, but was defeated and instead attempted to reach his cousin in Toledo. He was either killed on his way to Toledo, or he reached Toledo and held out there for as many as two or three years before being betrayed
from South Africa. History Discovery The islands were first recorded as sighted in 1506 by Portuguese explorer Tristão da Cunha, though rough seas prevented a landing. He named the main island after himself, Ilha de Tristão da Cunha. It was later anglicised from its earliest mention on British Admiralty charts to Tristan da Cunha Island. Some sources state that the Portuguese made the first landing in 1520, when the Lás Rafael captained by Ruy Vaz Pereira called at Tristan for water. The first undisputed landing was made on 7 February 1643 by the crew of the Dutch East India Company ship Heemstede, captained by Claes Gerritsz Bierenbroodspot. The Dutch stopped at the island four more times in the next 25 years, and in 1656 created the first rough charts of the archipelago. The first full survey of the archipelago was made by crew of the French corvette Heure du Berger in 1767. The first scientific exploration was conducted by French naturalist Louis-Marie Aubert du Petit-Thouars, who stayed on the island for three days in January 1793, during a French mercantile expedition from Brest, France to Mauritius. Thouars made botanical collections and reported traces of human habitation, including fireplaces and overgrown gardens, probably left by Dutch explorers in the 17th century. On his voyage out from Europe to East Africa and India in command of the Imperial Asiatic Company of Trieste and Antwerp ship, Joseph et Therese, William Bolts sighted Tristan da Cunha, put a landing party ashore on 2 February 1777 and hoisted the Imperial flag, naming it and its neighboring islets the Isles de Brabant. In fact, no settlement or facilities were ever set up there by the company. After the outbreak of the American Revolutionary War halted penal transportation to the Thirteen Colonies, British prisons started to overcrowd. Since several stopgap measures proved themselves ineffective, the British Government announced in December 1785 that it would proceed with the settlement of New South Wales. In September 1786 Alexander Dalrymple, presumably goaded by Bolts's actions, published a pamphlet with an alternative proposal of his own for settlements on Tristan da Cunha, St. Paul and Amsterdam islands in the Southern Ocean. Captain John Blankett, R.N., also suggested independently to his superiors in August 1786 that convicts be used to establish a British settlement on Tristan. In consequence, the Admiralty received orders from the government in October 1789 to examine the island as part of a general survey of the South Atlantic and the coasts of southern Africa. That did not happen, but an investigation of Tristan, Amsterdam and St. Paul was undertaken in December 1792 and January 1793 by George Macartney, Britain's first ambassador to China. During his voyage to China, he established that none of the islands were suitable for settlement. 19th century The first permanent settler was Jonathan Lambert of Salem, Massachusetts, United States, who moved to the island in December 1810 with two other men, to be joined later by a fourth. Lambert publicly declared the islands his property and named them the Islands of Refreshment. Three of the four men died in 1812 and Thomas Currie (or Tommaso Corri), one of the original three, remained as a farmer on the island. On 14 August 1816, the United Kingdom annexed the islands, making them a dependency of the Cape Colony in South Africa. This was explained as a measure to prevent the islands' use as a base for any attempt to free Napoleon Bonaparte from his prison on Saint Helena. The occupation also prevented the United States from using Tristan da Cunha as a base for naval cruisers, as it had during the War of 1812. Possession was abandoned in November 1817, although some members of the garrison, notably William Glass, stayed and formed the nucleus of a permanent population. The islands were occupied by a garrison of British Marines, and a civilian population gradually grew. stopped there on 25 March 1824 and reported that it had a population of twenty-two men and three women. The barque South Australia stayed there on 18–20 February 1836 when a certain Glass was Governor, as reported in a chapter on the island by W. H. Leigh. Whalers set up bases on the islands for operations in the Southern Atlantic. However, the opening of the Suez Canal in 1869, together with the gradual transition from sailing ships to coal-fired steam ships, increased the isolation of the islands, which were no longer needed as a stopping port for lengthy sail voyages, or for shelter for journeys from Europe to East Asia. A parson arrived in February 1851, the Bishop of Cape Town visited in March 1856 and the island was included within the diocese of Cape Town. In 1867, Prince Alfred, Duke of Edinburgh and second son of Queen Victoria, visited the islands. The main settlement, Edinburgh of the Seven Seas, was named in honour of his visit. On 15 October 1873, the Royal Navy scientific survey vessel HMS Challenger docked at Tristan to conduct geographic and zoological surveys on Tristan, Inaccessible Island and the Nightingale Islands. In his log, Captain George Nares recorded a total of fifteen families and eighty-six individuals living on the island. Tristan became a dependency of the British Crown in October 1875. On November 27, 1885, the island suffered one of its worst tragedies after an iron barque named West Riding approached the island, whilst en route to Sydney, Australia from Bristol. Due to the loss of regular trading opportunities, almost all of the island's able-bodied men approached the ship in a lifeboat attempting to exchange with the passing vessel. The boat, recently donated by the British government, sailed despite rough waters and, although the lifeboat was spotted sailing alongside the ship for some time, it never returned. Various reports were given following the event, with rumours ranging from the men drowning, to reports of them being taken to Australia and sold as slaves. In total, 15 men were lost, leaving behind an island of widows. A plaque at St. Mary's Church commemorates the lost men. 20th century After years of hardship since the 1880s and an especially difficult winter in 1906, the British government offered to evacuate the island in 1907. The Tristanians held a meeting and decided to refuse, despite the crown's warning that it could not promise further help in the future. No ships called at the islands from 1909 until 1919, when HMS Yarmouth stopped to inform the islanders of the outcome of World War I. The Shackleton–Rowett Expedition stopped in Tristan for five days in May 1922, collecting geological and botanical samples before returning to Cape Town. Among the few ships that visited in the coming years were the RMS Asturias, a Royal Mail Steam Packet Company passenger liner, in 1927, and the ocean liners RMS Empress of France in 1928, in 1929, and RMS Empress of Australia in 1935. In 1936, The Daily Telegraph of London reported the population of the island was 167 people, with 185 cattle and 42 horses. From December 1937 to March 1938, a Norwegian party made a dedicated scientific expedition to Tristan da Cunha, and sociologist Peter A. Munch extensively documented island culture — he would later revisit the island in 1964–1965. The island was also visited in 1938 by W. Robert Foran, reporting for the National Geographic Society. Foran's account was published that same year. On 12 January 1938 by letters patent, Britain declared the islands a dependency of Saint Helena, creating the British Crown Colony of Saint Helena and Dependencies, which also included Ascension Island. During the Second World War, Tristan was commissioned by the Royal Navy as the stone frigate and used as a secret signals intelligence station to monitor Nazi U-boats (which were required to maintain radio contact) and shipping movements in the South Atlantic Ocean. This weather and radio station led to extensive new infrastructure being built on the island, including a school, a hospital, and a cash-based general store. The first colonial official sent to rule the island was Sir Hugh Elliott in the rank of Administrator (because the settlement was too small to merit a Governor) 1950–53. Development continued as the island's first canning factory expanded paid employment in 1949. Prince Philip, Duke of Edinburgh, the Queen's consort, visited the islands in 1957 as part of a world tour on board the royal yacht HMY Britannia. On 2 January 1954, Tristan da Cunha was visited by the Dutch ship Ruys, a passenger-cargo liner, carrying science fiction writer Robert A Heinlein, his wife Ginny and other passengers. The Ruys was travelling from Rio de Janeiro, Brazil, to Cape Town, South Africa. The visit is described in Heinlein's book "Tramp Royale". The captain told Heinlein the island was the most isolated inhabited spot on Earth and ships rarely visited. Heinlein mailed a letter there to L. Ron Hubbard, a friend who also liked to travel, "for the curiosity value of the postmark." Biographer William H Patterson, Jr. in his two volume "Robert A Heinlein In Dialogue with his Century," wrote that lack of "cultural context" made it "nearly impossible to converse" with the islanders, "a stark contrast with the way they had managed to chat with strangers" while travelling in South America. Members of the crew bought penguins during their brief visit to the island. On 10 October 1961, the eruption of Queen Mary's Peak forced evacuation of all 264 people. The evacuees took to the water in open boats, taken by the local lobster-fishing boats Tristania and Frances Repetto to uninhabited Nightingale Island. The next day they were picked up by the diverted Dutch passenger ship Tjisadane that took them to Cape Town. The islanders later arrived in the UK aboard the liner Stirling Castle to a big press reception and, after a short period at Pendell Army Camp in Merstham, Surrey, were settled in an old Royal Air Force camp near Calshot, Hampshire. The following year a Royal Society expedition reported that Edinburgh of the Seven Seas had survived. Most families returned in 1963. Gough Island was inscribed as a UNESCO World Heritage Site in 1995 as Gough Island Wildlife Reserve. Extended in 2004 as Gough and Inaccessible Islands, with its marine zone extended from 3 to 12 nautical miles. Those island have been Ramsar sites – wetlands of international importance – since 20 November 2008. 21st century On 23 May 2001, the islands were hit by an extratropical cyclone that generated winds up to . A number of structures were severely damaged, and numerous cattle were killed, prompting emergency aid provided by the British government. In 2005, the islands were given a United Kingdom post code (TDCU 1ZZ), to make it easier for the residents to order goods online. On 13 February 2008, a fire destroyed the island's four power generators and fish canning factory, severely disrupting the economy. On 14 March 2008, new generators were installed and power restored, and a new factory opened in July 2009. While the replacement factory was built, M/V Kelso came to the island as a factory ship. The St. Helena, Ascension, and Tristan da Cunha Constitution Order 2009 reorganized Tristan da Cunha as a constituent of the new British Overseas Territory of Saint Helena, Ascension and Tristan da Cunha, giving Tristan and Ascension equal status with Saint Helena. On 16 March 2011, the freighter ran aground on Nightingale Island, spilling tons of heavy fuel oil into the ocean. The resulting oil slick threatened the island's population of rockhopper penguins. Nightingale Island has no fresh water, so the penguins were transported to Tristan da Cunha for cleaning. A total solar eclipse will pass over the island on 5 December 2048. The island is calculated to be on the centre line of the umbra's path for nearly three and a half minutes of totality. On 13 November 2020 it was announced that the of the waters surrounding the islands will become a Marine Protection Zone. The move will make the zone the largest no-take zone in the Atlantic and the fourth largest on the planet. The move follows 20 years of conservation work by the RSPB and the island government and five years of the UK government's Blue Belt program support. Geography Tristan da Cunha is thought to have been formed by a long-lived centre of upwelling mantle called the Tristan hotspot. Tristan da Cunha is the main island of the Tristan da Cunha archipelago, which consists of the following islands: Tristan da Cunha, the main and largest island, area: () Inaccessible Island, area: Nightingale Islands, area: Nightingale Island, area: Middle Island, area: Stoltenhoff Island, area: Gough Island (Diego Alvarez), area: Inaccessible Island and the Nightingale Islands are SW by W and SSW away from the main island, respectively, whereas Gough Island is SSE. The main island is generally mountainous. The only flat area is on the north-west coast, which is the location of the only settlement, Edinburgh of the Seven Seas, and the agricultural area of Potato Patches. The highest point is the summit of a volcano called Queen Mary's Peak at an elevation of , high enough to develop snow cover in winter. The other islands of the group are uninhabited, except for a weather station with a staff of six on Gough Island, which has been operated by South Africa since 1956 and has been at its present location at Transvaal Bay on the southeast coast since 1963. Climate The archipelago has a Cfb, wet oceanic climate, under the Köppen system, with mild temperatures and very limited sunshine but consistent moderate-to-heavy rainfall due to the persistent westerly winds. Under the Trewartha classification, Tristan da Cunha has a humid subtropical climate due to the lack of cold weather. The number of rainy days is comparable to the Aleutian Islands at a much higher latitude in the northern hemisphere, while sunshine hours are comparable to Juneau, Alaska, 20° farther from the equator. Frost is unknown below elevations of , and summer temperatures are similarly mild, never reaching . Sandy Point on the east coast is reputed to be the warmest and driest place on the island, being in the lee of the prevailing winds. Flora and fauna Many of the flora and fauna of the archipelago have a broad circumpolar distribution in the South Atlantic and South Pacific Oceans. For example, the plant species Nertera granadensis was first collected in Tristan da Cunha, but has since been recorded as far away as New Zealand. Invasive species The islands of Tristan da Cunha have a high significance of global biodiversity: two of them, Gough and Inaccessible, form a UNESCO natural World Heritage Site. This designation is largely due to the seabird population found there. The biodiversity of the island is vulnerable to introduction of invasive species. Due to Tristan da Cunha's isolated archipelago ecology, and increase of tourism with cruise ships and research vessels, invasive species are a particular concern for Tristan da Cunha. The islands' vegetation and mammal species are not equipped to defend against or control introduced species, increasing island vulnerability, due to lack of defensive behavioural mechanisms and slow generational output rates. Efforts to decrease and eradicate invasive flora, fauna, and marine species have been undertaken, including a programme aimed at eradicating predatory invasive mice from Gough Island. The following described invasive species have been known to have harmful effects on the islands' vegetation and native species. Flora Native plants A combination of the list on Kew's Plants of the World Online site
Zealand. Invasive species The islands of Tristan da Cunha have a high significance of global biodiversity: two of them, Gough and Inaccessible, form a UNESCO natural World Heritage Site. This designation is largely due to the seabird population found there. The biodiversity of the island is vulnerable to introduction of invasive species. Due to Tristan da Cunha's isolated archipelago ecology, and increase of tourism with cruise ships and research vessels, invasive species are a particular concern for Tristan da Cunha. The islands' vegetation and mammal species are not equipped to defend against or control introduced species, increasing island vulnerability, due to lack of defensive behavioural mechanisms and slow generational output rates. Efforts to decrease and eradicate invasive flora, fauna, and marine species have been undertaken, including a programme aimed at eradicating predatory invasive mice from Gough Island. The following described invasive species have been known to have harmful effects on the islands' vegetation and native species. Flora Native plants A combination of the list on Kew's Plants of the World Online site with information from a paper by Wace and Holdgate yields the following list (by no means exhaustive) of plant species recorded as native to Tristan da Cunha. Eudicots Apium australe Thouars (Apiaceae) Atriplex plebeia Carmich. (Amaranthaceae) Callitriche christensenii Christoph. (Plantaginaceae) Chevreulia sarmentosa (Pers.) S.F.Blake (Asteraceae) Cotula goughensis Rud. Brown (Asteraceae) Cotula moseleyi Hemsl. (Asteraceae) Dysphania tomentosa (Thouars) Mosyakin & Clemants (Amaranthaceae) Empetrum rubrum Vahl ex Willd. (Ericaceae) Gamochaeta thouarsii (Spreng.) Anderb. (Asteraceae) Gnaphalium thouarsii Spreng. (Asteraceae) Hydrocotyle capitata Thouars (Araliaceae) Nertera granadensis Druce (Rubiaceae) Pelargonium cucullatum (L.) L'Hér. (Geraniaceae) Pelargonium grossularioides (L.) L'Hér. (Geraniaceae) Phylica arborea Thouars (Rhamnaceae) Rumex frutescens Thouars (Polygonaceae) Sophora macnabiana (Graham) Skottsb. (Fabaceae) Commelinids Agrostis carmichaelii Schult. & Schult.f. (Poaceae) Agrostis crinum-ursi Mez (Poaceae) Agrostis media Carmich. (Poaceae) Agrostis trachychlaena C.E. Hubbard (Poaceae) Carex insularis Carmich. (Cyperaceae) Carex thouarsii Carmich. (Cyperaceae) Deschampsia wacei C.E.Hubb. (Poaceae) Isolepis bicolor Carmich. (Cyperaceae) Isolepis moseleyana (Boeckeler) Muasya (Cyperaceae) Isolepis prolifera (Rottb.) R.Br. (Cyperaceae) Isolepis sulcata (Thouars) Carmich. (Cyperaceae) Sporobolus mobberleyanus P.M.Peterson & Saarela (Poaceae) Rostkovia tristanensis Christoph. (Juncaceae) Ferns, Mosses and Clubmosses Asplenium aequibasis (C.Chr.) J.P.Roux (Aspleniaceae) Asplenium alvarezense Rudm. Brown (Aspleniaceae) Athyrium medium (Carmich.) T.Moore (Athyriaceae) Austroblechnum penna-marina (Poir.) Gasper & V.A.O.Dittrich (Blechnaceae) Elaphoglossum laurifolium (Thouars) T.Moore (Dryopteridaceae) Lomariocycas palmiformis (Thouars) C.Chr. (Blechnaceae) Lycopodium diaphanum (P.Beauv.) Sw. (Lycopodiaceae) Notogrammitis billardierei (Willdenow) Parris (Polypodiaceae) Polyphlebium angustatum (Carmich.) Ebihara & Dubuisson (Hymenophyllaceae) Racomitrium lanuginosum (Hedw.) Brid. (Grimmiaceae) Rumohra adiantiformis (G.Forst.) Ching (Dryopteridaceae) Introduced plants Tristan da Cunha acquired an estimated 137 non-native vascular plants that can be categorized into four species types; weeds (trees, shrubs, agricultural weeds), grassland species (grasses), garden escapes (vegetables), and other ruderal species. Vascular plants were accidentally introduced in a variety of ways including; impurities in flower or vegetable seeds, seeds or plant fragments from other imported plants and in soil, attached to containers, cars or people. The majority of invasive weed species that has been introduced to the island are spread by seed and cover 50% of arable land in widely distributed patches. These species include prickly sow-thistle (Sonchus asper), smooth sow-thistle (Sonchus oleraceus), smooth hawksbeard (Crepis capillaris), scrambling fumitory (Fumaria muralis), green field speedwell (Veronica agrestis), groundsel (Senecio vulgaris), and nutgrass (Cyperus esculentus). Other invasive weed species that have a more localized distribution in plots include prickly sow-thistle (Sonchus asper), smooth sow-thistle (Sonchus oleraceus), smooth hawksbeard (Crepis capillaris), and groundsel (Senecio vulgaris). Whether a species is distributed locally or widely depends on the seed's dispersal mechanisms; larger seeds that have not adapted to wind dispersal will be distributed locally, while smaller seeds have adapted to wind dispersal will be widely distributed. The invasive plants have had several negative impacts on native island plant species, including the competitive exclusion of many such species. The out-competition will and can alter the structure of plant communities and the quality of the islands' soil. Introduced vegetation has altered long-term carbon storage as well as the reduction of CO2 in the atmosphere. Native plants such as fern bushes, Phylica bushes, fern brakes, mires, and bogs, contain high organic content matter which functions as storage for carbon. With the introduction of harmful species, the islands will see a decrease in carbon storage of both the soil and vegetation. With multiple changes occurring within the soil due to invasive plant species, the nutrient cycle is bound to be negatively influenced. Invasive plants are also affecting the human population of Tristan da Cunha by being disease carriers and becoming agricultural pests in gardens and pastures. The alien plants are able to survive and continue to grow and spread successfully on the islands because they have the ability to naturalize in temperate regions and have limited necessities needed to survive. The islands' isolation increases archipelago ecology uniqueness which increases susceptibility for foreign invaders. A small human population with minimal development encourages flora and fauna development within a limited food web which increases the invasive species abilities for self-defense. Plants are being controlled by taking surveys of the invasive species, evaluating their impact on biodiversity, and evaluating the feasibility of their eradication. It would be nearly impossible to try and eradicate all invasive plant species so scientists are narrowing down to control particular species based on their impact and feasibility to eradicate. Mitigation plans that are taking place on Tristan are time-consuming and labor-intensive that will take several years using mechanical and chemical procedures. Fauna Land Tristan is primarily known for its wildlife. The island has been identified as an Important Bird Area by BirdLife International because there are 13 known species of breeding seabirds on the island and two species of resident land birds. The seabirds include northern rockhopper penguins, Atlantic yellow-nosed albatrosses, sooty albatrosses, Atlantic petrels, great-winged petrels, soft-plumaged petrels, broad-billed prions, grey petrels, great shearwaters, sooty shearwaters, Tristan skuas, Antarctic terns and brown noddies. Tristan and Gough Islands are the only known breeding sites in the world for the Atlantic petrel. Inaccessible Island is also the only known breeding ground of the spectacled petrel. The Tristan albatross is known to breed only on Gough and Inaccessible Islands: all nest on Gough, except for one or two pairs which nest on Inaccessible Island. The endemic Tristan thrush, also known as the "starchy", occurs on all of the northern islands and each has its own subspecies, with Tristan birds being slightly smaller and duller than those on Nightingale and Inaccessible. The endemic Inaccessible Island rail, the smallest extant flightless bird in the world, is found only on Inaccessible Island. In 1956, eight Gough moorhens were released at Sandy Point on Tristan, and have subsequently colonised the island. No birds of prey breed on Tristan da Cunha, but the Amur falcon occasionally passes through the area on its migrations, thus putting it on the island's bird list. A non-native species of house mice that have evolved to be 50% larger than average house mice have adapted to Tristan da Cunha. They are thought to have been accidentally introduced by 19th century seal hunters who would dock on the islands. These mice have adapted by consuming sea bird eggs and chicks (as they nest on the ground), killing an estimated 2 million chicks annually pushing the species to extinction. Gathering at night in groups of 9 or 10, the mice gather at the bird's nest to feast. With no natural predators, the invasive mice population is able to expand by producing new generations twice a year. With no natural predators and a high generational output rate, there is no way to control the growth of the invasive mice population. The native bird species have slower generational output and exposure to the islands. Mitigation plans in order to eradicate or decrease the invasive rodent population on the islands was seriously discussed in March 2008 taking into consideration the islands' community. Discussion of aerial bait drop on Tristan brought up concerns of health and safety of the children, livestock and the security of the water supply. Because the proposed plans for mitigation were not fully agreed upon by the Tristan community, eradication methods were shelved until 2019. In order to prevent the growth of the invasive mice population and extinction of the Albatross bird species, a 2019 Gough Island mouse eradication project was announced (Grundy, 2018). The RSPB and Tristan da Cunha Government have partnered to spread cereal pellets with rodenticide bait across Gough Island, in hopes to eradicate the invasive mice population. This solution plan may seem simple but can become complex when discussing dispersal methods, which is predicted to be by helicopter, because of the island's remote location and harsh weather conditions. In areas that are hard to reach by helicopter, pellets will be scattered by hand. The goal of this operation is to restore Tristan da Cunha back to its natural state, ensuring it will still be one of the world's most important seabird nesting sites. Other methods that may be more simple, such as introducing cats, would pose a greater threat to the fragile bird populations as they would likely to prey on the birds as well and cats have already been eradicated from the islands. Marine The largest no take zone in the Atlantic, and at , the fourth largest in the world, was designated on 13 November 2020. The Marine Protected Area bans mining and fishing (except the local lobster fishery), with enforcement the responsibility of the UK government via satellite surveillance. According to the Royal Society for the Protection of Birds (RSPB), the islands and surrounding ocean is one of the most pristine temperate ecosystems on the planet. Various species of whales and dolphins can be seen around Tristan from time to time with increasing sighting rates, although recovery of baleen whales, especially the southern right whale, were severely hindered by illegal whaling by the Soviet Union in the aftermath of the 1960 volcanic eruption. The subantarctic fur seal (Arctophoca tropicalis) can also be found in the Tristan archipelago, mostly on Gough Island. The biodiversity of marine life is limited given the islands' isolation, making identifying the impacts of invasion difficult. While much of the marine life is unknown there has been an invasive species identified in the waters around the islands. This species includes the South American silver porgy (Diplodus argenteus argenteus) which is thought to have sought refuge in the area due to the wreck of an oil platform off the coast of Tristan in 2006. The silver porgy is omnivorous but is not linked to the consumption of the valued lobster populations that the islanders fish. The silver porgy is however suspected to be consuming components of the islands’ fragile kelp forest. The giant kelp forests of Macrocystis pyrifera were extremely limited in biodiversity and has a simple, short-chain food web. While this species is considered non-native and invasive, removal efforts are currently not prioritized. Continued monitoring is suggested and expedition research for all invasive marine species are ongoing.. Economy The island has a unique social and economic structure in which all resident families farm and all land is communally owned. Outsiders are prohibited from buying land or settling on Tristan. Besides subsistence agriculture, major industries are commercial fishing and government. Major export industries are the Tristan rock lobster (Jasus) fishery, the sale of the island's postage stamps and coins, and limited tourism. Like most British Overseas Territories, it was never a part of the European Union, but was a member of the EU's Overseas Countries and Territories Association. The Bank of Saint Helena was established on Saint Helena and Ascension Island in 2004. This bank does not have a physical presence on Tristan da Cunha, but residents of Tristan are entitled to its services. Although Tristan da Cunha is part of the same overseas territory as Saint Helena, it does not use the local Saint Helena pound, instead using the United Kingdom issue of the pound sterling. The island is located in the South Atlantic Anomaly, an area of the Earth with an abnormally weak magnetic field. On 14 November 2008 a geomagnetic observatory was inaugurated on the island as part of a joint venture between the Danish Meteorological Institute and DTU Space. Transport The remote location of the islands makes transport to the outside world difficult. Tristan da Cunha has no airstrip and is not generally accessible to air travel, though the wider territory is served by Saint Helena Airport and RAF Ascension Island. Fishing boats from South Africa service the islands eight or nine times per year. The RMS Saint Helena used to connect the main island to St Helena and South Africa once each year during its January voyage, but has done so only a few times in the last years, in 2006, in 2011,
Democrats as possible to patronage positions. Marshall tried to avoid becoming directly involved in the patronage system. He allowed the party's different factions to have positions and appointed very few of his own choices. He allowed Taggart to manage the process and pick the candidates, but signed off on the official appointments. Although his position on patronage kept peace in his party, it prevented him from building a strong political base. During his term, Marshall focused primarily on advancing the progressive agenda. He successfully advocated the passage of a child labor law and anti-corruption legislation. He supported popular election of U.S. Senators, and the constitutional amendment to allow it was ratified by the Indiana General Assembly during his term. He also overhauled the state auditing agencies and claimed to have saved the government millions of dollars. He was unsuccessful in passing the rest of the progressive platform agenda items or persuading the legislature to call a convention to rewrite the state constitution to expand the government's regulatory powers. Marshall was a strong opponent of Indiana's recently passed eugenics and sterilization laws, and ordered state institutions not to follow them. He was an early, high-profile opponent of eugenics laws, and he carried his opposition into the vice-presidency. His governorship was the first in which no state executions took place, due to his opposition to capital punishment and his practice of pardoning and commuting the sentences of people condemned to execution. He regularly attacked corporations and used recently created antitrust laws to attempt to break several large businesses. He participated in a number of ceremonial events, including laying the final golden brick to complete the Indianapolis Motor Speedway in 1909. Marshall's constitution Rewriting the state constitution became Marshall's central focus as governor, and after the General Assembly refused to call a constitutional convention he sought other ways to have a new constitution adopted. He and Jacob Piatt Dunn, a close friend and civic leader, wrote a new constitution that increased the state's regulatory powers considerably, set minimum wages, and gave constitutional protections to unions. Many of these reforms were also in the Socialist Party platform under its leader, Terre Haute native Eugene V. Debs. Republicans believed Marshall's constitution was an attempt to win over Debs' supporters, who had a strong presence in Indiana. The constitution also allowed direct-democracy initiatives and referendums to be held. The Democratic controlled assembly agreed to the request and put the measure on the ballot. His opponents attacked the direct-democracy provisions, claiming they were a violation of the United States Constitution, which required states to operate republican forms of government. The 1910 midterm elections gave the Democrats control of the Indiana Senate, increasing the constitution's chances of adoption. Marshall presented it to the General Assembly in 1911 and recommended that they submit it to voters in the 1912 election. Republicans opposed the ratification process, and were infuriated that the Democrats were attempting to revise the entire constitution without calling a constitutional convention, as had been called for in the state's two previous constitutions. Marshall argued that no convention was needed because the existing constitution did not call for one. Republicans took the issue to court and the Marion County Circuit Court granted an injunction removing the constitution from the 1912 ballot. Marshall appealed, but the Indiana Supreme Court upheld the decision in a judgment which stated that the Constitution of Indiana could not be replaced in total without a constitutional convention, based on the precedent set by Indiana's first two constitutions. Marshall was angry with the decision and delivered a speech attacking the court and accusing it of overstepping its authority. He launched a final appeal to the United States Supreme Court but left office in January 1913 while the case was still pending. Later that year, the court declined the appeal, finding that the issue was within the sole jurisdiction of the state courts. Marshall was disappointed with the outcome. Subsequent scholars such as Linda Gugin and legal expert James St. Claire have called the process and the document "seriously flawed" and argued that had the constitution been adopted, large parts would probably have been ruled unconstitutional by the federal courts. Vice presidency (1913–1921) Election The Indiana constitution prevented Marshall from serving a consecutive term as governor. He made plans to run for a United States Senate seat after his term ended, but another opportunity presented itself during his last months as governor. Although he did not attend the 1912 Democratic National Convention in Baltimore, his name was put forward as Indiana's choice for president. He was suggested as a compromise nominee, but William Jennings Bryan and his delegates endorsed Woodrow Wilson over Champ Clark, securing the nomination for Wilson. Indiana's delegates lobbied to have Marshall named the vice presidential candidate in exchange for supporting Wilson. Indiana was an important swing state, and Wilson hoped that Marshall's popularity would help him carry it in the general election. He had his delegates support Marshall, giving him the vice presidential nomination. Marshall privately turned down the nomination, assuming the job would be boring given its limited role. He changed his mind after Wilson assured him that he would be given plenty of responsibilities. During the campaign, Marshall traveled across the United States delivering speeches. The Wilson–Marshall ticket easily won the 1912 election because of the division between the Republican Party and the Progressive Party. Marshall was not fond of Wilson, as he disagreed with him on a number of issues. Although Wilson invited Marshall to cabinet meetings, Marshall's ideas were rarely considered for implementation, and Marshall eventually stopped attending them regularly. In 1913, Wilson broke with longstanding tradition and met with senators to discuss policy. Previous presidents had used the vice president as an intermediary, but Wilson did not trust Marshall with delicate business. In his memoir, Marshall's only negative comment towards Wilson was, "I have sometimes thought that great men are the bane of civilization, they are the real cause of all the bitterness and contention which amounts to anything in the world". Their relationship was described as one of "functioning animosity". Senate developments Marshall was not offended by Wilson's lack of interest in his ideas, and considered his primary constitutional duty to be in the Senate. He viewed the vice presidency as a legislative role, not an executive one. When he presided over the Senate, emotions sometimes ran high. During a debate on the Mexican border crisis in 1916, Marshall threatened to expel certain senators from the chamber for their raucous behavior, but did not carry through on the threat. On several occasions, he ordered the Senate gallery cleared. He voted eight times to break tie votes. In the debates leading up to World War I, a number of isolationist senators filibustered bills that Wilson considered important. The filibusters lasted for weeks and twice lasted for over three months. Wilson and the bills' supporters requested that Marshall put a gag-order in place to cut off debate, but he refused on ethical grounds, allowing a number of bills to be defeated in hopes that opposition would eventually end their filibuster. Among the defeated bills was one allowing merchant ships to arm themselves, and another allowing the US government to make direct arms sales to the Allies. Despite their victories, the small group of senators continued to lock up the senate to prevent any pro-war legislation from passing. In response, Marshall led the Senate to adopt a new rule on March 8, 1917, allowing filibusters to be broken by two-thirds of voting Senators. This replaced the previous rule that allowed any senator to prolong debate as long as he desired. The rule has been modified several times, most prominently that the current rule requires three-fifths of all Senators, not only the ones voting. As Marshall made little news and was viewed as a somewhat comic figure in Washington because of his sense of humor, a number of Democratic party leaders wanted him removed from the 1916 reelection ticket. Wilson, after deliberating, decided keeping Marshall on would demonstrate party unity; thus in 1916 Marshall won reelection over the still divided Republican Party and became the first vice president re-elected since John C. Calhoun in 1828, and Wilson and Marshall became the first president and vice president team to be re-elected since Monroe and Tompkins in 1820. Assassination attempt On the evening of July 2, 1915, Eric Muenter, a one time German professor at Harvard and Cornell universities, who opposed American support of the Allied war effort, broke into the U.S. Senate and, finding the door to the Senate chamber locked, laid dynamite outside the reception room, which happened to be next to Marshall's office door. Although the bomb was set with a timer, it exploded prematurely just before midnight, while no one was in the office. (Muenter may not have been specifically targeting the vice president.). On July 3, Muenter (who went under the pseudonym Frank Holt) burst into the Glen Cove, New York home of Jack Morgan, son of financier J.P. Morgan, demanding that he stop the sale of weapons to the Allies. Morgan told the man he was in no position to comply with his demand; Muenter shot him twice non-fatally and escaped. Muenter was later apprehended and confessed to attempted assassination of the vice president. Marshall was offered a personal security detachment after the incident, but declined it. Marshall had been receiving written death threats from numerous "cranks" for several weeks. "Some of them were signed," Marshall told the press, "but most were anonymous. I threw them all into the waste basket." Marshall added that he was "more or less a fatalist" and did not notify the Secret Service about the letters, "but that he naturally was startled when he heard of the explosion at the Capitol." World War I During Marshall's second term, the United States entered World War I. Marshall was a reluctant supporter of the war, believing the country to be unprepared and feared it would be necessary to enact conscription. He was pleased with Wilson's strategy to begin a military buildup before the declaration of war, and fully supported the war effort once it had begun. Shortly after the first troops began to assemble for transport to Europe, Wilson and Marshall hosted a delegation from the United Kingdom in which Marshall became privy to the primary war strategy. However, he was largely excluded from war planning and rarely received official updates on the progress of military campaigns. He usually received news of the war through the newspapers. Wilson sent Marshall around the nation to deliver morale-boosting speeches and encourage Americans to buy Liberty Bonds to support the war effort. Marshall was well suited for the job, as he had been earning extra money as a public speaker while vice president, and gladly accepted the responsibility. In his speeches, he cast the war as a "moral crusade to preserve the dignity of the state for the rights of individuals". In his memoir, he recalled that the war seemed to drag on "with leaden feet", and that he was relieved when it finally ended. As the war neared its end, Marshall became the first vice president to conduct cabinet meetings; Wilson left him with this responsibility while traveling in Europe to sign the Versailles treaty and to work on gathering support for his League of Nations idea. Wilson became the first president to deliver a treaty to the Senate in person when he presented it to Marshall during a morning session. Morrison Marshall's wife, Lois, was heavily involved in charitable activities in Washington and spent considerable time working at the Diet Kitchen Welfare Center providing free meals to impoverished children. In 1917 she became acquainted with a mother of newborn twins, one of whom was chronically ill. The child's parents were unable to get adequate treatment for their son's condition. Lois formed a close bond with the baby, named Clarence Ignatius Morrison, and offered to take him and help him find treatment. She and Marshall had been unable to have children, and when she brought the baby home, Marshall told her that she could "keep him, provided he did not squall". Marshall grew to love the boy and wrote that he "never walked the streets of Washington with as sure a certainty as he walked into my heart", and, as the boy grew older, that he was "beautiful as an angel; brilliant beyond his years; lovable from every standpoint". The Marshalls never officially adopted Morrison because they believed that to go through the procedure while his parents were still living would appear unusual to the public. Wanting to keep the situation private, they instead made a special arrangement with his parents. President Wilson felt obliged to acknowledge the boy as theirs and sent the couple a note that simply said, "With congratulations to the baby. Wilson". Morrison lived with the Marshalls for the rest of his life. In correspondence they referred to him as Morrison Marshall, but in person they called him Izzy. Lois took him to see many doctors and spent all her available time trying to nurse him back to health, but his condition worsened and he died in February 1920, just before his fourth birthday. His death devastated Marshall, who wrote in his memoir that Izzy "was and is and ever will be so sacred to me". Succession crisis President Wilson experienced a mild stroke in September 1919. On October 2, he was struck by a much more severe stroke that left him partially paralyzed and almost certainly incapacitated. Wilson's closest adviser, Joseph Tumulty, did not believe Marshall would be a suitable acting president and took precautions to prevent him from assuming presidential powers and duties. Wilson's wife Edith strongly disliked Marshall because of what she called his "uncouthed" disposition, and also opposed his assumption of presidential powers and duties. Tumulty and the First Lady believed that an official communication from Wilson's staff on his condition would allow Marshall to trigger the constitutional mechanism allowing him to become acting president, and made sure no such communication occurred. After Marshall demanded to know Wilson's status so that he could prepare for the possibility of becoming president, they had a reporter from the Baltimore Sun brief Marshall and inform him that Wilson was near death. Marshall later said that "it was the first great shock of my life", but without an official communication on Wilson's condition, he didn't believe he could constitutionally assume presidential powers and duties. On October 5, Secretary of State Robert Lansing was the first official to propose that Marshall forcibly assume presidential powers and duties. Other cabinet secretaries backed Lansing's request. Congressional leaders of both parties also sent private communications to Marshall, who was cautious in accepting their support. After consulting with his wife and his long-time personal adviser, Mark Thistlethwaite, he privately refused to assume Wilson's duties and become acting president. The process for declaring a president incapacitated was unclear at that time, and he feared the precedent that might be set if he forcibly removed Wilson from his powers and duties. Marshall wanted the president to voluntarily allow his powers to devolve to the vice president, but that was impossible given his condition and unlikely given Wilson's dislike for Marshall. The vice president informed the cabinet that he would assume Wilson's powers and duties only in response to a joint resolution of Congress calling on him to do so or an official communication from Wilson or his staff asserting his inability to perform his duties. Wilson was kept secluded by his wife and personal physician and only his close advisers were allowed to see him; none would divulge official information on his condition. Although Marshall sought to meet with Wilson to determine his condition, he was unable to do so. He instead relied on vague updates received through bulletins published by Wilson's physician. Believing that Wilson and his advisers would not voluntarily transfer power to the vice president, a group of Congressional leaders initiated Marshall's requested joint resolution. However, senators opposed to the League of Nations treaty blocked the joint resolution in hopes of preventing the treaty's ratification. These senators believed that as acting president Marshall would make several key concessions that would allow the treaty to win ratification. Wilson, in his present condition, was either unwilling or unable to make the concessions, and debate on the bill had resulted in a deadlock. On December 4, Lansing announced in a Senate committee hearing that no one in the cabinet had spoken with or seen Wilson in over sixty days. The senators seeking to elevate Marshall requested that a committee be sent to check on Wilson's condition, hoping to gain evidence to support their cause. Dubbed the "smelling committee" by several newspapers, the group discovered Wilson was in very poor health, but seemed to have recovered enough of his faculties to make decisions. Their report ended the perceived need for the joint resolution. At a Sunday church service in mid-December, in what Marshall believed was an attempt by other officials to force him to assume the presidency, a courier brought a message informing him that Wilson had died. Marshall was shocked, and rose to announce the news to the congregation. The ministers held a prayer, the congregation began singing hymns, and many people wept. Marshall and his wife exited the building, and made a call to the White House to determine his next course of action, only to find that he had been the victim of a hoax, and that Wilson was still alive. Marshall performed a few ceremonial functions for the remainder of Wilson's term, such as hosting foreign dignitaries. Among these was Albert I, King of the Belgians, the first European monarch to visit the United States. Edward, Prince of Wales, the future monarch of the United Kingdom, spent two days with Marshall and received a personal tour of Washington from him. First Lady Edith Wilson performed most routine duties of government. She reviewed Wilson's communications and decided what to share with him and what to delegate to others. The resulting lack of leadership allowed the administration's opponents to prevent ratification of the League of Nations treaty. They attacked the treaty's tenth article, which they believed would allow the United States to be bound in an alliance to European countries that could force the country to return to war without an act of Congress. Marshall personally supported the treaty's adoption, but recommended several changes, including the requirement that all parties to it acknowledge the Monroe Doctrine and the United States' sphere of influence, and that the tenth article be made non-binding. Wilson began to recover by the end of 1919, but remained secluded for the remainder of his term, steadfast in his refusal or inability to accept changes to the treaty. Marshall was prevented from meeting with him to ascertain his true condition until his final day in office. It remains unclear who made executive decisions during Wilson's incapacity, but it was likely the first lady with the help of the presidential advisers. Later life and death Marshall had his name entered as a candidate for the presidential nomination at the 1920 Democratic National Convention. He made arrangements with Thomas Taggart to have a delegation sent from Indiana to support his bid, but was unable to garner support outside of the Hoosier delegation. Ultimately he endorsed the Democratic nominees, James M. Cox for president and Franklin D. Roosevelt for vice president, but they were defeated by the Republican ticket of Warren G. Harding and Calvin Coolidge. On their election, Marshall sent a
proved controversial and were blocked by the Indiana Supreme Court. Marshall's popularity as Indiana governor, and the state's status as a critical swing state, helped him secure the Democratic vice presidential nomination on a ticket with Wilson in 1912 and win the subsequent general election. An ideological rift developed between the two men during their first term leading Wilson to limit Marshall's influence in the administration. Marshall's brand of humor caused Wilson to move his office away from the White House, further isolating him. Marshall was targeted in an assassination attempt in 1915 for supporting intervention in World War I. During Marshall's second term he delivered morale-boosting speeches across the nation during the war and became the first U.S. vice president to hold cabinet meetings, which he did while Wilson was in Europe during peace negotiations. As he was president of the United States Senate, a small number of anti-war Senators kept it deadlocked by refusing to end debate. To enable critical wartime legislation to be passed, Marshall had the body adopt its first procedural rule allowing filibusters to be ended by a two-thirds majority vote—a variation of this rule remains in effect. Marshall's vice presidency is most remembered for a leadership crisis following a stroke that incapacitated Wilson in October 1919. Because of their personal dislike for Marshall, Wilson's advisers and wife Edith sought to keep him uninformed about the president's condition to prevent him from assuming presidential powers and duties. Many people, including cabinet officials and Congressional leaders, urged Marshall to become acting president, but he refused to forcibly assume Wilson's powers out of fear of the implications of establishing such a precedent. Without strong leadership in the executive branch, the administration's opponents defeated the ratification of the League of Nations treaty and effectively returned the United States to an isolationist foreign policy. Marshall ended his time in office as the first vice president since Daniel D. Tompkins, nearly a century earlier, to serve two full terms. Marshall was known for his wit and sense of humor. One of his most enduring jokes provoked widespread laughter from his Senate colleagues during a floor debate. Responding to Senator Joseph Bristow's catalog of the nation's needs, Marshall quipped that, "What this country needs is a really good five-cent cigar." After his terms as vice president, he opened an Indianapolis law practice where he authored several legal books and his memoir, Recollections. He continued to travel and speak publicly. Marshall died in 1925 after suffering a heart attack while on a trip to Washington, D.C. Early life Family and background Thomas Marshall's paternal grandfather, Riley Marshall, immigrated to Indiana in 1817 and settled on a farm in present-day Whitley County. He became wealthy when a moderate deposit of oil and natural gas was discovered on his farm; when he sold the property in 1827 it earned $25,000, $ in 2015 chained dollars. The money allowed him to purchase a modest estate and spend the rest of his life as an active member of the Indiana Democratic Party, serving as an Indiana State Senator, party chairman, and financial contributor. He was also able to send his only child, Daniel, to medical school. Marshall's mother, Martha Patterson, was orphaned at age thirteen while living in Ohio and moved to Indiana to live with her sister on a farm near the Marshalls' home. Martha was known for her wit and humor, as her son later would be. Martha and Daniel met and married in 1848. Thomas Riley Marshall was born in North Manchester, Indiana, on March 14, 1854. Two years later, a sister was born, but she died in infancy. Martha had contracted tuberculosis, which Daniel believed to be the cause of their infant daughter's poor health. While Marshall was still a young boy, his family moved several times searching a good climate for Daniel to attempt different "outdoor cures" on Martha. They moved first to Quincy, Illinois in 1857. While the family was living in Illinois, Daniel Marshall, a supporter of the American Union and a staunch Democrat, took his four-year-old son, Thomas, to the Lincoln and Douglas debate in Freeport in 1858. Marshall later recalled that during the rally he sat on the laps of Stephen Douglas and Abraham Lincoln, alternating between the two candidates when they were not speaking, and remembered it as one of his earliest and most cherished memories. The family moved to Osawatomie, Kansas, in 1859, but the frontier violence caused them to move to Missouri in 1860. Eventually, Daniel succeeded in curing Martha's disease. As the American Civil War neared, violence spread into Missouri during the Bleeding Kansas incidents. In October 1860 several men led by Duff Green demanded that Daniel Marshall provide medical assistance to the pro-slavery faction, but he refused, and the men left. When the Marshalls' neighbors warned that Green was planning to return and murder them, the family quickly packed their belongings and escaped by steamboat to Illinois. The Marshalls remained in Illinois only briefly, before relocating to Indiana, which was even farther from the volatile border region. Education On settling in Pierceton, Indiana, Marshall began to attend public school. His father and grandfather became embroiled in a dispute with their Methodist minister when they refused to vote Republican in the 1862 election. The minister threatened to expel them from the church, to which Marshall's grandfather replied that he would "take his risk on hell, but not the Republican Party". The dispute prompted the family to move again, to Fort Wayne, and convert to the Presbyterian church. In Fort Wayne, Marshall attended high school, graduating in 1869. At age fifteen his parents sent him to Wabash College, in Crawfordsville, where he received a classical education. His father advised him to study medicine or become a minister, but neither interested him; he entered the school without knowing which profession he would take upon graduation. During college Marshall joined the Phi Gamma Delta fraternity, participated in literary and debating societies, and founded a Democratic Club. He secured a position on the staff of the college newspaper, the Geyser, and began writing political columns defending Democratic policies. In 1872 he wrote an unfavorable column about a female lecturer at the school, accusing her of "seeking liberties" with the young boys in their boarding house. She hired lawyer Lew Wallace, the author of Ben-Hur, and filed a suit demanding that Marshall pay her $20,000 for libel. Marshall traveled to Indianapolis to find a defense lawyer and employed future United States President Benjamin Harrison, then a prominent Indianapolis lawyer. Harrison had the suit dropped by showing that the charges made by Marshall were probably true. In Marshall's memoir, he wrote that when he approached Harrison to pay his bill, his lawyer informed him that he would not charge him for the service, but instead gave him a lecture on the ethics of making such charges public. Marshall later recalled that he took the advice to heart, and was never again accused of making comments that could be considered libelous. Marshall was elected to Phi Beta Kappa during his final year at college. He graduated in June 1873, receiving the top grade in fourteen of his thirty-six courses in a class of twenty-one students. Because of his libel case, he had become increasingly interested in law and began seeking someone to teach him. At that time, a common way to become a lawyer was to apprentice under a practicing attorney. Marshall's great-uncle Woodson Marshall began to help him, but the younger Marshall soon moved to Columbia City, Indiana, to live with his parents. Marshall read law in the Columbia City law office of Walter Olds, a future member of the Indiana Supreme Court, for more than a year and was admitted to the bar on April 26, 1875. Law practice Marshall opened a law practice in Columbia City in 1876, taking on many minor cases. After gaining prominence, he accepted William F. McNagny as a partner in 1879 and began taking many criminal defense cases. The two men functioned well as partners. McNagny was better educated in law and worked out their legal arguments. Marshall, the superior orator, argued the cases before the judge and jury. Their firm became well known in the region after they handled a number of high-profile cases. In 1880 Marshall ran for public office for the first time as the Democratic candidate for his district's prosecuting attorney. The district was a Republican stronghold, and he was defeated. About the same time, he met and began to court Kate Hooper, and the two became engaged to marry. Kate died of an illness in 1882, one day before they were to be wed. Her death was a major emotional blow to Marshall, leading him to become an alcoholic. Marshall lived with his parents into his thirties. His father died in the late 1880s and his mother died in 1894, leaving him with the family estate and business. In 1895, while working on a case, Marshall met Lois Kimsey who was working as a clerk in her father's law firm. Despite their nineteen-year age difference, the couple fell in love and married on October 2. The Marshalls had a close marriage and were nearly inseparable, and spent only two nights apart during their nearly thirty-year marriage. Marshall's alcoholism had begun to interfere with his busy life before his marriage. He arrived at court hung-over on several occasions and was unable to keep his addiction secret in his small hometown. His wife helped him to overcome his drinking problem and give up liquor after she locked him in their home for two weeks to undergo a treatment regimen. Thereafter, he became active in temperance organizations and delivered several speeches about the dangers of liquor. Although he had stopped drinking, his past alcoholism was later raised by opponents during his gubernatorial election campaign. Marshall remained active in the Democratic party after his 1880 defeat and began stumping for other candidates and helping to organize party rallies across the state. His speeches were noted for their partisanship, but his rhetoric gradually shifted away from a conservative viewpoint in the 1890s as he began to identify himself with the growing progressive movement. He became a member of the state Democratic Central Committee in 1904, a position that raised his popularity and influence in the party. Marshall and his wife were involved in several private organizations. He was active in the Presbyterian Church, taught Sunday school, and served on the county fair board. As he grew wealthy from his law firm he became involved in local charities. An enthusiastic Mason in Columbia City Lodge No. 189 in the Grand Lodge of Indiana, he was a governing member of the state's York Rite bodies, awarded the thirty-third degree of the Scottish Rite in 1898, and became an Active member of the Northern Masonic Jurisdiction's Supreme Council in 1911. He remained a passionate Freemason until his death and served on several Masonic charitable boards. After his death, the $25,000 cost of erecting his mausoleum in Indianapolis' Crown Hill Cemetery was gratefully paid for by the Scottish Rite NMJ Supreme Council. Governorship (1909–1913) Campaign In 1906, Marshall declined his party's nomination to run for Congress. He hinted, however, to state party leaders that he would be interested in running for Indiana governor in the 1908 election. He soon gained the support of several key labor unions, and was endorsed by Louis Ludlow, a reporter for the Indianapolis Star. Despite this support, Marshall was a dark horse candidate at the state convention. Initially, Thomas Taggart, Indiana Democratic Party boss, did not support him because of Marshall's support of prohibition. Taggart wanted the party to nominate anti-prohibitionist Samuel Ralston, but the prohibitionist and anti-Taggart factions united with Marshall's supporters. To oppose L. Ert Slack, a temperance candidate, Taggart persuaded Ralston's delegates to support Marshall and give him the votes he needed to win the nomination. Marshall's opponent in the general election was Republican Congressman James E. Watson, and the campaign focused on temperance and prohibition. Just as it began, the Republican-controlled state government passed a local-option law that allowed counties to ban the sale of liquor. The law became the central point of debate between the parties and their gubernatorial candidates. The Democrats proposed that the local-option law be changed so that the decision to ban liquor sales could be made at the city and township level. This drew support from anti-prohibitionists, who saw it as an opportunity to roll back prohibition in some areas, and as the only alternative available to the total prohibition which the Republican Party advocated. The Democratic position also helped to retain prohibitionists' support by allowing prohibition to remain enacted in communities where a majority supported it. The Republican Party was in the midst of a period of instability, splitting along progressive and conservative lines. Their internal problems proved to be the deciding factor in the election, giving Marshall a narrow victory: he received 48.1 percent of the vote to Watson's 48.0 percent. He was the first Democratic governor in two decades. Democrats also came to power in the Indiana House of Representatives by a small margin, though Republicans retained control of the Indiana Senate. Progressive agenda Marshall was inaugurated as Governor of Indiana on January 11, 1909. Since his party had been out of power for many years, its initial objective was to appoint as many Democrats as possible to patronage positions. Marshall tried to avoid becoming directly involved in the patronage system. He allowed the party's different factions to have positions and appointed very few of his own choices. He allowed Taggart to manage the process and pick the candidates, but signed off on the official appointments. Although his position on patronage kept peace in his party, it prevented him from building a strong political base. During his term, Marshall focused primarily on advancing the progressive agenda. He successfully advocated the passage of a child labor law and anti-corruption legislation. He supported popular election of U.S. Senators, and the constitutional amendment to allow it was ratified by the Indiana General Assembly during his term. He also overhauled the state auditing agencies and claimed to have saved the government millions of dollars. He was unsuccessful in passing the rest of the progressive platform agenda items or persuading the legislature to call a convention to rewrite the state constitution to expand the government's regulatory powers. Marshall was a strong opponent of Indiana's recently passed eugenics and sterilization laws, and ordered state institutions not to follow them. He was an early, high-profile opponent of eugenics laws, and he carried his opposition into the vice-presidency. His governorship was the first in which no state executions took place, due to his opposition to capital punishment and his practice of pardoning and commuting the sentences of people condemned to execution. He regularly attacked corporations and used recently created antitrust laws to attempt to break several large businesses. He participated in a number of ceremonial events, including laying the final golden brick to complete the Indianapolis Motor Speedway in 1909. Marshall's constitution Rewriting the state constitution became Marshall's central focus as governor, and after the General Assembly refused to call a constitutional convention he sought other ways to have a new constitution adopted. He and Jacob Piatt Dunn, a close friend and civic leader, wrote a new constitution that increased the state's regulatory powers considerably, set minimum wages, and gave constitutional protections to unions. Many of these reforms were also in the Socialist Party platform under its leader, Terre Haute native Eugene V. Debs. Republicans believed Marshall's constitution was an attempt to win over Debs' supporters, who had a strong presence in Indiana. The constitution also allowed direct-democracy initiatives and referendums to be held. The Democratic controlled assembly agreed to the request and put the measure on the ballot. His opponents attacked the direct-democracy provisions, claiming they were a violation of the United States Constitution, which required states to operate republican forms of government. The 1910 midterm elections gave the Democrats control of the Indiana Senate, increasing the constitution's chances of adoption. Marshall presented it to the General Assembly in 1911 and recommended that they submit it to voters in the 1912 election. Republicans opposed the ratification process, and were infuriated that the Democrats were attempting to revise the entire constitution without calling a constitutional convention, as had been called for in the state's two previous constitutions. Marshall argued that no convention was needed because the existing constitution did not call for one. Republicans took the issue to court and the Marion County Circuit Court granted an injunction removing the constitution from the 1912 ballot. Marshall appealed, but the Indiana Supreme Court upheld the decision in
Latin introduced the "Physiologus" into almost all the languages of Western Europe. An Old High German (Alemannic) translation was written in Hirsau in c. 1070 (ed. Müllenhoff and Scherer in Denkmäler deutscher Poesie und Prosa No. LXXXI); a later translation (12th century) has been edited by Lauchert in Geschichte des Physiologus (pp. 280–99); and a rhymed version appears in Karajan, Deutsche Sprachdenkmale des XII. Jahrhunderts (pp. 73–106), both based on the Latin text known as Dicta Chrysostomi. Fragments of a 9th-century metrical Anglo-Saxon Physiologus are extant (ed. Thorpe in Codex Exoniensis pp. 335–67, Grein in Bibliothek der angelsächsischen Poesie I, 223-8). About the middle of the 13th century there appeared a Middle English metrical Bestiary, an adaptation of the Latin Physiologus Theobaldi; this has been edited by Wright and Halliwell in Reliquiæ antiquæ (I, 208-27), also by Morris in An Old English Miscellany (1-25). There is an Icelandic Physiologus preserved in two fragmentary redactions from around 1200. In the 12th and 13th centuries there appeared the Bestiaires of Philippe de Thaun, a metrical Old French version, edited by Thomas Wright in Popular Treatises on Science Written during the Middle Ages (74-131), and by Walberg (Lund and Paris, 1900); that by Guillaume, clerk of Normandy, called Bestiare divin, and edited by Cahier in his Mélanges d'archéologie (II-IV), also edited by Hippeau (Caen, 1852), and by Reinsch (Leipzig, 1890); the , edited by Paul Meyer in Romania (I, 420-42); the Bestiare in prose of Pierre le Picard, edited by Cahier in Mélanges (II-IV). An adaptation is found in the old Waldensian literature, and has been edited by Alfons Mayer in Romanische Forschungen (V, 392 sqq.). As to the Italian bestiaries, a Tuscan-Venetian Bestiarius has been edited (Goldstaub and Wendriner, Ein tosco-venezianischer Bestiarius, Halle, 1892). Extracts from the Physiologus in Provençal have been edited by Bartsch, Provenzalisches Lesebuch (162-66). The Physiologus survived in the literatures of Eastern Europe in books on animals written in Middle Greek, among the Slavs to whom it came from the Byzantine (translations of the so-called Byzantinian redaction were made in Middle Bulgarian in the 13th-14th century; they were edited in 2011 by Ana Stoykova in an electronic edition, see reference), and in a Romanian translation from a Slavic original (edited by Moses Gaster with an Italian translation in Archivio glottologico italiano, X, 273-304). The manuscript tradition Modern study of Physiologus can be said to have begun with Francesco Sbordone's edition, 1936, which established three traditions in the surviving manuscripts of the text, a "primitive" tradition, a Byzantine one and a pseudo-Basil tradition. Ben Perry showed that a manuscript Sbordone had missed, at the Morgan Library, was the oldest extant Greek version, a late 10th-century manuscript from Grottaferrata. Anna Dorofeeva has argued that the numerous early Latin Physiologus manuscripts can be seen as evidence for an 'encyclopedic drive' amongst early medieval monastic writing centres. Contents See also List of illuminated manuscripts Naturalis Historia Notes References Cahier and Martin, Mélanges d'archaeologie, &c. ii. 85 seq (Paris, 1851), iii. 203 seq. (1853),iv. 55 seq. (r856); Cahier, Nouveaux mélanges (1874), p. 106 seq. J. Victor Carus, Gesch der Zoologie (Munich, 1872), p. 109 seq. Classici auctores I ed. Mai, vii. 585596 (Rome, 1835) Michael J. Curley, Introduction, Physiologus. Translated by Michael J.
[Hebrew University Armenian Studies 6]); into Syriac [edited by Tychsen, Physiologus Syrus (Rostock, 1795), a later Syriac and an Arabic version edited by Land in Anecdota Syriaca, IV (Leyden, 1875)]. An Old Slavic (Old Bulgarian) translation was made in the 10th century [edited by Karneyev, , Sankt Peterburg, 1890]. Epiphanius used Physiologus in his Panarion and from his time numerous further quotations and references to the Physiologus in the Greek and the Latin Church fathers show that it was one of the most generally known works of Christian Late Antiquity. Various translations and revisions were current in the Middle Ages. The earliest translation into Latin was followed by various recensions, among them the Sayings of St. John Chrysostom on the natures of beasts, A metrical Latin Physiologus was written in the 11th century by a certain Theobaldus, and printed by Morris in An Old English Miscellany (1872), 201 sqq.; it also appears among the works of Hildebertus Cenomanensis in Pat.Lat., CLXXI, 1217–24. To these should be added the literature of the bestiaries, in which the material of the Physiologus was used; the Tractatus de bestiis et alius rebus, often misattributed to Hugo of St. Victor, and the Speculum naturale of Vincent of Beauvais. Translations The Physiologus had an impact on neighboring literatures: medieval translations into Latin, Armenian, Georgian, Slavic, Syriac, Coptic, and Ethiopic are known. Translations and adaptations from the Latin introduced the "Physiologus" into almost all the languages of Western Europe. An Old High German (Alemannic) translation was written in Hirsau in c. 1070 (ed. Müllenhoff and Scherer in Denkmäler deutscher Poesie und Prosa No. LXXXI); a later translation (12th century) has been edited by Lauchert in Geschichte des Physiologus (pp. 280–99); and a rhymed version appears in Karajan, Deutsche Sprachdenkmale des XII. Jahrhunderts (pp. 73–106), both based on the Latin text known as Dicta Chrysostomi. Fragments of a 9th-century metrical Anglo-Saxon Physiologus are extant (ed. Thorpe in Codex Exoniensis pp. 335–67, Grein in Bibliothek der angelsächsischen Poesie I, 223-8). About the middle of the 13th century there appeared a Middle English metrical Bestiary, an adaptation of the Latin Physiologus Theobaldi; this has been edited by Wright and Halliwell in Reliquiæ antiquæ (I, 208-27), also by Morris in An Old English Miscellany (1-25). There is an Icelandic Physiologus preserved in two fragmentary redactions from around 1200. In the 12th and 13th centuries there appeared the Bestiaires of Philippe de Thaun, a metrical Old French version, edited by Thomas Wright in Popular Treatises on Science Written during the Middle Ages (74-131), and by Walberg (Lund and Paris, 1900); that by Guillaume, clerk of Normandy, called Bestiare divin, and edited by Cahier in his Mélanges d'archéologie (II-IV), also edited by Hippeau (Caen, 1852), and by Reinsch (Leipzig, 1890); the , edited by Paul Meyer in Romania (I, 420-42); the Bestiare in prose of Pierre le Picard, edited by Cahier in Mélanges (II-IV). An adaptation is found in the old Waldensian literature, and has been edited by Alfons Mayer in Romanische Forschungen (V, 392 sqq.). As to the Italian bestiaries, a Tuscan-Venetian Bestiarius has been edited (Goldstaub and Wendriner, Ein tosco-venezianischer Bestiarius, Halle, 1892). Extracts from the Physiologus in Provençal have been edited by Bartsch, Provenzalisches Lesebuch (162-66). The Physiologus survived in the literatures of Eastern Europe in books on animals written in Middle Greek, among the Slavs to whom it came from the Byzantine (translations of the so-called Byzantinian redaction were made in Middle Bulgarian in the 13th-14th century; they were edited in 2011 by Ana Stoykova in an electronic edition, see reference), and in a Romanian translation from a Slavic original (edited by Moses Gaster with an Italian translation in Archivio glottologico italiano, X, 273-304). The manuscript tradition Modern study of Physiologus can be said to have begun with Francesco Sbordone's edition, 1936, which established three traditions in the surviving manuscripts of the text, a "primitive" tradition, a Byzantine one and a pseudo-Basil tradition. Ben Perry showed that a manuscript Sbordone had missed, at the Morgan Library, was the oldest extant Greek version, a late 10th-century manuscript from Grottaferrata. Anna Dorofeeva has argued that the numerous early Latin Physiologus manuscripts can be seen as evidence for an 'encyclopedic drive' amongst early medieval monastic writing centres. Contents See also List of illuminated manuscripts Naturalis Historia Notes References Cahier and Martin, Mélanges d'archaeologie, &c. ii. 85 seq (Paris, 1851), iii. 203 seq. (1853),iv. 55 seq. (r856); Cahier, Nouveaux mélanges (1874), p. 106 seq. J. Victor Carus, Gesch der Zoologie (Munich, 1872), p. 109 seq. Classici auctores I ed. Mai, vii. 585596 (Rome, 1835) Michael J. Curley, Introduction, Physiologus. Translated by Michael J. Curley. (Austin: University of Texas Press, 1979). ix-xliii. Dahlerup, Verner: "Physiologus i to islandske Bearbejdelser". In: Aarbøger for nordisk Oldkyndighed og Historie (ANOH) 1889, pp. 199–290. S. Epiphanius ad physiologum, ed. Ponce de Leon (with woodcuts) (Rome, 1587) another edition, with copper-plates (Antwerp, 1588); S. Eustathu ni hexahemeron commentarius, ed. Leo Allatius (Lyons, 1629; cf. I-F van Herwerden, Exerciti. Crstt., pp. 180182, Hague, 1862); G. Heider, in Archiv für Kunde österreichischer Geschichtsquellen" (5, 541–82, Vienna, 1850) A. Karneyev, (Sankt Peterburg, 1890). J. P. N. Land, Anecdote syriaca (Leiden, 1874), iv. 31 seq., 115 seq., and in Verslager en Mededeelingen der kon. Akad. van Wetenschappen, 2nd
in each case Shawn proved an active champion. Brown's nearly six-year tenure attracted more controversy than Gottlieb's or even Shawn's, thanks to her high profile (Shawn, by contrast, had been an extremely shy, introverted figure), and to the changes she made to a magazine with a similar look for the previous half-century. She introduced color to the editorial pages (several years before The New York Times) and included photography, with less type on each page and a generally more modern layout. More substantively, she increased the coverage of current events and topics such as celebrities and business tycoons, and placed short pieces throughout "Goings on About Town", including a racy column about nightlife in Manhattan. A new letters-to-the-editor page and the addition of authors' bylines to their "Talk of the Town" pieces had the effect of making the magazine more personal. The current editor of The New Yorker is David Remnick, who succeeded Brown in July 1998. Tom Wolfe wrote about the magazine: "The New Yorker style was one of leisurely meandering understatement, droll when in the humorous mode, tautological and litotical when in the serious mode, constantly amplified, qualified, adumbrated upon, nuanced and renuanced, until the magazine's pale-gray pages became High Baroque triumphs of the relative clause and appository modifier". Joseph Rosenblum, reviewing Ben Yagoda's About Town, a history of the magazine from 1925 to 1985, wrote, "The New Yorker did create its own universe. As one longtime reader wrote to Yagoda, this was a place 'where Peter DeVries ... was forever lifting a glass of Piesporter, where Niccolò Tucci (in a plum velvet dinner jacket) flirted in Italian with Muriel Spark, where Nabokov sipped tawny port from a prismatic goblet (while a Red Admirable perched on his pinky), and where John Updike tripped over the master's Swiss shoes, excusing himself charmingly. As far back as the 1940s, the magazine's reputation for fact-checking was already established. However, the magazine played a role in a literary scandal and defamation lawsuit over two articles written by Janet Malcolm in the 1990s, who wrote about Sigmund Freud's legacy. Questions were raised about the magazine's fact-checking process. As of 2010, The New Yorker employs sixteen fact checkers. In July 2011, the magazine was sued for defamation in United States district court for an article written by David Grann on July 12, 2010, but the case was summarily dismissed. Today, the magazine is often identified as the leading publication for rigorous fact checking. Since the late 1990s, The New Yorker has used the Internet to publish current and archived material, and maintains a website with some content from the current issue (plus exclusive web-only content). Subscribers have access to the full current issue online, as well as a complete archive of back issues viewable as they were originally printed. In addition, The New Yorkers cartoons are available for purchase online. A digital archive of back issues from 1925 to April 2008 (representing more than 4,000 issues and half a million pages) has also been issued on DVD-ROMs and on a small portable hard drive. More recently, an iPad version of the current issue of the magazine has been released. The magazine's editorial staff unionized in 2018 and The New Yorker Union signed their first collective bargaining agreement in 2021. Influence The New Yorker influenced a number of similar magazines, including The Brooklynite (1926 to 1930), The Chicagoan (1926 to 1935), and Paris's The Boulevardier (1927 to 1932). United States presidential election endorsements In its issue dated November 1, 2004, the magazine endorsed a presidential candidate for the first time, choosing to endorse Democrat John Kerry over incumbent Republican George W. Bush. Cartoons The New Yorker has featured cartoons (usually gag cartoons) since it began publication in 1925. The cartoon editor of The New Yorker for years was Lee Lorenz, who first began cartooning in 1956 and became a New Yorker contract contributor in 1958. After serving as the magazine's art editor from 1973 to 1993 (when he was replaced by Françoise Mouly), he continued in the position of cartoon editor until 1998. His book The Art of the New Yorker: 1925–1995 (Knopf, 1995) was the first comprehensive survey of all aspects of the magazine's graphics. In 1998, Robert Mankoff took over as cartoon editor and edited at least 14 collections of New Yorker cartoons. In addition, Mankoff usually contributed a short article to each book, describing some aspect of the cartooning process or the methods used to select cartoons for the magazine. Mankoff left the magazine in 2017. The New Yorkers stable of cartoonists has included many important talents in American humor, including Charles Addams, Peter Arno, Charles Barsotti, George Booth, Roz Chast, Tom Cheney, Sam Cobean, Leo Cullum, Richard Decker, Pia Guerra, J. B. Handelsman, Helen E. Hokinson, Ed Koren, Burr Shafer, Reginald Marsh, Mary Petty, George Price, Charles Saxon, David Snell, Otto Soglow, Saul Steinberg, William Steig, James Stevenson, Richard Taylor, James Thurber, Pete Holmes, Barney Tobey, and Gahan Wilson. Many early New Yorker cartoonists did not caption their own cartoons. In his book The Years with Ross, Thurber describes the newspaper's weekly art meeting, where cartoons submitted over the previous week would be brought up from the mail room to be gone over by Ross, the editorial department, and a number of staff writers. Cartoons often would be rejected or sent back to artists with requested amendments, while others would be accepted and captions written for them. Some artists hired their own writers; Helen Hokinson hired James Reid Parker in 1931. (Brendan Gill relates in his book Here at The New Yorker that at one point in the early 1940s, the quality of the artwork submitted to the magazine seemed to improve. It later was found out that the office boy (a teen-aged Truman Capote) had been acting as a volunteer art editor, dropping pieces he didn't like down the far edge of his desk.) Several of the magazine's cartoons have climbed to a higher plateau of fame. One 1928 cartoon drawn by Carl Rose and captioned by E. B. White shows a mother telling her daughter, "It's broccoli, dear." The daughter responds, "I say it's spinach and I say the hell with it." The phrase "I say it's spinach" entered the vernacular (and three years later, the Broadway musical Face the Music included Irving Berlin's musical number entitled "I Say It's Spinach (And the Hell with It)"). The catchphrase "back to the drawing board" originated with the 1941 Peter Arno cartoon showing an engineer walking away from a crashed plane, saying, "Well, back to the old drawing board." The most reprinted is Peter Steiner's 1993 drawing of two dogs at a computer, with one saying, "On the Internet, nobody knows you're a dog". According to Mankoff, Steiner and the magazine have split more than $100,000 in fees paid for the licensing and reprinting of this single cartoon, with more than half going to Steiner. Over seven decades, many hardcover compilations of cartoons from The New Yorker have been published, and in 2004, Mankoff edited The Complete Cartoons of The New Yorker, a 656-page collection with 2004 of the magazine's best cartoons published during 80 years, plus a double CD set with all 68,647 cartoons ever published in the magazine. This features a search function allowing readers to search for cartoons by a cartoonist's name or by year of publication. The newer group of cartoonists in recent years includes Pat Byrnes, Frank Cotham, Michael Crawford, Joe Dator, Drew Dernavich, J. C. Duffy, Carolita Johnson, Zachary Kanin, Farley Katz, Robert Leighton, Glen Le Lievre, Michael Maslin, Ariel Molvig, Paul Noth, Barbara Smaller, David Sipress, Mick Stevens, Julia Suits, Christopher Weyant, P. C. Vey, and Jack Ziegler. Will McPhail cited his beginnings are "just ripping off Calvin and Hobbes, Bill Watterson, and doing little dot eyes." The notion that some New Yorker cartoons have punchlines so non sequitur that they are impossible to understand became a subplot in the Seinfeld episode "The Cartoon", as well as a playful jab in an episode of The Simpsons, "The Sweetest Apu". In April 2005, the magazine began using the last page of each issue for "The New Yorker Cartoon Caption Contest". Captionless cartoons by The New Yorkers regular cartoonists are printed each week. Captions are submitted by readers, and three are chosen as finalists. Readers then vote on the winner. Anyone age thirteen or older can enter or vote. Each contest winner receives a print of the cartoon (with the winning caption), signed by the artist who drew the cartoon. Crosswords and puzzles The New Yorker launched a crossword puzzle series in April 2018 with a weekday crossword published every Monday. Subsequently, it launched a second, weekend crossword that appears on Fridays and relaunched cryptic puzzles that were run in the magazine in the late 1990s. The puzzles are written by a rotating stable of seven constructors. The crosswords integrate cartoons into the puzzle playing experience. The Christmas 2019 issue featured a crossword puzzle by Patrick Berry that had cartoons as clues, and the answers were captions for the cartoons. In December 2019, Liz Maynes-Aminzade was named the first puzzles and games editor of The New Yorker. Films The New Yorker has been the source for motion pictures. Both fiction and non-fiction pieces have been adapted for the big screen, including Flash of Genius (2008), based on a true account of the invention of the intermittent windshield wiper by John Seabrook; Away From Her, adapted from Alice Munro's short story "The Bear Came over the Mountain", which debuted at the 2007 Sundance Film Festival; The Namesake (2007), similarly based on Jhumpa Lahiri's novel, which originated as a short story in the magazine; The Bridge (2006), based on Tad Friend's 2003 non-fiction piece "Jumpers"; Brokeback Mountain (2005), an adaptation of the short story by Annie Proulx that first appeared in the October 13, 1997, issue of The New Yorker; Jonathan Safran Foer's 2001 debut in The New Yorker, which later came to theaters in Liev Schreiber's debut as both screenwriter and director, Everything Is Illuminated (2005); Michael Cunningham's The Hours, which appeared in the pages of The New Yorker before becoming the film that garnered the 2002 Best Actress Academy Award for Nicole Kidman; Adaptation (2002), which Charlie Kaufman based on Susan Orlean's The Orchid Thief, written for The New Yorker; Frank McCourt's Angela's Ashes (1999), which also appeared, in part, in The New Yorker before its film adaptation was released in 1999; The Addams Family (1991) and its sequel, Addams Family Values (1993), both inspired by the work of New Yorker cartoonist Charles Addams; Brian De Palma's Casualties of War (1989), which began as a New Yorker article by Daniel Lang; Boys Don't Cry (1999), starring Hilary Swank, began as an article in the magazine, and Iris (2001), about the life of Iris Murdoch and John Bayley, the article written by John Bayley for The New Yorker, before he completed his full memoir, the film starring Judi Dench and Jim Broadbent; The Swimmer (1968), starring Burt Lancaster, based on a John Cheever short story from The New Yorker; In Cold Blood (1967), the widely nominated adaptation of the 1965 non-fiction serial written for The New Yorker by Truman Capote; Pal Joey (1957), based on a series of stories by John O'Hara; Mister 880 (1950), starring Edmund Gwenn, based on a story by longtime editor St. Clair McKelway; The Secret Life of Walter Mitty (1947), which began as a story by longtime New Yorker contributor James Thurber; and Junior Miss (1941) and Meet Me in St. Louis (1944), both adapted from Sally Benson's short stories. The history of The New Yorker has also been portrayed in film: In Mrs. Parker and the Vicious Circle, a film about the Algonquin Round Table starring Jennifer
the magazine in 2017. The New Yorkers stable of cartoonists has included many important talents in American humor, including Charles Addams, Peter Arno, Charles Barsotti, George Booth, Roz Chast, Tom Cheney, Sam Cobean, Leo Cullum, Richard Decker, Pia Guerra, J. B. Handelsman, Helen E. Hokinson, Ed Koren, Burr Shafer, Reginald Marsh, Mary Petty, George Price, Charles Saxon, David Snell, Otto Soglow, Saul Steinberg, William Steig, James Stevenson, Richard Taylor, James Thurber, Pete Holmes, Barney Tobey, and Gahan Wilson. Many early New Yorker cartoonists did not caption their own cartoons. In his book The Years with Ross, Thurber describes the newspaper's weekly art meeting, where cartoons submitted over the previous week would be brought up from the mail room to be gone over by Ross, the editorial department, and a number of staff writers. Cartoons often would be rejected or sent back to artists with requested amendments, while others would be accepted and captions written for them. Some artists hired their own writers; Helen Hokinson hired James Reid Parker in 1931. (Brendan Gill relates in his book Here at The New Yorker that at one point in the early 1940s, the quality of the artwork submitted to the magazine seemed to improve. It later was found out that the office boy (a teen-aged Truman Capote) had been acting as a volunteer art editor, dropping pieces he didn't like down the far edge of his desk.) Several of the magazine's cartoons have climbed to a higher plateau of fame. One 1928 cartoon drawn by Carl Rose and captioned by E. B. White shows a mother telling her daughter, "It's broccoli, dear." The daughter responds, "I say it's spinach and I say the hell with it." The phrase "I say it's spinach" entered the vernacular (and three years later, the Broadway musical Face the Music included Irving Berlin's musical number entitled "I Say It's Spinach (And the Hell with It)"). The catchphrase "back to the drawing board" originated with the 1941 Peter Arno cartoon showing an engineer walking away from a crashed plane, saying, "Well, back to the old drawing board." The most reprinted is Peter Steiner's 1993 drawing of two dogs at a computer, with one saying, "On the Internet, nobody knows you're a dog". According to Mankoff, Steiner and the magazine have split more than $100,000 in fees paid for the licensing and reprinting of this single cartoon, with more than half going to Steiner. Over seven decades, many hardcover compilations of cartoons from The New Yorker have been published, and in 2004, Mankoff edited The Complete Cartoons of The New Yorker, a 656-page collection with 2004 of the magazine's best cartoons published during 80 years, plus a double CD set with all 68,647 cartoons ever published in the magazine. This features a search function allowing readers to search for cartoons by a cartoonist's name or by year of publication. The newer group of cartoonists in recent years includes Pat Byrnes, Frank Cotham, Michael Crawford, Joe Dator, Drew Dernavich, J. C. Duffy, Carolita Johnson, Zachary Kanin, Farley Katz, Robert Leighton, Glen Le Lievre, Michael Maslin, Ariel Molvig, Paul Noth, Barbara Smaller, David Sipress, Mick Stevens, Julia Suits, Christopher Weyant, P. C. Vey, and Jack Ziegler. Will McPhail cited his beginnings are "just ripping off Calvin and Hobbes, Bill Watterson, and doing little dot eyes." The notion that some New Yorker cartoons have punchlines so non sequitur that they are impossible to understand became a subplot in the Seinfeld episode "The Cartoon", as well as a playful jab in an episode of The Simpsons, "The Sweetest Apu". In April 2005, the magazine began using the last page of each issue for "The New Yorker Cartoon Caption Contest". Captionless cartoons by The New Yorkers regular cartoonists are printed each week. Captions are submitted by readers, and three are chosen as finalists. Readers then vote on the winner. Anyone age thirteen or older can enter or vote. Each contest winner receives a print of the cartoon (with the winning caption), signed by the artist who drew the cartoon. Crosswords and puzzles The New Yorker launched a crossword puzzle series in April 2018 with a weekday crossword published every Monday. Subsequently, it launched a second, weekend crossword that appears on Fridays and relaunched cryptic puzzles that were run in the magazine in the late 1990s. The puzzles are written by a rotating stable of seven constructors. The crosswords integrate cartoons into the puzzle playing experience. The Christmas 2019 issue featured a crossword puzzle by Patrick Berry that had cartoons as clues, and the answers were captions for the cartoons. In December 2019, Liz Maynes-Aminzade was named the first puzzles and games editor of The New Yorker. Films The New Yorker has been the source for motion pictures. Both fiction and non-fiction pieces have been adapted for the big screen, including Flash of Genius (2008), based on a true account of the invention of the intermittent windshield wiper by John Seabrook; Away From Her, adapted from Alice Munro's short story "The Bear Came over the Mountain", which debuted at the 2007 Sundance Film Festival; The Namesake (2007), similarly based on Jhumpa Lahiri's novel, which originated as a short story in the magazine; The Bridge (2006), based on Tad Friend's 2003 non-fiction piece "Jumpers"; Brokeback Mountain (2005), an adaptation of the short story by Annie Proulx that first appeared in the October 13, 1997, issue of The New Yorker; Jonathan Safran Foer's 2001 debut in The New Yorker, which later came to theaters in Liev Schreiber's debut as both screenwriter and director, Everything Is Illuminated (2005); Michael Cunningham's The Hours, which appeared in the pages of The New Yorker before becoming the film that garnered the 2002 Best Actress Academy Award for Nicole Kidman; Adaptation (2002), which Charlie Kaufman based on Susan Orlean's The Orchid Thief, written for The New Yorker; Frank McCourt's Angela's Ashes (1999), which also appeared, in part, in The New Yorker before its film adaptation was released in 1999; The Addams Family (1991) and its sequel, Addams Family Values (1993), both inspired by the work of New Yorker cartoonist Charles Addams; Brian De Palma's Casualties of War (1989), which began as a New Yorker article by Daniel Lang; Boys Don't Cry (1999), starring Hilary Swank, began as an article in the magazine, and Iris (2001), about the life of Iris Murdoch and John Bayley, the article written by John Bayley for The New Yorker, before he completed his full memoir, the film starring Judi Dench and Jim Broadbent; The Swimmer (1968), starring Burt Lancaster, based on a John Cheever short story from The New Yorker; In Cold Blood (1967), the widely nominated adaptation of the 1965 non-fiction serial written for The New Yorker by Truman Capote; Pal Joey (1957), based on a series of stories by John O'Hara; Mister 880 (1950), starring Edmund Gwenn, based on a story by longtime editor St. Clair McKelway; The Secret Life of Walter Mitty (1947), which began as a story by longtime New Yorker contributor James Thurber; and Junior Miss (1941) and Meet Me in St. Louis (1944), both adapted from Sally Benson's short stories. The history of The New Yorker has also been portrayed in film: In Mrs. Parker and the Vicious Circle, a film about the Algonquin Round Table starring Jennifer Jason Leigh as Dorothy Parker, Sam Robards portrays founding editor Harold Ross trying to drum up support for his fledgling publication. The magazine's former editor, William Shawn, is portrayed in Capote (2005), Infamous (2006) and Hannah Arendt (2012). The 2015 documentary Very Semi-Serious, produced by Redora Films, presents a behind-the-scenes look at the cartoons of The New Yorker. Style The New Yorkers signature display typeface, used for its nameplate and headlines and the masthead above The Talk of the Town section, is Irvin, named after its creator, the designer-illustrator Rea Irvin. The body text of all articles in The New Yorker is set in Adobe Caslon. One uncommonly formal feature of the magazine's in-house style is the placement of diaeresis marks in words with repeating vowels—such as reëlected, preëminent, and coöperate—in which the two vowel letters indicate separate vowel sounds. The magazine also continues to use a few spellings that are otherwise little used in American English, such as fuelled, focussed, venders, teen-ager, traveller, marvellous, carrousel, and cannister. The magazine also spells out the names of numerical amounts, such as "two million three hundred thousand dollars" instead of "$2.3 million", even for very large figures. Readership Despite its title, The New Yorker is read nationwide, with 53 percent of its circulation in the top 10 U.S. metropolitan areas. According to Mediamark Research Inc., the average age of The New Yorker reader in 2009 was 47 (compared to 43 in 1980 and 46 in 1990). The average household income of The New Yorker readers in 2009 was $109,877 (the average income in 1980 was $62,788 and the average income in 1990 was $70,233). According to Pew Research, 77 percent of The New Yorker's audience hold left-of-center political values, while 52 percent of those readers hold "consistently liberal" political values. Eustace Tilley The magazine's first cover illustration, a dandy peering at a butterfly through a monocle, was drawn by Rea Irvin, the magazine's first art editor, based on an 1834 caricature of the then Count d'Orsay which appeared as an illustration in the 11th edition of the Encyclopædia Britannica. The gentleman on the original cover, now referred to as "Eustace Tilley", is a character created by Corey Ford (1902–1969) for The New Yorker. The hero of a series entitled "The Making of a Magazine", which began on the inside front cover of the August 8 issue that first summer, Tilley was a younger man than the figure on the original cover. His top hat was of a newer style, without the curved brim. He wore a morning coat and striped formal trousers. Ford borrowed Eustace Tilley's last name from an aunt—he had always found it vaguely humorous. "Eustace" was selected by Ford for euphony. The character has become a kind of mascot for The New Yorker, frequently appearing in its pages and on promotional materials. Traditionally, Rea Irvin's original Tilley cover illustration is used every year on the issue closest to the anniversary date of February 21, though on several occasions a newly drawn variation has been substituted. Covers The magazine is known for its illustrated and often topical covers. "View of the World" cover Saul Steinberg created 85 covers and 642 internal drawings and illustrations for the magazine. His most famous work is probably its March 29, 1976, cover, an illustration most often referred to as "View of the World from 9th Avenue", sometimes referred to as "A Parochial New Yorker's View of the World" or "A New Yorker's View of the World", which depicts a map of the world as seen by self-absorbed New Yorkers. The illustration is split in two, with the bottom half of the image showing Manhattan's 9th Avenue, 10th Avenue, and the Hudson River (appropriately labeled), and the top half depicting the rest of the world. The rest of the United States is the size of the three New York City blocks and is drawn as a square, with a thin brown strip along the Hudson representing "Jersey", the names of five cities (Los Angeles; Washington, D.C.; Las Vegas; Kansas City; and Chicago) and three states (Texas, Utah, and Nebraska) scattered among a few rocks for the United States beyond New Jersey. The Pacific Ocean, perhaps half again as wide as the Hudson, separates the United States from three flattened land masses labeled China, Japan and Russia. The illustration—humorously depicting New Yorkers' self-image of their place in the world, or perhaps outsiders' view of New Yorkers' self-image—inspired many similar works, including the poster for the 1984 film Moscow on the Hudson; that movie poster led to a lawsuit, Steinberg v. Columbia Pictures Industries, Inc., 663 F. Supp. 706 (S.D.N.Y. 1987), which held that Columbia Pictures violated the copyright that Steinberg held on his work. The cover was later satirized by Barry Blitt for the cover of The New Yorker on October 6, 2008. The cover featured Sarah Palin looking out of her window seeing only Alaska, with Russia in the far background. The March 21, 2009, cover of The Economist, "How China sees the World", is also an homage to the original image, depicting the viewpoint from Beijing's Chang'an Avenue instead of Manhattan. 9/11 Hired by Tina Brown in 1992, Art Spiegelman worked for The New Yorker for ten years but resigned a few months after the September 11 terrorist attacks. The cover created by Françoise Mouly and Spiegelman for the September 24, 2001, issue of The New Yorker received wide acclaim and was voted as being among the top ten magazine covers of the past 40 years by the American Society of Magazine Editors, which commented: At first glance, the cover appears to be totally black, but upon close examination it reveals the silhouettes of the World Trade Center towers in a slightly darker shade of black. In some situations, the ghost images become visible only when the magazine is tilted toward a light source. In September 2004, Spiegelman reprised the image on the cover of his book In the Shadow of No Towers, in which he relates his experience of the Twin Towers attack and the psychological after-effects. "New Yorkistan" In the December 2001 issue, the magazine printed a cover by Maira Kalman and Rick Meyerowitz showing a map of New York in which various neighborhoods were labeled with humorous names reminiscent of Middle Eastern and Central Asian place names and referencing the neighborhood's real name or characteristics (e.g., "Fuhgeddabouditstan", "Botoxia"). The cover had some cultural resonance in the wake of September 11, and became a popular print and poster. Controversial covers Crown Heights in 1993 For the 1993 Valentine's Day issue, the magazine cover by Art Spiegelman depicted a black woman and a Hasidic Jewish man kissing, referencing the Crown Heights riot of 1991. The cover was criticized by both black and Jewish observers. Jack Salzman and Cornel West describe the reaction to the cover as the magazine's "first national controversy". 2008 Obama cover satire and controversy "The Politics of Fear", a cartoon by Barry Blitt featured on the cover of the July 21, 2008, issue, depicts then presumptive Democratic presidential nominee Barack Obama in the turban and shalwar kameez typical of many Muslims, fist bumping with his wife, Michelle, portrayed with an Afro and wearing camouflage trousers with an assault rifle slung over her back. They are standing in the Oval Office, with a portrait of Osama Bin Laden hanging on the wall and an American flag burning in the fireplace in the background. Many New Yorker readers saw the image as a lampoon of "The Politics of Fear", as was its title. Some of Obama's supporters as well
Latin. In 1958, White completed the fourth book of The Once and Future King, The Candle in the Wind, which was first published with the other three parts and has never been published separately. White lived to see his Arthurian work adapted as the Broadway musical Camelot (1960) and the animated film The Sword in the Stone (1963). Death White died of heart failure on 17 January 1964 aboard ship in Piraeus, Athens, Greece, en route to Alderney from a lecture tour in the United States. He is buried in the First Cemetery of Athens. The Book of Merlyn was published posthumously in 1977 as a conclusion to The Once and Future King. His papers are held by the University of Texas at Austin. Personal life According to Sylvia Townsend Warner's 1967 biography, White was "a homosexual and a sado-masochist." He came close to marrying several times but had no enduring romantic relationships. In his diaries of Zed, a young boy, he wrote: "I have fallen in love with Zed ... the whole situation is an impossible one. All I can do is behave like a gentleman. It has been my hideous fate to be born with an infinite capacity for love and joy with no hope of using them." British broadcaster Robert Robinson published an account of a conversation with White in which White claimed to be attracted to small girls. Robinson concluded that this was really a cover for homosexuality. Julie Andrews wrote in her autobiography, "I believe Tim may have been an unfulfilled homosexual, and he suffered a lot because of it." However, White's long-time friend and literary agent David Higham wrote, "Tim was no homosexual, though I think at one time he had feared he was (and in his ethos fear would have been the word)." Higham gave Sylvia Townsend Warner the address of one of White's lovers "so that she could get in touch with someone so important in Tim's story. But she never, the girl told me, took that step. So she was able to present Tim in such a light that a reviewer could call him a raging homosexual. Perhaps a heterosexual affair would have made her blush." Lin Carter portrays White in Imaginary Worlds as a man who felt deeply but was unable to form close human relationships because of his unfortunate childhood. "He was a man with an enormous capacity for loving. It shows in his prodigious correspondence and in his affection for dogs, and in the bewildered and inarticulate loves his characters experience in his books; but he had few close friends, and no genuine relationship with a woman." White was agnostic and a heavy drinker towards the end of his life. Warner wrote of him, "Notably free from fearing God, he was basically afraid of the human race." Influence Fantasy writer Michael Moorcock enjoyed White's The Once and Future King, and was especially influenced by the underpinnings of realism in his work. Moorcock eventually engaged in a "wonderful correspondence" with White, and later recalled that White gave him "some very good advice on how to write". J. K. Rowling has said that White's writing strongly influenced the Harry Potter books; several critics have compared Rowling's character Albus Dumbledore to White's absent-minded Merlyn, and Rowling herself has described White's Wart as "Harry's spiritual ancestor." Author Neil Gaiman was asked about the similarities between Harry Potter and Gaiman's character Timothy Hunter, and he stated that he did not think Rowling had based her character on Hunter. "I said to [the reporter] that I thought we were both just stealing from T. H. White: very straightforward." Gregory Maguire was influenced by "White's ability to be intellectually broadminded, to be comic, to be poetic, and to be fantastic" in the writing of his 1995 novel Wicked, and crime fiction writer Ed McBain also cited White as an influence. White features extensively in Helen Macdonald's H
reactions which could be forecast. ... Anyway, I somehow started writing a book." The novel, which White described as "a preface to Malory", was titled The Sword in the Stone and published in 1938, telling the story of the boyhood of King Arthur. White was also influenced by Freudian psychology and his own lifelong involvement in natural history. The Sword in the Stone was critically well-received and was a Book of the Month Club selection in 1939. In February 1939, White moved to Doolistown in County Meath, Ireland, where he lived out the Second World War as a de facto conscientious objector. In Ireland, he wrote most of what became The Once and Future King: The Witch in the Wood (later cut and rewritten as The Queen of Air and Darkness) in 1939, and The Ill-Made Knight in 1940. The version of The Sword in the Stone included in The Once and Future King differs from the earlier version; it is darker, and some critics prefer the earlier version. Later life In 1946, White settled in Alderney, the third-largest Channel Island, where he lived for the rest of his life. The same year, he published Mistress Masham's Repose, a children's book in which a young girl discovers a group of Lilliputians (the tiny people in Jonathan Swift's Gulliver's Travels) living near her house. Mistress Masham's Repose was influenced by John Masefield's book The Midnight Folk. In 1947, he published The Elephant and the Kangaroo, a novel in which a repetition of Noah's Flood occurs in Ireland. In the early 1950s, he published two non-fiction books. The Age of Scandal (1950) is a collection of essays about 18th-century England. The Goshawk (1951) is an account of White's attempt to train a northern goshawk using traditional rather than modern falconry techniques. He wrote it at his cottage in the mid-1930s, but he did not publish it until his agent David Garnett discovered it and insisted that it be published. In 1954, White translated and edited The Book of Beasts, an English translation of a medieval bestiary written in Latin. In 1958, White completed the fourth book of The Once and Future King, The Candle in the Wind, which was first published with the other three parts and has never been published separately. White lived to see his Arthurian work adapted as the Broadway musical Camelot (1960) and the animated film The Sword in the Stone (1963). Death White died of heart failure on 17 January 1964 aboard ship in Piraeus, Athens, Greece, en route to Alderney from a lecture tour in the United States. He is buried in the First Cemetery of Athens. The Book of Merlyn was published posthumously in 1977 as a conclusion to The Once and Future King. His papers are held by the University of Texas at Austin. Personal life According to Sylvia Townsend Warner's 1967 biography, White was "a homosexual and a sado-masochist." He came close to marrying several times but had no enduring romantic relationships. In his diaries
Sir John Killigrew by his own expense: It was built at the cost of "20 nobles a year" for 30 years, but it caused an uproar over the following years, as King James I considered charging vessels to pass. This caused so many problems that the lighthouse was demolished, but was successfully rebuilt in 1751 by order of Thomas Fonnereau and remains almost unchanged today. Further east lie The Manacles, near Porthoustock: of jagged rocks just beneath the waves. In 1721 the Royal Anne Galley, an oared frigate, was wrecked at Lizard Point. Of a crew of 185 only three survived; lost was Lord Belhaven who was en route to take up the Governorship of Barbados. A 44-gun frigate, , was wrecked at Loe Bar in 1807. Although it wrecked close to shore, many lost their lives in the storm. This inspired Henry Trengrouse to invent the rocket-fired line, later to become the Breeches buoy. The transport ship Dispatch ran aground on the Manacles in 1809 on its return from the Peninsular War, losing 104 men from the 7th Hussars. The following day, with local villagers still attempting a rescue, the hit the northern end of these rocks. The only survivor of its 126 officers, men and boys was a drummer boy. 5 Sept 1856 the Cherubim and Ocean Home collided off Lizard Point The , a passenger liner, also hit the Manacles in 1898 with the loss of 106 lives. The American passenger liner Paris was stranded on the Manacles in 1899, with no loss of life. The biggest rescue in the RNLI's history was 17 March 1907 when the 12,000-tonne liner hit the Maenheere Reef near Lizard Point in Cornwall. In a strong gale and dense fog RNLI lifeboat volunteers rescued 456 passengers, including 70 babies. Crews from the Lizard, Cadgwith, Coverack and Porthleven rowed out repeatedly for 16 hours to rescue all of the people on board. Six silver RNLI medals were later awarded, two to Suevic crew members. The Battle at the Lizard, a naval battle, took place off The Lizard on 21 October 1707. Smuggling was a regular, and often necessary, way of life in these parts, despite the efforts of coastguards or "Preventive men". In 1801, the king's pardon was offered to any smuggler giving information on the Mullion musket men involved in a gunfight with the crew of HM Gun Vessel Hecate. Avionic In the First World War a Naval Air Station was established at Bonython, flying mainly blimps used for spotting U-boats. One was sunk and several probably damaged by bombs dropped by the blimps. The airfield site is now occupied by the wind farm. RAF Predannack Down (see Predannack Airfield) was a Second World War airbase, from which Coastal Command squadrons flew anti-submarine sorties into the Bay of Biscay as well as convoy support in the western English Channel. The runways still exist and the site is used by a local Air Cadet Volunteergliding Squadron 626VGS and as an emergency/relief base for RNAS Culdrose (HMS Seahawk). RNAS Culdrose is Europe's largest helicopter base, and currently hosts the Training and Operational Conversion Unit operating the EH101 "Merlin" helicopter. It is also the home base for Merlin Squadrons embarked upon Royal Navy warships, the Westland Sea King airborne early warning (AEW) variant helicopter, a Search And Rescue (Sea King, again) helicopter flight, and some BAe Hawk T.1 trainer jets used for training purposes by the Royal Navy. The base also operates some other types of fixed wing aircraft for calibration and other training purposes. As befits the base's name, a non-flying example of a Hawker Sea Hawk forms the main gate guardian static display. RNAS Culdrose is a major contributor to the economy of The Lizard area. Political The Lizard peninsula is in the St Ives parliamentary constituency (which comprises the whole of the former district of Penwith and the southern part of the former district of Kerrier). However, the parishes northeast of the Helford River are in Camborne and Redruth parliamentary constituency To the north, The Lizard peninsula is bordered by the civil parishes of Breage, Porthleven, Sithney, Helston, Wendron, Gweek and — across the Helford River — by Constantine, Kerrier and Mawnan. The parishes on the peninsula proper are (west to east): Northern parishes: Gunwalloe Cury Mawgan-in-Meneage St Martin-in-Meneage Manaccan St Anthony-in-Meneage Southern parishes: Mullion Grade-Ruan St Keverne Landewednack The Lizard's political history includes the 1497 Cornish rebellion which began in St Keverne. The village blacksmith Michael Joseph (Michael An Gof in Cornish, meaning blacksmith) led the uprising, protesting against the punitive taxes levied by Henry VII to pay for the war against the Scots. The uprising was routed on its march to London and the two leaders, Michael Joseph and Thomas Flamank, were subsequently hanged, drawn and quartered. Technological Titanium was discovered here by the Reverend William Gregor in 1791. In 1869, John Pender formed the Falmouth Gibraltar and Malta Telegraph company, intending to connect India to England with an undersea cable. Although intended to land at Falmouth, the final landing point was Porthcurno near Land's End. In 1900 Guglielmo Marconi stayed the Housel Bay Hotel in his quest to locate a coastal radio station to receive signals from ships equipped with his apparatus. He leased a plot "in the wheat field adjoining the hotel" where the Lizard Wireless Telegraph Station still stands today. Recently restored by the National Trust, it looks as it did in January 1901, when Marconi received the distance record signals of from his transmitter station at Niton, Isle of Wight. The Lizard Wireless Station is the oldest Marconi station to survive in its original state, and is located to the west of the Lloyds Signal Station in what appears to be a wooden hut. On 12 December 1901 Poldhu Point was the site of the first trans Atlantic, wireless signal radio communication when Marconi sent a signal to St John's, Newfoundland. The technology is one of the key advances to
to rescue all of the people on board. Six silver RNLI medals were later awarded, two to Suevic crew members. The Battle at the Lizard, a naval battle, took place off The Lizard on 21 October 1707. Smuggling was a regular, and often necessary, way of life in these parts, despite the efforts of coastguards or "Preventive men". In 1801, the king's pardon was offered to any smuggler giving information on the Mullion musket men involved in a gunfight with the crew of HM Gun Vessel Hecate. Avionic In the First World War a Naval Air Station was established at Bonython, flying mainly blimps used for spotting U-boats. One was sunk and several probably damaged by bombs dropped by the blimps. The airfield site is now occupied by the wind farm. RAF Predannack Down (see Predannack Airfield) was a Second World War airbase, from which Coastal Command squadrons flew anti-submarine sorties into the Bay of Biscay as well as convoy support in the western English Channel. The runways still exist and the site is used by a local Air Cadet Volunteergliding Squadron 626VGS and as an emergency/relief base for RNAS Culdrose (HMS Seahawk). RNAS Culdrose is Europe's largest helicopter base, and currently hosts the Training and Operational Conversion Unit operating the EH101 "Merlin" helicopter. It is also the home base for Merlin Squadrons embarked upon Royal Navy warships, the Westland Sea King airborne early warning (AEW) variant helicopter, a Search And Rescue (Sea King, again) helicopter flight, and some BAe Hawk T.1 trainer jets used for training purposes by the Royal Navy. The base also operates some other types of fixed wing aircraft for calibration and other training purposes. As befits the base's name, a non-flying example of a Hawker Sea Hawk forms the main gate guardian static display. RNAS Culdrose is a major contributor to the economy of The Lizard area. Political The Lizard peninsula is in the St Ives parliamentary constituency (which comprises the whole of the former district of Penwith and the southern part of the former district of Kerrier). However, the parishes northeast of the Helford River are in Camborne and Redruth parliamentary constituency To the north, The Lizard peninsula is bordered by the civil parishes of Breage, Porthleven, Sithney, Helston, Wendron, Gweek and — across the Helford River — by Constantine, Kerrier and Mawnan. The parishes on the peninsula proper are (west to east): Northern parishes: Gunwalloe Cury Mawgan-in-Meneage St Martin-in-Meneage Manaccan St Anthony-in-Meneage Southern parishes: Mullion Grade-Ruan St Keverne Landewednack The Lizard's political history includes the 1497 Cornish rebellion which began in St Keverne. The village blacksmith Michael Joseph (Michael An Gof in Cornish, meaning blacksmith) led the uprising, protesting against the punitive taxes levied by Henry VII to pay for the war against the Scots. The uprising was routed on its march to London and the two leaders, Michael Joseph and Thomas Flamank, were subsequently hanged, drawn and quartered. Technological Titanium was discovered here by the Reverend William Gregor in 1791. In 1869, John Pender formed the Falmouth Gibraltar and Malta Telegraph company, intending to connect India to England with an undersea cable. Although intended to land at Falmouth, the final landing point was Porthcurno near Land's End. In 1900 Guglielmo Marconi stayed the Housel Bay Hotel in his quest to locate a coastal radio station to receive signals from ships equipped with his apparatus. He leased a plot "in the wheat field adjoining the hotel" where the Lizard Wireless Telegraph Station still stands today. Recently restored by the National Trust, it looks as it did in January 1901, when Marconi received the distance record signals of from his transmitter station at Niton, Isle of Wight. The Lizard Wireless Station is the oldest Marconi station to survive in its original state, and is located to the west of the Lloyds Signal Station in what appears to be a wooden hut. On 12 December 1901 Poldhu Point was the site of the first trans Atlantic, wireless signal radio communication when Marconi sent a signal to St John's, Newfoundland. The technology is one of the key advances to the development of radio, television, satellites and the internet. A radar station called RAF Dry Tree was built during World War II. The site was later chosen for the Telstar project in 1962; its rocky foundations, clear atmosphere and extreme southerly location being uniquely suitable. This became the Goonhilly satellite earth station, now owned by Goonhilly Earth Station Ltd. Some important developments in television satellite transmission were made at Goonhilly station. A wind farm exists near to the Goonhilly station site. Geology Known as the Lizard Complex, the peninsula's geology is the best preserved example of an exposed ophiolite in the United Kingdom. An ophiolite is a suite of geological formations which represent a slice through a section of ocean crust (including the upper level of the mantle) thrust onto the continental crust. The Lizard formations comprise three main units; the serpentinites, the "oceanic complex" and the metamorphic basement. The serpentinite contains significant samples of the serpentine polymorph lizardite, which were named after the Lizard complex in 1955. Ecology Several nature sites exist on the Lizard Peninsula; Predannack nature reserve, Mullion Island, Goonhilly Downs, and the Cornish Seal Sanctuary at Gweek. An area of the Lizard covering is designated a national nature reserve because of its coastal grasslands and heaths and inland heaths. The peninsula contains 3 main Sites of Special Scientific Interest (SSSI), both noted for their endangered insects and plants, as well as their geology. The first is East Lizard Heathlands SSSI, the second is Caerthillian to Kennack SSSI and the third is West Lizard SSSI, of which the important wetland, Hayle Kimbro Pool, forms a part of. The area is also home to one of England's rarest breeding birds — the Cornish chough.
East Huckleberry Finn (1975 film), a TV movie with Ron Howard Huckleberry Finn, an opera by Hall Overton Huckleberry Finn (EP), by Duke Special See also Adventures of Huckleberry Finn (disambiguation) Huckleberry Finn and His Friends (1979
Finn (1975 film), a TV movie with Ron Howard Huckleberry Finn, an opera by Hall Overton Huckleberry Finn (EP), by Duke Special See also Adventures of Huckleberry Finn (disambiguation) Huckleberry Finn and His Friends (1979 TV
local woman and the youngest hero, and the nervousness of the common citizenry, had appeared in other films before this but were combined in this film. Set design Kurosawa refused to shoot the peasant village at Toho Studios and had a complete set constructed at Tagata on the Izu Peninsula, Shizuoka. Although the studio protested the increased production costs, Kurosawa was adamant that "the quality of the set influences the quality of the actors' performances... For this reason, I have the sets made exactly like the real thing. It restricts the shooting but encourages that feeling of authenticity." He also spoke of 'intense labour' of making the film: "It rained all the time, we didn't have enough horses. It was just the kind of picture that is impossible to make in this country." Filming Long before it was released, the film had already become a topic of wide discussion. After three months of pre-production it had 148 shooting days spread out over a year—four times the span covered in the original budget, which eventually came to almost half a million dollars. Toho Studios closed down production at least twice. Each time, Kurosawa calmly went fishing, reasoning that the studio had already heavily invested in the production and would allow him to complete the picture. The film's final battle scene, originally scheduled to be shot at the end of summer, was shot in February in near-freezing temperatures. Mifune later recalled that he had never been so cold in his life. Through the creative freedom provided by the studio, Kurosawa made use of telephoto lenses, which were rare in 1954, as well as multiple cameras which allowed the action to fill the screen and place the audience right in the middle of it. "If I had filmed it in the traditional shot-by-shot method, there was no guarantee that any action could be repeated in exactly the same way twice." He found it to be very effective and he later used it in movies that were less action-oriented. His method was to put one camera in the most orthodox shooting position, another camera for quick shots and a third camera "as a kind of guerrilla unit". This method made for very complicated shoots, for which Kurosawa choreographed the movement of all three cameras by using diagrams. The martial arts choreography for the film was led by Yoshio Sugino of the Tenshin Shōden Katori Shintō-ryū. Initially Junzo Sasamori of the Ono-ha Itto-ryu was working along with Sugino, but he was asked by the Ministry of Education to teach in Europe during production. Editing During filming Kurosawa quickly earned a reputation with his crew as the "world's greatest editor" because of his practice of editing late at night throughout the shooting. He described this as a practical necessity that is incomprehensible to most directors, who on major production spent at least several months with their editors assembling and cutting the film after shooting is completed. Soundtrack Kurosawa had a heightened interest in the soundtracks of his films. For The Seven Samurai, he collaborated for the seventh and penultimate time with friend and composer Fumio Hayasaka. Hayasaka was already seriously ill when Kurosawa visited him during the filming of the Seven Samurai and he died prematurely of tuberculosis on October 15, 1955, at the age of 41, while Kurosawa was filming I Live in Fear, Kurosawa's next film, which Hayasaka was unable to complete. Themes In analyzing the film's accuracy to sixteenth century Japan, Philip Kemp wrote, "to the farmers whose crops were pillaged, houses burned, womenfolk raped or abducted, the distinction between samurai warriors and bandit troupes became all but meaningless." Kemp notes how Kikuchiyo is "A farmer’s son who wants to become a samurai, he can see both sides: yes, he rages, the farmers are cowardly, mean, treacherous, quite capable of robbing and killing a wounded samurai—but it’s the samurai, with their looting and brutality, who have made the farmers that way. And the shamefaced reaction of his comrades makes it clear that they can’t dispute the charge." Kenneth Turan notes that the long runtime "reflects the entirety of the agricultural year, from planting to gorgeous blossoming to harvesting." Release At 207 minutes, including a five-minute intermission with music, Seven Samurai would be the longest picture of Kurosawa's career. Fearing that American audiences would be unwilling to sit through the entire picture, Toho Studios originally removed 50 minutes from the film for U.S. distribution. Similar edits were distributed around the world until the 1990s; since then the complete version is usually seen. Home media Prior to the advent of DVD, various edited versions were distributed on video, but most DVDs and Blu-rays contain Kurosawa's complete original version, including its five-minute intermission. Since 2006, the Criterion Collection's US releases have featured their own exclusive 2K restoration, whereas most others, including all non-US Blu-rays, have an older HD transfer from Toho in Japan. 4K restoration In 2016, Toho carried out a six-month-long 4K restoration, along with Kurosawa's Ikiru (1952). As the whereabouts of Seven Samurais original negative is unknown, second generation fine grain positive and third generation duplicate negative elements were used. As of 2020, this version has not been released anywhere on home video. It is available as a Digital Cinema Package from the British Film Institute. Reception Box office Seven Samurai was well received by Japanese audiences, earning a distribution rental income of , within the first twelve months of its release. It was Japan's third highest-grossing film of 1954, exceeding the ticket sales of Godzilla the same year. Japanese ticket sales are equivalent to gross receipts of at an average 1955 ticket price, or equivalent to an inflation-adjusted at an average 2014 Japanese ticket price. Overseas, the box office income for the film's 1956 North American release is currently unknown. The film's 2002 re-release grossed $271,841 in the United States and $4,124 in France. At the 2002 Kurosawa & Mifune Festival in the United States, the film grossed $561,692. This adds up to at least $833,533 grossed in the United States. Other European re-releases between 1997 and 2018 sold 27,627 tickets. Home media As of 2017, Seven Samurai is the best-selling home video title ever released by the British Film Institute. Critical response On the review aggregator website Rotten Tomatoes, the film holds a perfect approval rating of 100% based on 86 reviews, with an average rating of 9.60/10. The site's critical consensus reads: "Arguably Akira Kurosawa's masterpiece, The Seven Samurai is an epic adventure classic with an engrossing story, memorable characters, and stunning action sequences that make it one of the most influential films ever made". It currently ranks 18th on their action/adventure voting list, and third on their top 100 art house and international films. Many critics outside of Japan compared the film to westerns. Bosley Crowther, writing for The New York Times, said the film "bears
which eventually came to almost half a million dollars. Toho Studios closed down production at least twice. Each time, Kurosawa calmly went fishing, reasoning that the studio had already heavily invested in the production and would allow him to complete the picture. The film's final battle scene, originally scheduled to be shot at the end of summer, was shot in February in near-freezing temperatures. Mifune later recalled that he had never been so cold in his life. Through the creative freedom provided by the studio, Kurosawa made use of telephoto lenses, which were rare in 1954, as well as multiple cameras which allowed the action to fill the screen and place the audience right in the middle of it. "If I had filmed it in the traditional shot-by-shot method, there was no guarantee that any action could be repeated in exactly the same way twice." He found it to be very effective and he later used it in movies that were less action-oriented. His method was to put one camera in the most orthodox shooting position, another camera for quick shots and a third camera "as a kind of guerrilla unit". This method made for very complicated shoots, for which Kurosawa choreographed the movement of all three cameras by using diagrams. The martial arts choreography for the film was led by Yoshio Sugino of the Tenshin Shōden Katori Shintō-ryū. Initially Junzo Sasamori of the Ono-ha Itto-ryu was working along with Sugino, but he was asked by the Ministry of Education to teach in Europe during production. Editing During filming Kurosawa quickly earned a reputation with his crew as the "world's greatest editor" because of his practice of editing late at night throughout the shooting. He described this as a practical necessity that is incomprehensible to most directors, who on major production spent at least several months with their editors assembling and cutting the film after shooting is completed. Soundtrack Kurosawa had a heightened interest in the soundtracks of his films. For The Seven Samurai, he collaborated for the seventh and penultimate time with friend and composer Fumio Hayasaka. Hayasaka was already seriously ill when Kurosawa visited him during the filming of the Seven Samurai and he died prematurely of tuberculosis on October 15, 1955, at the age of 41, while Kurosawa was filming I Live in Fear, Kurosawa's next film, which Hayasaka was unable to complete. Themes In analyzing the film's accuracy to sixteenth century Japan, Philip Kemp wrote, "to the farmers whose crops were pillaged, houses burned, womenfolk raped or abducted, the distinction between samurai warriors and bandit troupes became all but meaningless." Kemp notes how Kikuchiyo is "A farmer’s son who wants to become a samurai, he can see both sides: yes, he rages, the farmers are cowardly, mean, treacherous, quite capable of robbing and killing a wounded samurai—but it’s the samurai, with their looting and brutality, who have made the farmers that way. And the shamefaced reaction of his comrades makes it clear that they can’t dispute the charge." Kenneth Turan notes that the long runtime "reflects the entirety of the agricultural year, from planting to gorgeous blossoming to harvesting." Release At 207 minutes, including a five-minute intermission with music, Seven Samurai would be the longest picture of Kurosawa's career. Fearing that American audiences would be unwilling to sit through the entire picture, Toho Studios originally removed 50 minutes from the film for U.S. distribution. Similar edits were distributed around the world until the 1990s; since then the complete version is usually seen. Home media Prior to the advent of DVD, various edited versions were distributed on video, but most DVDs and Blu-rays contain Kurosawa's complete original version, including its five-minute intermission. Since 2006, the Criterion Collection's US releases have featured their own exclusive 2K restoration, whereas most others, including all non-US Blu-rays, have an older HD transfer from Toho in Japan. 4K restoration In 2016, Toho carried out a six-month-long 4K restoration, along with Kurosawa's Ikiru (1952). As the whereabouts of Seven Samurais original negative is unknown, second generation fine grain positive and third generation duplicate negative elements were used. As of 2020, this version has not been released anywhere on home video. It is available as a Digital Cinema Package from the British Film Institute. Reception Box office Seven Samurai was well received by Japanese audiences, earning a distribution rental income of , within the first twelve months of its release. It was Japan's third highest-grossing film of 1954, exceeding the ticket sales of Godzilla the same year. Japanese ticket sales are equivalent to gross receipts of at an average 1955 ticket price, or equivalent to an inflation-adjusted at an average 2014 Japanese ticket price. Overseas, the box office income for the film's 1956 North American release is currently unknown. The film's 2002 re-release grossed $271,841 in the United States and $4,124 in France. At the 2002 Kurosawa & Mifune Festival in the United States, the film grossed $561,692. This adds up to at least $833,533 grossed in the United States. Other European re-releases between 1997 and 2018 sold 27,627 tickets. Home media As of 2017, Seven Samurai is the best-selling home video title ever released by the British Film Institute. Critical response On the review aggregator website Rotten Tomatoes, the film holds a perfect approval rating of 100% based on 86 reviews, with an average rating of 9.60/10. The site's critical consensus reads: "Arguably Akira Kurosawa's masterpiece, The Seven Samurai is an epic adventure classic with an engrossing story, memorable characters, and stunning action sequences that make it one of the most influential films ever made". It currently ranks 18th on their action/adventure voting list, and third on their top 100 art house and international films. Many critics outside of Japan compared the film to westerns. Bosley Crowther, writing for The New York Times, said the film "bears cultural comparison with our own popular western High Noon. That is to say, it is a solid, naturalistic, he-man outdoor action film, wherein the qualities of human strength and weakness are discovered in a crisis taut with peril." In 1982, it was voted number three in the Sight & Sound critics' poll of greatest films. In the 2002 Sight & Sound critics' poll the film was ranked at number eleven. In the Sight & Sound directors' poll, it was voted at number ten in 1992 and number nine in 2002. It also ranked number seventeen on the 2012 Sight & Sound critics' poll, in both cases being tied with Kurosawa's own Rashomon (1950). It also ranked at number seventeen in 2012 Sight & Sound directors' poll. In 1998, the film was ranked at number five in Time Out magazine's Top 100 Films (Centenary). Entertainment Weekly voted it the 12th Greatest film of all time in 1999. In 2000, the film was ranked at No.23 in The Village Voices 100 Greatest Films list. In 2007, the film was ranked at No. 3 by The Guardians readers' poll on its list of "40 greatest foreign films of all time". The film was voted at No. 57 on the list of "100 Greatest Films" by the prominent French magazine Cahiers du cinéma in 2008. In 2009 the film was voted at No. 2 on the list of The Greatest Japanese Films of All Time by Japanese film magazine Kinema Junpo. Seven Samurai was ranked number one on Empire magazine's list of "The 100 Best Films of World Cinema" in 2010. Film critic Roger Ebert added it to his list of Great Movies in 2001. Martin Scorsese included it on a list of "39 Essential
the Rockefeller Foundation to work and study in the United States. Upon arriving in New York City on December 27, he joined the Drosophila Group at Columbia University working alongside Thomas Hunt Morgan and Alfred Sturtevant. Their work provided crucial information on Drosophila cytogenetics. Additionally, Dobzhansky and his team helped establish Drosophila subobscura, within the genus Drosophila, as a favorable model organism in evolutionary-biological studies ever since they published their influential works. Dobzhansky’s original mindset (after studying alongside Yuri Filipchenko), was that there were serious doubts on using data obtained from phenomena happening in local populations (microevolution) and phenomena happening on a global scale (macroevolution). Filipchenko also believed that there were only two types of inheritance: Mendelian inheritance of variation within species, and Non-Mendelian inheritance of variation in a macroevolutionary sense. Dobzhansky later stated that Filipchenko “bet on the wrong horse”. He followed Morgan to the California Institute of Technology from 1930 to 1940. On the basis of his experiments, he articulated the idea that reproductive isolation can be caused by differences in presence of microbial symbionts between populations. In 1937, he published one of the major works of the modern evolutionary synthesis, the synthesis of evolutionary biology with genetics, titled Genetics and the Origin of Species, which amongst other things, defined evolution as "a change in the frequency of an allele within a gene pool". Dobzhansky's work was instrumental in spreading the idea that it is through mutations in genes that natural selection takes place. Also in 1937, he became a naturalized citizen of the United States. During this time, he had a very public falling out with one of his Drosophila collaborators, Alfred Sturtevant, based primarily in professional competition. In 1941, Dobzhansky was awarded the Daniel Giraud Elliot Medal from the National Academy of Sciences. In 1943, the University of Sao Paulo awarded him an honorary doctorate. He returned to Columbia University from 1940 to 1962. He was one of the signatories of the 1950 UNESCO statement The Race Question. He then moved to the Rockefeller Institute (shortly to become Rockefeller University) until his retirement in 1971. In 1972 he was elected the first president of the BGA (Behavior Genetics Association), and was recognized by the society for his role in behavior genetics, and the founding of the society by the creation of the Dobzhansky Award (for a lifetime of outstanding scholarship in behavior genetics). Dobzhansky’s work in the field of evolutionary genetics, with the help of Sewall Wright, integrated standards of the theoretical, natural historical, and experimental work. Dobzhansky was elected a Foreign Member of the Royal Society (ForMemRS) in 1965. In 1970, he published Genetics of the evolutionary process. Dobzhansky was a renowned biologist having been the president of the Genetics Society of America in 1941, president of the American Society of Naturalists in 1950, president of the Society for the Study of Evolution in 1951, president of the American Society of Zoologists in 1963, a member of the Board of Directors of the American Eugenics Society in 1964, and president of the American Teilhard de Chardin Association in 1969. Dobzhansky’s research and studies allowed him to travel the world and receive honorary degrees in Australia, Belgium, Brazil, Canada, Denmark, England, Germany, Italy, Japan, and Sweden. Genetics and the Origin of Species Theodosius Dobzhansky had three editions of his book Genetics and the Origin of Species. Although his book was directed towards people with a background in biology, it was to be simply understood. In regards to the subjects of genetics and evolution, Dobzhansky’s book is widely recognized as one of the most important books ever written. With each revision of Genetics and the Origin of Species, Dobzhansky added new material with respect to crucial, up to date topics, and removed material he deemed to be no longer crucial. His book sparked trends in genetic research and theory. At the time, Dobzhansky first edition of Genetics and the Origin of Species (1937) tried to highlight the most recent discoveries in genetics and how they applied to the concept of evolution. The book starts by addressing the problem of evolution and how modern discoveries in genetics could help find a solution. The main topics covered in the book are on: the chromosomal basis of Mendelian Inheritance, how the effects from changes in chromosomes greater than gene mutations are common and acceptable, and how mutations form racial and specific differences. Dobzhansky explained how three levels could describe the processes of evolutionary population genetics: (1) the origin of raw materials by mutations of genes and chromosomes, (2) the changes in populations by changes in frequencies and combinations of mutations, (3) the fixation of changes by reproductive isolation. To support his writing and research, the bibliography was twenty-eight pages long with around six hundred sources. In Dobzhansky’s second edition of Genetics and the Origin of Species (1941), four years had gone by and he was able to add more research and advancements made in genetics. Around half of the new research he found was added to the last two chapters in his book: Patterns of Evolution, and Species as
acceptable, and how mutations form racial and specific differences. Dobzhansky explained how three levels could describe the processes of evolutionary population genetics: (1) the origin of raw materials by mutations of genes and chromosomes, (2) the changes in populations by changes in frequencies and combinations of mutations, (3) the fixation of changes by reproductive isolation. To support his writing and research, the bibliography was twenty-eight pages long with around six hundred sources. In Dobzhansky’s second edition of Genetics and the Origin of Species (1941), four years had gone by and he was able to add more research and advancements made in genetics. Around half of the new research he found was added to the last two chapters in his book: Patterns of Evolution, and Species as Natural Units. In the second to last chapter, Patterns of Evolution, Dobzhansky explained how on the path to a new adaptation, a method could be used to where a species could go through a less adaptive stage. The last chapter, Species as Natural Units, Dobzhansky explained some of the contributions made in genetics to what was called “the new systematics.” Dobzhansky’s second edition of the book also had twice as many sources in the bibliography than the first edition. In Dobzhansky’s third revision of Genetics and the Origin of Species (1951), he rewrote all ten chapters on: Isolating Mechanisms, Mutation in Populations, Organic Diversity, Heredity and Mutation, Race Formation, Selection, Adaptive Polymorphism, Hybrid Sterility, Species as Natural Units, and Patterns of Evolution. Dobzhansky decided to remove the chapter on Polyploidy in his third edition of the book. The new chapter on Adaptive Polymorphism highlighted Dobzhansky’s research focus since the second edition. Dobzhansky included precise, quantitative evidence on effective natural selection in laboratory and free populations. Debate on race Theodosius Dobzhansky and Ashley Montagu debated the use and validity of the term "race" over a period of many years without reaching an agreement, and the debate has continued to the present day. Montagu argued that "race" was so laden with toxic associations that it was a word best eliminated from science completely, whereas Dobzhansky strongly disagreed. He argued that science should not give in to the misuses to which it had been subjected. The two men never reached an agreement, which led Dobzhansky to say in 1961, while commenting on Montagu's autobiography, "The chapter on 'Ethnic group and race' is, of course, deplorable, but let us say that it is good that in a democratic country any opinion, no matter how deplorable, can be published" (Farber 2015 p. 3). The concept of "race" has been important in many life science disciplines; the modern synthesis revolutionized the concept of race, moving it from a strictly morphological definition based on "racial types" in humans, to a definition focused on populations differing in gene frequencies. This was done in hopes that its foundation in population genetics would undermine the deeply ingrained social prejudices associated with "race". Dobzhansky was confident that mixing races created no serious medical issues. Dobzhansky's experience with breeding fruit flies came into play when he made this conclusion. The only medical issue Dobzhansky found in this breeding was when certain crosses could lead to having infertile offspring. However, Dobzhansky noticed no such problems when humans from different populations reproduced. When anthropologists at the time were trying to compare the means of physical measurements of people from different races Dobzhansky argued that these means had no value because there was more variation between the individuals of each population than there was among the groups (Farber 2011 p. 63). However, Dobzhansky's work and beliefs on genetics and evolution created opposition with his views on race mixing. First, that race has to do with groups and not individuals and so in this instance it is not races that mix, it is individuals. Second, if races do not mix then they will become different species, so therefore they have to mix. All of the races that currently exist are products of past mixed races, so according to Dobzhansky there is no pure race. Third, when race had been discussed in the past it was all about comparing means of trait to which this made no sense to Dobzhansky (Farber 2011 p. 65-67). His concern with the interface between humans and biology may have come from different factors. The main factor would be the race prejudice that contributed in Europe that triggered WWII. His concern also dealt with religion in human life which he speaks about in his book The Biology of Ultimate Concern in 1967. "The pervasiveness of genetic variation provides the biological foundation of human individuality". Dobzhansky talks about in great detail that "human nature has 2 dimensions: the biological, which mankind shares with the rest of life, and the cultural, which is exclusive to humans." Both of these are believed to have come from "biological evolution and cultural evolution". Dobzhansky sought to put an end to the so-called science that purports one's genetic makeup determines their race and furthermore, their rank in society. Harrison E. Salisbury wrote in a New York Times article regarding his book Heredity and the Future of Man that Dobzhansky could not, alongside other scientists, agree upon what defines a race. Dobzhansky stated that a true bloodline for man could not be identified. He did not believe that a man's genetic makeup decided whether or not he would be a great man but rather that man "has the rare opportunity 'to direct his evolution'". Final illness and the "Light of Evolution" Dobzhansky's wife Natasha died of coronary thrombosis on February 22, 1969. Earlier (on June 1, 1968) Theodosius had been diagnosed with lymphocytic leukemia (a chronic form of leukemia), and had been given a few months to a few years to live. He retired in 1971, moving to the University of California, Davis where his student Francisco J. Ayala had been made assistant professor, and where he continued working as an emeritus professor. He published one of his most famous essays "Nothing in Biology Makes Sense Except in the Light of Evolution" at this time, influenced by the paleontologist and priest Pierre Teilhard de Chardin. By 1975, his leukemia had become more severe, and on November 11 he
known locally as growan. This is readily stripped off by solifluction or surface wash when not protected by vegetation, notably during prolonged cold phases during the Quaternary ice ages – periglaciation. Where joints happen to be unusually widely spaced, core blocks can survive and remain above the weathering surface, developing into tors. These can be monolithic, as at Haytor and Blackingstone Rock, but are more usually subdivided into stacks, often arranged in avenues. Each stack may include several tiers or pillows, which may become separated: rocking pillows are called logan stones. These stacks are vulnerable to frost action and often collapse leaving trails of blocks down the slopes called clitter or clatter. Weathering has also given rise to circular "rock basins" formed by the accumulation of water and repeated freezing and thawing. An example is found at Kes Tor on Dartmoor. Dating of 28 tors on Dartmoor showed that most are surprisingly young, less than 100,000 years of surface exposure, with none over 200,000 years old. They probably emerged at the start of the last major ice age (Devensian). By contrast the Scottish Cairngorms, which is the other classic granite tor concentration in Britain, the oldest tors dated are between 200 and 675 thousand years of exposure, with even glacially-modified ones having dates of 100–150,000 years. See also References
rounded hill summit or ridge crest. In the South West of England, the term is commonly also used for the hills themselves – particularly the high points of Dartmoor in Devon and Bodmin Moor in Cornwall. Etymology Although English topographical names often have a Celtic etymology, the Oxford English Dictionary lists no cognates to the Old English word in either the Breton or Cornish languages (the Scottish Gaelic tòrr is thought to derive from the Old English word). It is therefore accepted that the English word Tor derives from the Old Welsh word tẁrr or twr, meaning a cluster or heap. Formation Tors are landforms created by the erosion and weathering of rock; most commonly granites, but also schists, dacites, dolerites, ignimbrites, coarse sandstones and others. Tors are mostly less than high. Many hypotheses have been proposed to explain their origin and this remains a topic of discussion among geologists and geomorphologists, and physical geographers. It is considered likely that tors were created by geomorphic processes that differed widely in type and duration according to regional and local differences in climate and rock types. For example, the Dartmoor granite was emplaced around 280 million years ago. When the cover rocks eroded away it was exposed it to chemical and physical weathering processes. Where joints are closely spaced, the large crystals in the granite readily disintegrate to form a sandy regolith known locally as growan. This is readily stripped off
of Berlin (1715), an alliance between Hanover-Great Britain and Denmark in the Great Northern War Treaty of Berlin (1732), between Austria and Prussia, signed but not ratified by Russia Treaty of Berlin (1742), between Austria and Prussia Treaty of Berlin (1878), which recognized an autonomous Bulgarian principality and the independence of Romania, Serbia
Austria and Prussia Treaty of Berlin (1878), which recognized an autonomous Bulgarian principality and the independence of Romania, Serbia and Montenegro from the Ottoman Empire Treaty of Berlin (1885), which regulated European colonization and trade in Africa Treaty of Berlin (1889), which recognized the independence of Samoa Treaty of Berlin (1899), which resulted in the partition of Samoa
him from the laws which he had imposed on his nation: the female sex, without reserve, was abandoned to his desires; and this singular prerogative excited the envy, rather than the scandal, the veneration, rather than the envy, of the devout Mussulmans." Views on Jews and charge of antisemitism Gibbon has been accused of antisemitism. He has described the Jews as "a race of fanatics, whose dire and credulous superstition seemed to render them the implacable enemies not only of the Roman government, but also of humankind." Number of Christian martyrs Gibbon challenged Church history by estimating far smaller numbers of Christian martyrs than had been traditionally accepted. The Church's version of its early history had rarely been questioned before. Gibbon, however, knew that modern Church writings were secondary sources, and he shunned them in favor of primary sources. Christianity as a contributor to the fall and to stability: chapters XV, XVI Historian S. P. Foster says that Gibbon: blamed the otherworldly preoccupations of Christianity for the decline of the Roman empire, heaped scorn and abuse on the church, and sneered at the entirety of monasticism as a dreary, superstition-ridden enterprise. The Decline and Fall compares Christianity invidiously with both the pagan religions of Rome and the religion of Islam. Gibbon's work was originally published in sections, as was common for large works at the time. The first two volumes were well-received and widely praised, but with the publication of volume 3, Gibbon was attacked by some as a "paganist" because he argued that Christianity (or at least the abuse of it by some of the clergy and its followers) had hastened the fall of the Roman Empire, as seen in this extended quote from chapter 38, part VI of Volume 3: Voltaire was deemed to have influenced Gibbon's claim that Christianity was a contributor to the fall of the Roman Empire. As one pro-Christian commenter put it in 1840: Tolerant paganism Gibbon wrote: He has been criticized for his portrayal of Paganism as tolerant and Christianity as intolerant. In an article that appeared in 1996 in the journal Past & Present, H. A. Drake challenges an understanding of religious persecution in ancient Rome, which he considers to be the "conceptual scheme" that was used by historians to deal with the topic for the last 200 years, and whose most eminent representative is Gibbon. Drake counters: Gibbon's reflections Gibbon's initial plan was to write a history "of the decline and fall of the city of Rome", and only later expanded his scope to the whole Roman Empire: If I prosecute this History, I shall not be unmindful of the decline and fall of the city of Rome; an interesting object, to which my plan was originally confined. Although he published other books, Gibbon devoted much of his life to this one work (1772–1789). His autobiography Memoirs of My Life and Writings is devoted largely to his reflections on how the book virtually became his life. He compared the publication of each succeeding volume to a newborn child. Editions Gibbon continued to revise and change his work even after publication. The complexities of the problem are addressed in Womersley's introduction and appendices to his complete edition. In-print complete editions J.B. Bury, ed., seven volumes, seven editions, London: Methuen, 1898 to 1925, reprinted New York: AMS Press, 1974. . J.B. Bury, ed., two volumes, 4th edition New York: The Macmillan Company, 1914 Volume 1 Volume 2 Hugh Trevor-Roper, ed., six volumes, New York: Everyman's Library, 1993–1994. The text, including Gibbon's notes, is from Bury but without his notes. (vols. 1–3); (vols. 4–6). David Womersley, ed., three volumes, hardback London: Allen Lane, 1994; paperback New York: Penguin Books, 1994, revised ed. 2005. Includes the original index, and the Vindication (1779), which Gibbon wrote in response to attacks on his caustic portrayal of Christianity. The 2005 print includes minor revisions and a new chronology. (3360 p.); (v. 1, 1232 p.); (v. 2, 1024 p.); (v. 3, 1360 p.) In-print abridgements David Womersley, abridged ed., one volume, New York: Penguin Books, 2000. Includes all footnotes and seventeen of the seventy-one chapters. (848 p.) Hans-Friedrich Mueller, abridged ed., one volume, New York: Random House, 2003. Includes excerpts from all seventy-one chapters. It eliminates footnotes, geographic surveys, details of battle formations, long narratives of military campaigns, ethnographies and genealogies. Based on the Rev. H.H. [Dean] Milman's edition of 1845 (see also Gutenberg e-text edition). , (trade paper, 1312 p.); (mass market paper, 1536 p.) AMN, abridged ed., one volume abridgement, Woodland: Historical Reprints, 2019. It eliminates most footnotes, adds some annotations, and omits Milman's notes. (large 8x11.5 trade paper 402 pages) Legacy Many writers have used variations on the series title (including using "Rise and Fall" in place of "Decline and Fall"), especially when dealing with a large polity that has imperial characteristics. Piers Brendon notes that Gibbon's work "became the essential guide for Britons anxious to plot their own imperial trajectory. They found the key to understanding the British Empire in the ruins of Rome." and in film: The Fall of the Roman Empire (1964) The Decline of Western Civilization (1981), Penelope Spheeris The Decline of the American Empire (1986), Denys Arcand and in television: Ancient Rome: The Rise and Fall of an Empire (2006) and in video games: Rise and Fall: Civilizations at War (2006) Civilization VI: Rise and Fall (2018) The title
(2006) and in video games: Rise and Fall: Civilizations at War (2006) Civilization VI: Rise and Fall (2018) The title and author are also cited in Noël Coward's comedic poem "I Went to a Marvellous Party", and in the poem "The Foundation of Science Fiction Success", Isaac Asimov acknowledged that his Foundation series – an epic tale of the fall and rebuilding of a galactic empire – was written "with a tiny bit of cribbin' / from the works of Edward Gibbon". Feminist science fiction author Sheri S. Tepper gave one of her novels the title Gibbon's Decline and Fall. In 1995, an established journal of classical scholarship, Classics Ireland, published punk musician's Iggy Pop's reflections on the applicability of The Decline and Fall of the Roman Empire to the modern world in a short article, Caesar Lives, (vol. 2, 1995) in which he notedAmerica is Rome. Of course, why shouldn't it be? We are all Roman children, for better or worse ... I learn much about the way our society really works, because the system-origins – military, religious, political, colonial, agricultural, financial – are all there to be scrutinised in their infancy. I have gained perspective. See also Decline of the Roman Empire Outline of The History of the Decline and Fall of the Roman Empire William Strahan (publisher), who also first printed The Wealth of Nations (1776) Notes References Further reading Brownley, Martine W. "Appearance and Reality in Gibbon's History," Journal of the History of Ideas 38:4 (1977), 651–666. Brownley, Martine W. "Gibbon's Artistic and Historical Scope in the Decline and Fall," Journal of the History of Ideas 42:4 (1981), 629–642. Cosgrove, Peter. Impartial Stranger: History and Intertextuality in Gibbon's Decline and Fall of the Roman Empire (Newark: Associated University Presses, 1999) . Craddock, Patricia. "Historical Discovery and Literary Invention in Gibbon's 'Decline and Fall'," Modern Philology 85:4 (May 1988), 569–587. Drake, H.A., "Lambs into Lions: explaining early Christian intolerance," Past and Present 153 (1996), 3–36. Oxford Journals Furet, Francois. "Civilization and Barbarism in Gibbon's History," Daedalus 105:3 (1976), 209–216. Gay, Peter. Style in History (New York: Basic Books, 1974) . Ghosh, Peter R. "Gibbon's Dark Ages: Some Remarks on the Genesis of the Decline and Fall," Journal of Roman Studies 73 (1983), 1–23. Homer-Dixon, Thomas "The Upside of Down: Catastrophe, Creativity and the Renewal of Civilization", 2007 , Chapter 3 pp. 57–60 Kelly, Christopher. "A Grand Tour: Reading Gibbon's 'Decline and Fall'," Greece & Rome 2nd ser., 44:1 (Apr. 1997), 39–58. Momigliano, Arnaldo. "Eighteenth-Century Prelude to Mr. Gibbon," in Pierre Ducrey et al., eds., Gibbon et Rome à la lumière de l'historiographie moderne (Geneva: Librairie Droz, 1977). Momigliano, Arnaldo. "Gibbon from an Italian Point of View," in G.W. Bowersock et al., eds., Edward Gibbon and the Decline and Fall of the Roman Empire (Cambridge: Harvard University Press, 1977). Momigliano, Arnaldo. "Declines and Falls," American Scholar 49 (Winter 1979), 37–51. Momigliano, Arnaldo. "After Gibbon's Decline and Fall," in Kurt Weitzmann, ed. Age of Spirituality : a symposium (Princeton: 1980); . Pocock, J.G.A. Barbarism and Religion, 4 vols. Cambridge University Press. vol. 1, The Enlightenments of Edward Gibbon, 1737–1764, 1999 [hb: ]; vol. 2, Narratives of Civil Government, 1999 [hb: ]; vol. 3, The First Decline and Fall, 2003 [pb: ]. vol. 4, Barbarians, Savages and Empires, 2005 [hb: ]. The Work of J.G.A. Pocock: Edward Gibbon section. Roberts, Charlotte. Edward Gibbon and the Shape of History. 2014 Oxford University Press Trevor-Roper, H.R. "Gibbon and the Publication of The Decline and Fall of the Roman Empire, 1776–1976," Journal of Law and Economics 19:3 (Oct. 1976), 489–505. Womersley, David. The Transformation of 'The Decline and Fall of the Roman Empire' (Cambridge: 1988). Womersley, David, ed. Religious Scepticism: Contemporary Responses to
RNA-derived fragment TERF1, Telomeric repeat-binding factor 1 (also known as TRF1) Places Sandefjord Airport, Torp, Norway, IATA code Thief River Falls, Minnesota, USA Organisations Tactical recognition flash, UK armed forces Texas Renaissance Festival, USA Thoroughbred Retirement Foundation, racehorse rescue organization TRF (band), a J-pop group Regional Federal
Transfer RNA-derived fragment TERF1, Telomeric repeat-binding factor 1 (also known as TRF1) Places Sandefjord Airport, Torp, Norway, IATA code Thief River Falls, Minnesota, USA Organisations Tactical recognition flash, UK armed forces Texas Renaissance Festival, USA Thoroughbred
This is his first public announcement of the form of what would become the Ring cycle. In accordance with the ideas expressed in his essays of the period 1849–51 (including the "Communication" but also "Opera and Drama" and "The Artwork of the Future"), the four parts of the Ring were originally conceived by Wagner to be free of the traditional operatic concepts of aria and operatic chorus. The Wagner scholar Curt von Westernhagen identified three important problems discussed in "Opera and Drama" which were particularly relevant to the Ring cycle: the problem of unifying verse stress with melody; the disjunctions caused by formal arias in dramatic structure, and the way in which opera music could be organised on a different basis of organic growth and modulation; and the function of musical motifs in linking elements of the plot whose connections might otherwise be inexplicit. This became known as the leitmotif technique (see below), although Wagner himself did not use this word. However, Wagner relaxed some aspects of his self-imposed restrictions somewhat as the work progressed. As George Bernard Shaw sardonically (and slightly unfairly) noted of the last opera Götterdämmerung: Music Leitmotifs As a significant element in the Ring and his subsequent works, Wagner adopted the use of leitmotifs, which are recurring themes or harmonic progressions. They musically denote an action, object, emotion, character, or other subject mentioned in the text or presented onstage. Wagner referred to them in "Opera and Drama" as "guides-to-feeling", describing how they could be used to inform the listener of a musical or dramatic subtext to the action onstage in the same way as a Greek chorus did for the theatre of ancient Greece. Instrumentation Wagner made significant innovations in orchestration in this work. He wrote for a very large orchestra, using the whole range of instruments used singly or in combination to express the great range of emotion and events of the drama. Wagner even commissioned the production of new instruments, including the Wagner tuba, invented to fill a gap he found between the tone qualities of the horn and the trombone, as well as variations of existing instruments, such as the bass trumpet and a contrabass trombone with a double slide. He also developed the "Wagner bell", enabling the bassoon to reach the low A-natural, whereas normally B-flat is the instrument's lowest note. If such a bell is not to be used, then a contrabassoon should be employed. All four parts have a very similar instrumentation. The core ensemble of instruments are one piccolo, three flutes (third doubling second piccolo), three oboes, cor anglais (doubling fourth oboe), three soprano clarinets, one bass clarinet, three bassoons; eight horns (fifth through eight doubling Wagner tubas), three trumpets, one bass trumpet, three tenor trombones, one contrabass trombone (doubling bass trombone), one contrabass tuba; a percussion section with 4 timpani (requiring two players), triangle, cymbals, glockenspiel, tam-tam; six harps and a string section consisting of 16 first and 16 second violins, 12 violas, 12 cellos, and 8 double basses. Das Rheingold requires one bass drum, one onstage harp and 18 onstage anvils. Die Walküre requires one snare drum, one D clarinet (played by the third clarinettist), and an on-stage steerhorn. Siegfried requires one onstage cor anglais and one onstage horn. Götterdämmerung requires a tenor drum, as well as five onstage horns and four onstage steerhorns, one of them to be blown by Hagen. Tonality Much of the Ring, especially from Siegfried act 3 onwards, cannot be said to be in traditional, clearly defined keys for long stretches, but rather in 'key regions', each of which flows smoothly into the following. This fluidity avoided the musical equivalent of clearly defined musical paragraphs, and assisted Wagner in building the work's huge structures. Tonal indeterminacy was heightened by the increased freedom with which he used dissonance and chromaticism. Chromatically altered chords are used very liberally in the Ring, and this feature, which is also prominent in Tristan und Isolde, is often cited as a milestone on the way to Arnold Schoenberg's revolutionary break with the traditional concept of key and his dissolution of consonance as the basis of an organising principle in music. Composition The text In summer 1848 Wagner wrote The Nibelung Myth as Sketch for a Drama, combining the medieval sources previously mentioned into a single narrative, very similar to the plot of the eventual Ring cycle, but nevertheless with substantial differences. Later that year he began writing a libretto entitled Siegfrieds Tod ("Siegfried's Death"). He was possibly stimulated by a series of articles in the Neue Zeitschrift für Musik, inviting composers to write a 'national opera' based on the Nibelungenlied, a 12th-century High German poem which, since its rediscovery in 1755, had been hailed by the German Romantics as the "German national epic". Siegfrieds Tod dealt with the death of Siegfried, the central heroic figure of the Nibelungenlied. The idea had occurred to others – the correspondence of Fanny and Felix Mendelssohn in 1840/41 reveals that they were both outlining scenarios on the subject: Fanny wrote 'The hunt with Siegfried's death provides a splendid finale to the second act'. The music In November 1853, Wagner began the composition draft of Das Rheingold. Unlike the verses, which were written as it were in reverse order, the music would be composed in the same order as the narrative. Composition proceeded until 1857, when the final score up to the end of act 2 of Siegfried was completed. Wagner then laid the work aside for twelve years, during which he wrote Tristan und Isolde and Die Meistersinger von Nürnberg. By 1869, Wagner was living at Tribschen on Lake Lucerne, sponsored by King Ludwig II of Bavaria. He returned to Siegfried, and, remarkably, was able to pick up where he left off. In October, he completed the final work in the cycle. He chose the title Götterdämmerung instead of Siegfrieds Tod. In the completed work the gods are destroyed in accordance with the new pessimistic thrust of the cycle, not redeemed as in the more optimistic originally planned ending. Wagner also decided to show onstage the events of Das Rheingold and Die Walküre, which had hitherto only been presented as back-narration in the other two parts. These changes resulted in some discrepancies in the cycle, but these do not diminish the value of the work. Performances First productions On King Ludwig's insistence, and over Wagner's objections, "special previews" of Das Rheingold and Die Walküre were given at the National Theatre in Munich, before the rest of the Ring. Thus, Das Rheingold premiered on 22 September 1869, and Die Walküre on 26 June 1870. Wagner subsequently delayed announcing his completion of Siegfried to prevent this work also being premiered against his wishes. Wagner had long desired to have a special festival opera house, designed by himself, for the performance of the Ring. In 1871, he decided on a location in the Bavarian town of Bayreuth. In 1872, he moved to Bayreuth, and the foundation stone was laid. Wagner would spend the next two years attempting to raise capital for the construction, with scant success; King Ludwig finally rescued the project in 1874 by donating the needed funds. The Bayreuth Festspielhaus opened in 1876 with the first complete performance of the Ring, which took place from 13 to 17 August. In 1882, London impresario Alfred Schulz-Curtius organized the first staging in the United Kingdom of the Ring cycle, conducted by Anton Seidl and directed by Angelo Neumann. The first production of the Ring in Italy was in Venice (the place where Wagner died), just two months after his 1883 death, at La Fenice. The first Australasian Ring (and The Mastersingers of Nuremberg) was presented by the Thomas Quinlan company Melbourne and Sydney in 1913. Modern productions The Ring is a major undertaking for any opera company: staging four interlinked operas requires a huge commitment both artistically and financially; hence, in most opera houses, production of a new Ring cycle will happen over a number of years, with one or two operas in the cycle being added each year. The Bayreuth Festival, where the complete cycle is performed most years, is unusual in that a new cycle is almost always created within a single year. Early productions of the Ring cycle stayed close to Wagner's original Bayreuth staging. Trends set at Bayreuth have continued to be influential. Following the closure of the Festspielhaus during the Second World War, the 1950s saw productions by Wagner's grandsons Wieland and Wolfgang Wagner (known as the 'New Bayreuth' style), which emphasised the human aspects of the drama in a more abstract setting. Perhaps the most famous modern production was the centennial production of 1976, the Jahrhundertring, directed by Patrice Chéreau and conducted by Pierre Boulez. Set in the industrial revolution, it replaced the depths of the Rhine with a hydroelectric power dam and featured grimy sets populated by men and gods in 19th and 20th century business suits. This drew heavily on the reading of the Ring as a revolutionary drama and critique of the modern world, famously expounded by George Bernard Shaw in The Perfect Wagnerite. Early performances were booed but the audience of 1980 gave it a 45-minute ovation in its final year. Seattle Opera has created three different productions of the tetralogy: Ring 1, 1975 to 1984: Originally directed by George London, with designs by John Naccarato following the famous illustrations by Arthur Rackham. It was performed twice each summer, once in German, once in Andrew Porter's English adaptation. Henry Holt conducted all performances. Ring 2, 1985–1995: Directed by Francois Rochaix, with sets and costumes designed by Robert Israel, lighting by Joan Sullivan, and supertitles (the first ever created for the Ring) by Sonya Friedman. The production set the action in a world of nineteenth-century theatricality; it was initially controversial in 1985, it sold out its final performances in 1995. Conductors included Armin Jordan (Die Walküre in 1985), Manuel Rosenthal (1986), and Hermann Michael (1987, 1991, and 1995). Ring 3, 2000–2013: the production, which became known as the "Green" Ring, was in part inspired by the natural beauty of the Pacific Northwest. Directed by Stephen Wadsworth, set designer Thomas Lynch, costume designer Martin Pakledinaz, lighting designer Peter Kaczorowski; Armin Jordan conducted in 2000, Franz Vote in 2001, and Robert Spano in 2005 and 2009. The 2013 performances, conducted by Asher Fisch, were released as a commercial recording on compact disc and on iTunes. In 2003 the first production of the cycle in Russia in modern times was conducted by Valery Gergiev at the Mariinsky Opera, Saint Petersburg, designed by George Tsypin. The production drew parallels with Ossetian mythology. The Royal Danish Opera performed a complete Ring cycle in May 2006 in its new waterfront home, the Copenhagen Opera House. This version of the Ring tells the story from the viewpoint of Brünnhilde and has a distinct feminist angle. For example, in a key scene in Die Walküre, it is Sieglinde and not Siegmund who manages to pull the sword Nothung out of a tree. At the end of the cycle, Brünnhilde does not die, but instead gives birth to Siegfried's child. San Francisco Opera and Washington National Opera began a co-production of a new cycle in 2006 directed by Francesca Zambello. The production uses imagery from various eras of American history and has a feminist and environmentalist
but also "Opera and Drama" and "The Artwork of the Future"), the four parts of the Ring were originally conceived by Wagner to be free of the traditional operatic concepts of aria and operatic chorus. The Wagner scholar Curt von Westernhagen identified three important problems discussed in "Opera and Drama" which were particularly relevant to the Ring cycle: the problem of unifying verse stress with melody; the disjunctions caused by formal arias in dramatic structure, and the way in which opera music could be organised on a different basis of organic growth and modulation; and the function of musical motifs in linking elements of the plot whose connections might otherwise be inexplicit. This became known as the leitmotif technique (see below), although Wagner himself did not use this word. However, Wagner relaxed some aspects of his self-imposed restrictions somewhat as the work progressed. As George Bernard Shaw sardonically (and slightly unfairly) noted of the last opera Götterdämmerung: Music Leitmotifs As a significant element in the Ring and his subsequent works, Wagner adopted the use of leitmotifs, which are recurring themes or harmonic progressions. They musically denote an action, object, emotion, character, or other subject mentioned in the text or presented onstage. Wagner referred to them in "Opera and Drama" as "guides-to-feeling", describing how they could be used to inform the listener of a musical or dramatic subtext to the action onstage in the same way as a Greek chorus did for the theatre of ancient Greece. Instrumentation Wagner made significant innovations in orchestration in this work. He wrote for a very large orchestra, using the whole range of instruments used singly or in combination to express the great range of emotion and events of the drama. Wagner even commissioned the production of new instruments, including the Wagner tuba, invented to fill a gap he found between the tone qualities of the horn and the trombone, as well as variations of existing instruments, such as the bass trumpet and a contrabass trombone with a double slide. He also developed the "Wagner bell", enabling the bassoon to reach the low A-natural, whereas normally B-flat is the instrument's lowest note. If such a bell is not to be used, then a contrabassoon should be employed. All four parts have a very similar instrumentation. The core ensemble of instruments are one piccolo, three flutes (third doubling second piccolo), three oboes, cor anglais (doubling fourth oboe), three soprano clarinets, one bass clarinet, three bassoons; eight horns (fifth through eight doubling Wagner tubas), three trumpets, one bass trumpet, three tenor trombones, one contrabass trombone (doubling bass trombone), one contrabass tuba; a percussion section with 4 timpani (requiring two players), triangle, cymbals, glockenspiel, tam-tam; six harps and a string section consisting of 16 first and 16 second violins, 12 violas, 12 cellos, and 8 double basses. Das Rheingold requires one bass drum, one onstage harp and 18 onstage anvils. Die Walküre requires one snare drum, one D clarinet (played by the third clarinettist), and an on-stage steerhorn. Siegfried requires one onstage cor anglais and one onstage horn. Götterdämmerung requires a tenor drum, as well as five onstage horns and four onstage steerhorns, one of them to be blown by Hagen. Tonality Much of the Ring, especially from Siegfried act 3 onwards, cannot be said to be in traditional, clearly defined keys for long stretches, but rather in 'key regions', each of which flows smoothly into the following. This fluidity avoided the musical equivalent of clearly defined musical paragraphs, and assisted Wagner in building the work's huge structures. Tonal indeterminacy was heightened by the increased freedom with which he used dissonance and chromaticism. Chromatically altered chords are used very liberally in the Ring, and this feature, which is also prominent in Tristan und Isolde, is often cited as a milestone on the way to Arnold Schoenberg's revolutionary break with the traditional concept of key and his dissolution of consonance as the basis of an organising principle in music. Composition The text In summer 1848 Wagner wrote The Nibelung Myth as Sketch for a Drama, combining the medieval sources previously mentioned into a single narrative, very similar to the plot of the eventual Ring cycle, but nevertheless with substantial differences. Later that year he began writing a libretto entitled Siegfrieds Tod ("Siegfried's Death"). He was possibly stimulated by a series of articles in the Neue Zeitschrift für Musik, inviting composers to write a 'national opera' based on the Nibelungenlied, a 12th-century High German poem which, since its rediscovery in 1755, had been hailed by the German Romantics as the "German national epic". Siegfrieds Tod dealt with the death of Siegfried, the central heroic figure of the Nibelungenlied. The idea had occurred to others – the correspondence of Fanny and Felix Mendelssohn in 1840/41 reveals that they were both outlining scenarios on the subject: Fanny wrote 'The hunt with Siegfried's death provides a splendid finale to the second act'. The music In November 1853, Wagner began the composition draft of Das Rheingold. Unlike the verses, which were written as it were in reverse order, the music would be composed in the same order as the narrative. Composition proceeded until 1857, when the final score up to the end of act 2 of Siegfried was completed. Wagner then laid the work aside for twelve years, during which he wrote Tristan und Isolde and Die Meistersinger von Nürnberg. By 1869, Wagner was living at Tribschen on Lake Lucerne, sponsored by King Ludwig II of Bavaria. He returned to Siegfried, and, remarkably, was able to pick up where he left off. In October, he completed the final work in the cycle. He chose the title Götterdämmerung instead of Siegfrieds Tod. In the completed work the gods are destroyed in accordance with the new pessimistic thrust of the cycle, not redeemed as in the more optimistic originally planned ending. Wagner also decided to show onstage the events of Das Rheingold and Die Walküre, which had hitherto only been presented as back-narration in the other two parts. These changes resulted in some discrepancies in the cycle, but these do not diminish the value of the work. Performances First productions On King Ludwig's insistence, and over Wagner's objections, "special previews" of Das Rheingold and Die Walküre were given at the National Theatre in Munich, before the rest of the Ring. Thus, Das Rheingold premiered on 22 September 1869, and Die Walküre on 26 June 1870. Wagner subsequently delayed announcing his completion of Siegfried to prevent this work also being premiered against his wishes. Wagner had long desired to have a special festival opera house, designed by himself, for the performance of the Ring. In 1871, he decided on a location in the Bavarian town of Bayreuth. In 1872, he moved to Bayreuth, and the foundation stone was laid. Wagner would spend the next two years attempting to raise capital for the construction, with scant success; King Ludwig finally rescued the project in 1874 by donating the needed funds. The Bayreuth Festspielhaus opened in 1876 with the first complete performance of the Ring, which took place from 13 to 17 August. In 1882, London impresario Alfred Schulz-Curtius organized the first staging in the United Kingdom of the Ring cycle, conducted by Anton Seidl and directed by Angelo Neumann. The first production of the Ring in Italy was in Venice (the place where Wagner died), just two months after his 1883 death, at La Fenice. The first Australasian Ring (and The Mastersingers of Nuremberg) was presented by the Thomas Quinlan company Melbourne and Sydney in 1913. Modern productions The Ring is a major undertaking for any opera company: staging four interlinked operas requires a huge commitment both artistically and financially; hence, in most opera houses, production of a new Ring cycle will happen over a number of years, with one or two operas in the cycle being added each year. The Bayreuth Festival, where the complete cycle is performed most years, is unusual in that a new cycle is almost always created within a single year. Early productions of the Ring cycle stayed close to Wagner's original Bayreuth staging. Trends set at Bayreuth have continued to be influential. Following the closure of the Festspielhaus during the
effort to produce an ANSI standard BASIC in an attempt to bring together the many small variations of the language that had developed through the late 1960s and early 1970s. This effort initially focused on a system known as "Minimal BASIC" that was similar to early Dartmouth BASIC but with string variables added, while later work was aimed at a "Standard BASIC" that was essentially SBASIC. By the early 1980s, tens of millions of home computers were running some variation of Microsoft BASIC, which had become the de facto standard. The ANSI efforts eventually became pointless, as it became clear that these versions were not going to have any market impact in a world dominated by MS. Both versions were eventually ratified, but saw little or no adoption and the standards were later withdrawn. Kemeny and Kurtz, however, decided to continue their efforts to introduce the concepts from SBASIC and the ANSI Standard BASIC efforts. This became True BASIC. Initially based on Dartmouth BASIC 7—otherwise known as ANSI BASIC—True BASIC was introduced in 1985. There are versions of the True BASIC compiler for MS-DOS, Microsoft Windows, and Classic Mac OS. At one time, versions for TRS-80 Color Computer, Amiga and Atari ST computers were offered, as well as a UNIX command-line compiler. Features Being a structured programming implementation of the language, it dispenses with the need for line numbers and GOTO statements, although these can still be used. True BASIC provides statements for matrix arithmetic, a feature that had been present in Dartmouth BASIC since early times, but had been dropped in almost all microcomputer versions of BASIC interpreters. It supports global and local variables, which permits recursive functions and subroutines to be written. The designers wanted to make the language hardware-independent, to allow True BASIC source
well as a UNIX command-line compiler. Features Being a structured programming implementation of the language, it dispenses with the need for line numbers and GOTO statements, although these can still be used. True BASIC provides statements for matrix arithmetic, a feature that had been present in Dartmouth BASIC since early times, but had been dropped in almost all microcomputer versions of BASIC interpreters. It supports global and local variables, which permits recursive functions and subroutines to be written. The designers wanted to make the language hardware-independent, to allow True BASIC source code to run equally well on any version of their compiler. For the most part they succeed in this endeavor. The drawback for users was that direct access to some features of their machines was not available, but this could be remedied with callable functions and subroutines specially written in assembly language. Using newer versions of True BASIC, some of the older functions are blocked out. An example of the recent code would be more like this: RANDOMIZE SET WINDOW 0,20,0,20 SET COLOR 5 !Set the pen and text colour to 5 as true basic has 0-15 colours PRINT "Welcome To ..." !Print "Welcome To ..." on the user's screen. DO !Begin the loop LET x=rnd*20 !Let the value 'x' equal a random number between '0' and '20' LET y=rnd*20 !Let the value 'y' equal a random number between '0' and '20' Pause .1 !Waits 1/10 of a second PLOT TEXT, at x, y: "Fabulous Wikipedia!" !Plot 'Fabulous Wikipedia!' at coordinates 'x' and 'y' LOOP !End the loop END !End the program This simple program plots the text "Welcome To ..." at the top left-hand corner of the screen, and then continues into a never-ending loop plotting "Fabulous Wikipedia!" at random coordinates. An example of simple animation could be like this: !Draw the Car SET WINDOW 0,20,0,20 SET COLOR 5 BOX AREA 2,6,2,3 BOX AREA 9,13,2,3 BOX AREA 16,20,2,3 SET COLOR 249 PLOT LINES :0,5;20,5 FLOOD 10,1 BOX KEEP 0,20,0,5 IN road$ BOX CIRCLE 2,3,5,6 FLOOD 2.5,5.5 BOX CIRCLE 5,6,5,6 FLOOD 5.5,5.5 SET COLOR 35 PLOT LINES :2.5,6;5.5,6 PLOT LINES :5,6;8,6;8,8;6,8;6,10;2,10;2,8;0,8;0,6;3,6 FLOOD 4,8 SET COLOR 248 BOX AREA 4,5,8,9 BOX KEEP 0,8,5,10 IN car$ !Save the car in 'car$' FOR x=1 TO 20 STEP 1 !Create a 'for' loop BOX SHOW road$ AT 0,0 BOX SHOW car$ AT x,5 PAUSE .1 CLEAR NEXT x !End the 'for' loop END !End the
cells, the cell wall restricts the expansion, resulting in pressure on the cell wall from within called turgor pressure. Turgor pressure allows herbaceous plants to stand upright. It is also the determining factor for how plants regulate the aperture of their stomata. In animal cells excessive osmotic pressure can result in cytolysis. Osmotic pressure is the basis of filtering ("reverse osmosis"), a process commonly used in water purification. The water to be purified is placed in a chamber and put under an amount of pressure greater than the osmotic pressure exerted by the water and the solutes dissolved in it. Part of the chamber opens to a differentially permeable membrane that lets water molecules through, but not the solute particles. The osmotic pressure of ocean water is about 27 atm. Reverse osmosis desalinates fresh water from ocean salt water. Derivation of the van 't Hoff formula Consider the system at the point when it has reached equilibrium. The condition for this is that the chemical potential of the solvent (since only it is free to flow toward equilibrium) on both sides of the membrane is equal. The compartment containing the pure solvent has a chemical potential of , where is the pressure. On the other side, in the compartment containing the solute, the chemical potential of the solvent depends on the mole fraction of the solvent, . Besides, this compartment can assume a different pressure, . We can therefore write the chemical potential of the solvent as . If we write , the balance of the chemical potential is therefore: Here, the difference in pressure of the two compartments is defined as the osmotic pressure exerted by the solutes. Holding the pressure, the addition of solute decreases the chemical potential (an entropic effect). Thus, the pressure of the solution has to be increased in an effort to compensate the loss of the chemical potential. In order to find , the osmotic pressure, we consider equilibrium between a solution containing solute and pure water. We can write the left hand side as: , where is the activity coefficient of the solvent. The product is also known as the activity of the solvent, which for water is the water activity . The addition to the pressure is expressed through the expression for the energy of expansion: where is the molar volume (m³/mol). Inserting the expression presented above into the chemical potential equation for the entire system and rearranging will arrive at: If the liquid is incompressible the molar volume is constant, , and the integral becomes . Thus, we get The activity coefficient is a function
differentially permeable membrane that lets water molecules through, but not the solute particles. The osmotic pressure of ocean water is about 27 atm. Reverse osmosis desalinates fresh water from ocean salt water. Derivation of the van 't Hoff formula Consider the system at the point when it has reached equilibrium. The condition for this is that the chemical potential of the solvent (since only it is free to flow toward equilibrium) on both sides of the membrane is equal. The compartment containing the pure solvent has a chemical potential of , where is the pressure. On the other side, in the compartment containing the solute, the chemical potential of the solvent depends on the mole fraction of the solvent, . Besides, this compartment can assume a different pressure, . We can therefore write the chemical potential of the solvent as . If we write , the balance of the chemical potential is therefore: Here, the difference in pressure of the two compartments is defined as the osmotic pressure exerted by the solutes. Holding the pressure, the addition of solute decreases the chemical potential (an entropic effect). Thus, the pressure of the solution has to be increased in an effort to compensate the loss of the chemical potential. In order to find , the osmotic pressure, we consider equilibrium between a solution containing solute and pure water. We can write the left hand side as: , where is the activity coefficient of the solvent. The product is also known as the activity of the solvent, which for water is the water activity . The addition to the pressure is expressed through the expression for the energy of expansion: where is the molar volume (m³/mol). Inserting the expression presented above into the chemical potential equation for the entire system and rearranging will
recover from the damage. The war continuesdespite increasing shortages of men, equipment, and fuel. In the United States, there is a breach between the civilian government and the Joint Chiefs of Staff. An open rift develops between "Civgov" (the civilian government) and "Milgov" (the military government), which leads to a low-intensity civil war. By the summer of 2000, the European theater of operations had been fought to a near stalemate. In one final effort to break the deadlock and end the war, NATO forces planned a summer offensive across Northern Poland and into the Baltics, but the offensive ground to a halt in the face of a Warsaw Pact counterattack. Several divisions and corps on each side were virtually eliminated. In the chaotic aftermath, supply lines are lost, high level command breaks down and armies in the European theater lose cohesion beyond the platoon unit. Some go “native’ and integrated with the militias of independent "free cities", others turned into gangs of marauding bandits and some small groups of surviving soldiers sought to find their way home. Later history To create 300 years of background history for their science-fiction RPG 2300 AD, GDW staff members participated in an in-house simulation called "The Great Game", with Frank Chadwick as referee. Starting with the world situation in 2000 following the Twilight War, players controlled one or more countries and guided them through 300 years of development, including the discovery of faster-than-light space travel, colonization of other Earthlike planets, and contact with a variety of sentient aliens. The staff member playing France, John Harshman, did exceptionally well, leading to France being the supreme superpower in 2300. Revised setting The Second Edition (published in 1990) and subsequent editions featured a reworked background intended to be an alternate history closer to 1990s real-world history. Version 2.2, GDW's final edition of the game, was published in 1993 and featured a background in which the KGB's Alpha Group obeyed the coup leaders in the August 1991 Soviet coup attempt and stormed the Russian White House, killing Boris Yeltsin and effectively preserving communist control. This also had the effect of basically future-proofing the game, as anything that happened in reality after that period could be ignored as the event basically wiped out history after that. In 2017 and 2018, there were three new official modules for Twilight: 2000 released online, including a source book for East Africa/Kenya, a new standalone adventure played during the same time as the "Going Home" module and a Korean source book. These three releases were all officially approved by Marc Miller, who is the current owner of the Twilight: 2000 game, and were the first new releases for the 1st and 2nd edition since the mid-1990s. Publication history First and Second Editions GDW extended the timeline of Twilight: 2000 to create the background history for the science fiction game 2300 AD; by doing so, the rather depressing post-nuclear environment of Twilight: 2000 is mitigated by the outcome in which the Earth rebuilds itself and begins to colonize space. Far Future Enterprises has reprinted the first edition of Twilight: 2000 in hardcopy (paper) format, and both the first edition and version 2.2 are available in CD-ROM format. Versions 2.0 and 2.2, both using the system that became standard for GDW's games, are currently available in watermarked PDF format online (as are the first edition rules). Twilight: 2000'''s success as a game can be attributed in part to its manner of presenting a military background and setting, without hemming the players into a military's command structure. The civilian governments of most countries in the game have been shattered (France and Belgium quit NATO and thus largely escaped war damage) with the US government splitting into the civilian and military governments, as has the military chain of command, supply lines, etc. The various military forces are presented as being much weaker than their stated sizes, occupying civilian territories and relying on civilians for food and small-scale manufacturing, and recruiting from civilian populations to some extent. This all means that the players can feel they are part of a military of some sort, without their characters being forced to submit to higher military authority. Players generally can choose whether they want their characters to try to continue the war, get back home (wherever that may be), join one of the new power groups wherever they are, simply survive as mercenaries or marauders, or some combination. In 1990, realizing that the game's background was in danger of becoming obsolete, GDW published Merc 2000, an alternative campaign setting which revolved around mercenaries fighting brushfire wars in a time in which the Twilight War never occurred. After Merc 2000 was released, many supplements and articles printed in GDW's Challenge Magazine featured Twilight: 2000 with equipment and background conversions to Merc 2000 or were Merc 2000-only. In 1991, GDW licensees Paragon developed the Twilight 2000 computer game adaptation (complete with expansion, "the Colonel") depicting a squad of 20 soldiers stranded behind enemy lines in Poland, struggling against the despot Baron Czarny. Supplements GDW produced over 40 supplements for Twilight: 2000, including: The Free City of Krakow, 1985 Howling Wilderness, 1988 Survivors' Guide to the United Kingdom, 1990 White Eagle, 1990 Third Edition (Twilight: 2013) In 2006, 93 Games Studio announced that they had acquired the license to produce the official Twilight 2000 Version 3.0, and planned for a 2008 release with the title Twilight: 2013. According to the developers, the timeline leading to the Twilight War was completely re-written, and no longer focused on a Cold War confrontation between NATO, the Soviet Union and China. The Twilight: 2013 core rules were released on 8 November 2008 as a PDF. A print edition was also released. In December 2010, 93 Games Studio announced it was going out of business. Fourth Edition In 2020, Free League Publishing
game have been shattered (France and Belgium quit NATO and thus largely escaped war damage) with the US government splitting into the civilian and military governments, as has the military chain of command, supply lines, etc. The various military forces are presented as being much weaker than their stated sizes, occupying civilian territories and relying on civilians for food and small-scale manufacturing, and recruiting from civilian populations to some extent. This all means that the players can feel they are part of a military of some sort, without their characters being forced to submit to higher military authority. Players generally can choose whether they want their characters to try to continue the war, get back home (wherever that may be), join one of the new power groups wherever they are, simply survive as mercenaries or marauders, or some combination. In 1990, realizing that the game's background was in danger of becoming obsolete, GDW published Merc 2000, an alternative campaign setting which revolved around mercenaries fighting brushfire wars in a time in which the Twilight War never occurred. After Merc 2000 was released, many supplements and articles printed in GDW's Challenge Magazine featured Twilight: 2000 with equipment and background conversions to Merc 2000 or were Merc 2000-only. In 1991, GDW licensees Paragon developed the Twilight 2000 computer game adaptation (complete with expansion, "the Colonel") depicting a squad of 20 soldiers stranded behind enemy lines in Poland, struggling against the despot Baron Czarny. Supplements GDW produced over 40 supplements for Twilight: 2000, including: The Free City of Krakow, 1985 Howling Wilderness, 1988 Survivors' Guide to the United Kingdom, 1990 White Eagle, 1990 Third Edition (Twilight: 2013) In 2006, 93 Games Studio announced that they had acquired the license to produce the official Twilight 2000 Version 3.0, and planned for a 2008 release with the title Twilight: 2013. According to the developers, the timeline leading to the Twilight War was completely re-written, and no longer focused on a Cold War confrontation between NATO, the Soviet Union and China. The Twilight: 2013 core rules were released on 8 November 2008 as a PDF. A print edition was also released. In December 2010, 93 Games Studio announced it was going out of business. Fourth Edition In 2020, Free League Publishing announced they had received a licensed to publish a new edition of the Twilight: 2000 setting. The game has a new ruleset based on the Year Zero Engine, and background where the Soviet Union survives the fall of the Berlin wall and battle in central Europe is joined in 1998. It was released in November 2021 under the name Twilight : 2000 – Roleplaying in the World War III That Never Was. It featured two settings: Poland and Sweden. Alternative settings Merc 2000 Whereas Twilight 2000 was set in the immediate post-World War III era, with characters representing soldiers trying to survive, characters in Merc 2000 are mercenaries working for or against government forces in a world where the "Twilight War" involving nuclear weapons did not occur.Merc 2000 must be used with Twilight 2000 versions 2.0 through 2.2; the earlier first-edition Twilight: 2000 rules differ too much to be easily usable without extensive adaptation. The Merc 2000 rulebook details the game world, gives additional rules and equipment that will be more useful in mercenary campaigns than Twilight: 2000 ones. It also supplies some basic adventures to play. GDW also published a number of separate adventures for use with Merc 2000. Merc 2000 also has a supplemental rulebook called Special Forces that gives guidance for those wishing to play as members of a Special Forces unit. Additional equipment is described and there are more sample adventures. In GDW's own gaming magazine Challenge, they close the gaps between the setting of Merc 2000 and their future role-playing game Dark Conspiracy. Merc 2000 characters are confronted there with aliens as the world turns into the near-future setting of Dark Conspiracy. Cadillacs and Dinosaurs Cadillacs and Dinosaurs used the Twilight: 2000 rules and was set in Mark Schultz's underground comic book series Xenozoic Tales. () Dark Conspiracy Dark Conspiracy used the same set of rules to present a setting in which characters in a near future dystopia fought monsters which hunted human beings. OPFOR Games Characters in Twilight 2000 games are typically representative of US and NATO military forces. Within the T2K gaming community, games that are centered on a group of Soviet/Warsaw Pact characters are referred to as "OPFOR games" for opposing force. There are no full OPFOR games as published adventures, but the concept is a popular PBEM scenario. Awards At Origins 1985, Twilight 2000 was awarded the H.G. Wells Award for "Best Roleplaying Rules of 1984". Reception Rick Swan and Greg Porter reviewed Twilight: 2000 in Space Gamer No. 74. Swan commented that "Whether or not Twilight: 2000 becomes a standard remains to be seen, but it certainly fills a niche and does so successfully; I hope it finds an audience with roleplayers and wargamers alike. As a design, it's nothing spectacular, but as a concept, it's an innovation." Porter commented that "All told, Twilight: 2000 is a tragic waste of [money]. The nice concept and character generation system are completely overrun by innumerable
and the Higher School Certificate. Some universities, e.g. Charles Darwin University and Royal Melbourne Institute of Technology, offer TAFE courses; these are funded by the local state and territory governments. Some high schools also deliver courses developed and accredited by TAFEs. Some private institutions also offer courses from TAFEs, however they more commonly offer other vocational education and training courses. Many Australians refer to all sub-degree courses as "TAFE" courses, no matter what institution creates or delivers the course. Before the 1990s, the TAFEs had a near monopoly in the sector. TAFE courses provide students an opportunity for certificate, diploma, and advanced diploma qualifications in a wide range of areas. TAFE colleges by state/territory In most cases, TAFE campuses are grouped into TAFE institutions or institutes along geographic lines. Most TAFEs are given a locally recognised region of the country where they exclusively operate covering a wide range of subjects. A few TAFEs specialise in a single area of study. These are usually found near the middle of the capital cities, and they service the whole state or territory. For example, the Trade and Technician Skills Institute in Brisbane, from 1 July 2006, has specialised in automotive, building and construction, manufacturing and engineering, and electrical/electronic studies for students throughout Queensland and the William Angliss Institute of TAFE in Melbourne has specialised in food, hospitality and tourism courses for Victoria. Australian Capital Territory In the Australian Capital Territory, these include: Canberra Institute of Technology New South Wales There are ten TAFE NSW Institutes in NSW, namely: Hunter Institute Illawarra Institute New England Institute North Coast Institute Northern Sydney Institute Riverina Institute South Western Sydney Institute Sydney Institute Western Institute Western Sydney Institute, including OTEN Northern Territory In the Northern Territory, these include: Charles Darwin University Batchelor Institute of Indigenous Tertiary Education Queensland In Queensland, TAFE Queensland includes: As of May 2014, the TAFE institutes have amalgamated into six regions of the central TAFE Queensland (parent body). The regions of TAFE Queensland are: Brisbane (formerly Brisbane North Institute of TAFE, Metropolitan South Institute of TAFE and Southbank Institute of Technology) Gold Coast (formerly Gold Coast Institute of TAFE) East Coast (formerly Sunshine Coast Institute of TAFE and Wide Bay Institute of TAFE) South West (formerly Bremer Institute of TAFE and Southern Queensland Institute of TAFE) North (formerly Barrier Reef Institute of TAFE, Mount Isa Institute of TAFE and Tropical North Queensland TAFE) SkillsTech (formerly SkillsTech Australia) And as of the 1st of July 2014, Central Queensland TAFE (branded as CQ TAFE) was merged into Central Queensland University (branded as CQUniversity) to create Queensland's first dual sector university. South Australia In South Australia: TAFE SA Tasmania In Tasmania, there are two government TAFE organisations: TAFE Tasmania includes: Institute of TAFE Tasmania (general) Drysdale Institute (for tourism and hospitality) Australian Maritime College TAFE (maritime studies) Victoria In Victoria these include: Bendigo Regional Institute of TAFE (Local: Bendigo-Echuca) Box Hill Institute of TAFE (Local: Eastern Melbourne, Specialist: Short courses) Chisholm Institute (Local: South East Melbourne) East Gippsland Institute of TAFE (Local: East Gippsland) Central Gippsland Institute of TAFE (Local: West and South Gippsland, Specialist: High-voltage electrical) Federation TAFE (Local: Ballarat and Horsham - Central Highlands/Wimmera, Specialist: Agriculture & Horticulture, Building & Construction, Business & IT, Community Services, Food & Hospitality, Hair & Beauty, Manufacturing Engineering) Gordon Institute of TAFE (Local: Geelong) Goulburn Ovens Institute of TAFE (Local: North East Victoria) Holmesglen Institute of TAFE (Local: Eastern Melbourne) Kangan Institute (Local: North West Melbourne, Specialist: Automotive, Fashion) Melbourne Polytechnic (Local: Northern and inner East Melbourne, Specialist: Equine, Aquaculture, Agriculture, Viticulture, Music) RMIT University (Specialist: Various) South West Institute of TAFE (Local: Western District) Sunraysia Institute of TAFE (Local: North West Victoria)
pay full fees and are not entitled to Commonwealth Government supported student fee loans, known as HECS loans, but may access a FEE-HELP loan scheme. While Universities have the ability and power to design and offer their own degree courses, each TAFE degree course must be assessed and approved by the Higher Education Accreditation Committee (HEAC). TAFEs in some states can also teach senior high school qualifications, like the Victorian Certificate of Education, Victorian Certificate of Applied Learning, and the Higher School Certificate. Some universities, e.g. Charles Darwin University and Royal Melbourne Institute of Technology, offer TAFE courses; these are funded by the local state and territory governments. Some high schools also deliver courses developed and accredited by TAFEs. Some private institutions also offer courses from TAFEs, however they more commonly offer other vocational education and training courses. Many Australians refer to all sub-degree courses as "TAFE" courses, no matter what institution creates or delivers the course. Before the 1990s, the TAFEs had a near monopoly in the sector. TAFE courses provide students an opportunity for certificate, diploma, and advanced diploma qualifications in a wide range of areas. TAFE colleges by state/territory In most cases, TAFE campuses are grouped into TAFE institutions or institutes along geographic lines. Most TAFEs are given a locally recognised region of the country where they exclusively operate covering a wide range of subjects. A few TAFEs specialise in a single area of study. These are usually found near the middle of the capital cities, and they service the whole state or territory. For example, the Trade and Technician Skills Institute in Brisbane, from 1 July 2006, has specialised in automotive, building and construction, manufacturing and engineering, and electrical/electronic studies for students throughout Queensland and the William Angliss Institute of TAFE in Melbourne has specialised in food, hospitality and tourism courses for Victoria. Australian Capital Territory In the Australian Capital Territory, these include: Canberra Institute of Technology New South Wales There are ten TAFE NSW Institutes in NSW, namely: Hunter Institute Illawarra Institute New England Institute North Coast Institute Northern Sydney Institute Riverina Institute South Western Sydney Institute Sydney Institute Western Institute Western Sydney Institute, including OTEN Northern Territory In the Northern Territory, these include: Charles Darwin University Batchelor Institute of Indigenous Tertiary Education Queensland In Queensland, TAFE Queensland includes: As of May 2014, the TAFE institutes have amalgamated into six regions of the central TAFE Queensland (parent body). The regions of TAFE Queensland are: Brisbane (formerly Brisbane North Institute of TAFE, Metropolitan South Institute of TAFE and Southbank Institute of Technology) Gold Coast (formerly Gold Coast Institute of TAFE) East Coast (formerly Sunshine Coast Institute of TAFE and Wide Bay Institute of TAFE) South West (formerly Bremer Institute of TAFE and Southern Queensland Institute of TAFE) North (formerly Barrier Reef Institute of TAFE, Mount Isa Institute of TAFE and Tropical North Queensland TAFE) SkillsTech (formerly SkillsTech Australia) And as of the 1st of July 2014, Central Queensland TAFE (branded as CQ TAFE) was merged into Central Queensland University (branded as CQUniversity) to create Queensland's first dual sector university. South Australia In South Australia: TAFE SA Tasmania In Tasmania, there are two government TAFE organisations: TAFE Tasmania includes: Institute of TAFE Tasmania (general) Drysdale Institute (for
impasse with the Russians by focusing the discussion on maps of the future boundaries. Trotsky summarised their situation "Germany and Austria-Hungary are cutting off from the domains of the former Russian Empire territories more than 150,000 square kilometers in size". He was granted a nine-day recess for the Russians to decide whether to sign. In Petrograd, Trotsky argued passionately against signing and proposed that instead, "they should announce the termination of the war and demobilization without signing any peace." Lenin was for signing rather than having an even more ruinous treaty forced on them after a few more weeks of military humiliation. The "Left Communists", led by Nikolai Bukharin and Karl Radek, were sure that Germany, Austria, Turkey, and Bulgaria were all on the verge of revolution. They wanted to continue the war with a newly-raised revolutionary force while awaiting for these upheavals. Consequently, Lenin agreed to Trotsky's formula—a position summed up as "no war – no peace"—which was announced when the negotiators reconvened on 10 February 1918. The Soviets thought that their stalling was succeeding until 16 February when Hoffmann notified them that the war would resume in two days, when fifty-three divisions advanced against the near-empty Soviet trenches. On the night of 18 February, the Central Committee supported Lenin's resolution that they sign the treaty by a margin of seven to five. Hoffmann kept advancing until 23 February when he presented new terms that included the withdrawal of all Soviet troops from Ukraine and Finland. The Soviets were given 48 hours to open negotiations with the Germans, and another 72 to conclude them. Lenin told the Central Committee that "you must sign this shameful peace in order to save the world revolution". If they did not agree, he would resign. He was supported by six Central Committee members, opposed by three, with Trotsky and three others abstaining. Debate in the All-Russian Central Executive Committee was intense, with Left SRs jeering Lenin as a traitor. The measure passed 116 to 85. Trotsky resigned as foreign minister and was replaced by Georgy Chicherin. When Sokolnikov arrived at Brest-Litovsk, he declared "we are going to sign immediately the treaty presented to us as an ultimatum but at the same time refuse to enter into any discussion of its terms". The treaty was signed at 17:50 on 3 March 1918. Terms Signing The Treaty of Brest-Litovsk was signed on 3 March 1918. The signatories were Soviet Russia signed by Grigori Sokolnikov on the one side and the German Empire, Austria-Hungary, Bulgaria, and Ottoman Empire on the other. The treaty marked Russia's final withdrawal from World War I as an enemy of her co-signatories, on severe terms. In all, the treaty took away territory that included a quarter of the population and the industry of the former Russian Empire and nine tenths of its coal mines. Territorial cessions in eastern Europe Russia renounced all territorial claims in Finland (whose independence it had already recognized), Estonia, Latvia, Lithuania, most of Belarus, and Ukraine. (The territory of the Kingdom of Poland was not mentioned in the treaty because Russian Poland had been in possession of the White movement, not the Bolsheviks.) The treaty stated that "Germany and Austria-Hungary intend to determine the future fate of these territories in agreement with their populations." Most of the territories were in effect ceded to Germany, which intended to have them become economic and political dependencies, where the local German-speaking minority would be the ruling elite. New monarchies were to be created in Lithuania and the proposed "United Baltic Duchy" (which was planned to comprise Latvia and Estonia). Later in 1918, German aristocrats Wilhelm Karl, Duke of Urach (for Lithuania), and Adolf Friedrich, Duke of Mecklenburg-Schwerin (for the planned United Baltic Duchy), were nominally appointed, however in reality never became, rulers of these envisaged new pro-German countries. This plan was detailed by German Colonel General Erich Ludendorff, who wrote, "German prestige demands that we should hold a strong protecting hand, not only over German citizens, but over all Germans." The occupation of the western part of former Russian Empire ultimately proved a costly blunder for Berlin, as over one million German troops lay sprawled out from Poland nearly to the Caspian Sea, all idle and depriving Germany of badly needed manpower in France. The hopes of utilizing Ukraine's grain and coal proved abortive; in addition, the local population became increasingly hostile to the occupation. Revolts and guerrilla warfare began breaking out all over the occupied territory, many of them inspired by Bolshevik agents. German troops also had to intervene in the Finnish Civil War, and Ludendorff became increasingly concerned that his troops were being affected by propaganda emanating from Moscow, which was one of the reasons he was reluctant to transfer divisions to the Western Front. The attempt at establishing an independent Ukrainian state under German guidance was unsuccessful as well. However, Ludendorff completely ruled out the idea of marching on Moscow and Petrograd to remove the Bolshevik government from power. Germany transferred hundreds of thousands of veteran troops to the Western Front for the 1918 Spring Offensive, which shocked the Allied Powers but ultimately failed. Some Germans later blamed the occupation for significantly weakening the Spring Offensive. Estonia, Latvia, Lithuania, Poland, Belarus, and Ukraine became independent, while Bessarabia united with Romania. Russia lost 34% of its population, 54% of its industrial land, 89% of its coalfields, and 26% of its railways. Russia was also fined 300 million gold marks. Territorial cessions in the Caucasus At the insistence of Talaat Pasha, the treaty declared that the territory Russia took from the Ottoman Empire in the Russo-Turkish War (1877–1878), specifically Ardahan, Kars, and Batumi, were to be returned. At the time of the treaty, this territory was under the effective control of Armenian and Georgian forces. Paragraph 3 of Article IV of the treaty stated that: Armenia, Azerbaijan and Georgia rejected the treaty and instead declared independence. They formed the short-lived Transcaucasian Democratic Federative Republic. Soviet-German financial agreement of August 1918 In the wake of Soviet repudiation of Tsarist bonds, the nationalisation of foreign-owned property and confiscation of foreign assets, and Entente forces landing on Russian territory, the Soviets and Germany signed an additional agreement on 27 August 1918. The Soviets agreed to pay six billion marks in compensation for German losses. The amount was equal to 300 million rubles. The Soviets additionally agreed to sell Germany 25% of the output of the Baku oil fields. Three secret clauses provided for German military action against Entente forces on Russian soil, as well as the expulsion of British troops from Baku. Lasting effects The treaty meant that Russia now was helping Germany win the war by freeing up a million German soldiers for the Western Front and by "relinquishing much of Russia's food supply, industrial base, fuel supplies, and communications with Western Europe". According to historian Spencer Tucker, the Allied Powers felt that "The treaty was the ultimate betrayal of the Allied cause and sowed the seeds for the Cold War. With Brest-Litovsk, the spectre of German domination in Eastern Europe threatened to become reality, and the Allies now began to think seriously about military intervention [in Russia]." For the Western Allied Powers, the terms that Germany had imposed on Russia were interpreted as a warning of what to expect if the Central Powers won the war. Between Brest-Litovsk and the point when the situation in the Western Front became dire, some officials in the German government and the high command began to favor offering more lenient terms to the Allied Powers in exchange for their recognition of German gains in the east. The treaty marked a significant contraction of the territory controlled by the Bolsheviks or that they could lay claim to as effective successors of the Russian Empire. While the independence of Poland was already accepted by them in principle, and Lenin had signed a document accepting the Finnish independence, the loss of Ukraine and the Baltics created, from the Bolshevik perspective, dangerous bases of anti-Bolshevik military activity in the subsequent Russian Civil War
an armistice between Soviet Russia and the Central Powers was concluded. On 22 December, peace negotiations began in Brest-Litovsk. Arrangements for the conference were the responsibility of General Max Hoffmann, the chief of staff of the Central Powers' forces on the Eastern Front (Oberkommando-Ostfront). The delegations that had negotiated the armistice were made stronger. Prominent additions on the Central Powers' side were the foreign ministers of Germany, Richard von Kühlmann, and Austria-Hungary, Count Ottokar Czernin, both the Ottoman grand vizier Talaat Pasha and Foreign Minister Nassimy Bey. The Bulgarians were headed by Minister of Justice Popoff, who was later joined by Prime Minister Vasil Radoslavov. The Soviet delegation was led by Adolph Joffe, who had already led their armistice negotiators, but his group was made more cohesive by eliminating most of the representatives of social groups, like peasants and sailors, and the addition of tsarist general Aleksandr Samoilo and the noted Marxist historian Mikhail Pokrovsky. It still included Anastasia Bitsenko, a former assassin, representing the Left Socialist-Revolutionaries who were at odds with the Bolsheviks. Again, the negotiators met in the fortress in Brest-Litovsk, and the delegates were housed in temporary wooden structures in its courtyards because the city had been burnt to the ground in 1915 by the retreating Russian army. They were cordially welcomed by the German commander of the Eastern Front, Prince Leopold of Bavaria, who sat with Joffe on the head table at the opening banquet with one hundred guests. As they had during the armistice negotiations, both sides continued to eat dinner and supper together amicably intermingled in the officers' mess. When the conference convened Kühlmann asked Joffe to present the Russian conditions for peace. He made six points, all variations of the Bolshevik slogan of peace with "no annexations or indemnities". The Central Powers accepted the principles "but only in case all belligerents [including the nations of the Entente] without exception pledge themselves to do the same". They did not intend to annex territories occupied by force. Joffe telegraphed the marvelous news to Petrograd. Thanks to informal chatting in the mess, one of Hoffmann's aides, Colonel Friedrich Brinckmann, realized that the Russians had optimistically misinterpreted the Central Powers' meaning. It fell to Hoffmann to set matters straight at dinner on 27 December: Poland, Lithuania and Courland, already occupied by the Central Powers, were determined to separate from Russia on the principle of self-determination that the Bolsheviks themselves espoused. Joffe "looked as if he had received a blow on the head". Pokrovsky wept as he asked how they could speak of "peace without annexations when Germany was tearing eighteen provinces away from the Russian state". The Germans and the Austro-Hungarians planned to annex slices of Polish territory and to set up a rump Polish state with what remained. The Baltic provinces were to become client states ruled by German princes. Czernin was beside himself that this hitch that was slowing the negotiations; self-determination was anathema to his government and they urgently needed grain from the east because Vienna was on the verge of starvation. He proposed to make a separate peace. Kühlmann warned that if they negotiated separately, Germany would immediately withdraw all its divisions from the Austrian front; Czernin dropped that threat. The food crisis in Vienna was eventually eased by "forced drafts of grain from Hungary, Poland, and Romania and by a last moment contribution from Germany of 450 truck-loads of flour". At Russian request, they agreed to recess the talks for twelve days. The Soviets' only hopes were that time would make their allies agree to join the negotiations or that the western European proletariat would revolt and so their best strategy was to prolong the negotiations. As Foreign Minister Leon Trotsky wrote, "To delay negotiations, there must be someone to do the delaying". Therefore, Trotsky replaced Joffe as the leader. On the other side were significant political realignments. On New Year's Day in Berlin, the Kaiser insisted that Hoffmann reveal his views on the future German-Polish border. He advocated taking a small slice of Poland; Hindenburg and Ludendorff wanted much more. They were furious with Hoffmann for breaching the chain of command and wanted him to be dismissed and sent to command a division. The Kaiser refused, but Ludendorff no longer spoke with Hoffmann on the telephone since the communication was now through an intermediary. The German Supreme Commanders were also furious at ruling out of annexations, contending that the peace "must increase Germany's material power". They denigrated Kühlmann and pressed for additional territorial acquisitions. When Hindenburg was asked why they needed the Baltic provinces he replied, "To secure my left flank for when the next war happens." However, the most profound transformation was that a delegation from the Ukrainian Rada, which had declared independence from Russia, had arrived at Brest-Litovsk. They would make peace if they were given the Polish city of Cholm and its surroundings, and they would provide desperately needed grain. Czernin no longer was desperate for a prompt settlement with the Russians. When they reconvened, Trotsky declined the invitation to meet Prince Leopold and terminated shared meals and other sociable interactions with the representatives of the Central Powers. Day after day, Trotsky "engaged Kühlmann in debate, rising to subtle discussion of first principles that ranged far beyond the concrete territorial issues that divided them". The Central Powers signed a peace treaty with Ukraine during the night of 8–9 February even though the Russians had retaken Kiev. German and Austro-Hungarian troops entered Ukraine to prop up the Rada. Finally, Hoffmann broke the impasse with the Russians by focusing the discussion on maps of the future boundaries. Trotsky summarised their situation "Germany and Austria-Hungary are cutting off from the domains of the former Russian Empire territories more than 150,000 square kilometers in size". He was granted a nine-day recess for the Russians to decide whether to sign. In Petrograd, Trotsky argued passionately against signing and proposed that instead, "they should announce the termination of the war and demobilization without signing any peace." Lenin was for signing rather than having an even more ruinous treaty forced on them after a few more weeks of military humiliation. The "Left Communists", led by Nikolai Bukharin and Karl Radek, were sure that Germany, Austria, Turkey, and Bulgaria were all on the verge of revolution. They wanted to continue the war with a newly-raised revolutionary force while awaiting for these upheavals. Consequently, Lenin agreed to Trotsky's formula—a position summed up as "no war – no peace"—which was announced when the negotiators reconvened on 10 February 1918. The Soviets thought that their stalling was succeeding until 16 February when Hoffmann notified them that the war would resume in two days, when fifty-three divisions advanced against the near-empty Soviet trenches. On the night of 18 February, the Central Committee supported Lenin's resolution that they sign the treaty by a margin of seven to five. Hoffmann kept advancing until 23 February when he presented new terms that included the withdrawal of all Soviet troops from Ukraine and Finland. The Soviets were given 48 hours to open negotiations with the Germans, and another 72 to conclude them. Lenin told the Central Committee that "you must sign this shameful peace in order to save the world revolution". If they did not agree, he would resign. He was supported by six Central Committee members, opposed by three, with Trotsky and three others abstaining. Debate in the All-Russian Central Executive Committee was intense, with Left SRs jeering Lenin as a traitor. The measure passed 116 to 85. Trotsky resigned as foreign minister and was replaced by Georgy Chicherin.
organization was appointed to oversee their restoration and maintenance. The theaters underwent renovation for Broadway shows, conversion for commercial purposes, or demolition. Opposition to the towers on Times Square, along with Prudential and Park Tower's inability to secure tenants for the proposed buildings, led government officials to allow Prudential and Park Tower to postpone the project in 1992. By then, Prudential had spent $300 million on condemning the sites through eminent domain. The partners retained the right to develop the sites in the future, and the ESDC's zoning guidelines remained in effect. In exchange for being permitted to delay construction of the sites until 2002, Prudential and Park Tower were compelled to add stores and install large signage on the existing buildings. In 1992, the Times Square Alliance (formerly the Times Square Business Improvement District, or "BID" for short), a coalition of city government and local businesses dedicated to improving the quality of commerce and cleanliness in the district, started operations in the area. In 1998, the alliance opened a tourist information center in the former Embassy Theatre at 1560 Broadway; the information center operated until 2014. In the mid-1990s, Mayor Rudolph Giuliani led an effort to clean up the area, an effort that is described by Steve Macek in Urban Nightmares: The Media, the Right, and the Moral Panic Over the City: Security was increased, pornographic theatres were closed, and "undesirable" low-rent residents were pressured to relocate, and then more tourist-friendly attractions and upscale establishments were opened. Advocates of the remodeling claim that the neighborhood is safer and cleaner. Detractors have countered that the changes have homogenized or "Disneyfied" the character of Times Square and have unfairly targeted lower-income New Yorkers from nearby neighborhoods such as Hell's Kitchen. The changes were shaped in large part by the actions of The Walt Disney Company, which bought and restored the New Amsterdam Theatre after several attempts at redevelopment had failed. As part of a contract with Disney, officials from the city and state evicted the pornographic theaters and contracted with Madame Tussauds and AMC Theatres to move onto 42nd Street. This spurred the construction of new office towers, hotels, and tourist attractions in the area. Prudential and Klein dissolved their partnership for the four office-building sites at Times Square's southern end in 1996. The same year, Douglas Durst acquired the site at the northeast corner of Broadway and 42nd Street, and he developed 4 Times Square there. The northwest corner of Seventh Avenue and 42nd Street was taken by Reuters, which enlisted Rudin Management as its development partner and built 3 Times Square on that corner; that building opened in 2001. In 1998, a joint venture of Klein, The Blackstone Group, and Boston Properties won the right to acquire the sites at the southwest and southeast corners of 42nd Street and Seventh Avenue for $330 million. 5 Times Square was completed on the southwest-corner site in 2002, and Times Square Tower opened on the southeast-corner site in 2004. Effects Times Square now boasts attractions such as ABC's Times Square Studios, where Good Morning America is broadcast live; competing Hershey's and M&M's stores across the street from each other, and multiple multiplex movie theaters. Additionally, the area contains restaurants such as the Bubba Gump Shrimp Company, a seafood establishment; Planet Hollywood Restaurant and Bar, a theme restaurant; and Carmine's, serving Italian cuisine. It has also attracted several large financial, publishing, and media firms to set up headquarters in the area. A larger presence of police has improved the safety of the area. The theatres of Broadway and the huge number of animated neon and LED signs have been one of New York's iconic images as well as a symbol of the intensely urban aspects of Manhattan. Since 1987 such signage has been mandated by zoning ordinances that require building owners to display illuminated signs, the only district in New York City with this requirement. The neighborhood has a minimum limit for lighting instead of the standard maximum limit. The density of illuminated signs in Times Square rivals that in Las Vegas. Officially, signs in Times Square are called "spectaculars", and the largest of them are called "jumbotrons". This signage ordinance was implemented in accordance with guidelines set in a revitalization program that New York Governor Mario Cuomo implemented in 1993. Notable signage includes the Toshiba billboard directly under the NYE ball drop, the curved seven-story NASDAQ sign at the NASDAQ MarketSite at 4 Times Square on 43rd Street, and the curved Coca-Cola sign located underneath another large LED display owned and operated by Samsung. Both the Coca-Cola sign and Samsung LED displays were built by LED display manufacturer Daktronics. Times Square's first environmentally friendly billboard powered by wind and solar energy was first lit on December 4, 2008. On completion, the 20 Times Square development will host the largest LED signage in Times Square at 18,000 square feet. The display will be 1,000 square feet larger than the Times Square Walgreens display and one of the largest video-capable screens in the world. 2000s–present In 2002, New York City mayor Rudy Giuliani administered the oath of office to the city's next mayor, Michael Bloomberg, at Times Square after midnight on January 1 as part of the 2001–02 New Year's celebration. Approximately 500,000 revelers attended. Security was high following the September 11 terrorist attacks in 2001, with more than 7,000 New York City police officers on duty in the Square, twice the number for an ordinary year. Times Square started hosting other major annual events in the 2000s. Since 2002, the summer solstice has been marked by "Mind over Madness", a mass yoga event involving up to 15,000 people. Tim Tompkins, a co-founder of the event, said part of its appeal was "finding stillness and calm amid the city rush on the longest day of the year". Architect Mark Foster Gage proposed and designed the original Times Square Valentine's Day heart in 2009. Since then, designing the heart has become an annual competition. In February 2011, Times Square became smoke-free as New York extended the outdoors smoking ban to the area. The measure imposed a $50 fine for any person caught smoking within the area. From January 29 to February 1, 2014, a "Super Bowl Boulevard" was held on Broadway, especially in Times Square, between 34th and 47th Streets, as part of Super Bowl XLVIII. The boulevard contained activities such as autographs, a -high toboggan run, and photographs with the Vince Lombardi Trophy. The area was under increased security and saw over 400,000 people during the period. Pedestrian plaza On February 26, 2009, Mayor Michael Bloomberg announced that traffic lanes along Broadway from 42nd Street to 47th Street would be de-mapped starting Memorial Day 2009 and transformed into pedestrian plazas as a trial until at least the end of the year. The same was done in Herald Square from 33rd to 35th Street. The goal was to ease traffic congestion throughout the midtown grid. The results were to be closely monitored to determine if the project was successful and should be extended. Bloomberg also stated that he believed the street shutdown would make New York more livable by reducing pollution, cutting down on pedestrian-vehicle accidents, and helping traffic flow more smoothly. The pedestrian plaza project was originally opposed by local businesses, who thought that closing the street to cars would hurt business. The original seats put out for pedestrians were inexpensive multicolored plastic lawn chairs, a source of amusement to many New Yorkers; they lasted from the onset of the plaza transformation until August 14, 2009, when they were ceremoniously bundled together in an installation christened Now You See It, Now You Don't by the artist Jason Peters, and shortly afterward were replaced by sturdier metal furniture. Although the plaza had mixed results on traffic in the area, injuries to motorists and pedestrians decreased, fewer pedestrians were walking in the road, and the number of pedestrians in Times Square increased. On February 11, 2010, Bloomberg announced that the pedestrian plazas would become permanent. The city started rebuilding the plaza in 2010, hiring the design and landscaping firm Snøhetta to permanently replace Broadway's roadway with custom-made granite pavers and benches. By December 2013, the first phase of the Times Square pedestrian plaza had been completed at the southern end of the square in time for the Times Square Ball drop on New Year's Eve. The project was originally intended to be completed by the end of 2015. The entire project was finally completed just before New Year's Eve 2016. Some safety bollards were also installed as part of the renovation to prevent vehicular attacks or collisions on the sidewalk. After a fatal 2017 car crash, there were calls to install more bollards along Times Square. Times Square's pedestrian plaza is frequented by topless women (with painted breasts) called "desnudas", as well as costumed characters, who typically panhandle for tips. The pedestrian plaza became a source of controversy in the summer of 2015 because of a large number of complaints about the topless women and panhandling characters. Although neither of these activities was illegal, opponents believed that the panhandlers' presence was detrimental to the quality of life in the area. There were calls from Police Commissioner Bratton and Mayor Bill de Blasio to remove the plaza, although Manhattan Borough President Gale Brewer opposed the proposal. In June 2016, work started on "pedestrian flow zones" where no one was allowed to loiter, as well as "activity zones" where costumed characters were allowed to perform. Incidents There have been several incidents in Times Square: On the morning of March 6, 2008, a small bomb caused minor damage, but there were no reported injuries. On May 1, 2010, Times Square was evacuated from 43rd to 46th Streets following the discovery of a car bomb. It was found to be a failed bombing. On May 18, 2017, a car crash at Times Square killed one person and injured 22 others. On August 7, 2019, shortly after the shootings in El Paso, Texas, and Dayton, Ohio, a backfiring motorcycle resulted in a stampede due to the sound being mistaken for gunfire; the stampede injured at least twelve people. On May 8, 2021, a dispute between a group of men led to a shooting in which three bystanders were wounded, including a four-year-old girl. On June 27, 2021, a dispute between a group of street vendors led to a shooting in which a 21-year-old bystander was wounded. Number of visitors Times Square is the most visited place globally with 360,000 pedestrian visitors a day, amounting to over 131 million a year. , it had a greater attendance than do each of the Disney theme parks worldwide, with 128,794,000 visitors between March 2012 and February 2013, versus 126,479,000 for the Walt Disney World theme parks in Bay Lake, Florida, in 2012. Even excluding residents from the visitor count, Times Square is the world's second most visited tourist attraction, behind the Las Vegas Strip. The high level of pedestrian traffic has resulted in $4.8 billion in annual retail, entertainment, and hotel sales, with 22 cents out of every dollar spent by visitors in New York City being spent within Times Square. New Year's Eve celebrations Times Square is the site of the annual New Year's Eve ball drop. About one million revelers crowd Times Square for the New Year's Eve celebrations, more than twice the usual number of visitors the area usually receives daily. However, for the millennium celebration on December 31, 1999, published reports stated approximately two million people overflowed Times Square, flowing from Sixth Avenue to Eighth Avenue and back on Broadway and Seventh Avenue to 59th Street, making it the largest gathering in Times Square since August 1945 during celebrations marking the end of World War II. On December 31, 1907, a ball signifying New Year's Day was first dropped at Times Square, and the Square has held the main New Year's celebration in New York City ever since. On that night, hundreds of thousands of people congregate to watch the Waterford Crystal ball being lowered on a pole atop the building, marking the start of the new year. It replaced a lavish fireworks display from the top of the building that was held from 1904 to 1906 but stopped by city officials because of the danger of fire. Beginning in 1908, and for more than eighty years thereafter, Times Square sign maker Artkraft Strauss was responsible for the ball-lowering. During World War II, a minute of silence, followed by a recording of church bells pealing, replaced the ball drop because of wartime blackout restrictions. Today, Countdown Entertainment and One Times Square handle the New Year's Eve event in conjunction with the Times Square Alliance. A new energy-efficient LED ball debuted for the arrival of 2008, which was the centennial of the Times Square ball drop. The 2008–09 ball is larger and has become a permanent installation as a year-round
in rank, right up to the highest levels." The city government did not implement broken windows theory at first, and the allowance of low-profile crime was thought by some at the time to have caused more high-profile crimes to occur. Formerly elegant movie theaters began to show porn, and hustlers were common. The area was so abandoned at one point during the time that the entire Times Square area paid the city only $6 million in property taxes (about $ million in ). 1980s building boom In the 1980s, a commercial building boom began in the western parts of Midtown as part of a long-term development plan developed under mayors Ed Koch and David Dinkins. These included office buildings such as 1540 Broadway, 1585 Broadway, and 750 Seventh Avenue, as well as hotels such as the Macklowe Hotel, Marriott Marquis, Crowne Plaza, and DoubleTree Suites. By 1986, New York City Planning Commission (CPC) was considering enacting regulations that would have forced new buildings along Times Square to include bright signage as well as deep setbacks. The CPC adopted a planning regulation in 1987, which required large new developments in Times Square to set aside about 5 percent of their space for "entertainment uses". The regulation also required new buildings on Times Square to include large, bright signs. The buildings at 1540 Broadway, 1585 Broadway, and 750 Seventh Avenue were completed at with the beginning of the early 1990s recession, when 14.5 percent of Manhattan office space was vacant. Furthermore, some of office space in the western section of Midtown had been developed in the 1980s, of which only half had been leased. Consequently, 1540 Broadway was completely empty, while 1585 Broadway and 750 Seventh Avenue had one tenant each, despite the buildings having over of office space between them. Entertainment conglomerate Bertelsmann bought 1540 Broadway in 1992, spurring a revival of Times Square in the early 1990s. This was hastened when financial firm Morgan Stanley bought 1585 Broadway in 1993, followed by 750 Seventh Avenue in 1994. 42nd Street Redevelopment, further revitalization The Empire State Development Corporation (ESDC), an agency of the New York state government, had proposed redeveloping the area around a portion of West 42nd Street in 1981. Four towers designed by Philip Johnson and John Burgee were to be built around 42nd Street's intersections with Broadway and Seventh Avenue. These towers would have been redeveloped by George Klein of Park Tower Realty, though the Prudential Insurance Company of America joined the project in 1986. Furthermore, as part of the West Midtown special zoning district created in 1982, the New York City government had allowed new buildings in Times Square to be developed with an increased floor area ratio. To ensure the area would not be darkened at nightfall, the city passed zoning regulations that encouraged developers to add large, bright signs on their buildings. In 1990, the State of New York took possession of six of the nine historic theaters on 42nd Street, and the New 42nd Street non-profit organization was appointed to oversee their restoration and maintenance. The theaters underwent renovation for Broadway shows, conversion for commercial purposes, or demolition. Opposition to the towers on Times Square, along with Prudential and Park Tower's inability to secure tenants for the proposed buildings, led government officials to allow Prudential and Park Tower to postpone the project in 1992. By then, Prudential had spent $300 million on condemning the sites through eminent domain. The partners retained the right to develop the sites in the future, and the ESDC's zoning guidelines remained in effect. In exchange for being permitted to delay construction of the sites until 2002, Prudential and Park Tower were compelled to add stores and install large signage on the existing buildings. In 1992, the Times Square Alliance (formerly the Times Square Business Improvement District, or "BID" for short), a coalition of city government and local businesses dedicated to improving the quality of commerce and cleanliness in the district, started operations in the area. In 1998, the alliance opened a tourist information center in the former Embassy Theatre at 1560 Broadway; the information center operated until 2014. In the mid-1990s, Mayor Rudolph Giuliani led an effort to clean up the area, an effort that is described by Steve Macek in Urban Nightmares: The Media, the Right, and the Moral Panic Over the City: Security was increased, pornographic theatres were closed, and "undesirable" low-rent residents were pressured to relocate, and then more tourist-friendly attractions and upscale establishments were opened. Advocates of the remodeling claim that the neighborhood is safer and cleaner. Detractors have countered that the changes have homogenized or "Disneyfied" the character of Times Square and have unfairly targeted lower-income New Yorkers from nearby neighborhoods such as Hell's Kitchen. The changes were shaped in large part by the actions of The Walt Disney Company, which bought and restored the New Amsterdam Theatre after several attempts at redevelopment had failed. As part of a contract with Disney, officials from the city and state evicted the pornographic theaters and contracted with Madame Tussauds and AMC Theatres to move onto 42nd Street. This spurred the construction of new office towers, hotels, and tourist attractions in the area. Prudential and Klein dissolved their partnership for the four office-building sites at Times Square's southern end in 1996. The same year, Douglas Durst acquired the site at the northeast corner of Broadway and 42nd Street, and he developed 4 Times Square there. The northwest corner of Seventh Avenue and 42nd Street was taken by Reuters, which enlisted Rudin Management as its development partner and built 3 Times Square on that corner; that building opened in 2001. In 1998, a joint venture of Klein, The Blackstone Group, and Boston Properties won the right to acquire the sites at the southwest and southeast corners of 42nd Street and Seventh Avenue for $330 million. 5 Times Square was completed on the southwest-corner site in 2002, and Times Square Tower opened on the southeast-corner site in 2004. Effects Times Square now boasts attractions such as ABC's Times Square Studios, where Good Morning America is broadcast live; competing Hershey's and M&M's stores across the street from each other, and multiple multiplex movie theaters. Additionally, the area contains restaurants such as the Bubba Gump Shrimp Company, a seafood establishment; Planet Hollywood Restaurant and Bar, a theme restaurant; and Carmine's, serving Italian cuisine. It has also attracted several large financial, publishing, and media firms to set up headquarters in the area. A larger presence of police has improved the safety of the area. The theatres of Broadway and the huge number of animated neon and LED signs have been one of New York's iconic images as well as a symbol of the intensely urban aspects of Manhattan. Since 1987 such signage has been mandated by zoning ordinances that require building owners to display illuminated signs, the only district in New York City with this requirement. The neighborhood has a minimum limit for lighting instead of the standard maximum limit. The density of illuminated signs in Times Square rivals that in Las Vegas. Officially, signs in Times Square are called "spectaculars", and the largest of them are called "jumbotrons". This signage ordinance was implemented in accordance with guidelines set in a revitalization program that New York Governor Mario Cuomo implemented in 1993. Notable signage includes the Toshiba billboard directly under the NYE ball drop, the curved seven-story NASDAQ sign at the NASDAQ MarketSite at 4 Times Square on 43rd Street, and the curved Coca-Cola sign located underneath another large LED display owned and operated by Samsung. Both the Coca-Cola sign and Samsung LED displays were built by LED display manufacturer Daktronics. Times Square's first environmentally friendly billboard powered by wind and solar energy was first lit on December 4, 2008. On completion, the 20 Times Square development will host the largest LED signage in Times Square at 18,000 square feet. The display will be 1,000 square feet larger than the Times Square Walgreens display and one of the largest video-capable screens in the world. 2000s–present In 2002, New York City mayor Rudy Giuliani administered the oath of office to the city's next mayor, Michael Bloomberg, at Times Square after midnight on January 1 as part of the 2001–02 New Year's celebration. Approximately 500,000 revelers attended. Security was high following the September 11 terrorist attacks in 2001, with more than 7,000 New York City police officers on duty in the Square, twice the number for an ordinary year. Times Square started hosting other major annual events in the 2000s. Since 2002, the summer solstice has been marked by "Mind over Madness", a mass yoga event involving up to 15,000 people. Tim Tompkins, a co-founder of the event, said part of its appeal was "finding stillness and calm amid the city rush on the longest day of the year". Architect Mark Foster Gage proposed and designed the original Times Square Valentine's Day heart in 2009. Since then, designing the heart has become an annual competition. In February 2011, Times Square became smoke-free as New York extended the outdoors smoking ban to the area. The measure imposed a $50 fine for any person caught smoking within the area. From January 29 to February 1, 2014, a "Super Bowl Boulevard" was held on Broadway, especially in Times Square, between 34th and 47th Streets, as part of Super Bowl XLVIII. The boulevard contained activities such as autographs, a -high toboggan run, and photographs with the Vince Lombardi Trophy. The area was under increased security and saw over 400,000 people during the period. Pedestrian plaza On February 26, 2009, Mayor Michael Bloomberg announced that traffic lanes along Broadway from 42nd Street to 47th Street would be de-mapped starting Memorial Day 2009 and transformed into pedestrian plazas as a trial until at least the end of the year. The same was done in Herald Square from 33rd to 35th Street. The goal was to ease traffic congestion throughout the midtown grid. The results were to be closely monitored to determine if the project was successful and should be extended. Bloomberg also stated that he believed the street shutdown would make New York more livable by reducing pollution, cutting down on pedestrian-vehicle accidents, and helping traffic flow more smoothly. The pedestrian plaza project was originally opposed by local businesses, who thought that closing the street to cars would hurt business. The original seats put out for pedestrians were inexpensive multicolored plastic lawn chairs, a source of amusement to many New Yorkers; they lasted from the onset of the plaza transformation until August 14, 2009, when they were ceremoniously bundled together in an installation christened Now You See It, Now You Don't by the artist Jason Peters, and shortly afterward were replaced by sturdier metal furniture. Although the plaza had mixed results on traffic in the area, injuries to motorists and pedestrians decreased, fewer pedestrians were walking in the road, and the number of pedestrians in Times Square increased. On February 11, 2010, Bloomberg announced that the pedestrian plazas would become permanent. The city started rebuilding the plaza in 2010, hiring the design and landscaping firm Snøhetta to permanently replace Broadway's roadway with custom-made granite pavers and benches. By December 2013, the first phase of the Times Square pedestrian plaza had been completed at the southern end of the square in time for the Times Square Ball drop on New Year's Eve. The project was originally intended to be completed by the end of 2015. The entire project was finally completed just before New Year's Eve 2016. Some safety bollards were also installed as part of the renovation to prevent vehicular attacks or collisions on the sidewalk. After a fatal 2017 car crash, there were calls to install more bollards along Times Square. Times Square's pedestrian plaza is frequented by topless women (with painted breasts) called "desnudas", as well as costumed characters, who typically panhandle for tips. The pedestrian plaza became a source of controversy in the summer of 2015 because of a large number of complaints about the topless women and panhandling characters. Although neither of these activities was illegal, opponents believed that the panhandlers' presence was detrimental to the quality of life in the area. There were calls from Police Commissioner Bratton and Mayor Bill de Blasio to remove the plaza, although Manhattan Borough President Gale Brewer opposed the proposal. In June 2016, work started on "pedestrian flow zones" where no one was allowed to loiter, as well as "activity zones" where costumed characters were allowed to perform. Incidents There have been several incidents in Times Square: On the morning of March 6, 2008, a small bomb caused minor damage, but there were no reported injuries. On May 1, 2010, Times Square was evacuated from 43rd to 46th Streets following the discovery of a car bomb. It was found to be a failed bombing. On May 18, 2017, a car crash at Times Square killed one person and injured 22 others. On August 7, 2019, shortly after the shootings in El Paso, Texas, and Dayton, Ohio, a backfiring motorcycle resulted in a stampede due to the sound being mistaken for gunfire; the stampede injured at least twelve people. On May 8, 2021, a dispute between a group of men led to a shooting in which three bystanders were wounded, including a four-year-old girl. On June 27, 2021, a dispute between a group of street vendors led to a shooting in which a 21-year-old bystander was wounded. Number of visitors Times Square is the most visited place globally with 360,000 pedestrian visitors a day, amounting to over 131 million a year. , it had a greater attendance than do each of the Disney theme parks worldwide, with 128,794,000 visitors between March 2012 and February 2013, versus 126,479,000 for the Walt Disney World theme parks in Bay Lake, Florida, in 2012. Even excluding residents from the visitor count, Times Square is the world's second most visited tourist attraction, behind the Las Vegas Strip. The high level of pedestrian traffic has resulted in $4.8 billion in annual retail, entertainment, and hotel sales, with 22 cents out of every dollar spent by visitors in New York City being spent within Times Square. New Year's Eve celebrations Times Square is the site of the annual New Year's Eve ball drop. About one million revelers crowd Times Square for the New Year's Eve celebrations, more than twice the usual number of visitors the area usually receives daily. However, for the millennium celebration on December 31, 1999, published reports stated approximately two million people overflowed Times Square, flowing from Sixth Avenue to Eighth Avenue and back on Broadway and Seventh Avenue to 59th Street, making it the largest gathering in Times Square since August 1945 during celebrations marking the end of World War II. On December 31, 1907, a ball signifying New Year's Day was first dropped at Times Square, and the Square has held the main New Year's celebration in New York City ever since. On that night, hundreds of thousands of people congregate to watch the Waterford Crystal ball being lowered on a pole atop the building, marking the start of the new year. It replaced a lavish fireworks display from the top of the building that was held from 1904 to 1906 but stopped by city officials because of the danger of fire. Beginning in 1908, and for more than eighty years thereafter, Times Square sign maker Artkraft Strauss was responsible for the ball-lowering. During World War II, a minute of silence, followed by a recording of church bells pealing, replaced the ball drop because of wartime blackout restrictions. Today, Countdown Entertainment and One Times Square handle the New Year's Eve event in conjunction with the Times Square Alliance. A new energy-efficient LED ball debuted for the arrival of 2008, which was the centennial of the Times Square
late 1960s, resulting in an LP recording of In C (1968) and A Rainbow in Curved Air (1969), brought his work to wider audiences. In the 1970s, he began intensive studies under Hindustani singer Pandit Pran Nath, whom he often accompanied in performance. He has collaborated frequently throughout his career, most extensively with chamber ensemble the Kronos Quartet and his son, guitarist Gyan Riley. Life Born in Colfax, California, in 1935, Riley began performing as a solo pianist during the 1950s. During that decade, he studied composition at San Francisco State University, the San Francisco Conservatory, and University of California, Berkeley, studying with Seymour Shifrin and Robert Erickson. He befriended composer La Monte Young, whose earliest minimalist compositions using sustained tones were an influence; together, Young and Riley performed Riley's improvisatory composition Concert for Two Pianists and Tape Recorders in 1959–60. Riley later became involved in the experimental San Francisco Tape Music Center, working with Morton Subotnick, Steve Reich, Pauline Oliveros, and Ramon Sender. Throughout the 1960s he also traveled frequently in Europe, taking in musical influences and supporting himself by playing in piano bars. He also performed briefly with the Theatre of Eternal Music in New York. His most influential teacher was Pandit Pran Nath (1918–1996), a master of Indian classical voice who also taught La Monte Young, Marian Zazeela, and Michael Harrison. Riley made numerous trips to India over the course of their association to study and accompany him on tabla, tambura, and voice. In 1971 he joined the Mills College faculty to teach Indian classical music. Riley also cites John Cage and "the really great chamber music groups of John Coltrane and Miles Davis, Charles Mingus, Bill Evans, and Gil Evans" as influences on his work. He was awarded an Honorary Doctorate Degree in Music at Chapman University in 2007. Riley began his long-lasting association with the Kronos Quartet when he met their founder David Harrington while at Mills. Over the course of his career, Riley composed 13 string quartets for the ensemble, in addition to other works. He wrote his first orchestral piece, Jade Palace, in 1991, and has continued to pursue that avenue, with several commissioned orchestral compositions following. He is also currently performing and teaching both as an Indian raga vocalist and as a solo pianist. Riley continues to perform live, and was part of the All Tomorrow's Parties festival in May 2011. Techniques Riley's music is usually based on improvising through a series of modal figures of different lengths. Works such as In C (1964) and the Keyboard Studies (1964–1966) demonstrate this technique. The first performance of In C was given by Steve Reich, Jon Gibson, Pauline Oliveros and Morton Subotnick. Its form was an innovation: The piece consists of 53 separate modules of roughly one measure apiece, each containing a different musical pattern but each, as the title implies, in the key of C. One performer beats a steady pulse of Cs on the piano to keep tempo. The others, in any number and on any instrument, perform these musical modules following a few loose guidelines, with the different musical modules interlocking in various ways as time goes on. In the 1950s Riley was already working with tape loops, a technology still in its infancy at the time; he would later, with the help of a sound engineer, create what he called a "time-lag accumulator". He has continued manipulating tapes to musical effect, in the studio and in live performances throughout his career. An early tape loop piece titled Music for the Gift (1963) featured the trumpet playing of Chet Baker. It was during Riley's time in Paris, while composing this piece, that he conceived of and created the time-lag
Concert for Two Pianists and Tape Recorders in 1959–60. Riley later became involved in the experimental San Francisco Tape Music Center, working with Morton Subotnick, Steve Reich, Pauline Oliveros, and Ramon Sender. Throughout the 1960s he also traveled frequently in Europe, taking in musical influences and supporting himself by playing in piano bars. He also performed briefly with the Theatre of Eternal Music in New York. His most influential teacher was Pandit Pran Nath (1918–1996), a master of Indian classical voice who also taught La Monte Young, Marian Zazeela, and Michael Harrison. Riley made numerous trips to India over the course of their association to study and accompany him on tabla, tambura, and voice. In 1971 he joined the Mills College faculty to teach Indian classical music. Riley also cites John Cage and "the really great chamber music groups of John Coltrane and Miles Davis, Charles Mingus, Bill Evans, and Gil Evans" as influences on his work. He was awarded an Honorary Doctorate Degree in Music at Chapman University in 2007. Riley began his long-lasting association with the Kronos Quartet when he met their founder David Harrington while at Mills. Over the course of his career, Riley composed 13 string quartets for the ensemble, in addition to other works. He wrote his first orchestral piece, Jade Palace, in 1991, and has continued to pursue that avenue, with several commissioned orchestral compositions following. He is also currently performing and teaching both as an Indian raga vocalist and as a solo pianist. Riley continues to perform live, and was part of the All Tomorrow's Parties festival in May 2011. Techniques Riley's music is usually based on improvising through a series of modal figures of different lengths. Works such as In C (1964) and the Keyboard Studies (1964–1966) demonstrate this technique. The first performance of In C was given by Steve Reich, Jon Gibson, Pauline Oliveros and Morton Subotnick. Its form was an innovation: The piece consists of 53 separate modules of roughly one measure apiece, each containing a different musical pattern but each, as the title implies, in the key of C. One performer beats a steady pulse of Cs on the piano to keep tempo. The others, in any number and on any instrument, perform these musical modules following a few loose guidelines, with the different musical modules interlocking in various ways as time goes on. In the 1950s Riley was already working with tape loops, a technology still in its infancy at the time; he would later, with the help of a sound engineer, create what he called a "time-lag accumulator". He has continued manipulating tapes to musical effect, in the studio and in live performances throughout his career. An early tape loop piece titled Music for the Gift (1963) featured the trumpet playing of Chet Baker. It was during Riley's time in Paris, while composing this piece, that he conceived of and created the time-lag accumulator technique. He has composed using just intonation as well as microtones. In New York City in the mid-1960s he played with his longtime friend La Monte Young, as well as with John Cale and tabla player Angus MacLise, who were founding members of The Velvet Underground. Riley is credited as inspiring Cale's keyboard part on Lou Reed's composition "All Tomorrow's Parties", which was sung by German actress Nico and included on the album The Velvet Underground and Nico, recorded in 1966. Riley's famous overdubbed electronic album A Rainbow in Curved Air (recorded 1968, released 1969) inspired many later developments in electronic music. These include Pete Townshend's organ parts on The Who's "Won't Get Fooled Again" and "Baba O'Riley", the latter named in tribute to Riley as well as to Meher Baba. Charles Hazlewood, in his BBC documentary on Minimalism (Part 1) suggests that the album 'Tubular Bells' by Mike Oldfield was also inspired by Riley's example. Riley's collaborators have included the Rova Saxophone Quartet, Pauline Oliveros, the ARTE Quartett, and, as mentioned, the Kronos Quartet. His 1995 Lisbon Concert recording features him in a solo piano format, improvising on his own works. In the liner notes Riley cites Art Tatum, Bud Powell and Bill Evans as his piano "heroes", illustrating the importance of jazz to his conceptions. Personal life He has three children: one daughter, Colleen, and two sons, Gyan, who is a guitarist, and Shahn. He was married to Ann Riley until her death in 2015. Discography 1963: Music for The Gift (Organ of Corti 1, 1963) 1965: Reed Streams, Mass Art Inc. M-131 1967: You're No Good, recorded in 1967 but unreleased until 2000 (Cortical Foundation / Organ of Corti, 2000) 1968: Germ, with Gérard Frémy & Martine Joste (Spalax CD 14542, 1998). Includes a Pierre Mariétan track. 1968: In C, Columbia MS7178 1969: A Rainbow in Curved Air, CBS 64564 1971: Church of Anthrax, with John Cale (CBS) 1972: Happy Ending (soundtrack to Joël Santoni's film ), Warner Bros. Records France 46125; & Lifespan, for solo electric organ; two soundtracks (2007 reissue) 1972: Persian Surgery Dervishes, Shanti
mating; males also reproduce with several females during a season. Females have been shown to be selective in an attempt to ensure the best genetic offspring, for example, fighting off the advances of smaller males. Males often keep their mates in custody in the den, or take them along if they need to drink, lest they engage in infidelity. Males can produce up to 16 offspring over their lifetime, while females average four mating seasons and 12 offspring. Theoretically this means that a devil population can double on an annual basis and make the species insulated against high mortality. The pregnancy rate is high; 80% of two-year-old females were observed with newborns in their pouches during the mating season. More recent studies of breeding place the mating season between February and June, as opposed to between February and March. Gestation lasts 21 days, and devils give birth to 20–30 young standing up, each weighing approximately . Embryonic diapause does not occur. At birth, the front limb has well-developed digits with claws; unlike many marsupials, the claws of baby devils are not deciduous. As with most other marsupials, the forelimb is longer () than the rear limb (), the eyes are spots, and the body is pink. There are no external ears or openings. Unusually, the sex can be determined at birth, with an external scrotum present. Tasmanian devil young are variously called "pups", "joeys", or "imps". When the young are born, competition is fierce as they move from the vagina in a sticky flow of mucus to the pouch. Once inside the pouch, they each remain attached to a nipple for the next 100 days. The female Tasmanian devil's pouch, like that of the wombat, opens to the rear, so it is physically difficult for the female to interact with young inside the pouch. Despite the large litter at birth, the female has only four nipples, so there are never more than four babies nursing in the pouch, and the older a female devil gets, the smaller her litters will become. Once the young have made contact with the nipple, it expands, resulting in the oversized nipple being firmly clamped inside the newborn and ensuring that the newborn does not fall out of the pouch. On average, more females survive than males, and up to 60% of young do not survive to maturity. Milk replacements are often used for devils that have been bred in captivity, for orphaned devils or young who are born to diseased mothers. Little is known about the composition of the devil's milk compared to other marsupials. Inside the pouch, the nourished young develop quickly. In the second week, the rhinarium becomes distinctive and heavily pigmented. At 15 days, the external parts of the ear are visible, although these are attached to the head and do not open out until the devil is around 10 weeks old. The ear begins blackening after around 40 days, when it is less than long, and by the time the ear becomes erect, it is between . Eyelids are apparent at 16 days, whiskers at 17 days, and the lips at 20 days. The devils can make squeaking noises after eight weeks, and after around 10–11 weeks, the lips can open. Despite the formation of eyelids, they do not open for three months, although eyelashes form at around 50 days. The young—up to this point they are pink—start to grow fur at 49 days and have a full coat by 90 days. The fur growing process starts at the snout and proceeds back through the body, although the tail attains fur before the rump, which is the last part of the body to become covered. Just before the start of the furring process, the colour of the bare devil's skin will darken and become black or dark grey in the tail. The devils have a complete set of facial vibrissae and ulnar carpels, although it is devoid of anconeal vibrissae. During the third week, the mystacials and ulnarcarpals are the first to form. Subsequently, the infraorbital, interramal, supraorbital and submental vibrissae form. The last four typically occur between the 26th and 39th day. Their eyes open shortly after their fur coat develops—between 87 and 93 days—and their mouths can relax their hold of the nipple at 100 days. They leave the pouch 105 days after birth, appearing as small copies of the parent and weighing around . Zoologist Eric Guiler recorded its size at this time as follows: a crown-snout length of , tail length of , pes length , manus , shank , forearm and crown-rump length is . During this period, the devils lengthen at a roughly linear rate. After being ejected, the devils stay outside the pouch, but they remain in the den for around another three months, first venturing outside the den between October and December before becoming independent in January. During this transitional phase out of the pouch, the young devils are relatively safe from predation as they are generally accompanied. When the mother is hunting they can stay inside a shelter or come along, often riding on their mother's back. During this time they continue to drink their mother's milk. Female devils are occupied with raising their young for all but approximately six weeks of the year. The milk contains a higher amount of iron than the milk of placental mammals. In Guiler's 1970 study, no females died while rearing their offspring in the pouch. After leaving the pouch, the devils grow by around a month until they are six months old. While most pups will survive to be weaned, Guiler reported that up to three fifths of devils do not reach maturity. As juveniles are more crepuscular than adults, their appearance in the open during summer gives the impression to humans of a population boom. A study into the success of translocated devils that were orphaned and raised in captivity found that young devils who had consistently engaged with new experiences while they were in captivity survived better than young who had not. Conservation status The cause of the devil's disappearance from the mainland is unclear, but their decline seems to coincide with an abrupt change in climate and the expansion across the mainland of indigenous Australians and dingoes. However, whether it was direct hunting by people, competition with dingoes, changes brought about by the increasing human population, who by 3000 years ago were using all habitat types across the continent, or a combination of all three, is unknown; devils had coexisted with dingoes on the mainland for around 3000 years. Brown has also proposed that the El Niño-Southern Oscillation (ENSO) grew stronger during the Holocene, and that the devil, as a scavenger with a short life span, was highly sensitive to this. In dingo-free Tasmania, carnivorous marsupials were still active when Europeans arrived. The extermination of the thylacine after the arrival of the Europeans is well known, but the Tasmanian devil was threatened as well. Habitat disruption can expose dens where mothers raise their young. This increases mortality, as the mother leaves the disturbed den with her pups clinging to her back, making them more vulnerable. Cancer in general is a common cause of death in devils. In 2008, high levels of potentially carcinogenic flame retardant chemicals were found in Tasmanian devils. Preliminary results of tests ordered by the Tasmanian government on chemicals found in fat tissue from 16 devils have revealed high levels of hexabromobiphenyl (BB153) and "reasonably high" levels of decabromodiphenyl ether (BDE209). The Save the Tasmanian Devil Appeal is the official fundraising entity for the Save the Tasmanian Devil Program. The priority is to ensure the survival of the Tasmanian devil in the wild. Population declines At least two major population declines, possibly due to disease epidemics, have occurred in recorded history: in 1909 and 1950. The devil was also reported as scarce in the 1850s. It is difficult to estimate the size of the devil population. In the mid-1990s, the population was estimated at 130,000–150,000 animals, but this is likely to have been an overestimate. The Tasmanian devil's population has been calculated in 2008 by Tasmania's Department of Primary Industries and Water as being in the range of 10,000 to 100,000 individuals, with 20,000 to 50,000 mature individuals being likely. Experts estimate that the devil has suffered a more than 80% decline in its population since the mid-1990s and that only around 10,000–15,000 remain in the wild as of 2008. The species was listed as vulnerable under the Tasmanian Threatened Species Protection Act 1995 in 2005 and the Australian Environment Protection and Biodiversity Conservation Act 1999 in 2006, which means that it is at risk of extinction in the "medium term". The IUCN classified the Tasmanian devil in the lower risk/least concern category in 1996, but in 2009 they reclassified it as endangered. Appropriate wildlife refuges such as Savage River National Park in North west Tasmania provide hope for their survival. Culling The first European Tasmanian settlers ate Tasmanian devil, which they described as tasting like veal. As it was believed devils would hunt and kill livestock, possibly due to strong imagery of packs of devils eating weak sheep, a bounty scheme to remove the devil from rural properties was introduced as early as 1830. However, Guiler's research contended that the real cause of livestock losses was poor land management policies and feral dogs. In areas where the devil is now absent, poultry has continued to be killed by quolls. In earlier times, hunting possums and wallabies for fur was a big business—more than 900,000 animals were hunted in 1923—and this resulted in a continuation of bounty hunting of devils as they were thought to be a major threat to the fur industry, even though quolls were more adept at hunting the animals in question. Over the next 100 years, trapping and poisoning brought them to the brink of extinction. After the death of the last thylacine in 1936, the Tasmanian devil was protected by law in June 1941 and the population slowly recovered. In the 1950s, with reports of increasing numbers, some permits to capture devils were granted after complaints of livestock damage. In 1966, poisoning permits were issued although attempts to have the animal unprotected failed. During this time environmentalists also became more outspoken, particularly as scientific studies provided new data suggesting the threat of devils to livestock had been vastly exaggerated. Numbers may have peaked in the early 1970s after a population boom; in 1975 they were reported to be lower, possibly due to overpopulation and consequent lack of food. Another report of overpopulation and livestock damage was reported in 1987. The following year, Trichinella spiralis, a parasite which kills animals and can infect humans, was found in devils and minor panic broke out before scientists assured the public that 30% of devils had it but that they could not transmit it to other species. Control permits were ended in the 1990s, but illegal killing continues to a limited extent, albeit "locally intense". This is not considered a substantial problem for the survival of the devil. Approximately 10,000 devils were killed per year in the mid-1990s. A selective culling program has taken place to remove individuals affected with DFTD, and has been shown to not slow the rate of disease progression or reduced the number of animals dying. A model has been tested to find out whether culling devils infected with DFTD would assist in the survival of the species, and it has found that culling would not be a suitable strategy to employ. Road mortality Motor vehicles are a threat to localised populations of non-abundant Tasmanian mammals, and a 2010 study showed that devils were particularly vulnerable. A study of nine species, mostly marsupials of a similar size, showed that devils were more difficult for drivers to detect and avoid. At high beam, devils had the lowest detection distance, 40% closer than the median. This requires a 20% reduction in speed for a motorist to avoid the devil. For low beam, the devils had the second shortest detection distance, 16% below the median. For avoidance of roadkill to be feasible, motorists would have to drive at around half the current speed limit in rural areas. A study in the 1990s on a localised population of devils in a national park in Tasmania recorded a halving of the population after a hitherto gravel access road was upgraded, surfaced with bitumen and widened. At the same time, there was a large increase in deaths caused by vehicles along the new road; there had been none in the preceding six months. The vast majority of deaths occurred in the sealed portion of the road, believed to be due to an increase in speeds. It was also conjectured that the animals were harder to see against the dark bitumen instead of the light gravel. The devil and quoll are especially vulnerable as they often try to retrieve roadkill for food and travel along the road. To alleviate the problem, traffic slowing measures, man-made pathways that offer alternative routes for devils, education campaigns, and the installation of light reflectors to indicate oncoming vehicles have been implemented. They are credited with decreases in roadkill. Devils have often been victims of roadkill when they are retrieving other roadkill. Work by scientist Menna Jones and a group of conservation volunteers to remove dead animals from the road resulted in a significant reduction in devil traffic deaths. It was estimated that 3,392 devils, or between 3.8 and 5.7% of the population, were being killed annually by vehicles in 2001–04. In 2009, the Save the Tasmanian Devil group launched the "Roadkill Project", which allowed members of the public to report sightings of devils which had been killed on the road. On 25 September 2015, 20 immunised devils were microchipped and released in Narawntapu National Park. By 5 October 4 had been hit by cars, prompting Samantha Fox, leader of Save the Tasmanian Devil, to describe roadkill as being the biggest threat to the Tasmanian devil after DFTD. A series of solar-powered alarms have been trialled that make noises and flash lights when cars are approaching, warning the animals. The trial ran for 18 months and the trial area had two-thirds less deaths than the control. Devil facial tumour disease First seen in 1996 in Mount William in northeastern Tasmania, devil facial tumour disease (DFTD) has ravaged Tasmania's wild devils, and estimates of the impact range from 20% to as much as an 80% decline in the devil population, with over 65% of the state affected. The state's west coast area and far north-west are the only places where devils are tumour free. Individual devils die within months of infection. The disease is an example of transmissible cancer, which means that it is contagious and passed from one animal to another. However, this tumour is not native to Tasmanian devils and is also characterised as a tissue graft that is able to pass between hosts without inducing a response from the host's immune system. Dominant devils who engage in more biting behaviour are more exposed to the disease. Wild Tasmanian devil populations are being monitored to track the spread of the disease and to identify changes in disease prevalence. Field monitoring involves trapping devils within a defined area to check for the presence of the disease and determine the number of affected animals. The same area is visited repeatedly to characterise the spread of the disease over time. So far, it has been established that the short-term effects of the disease in an area can be severe. Long-term monitoring at replicated sites will be essential to assess whether these effects remain, or whether populations can recover. Field workers are also testing the effectiveness of disease suppression by trapping and removing diseased devils. It is hoped that the removal of diseased devils from wild populations should decrease disease prevalence and allow more devils to survive beyond their juvenile years and breed. In March 2017, scientists at the University of Tasmania presented an apparent first report of having successfully treated Tasmanian devils with the disease, by injecting live cancer cells into the infected devils to stimulate their immune system to recognise and fight the disease. Relationship with humans At Lake Nitchie in western New South Wales in 1970, a male human skeleton wearing a necklace of 178 teeth from 49 different devils was found. The skeleton is estimated to be 7000 years old, and the necklace is believed to be much older than the skeleton. Archaeologist Josephine Flood believes the devil was hunted for its teeth and that this contributed to its extinction on mainland Australia. Owen and Pemberton note that few such necklaces have been found. Middens that contain devil bones are rare—two notable examples are Devil's Lair in the south-western part of Western Australia and Tower Hill in Victoria. In Tasmania, local Indigenous Australians and devils sheltered in the same caves. Tasmanian Aboriginal names for the devil recorded by Europeans include "tarrabah", "poirinnah", and "par-loo-mer-rer". Variations also exist, such as "Taraba" and "purinina". It is a common belief that devils will eat humans. While they are known to eat dead bodies, there are prevalent myths that they eat living humans who wander into the bush. Despite outdated beliefs and exaggerations regarding their disposition, many, although not all, devils will remain still when in the presence of a human; some will also shake nervously. They can bite and scratch out of fear when held by a human, but a firm grip will cause them to remain still. Although they can be tamed, they are asocial, and are not considered appropriate as pets; they have an unpleasant odour, and neither demonstrate nor respond to affection. Until recently, the devil was not studied much by academics and naturalists. At the start of the 20th century, Hobart zoo operator Mary Roberts, who was not a trained scientist, was credited for changing people's attitudes and encouraging scientific interest in native animals (such as the devil) that were seen as fearsome and abhorrent, and the human perception of the animal changed. Theodore Thomson Flynn was the first professor of biology in Tasmania, and carried out some research during the period around World War I. In the mid-1960s, Professor Guiler assembled a team of researchers and started a decade of systematic fieldwork on the devil. This is seen as the start of modern scientific study of it. However, the devil was still negatively depicted, including in tourism material. The first doctorate awarded for research into the devil came in 1991. In captivity Early attempts to breed Tasmanian devils in captivity had limited success. Mary Roberts bred a pair at Beaumaris Zoo (which she named Billy and Truganini) in 1913. However, although advised to remove Billy, Roberts found Truganini too distressed by his absence, and returned him. The first litter was presumed eaten by Billy, but a second litter in 1914 survived, after Billy was removed. Roberts wrote an article on keeping and breeding the devils for the London Zoological Society. Even by 1934, successful breeding of the devil was rare. In a study on the growth of young devils in captivity, some developmental stages were very different from those reported by Guiler. The pinnae were free on day 36, and eyes opened later, on days 115–121. In general, females tend to retain more stress after being taken into captivity than males. A plan to create "insurance populations" of disease-free devils has been ongoing since 2005. As of June 2012, the insurance population has reached a combined total of 500 animals and representing over 98% of the genetic diversity of this species. Most of these devils are living in Australian zoos and wildlife reserves. Beginning in November 2012 however, in an effort to create a population that is both wild and disease-free, Tasmanian devils have been relocated to Maria Island, a mountainous island off the east coast of Tasmania. The Maria Island population has grown from a starting population of twenty-eight to 90, and experts will soon begin transferring healthy devils back to the mainland population. A study on the survival rates of the Maria Island population found that in contrast to other carnivores raised in captivity, the Tasmanian devils were not adversely affected by being born in captivity when released on Maria Island. Tasmanian devils were displayed in various zoos around the world from the 1850s onwards. In the 1950s several animals were given to European zoos. In October 2005 the Tasmanian government sent four devils, two male and two female, to the Copenhagen Zoo, following the birth of the first son of Frederik, Crown Prince of Denmark and his Tasmanian-born wife Mary. Due to restrictions on their export by the Australian government, at the time these were the only devils known to be living outside Australia. In June 2013, due to the successes of the insurance population program, it was planned to send devils to other zoos around the world in a pilot program. San Diego Zoo Global and Albuquerque Biopark were selected to participate in the program, and Wellington Zoo and Auckland Zoo soon followed. In the United States, four additional zoos have since been selected as part of the Australian government's Save the Tasmanian Devil program, the zoos selected were: the Fort Wayne Children's Zoo, the Los Angeles Zoo, the Saint Louis Zoo, and the Toledo Zoo. Captive devils are usually forced to stay awake during the day to cater to visitors, rather than following their natural nocturnal style. There have been reports and suspicions of illegal trading in the past. In 1997, a devil turned up in Western Australia; it had not escaped from any licensed keeper. During the 1990s there were internet sites in the US that were advertising devil sales, and rumours that some US Navy personnel had tried to buy them illegally during a visit to Tasmania. In popular culture The devil is an iconic animal within Australia, and particularly associated with Tasmania. The animal is used as the emblem of the Tasmanian National Parks and Wildlife Service, and the former Tasmanian Australian rules football team which played in the Victorian Football League was known as the Devils. The Hobart Devils were once part of the National Basketball League. The devil has appeared on several commemorative coins in Australia over the years. Cascade Brewery in Tasmania sells a ginger beer with a Tasmanian devil on the label. In 2015, the Tasmanian devil was chosen as Tasmania's state emblem. Tasmanian devils are popular with tourists, and the director of
to the family Dasyuridae. The genus Sarcophilus contains two other species, known only from Pleistocene fossils: S. laniarius and S. moomaensis. Phylogenetic analysis shows that the Tasmanian devil is most closely related to quolls. According to Pemberton, the possible ancestors of the devil may have needed to climb trees to acquire food, leading to a growth in size and the hopping gait of many marsupials. He speculated that these adaptations may have caused the contemporary devil's peculiar gait. The specific lineage of the Tasmanian devil is theorised to have emerged during the Miocene, molecular evidence suggesting a split from the ancestors of quolls between 10 and 15 million years ago, when severe climate change came to bear in Australia, transforming the climate from warm and moist to an arid, dry ice age, resulting in mass extinctions. As most of their prey died of the cold, only a few carnivores survived, including the ancestors of the quoll and thylacine. It is speculated that the devil lineage may have arisen at this time to fill a niche in the ecosystem, as a scavenger that disposed of carrion left behind by the selective-eating thylacine. The extinct Glaucodon ballaratensis of the Pliocene age has been dubbed an intermediate species between the quoll and devil. Fossil deposits in limestone caves at Naracoorte, South Australia, dating to the Miocene include specimens of S. laniarius, which were around 15% larger and 50% heavier than modern devils. Older specimens believed to be 50–70,000 years old were found in Darling Downs in Queensland and in Western Australia. It is not clear whether the modern devil evolved from S. laniarius, or whether they coexisted at the time. Richard Owen argued for the latter hypothesis in the 19th century, based on fossils found in 1877 in New South Wales. Large bones attributed to S. moornaensis have been found in New South Wales, and it has been conjectured that these two extinct larger species may have hunted and scavenged. It is known that there were several genera of thylacine millions of years ago, and that they ranged in size, the smaller being more reliant on foraging. As the devil and thylacine are similar, the extinction of the co-existing thylacine genera has been cited as evidence for an analogous history for the devils. It has been speculated that the smaller size of S. laniarius and S. moornaensis allowed them to adapt to the changing conditions more effectively and survive longer than the corresponding thylacines. As the extinction of these two species came at a similar time to human habitation of Australia, hunting by humans and land clearance have been mooted as possible causes. Critics of this theory point out that as indigenous Australians only developed boomerangs and spears for hunting around 10,000 years ago, a critical fall in numbers due to systematic hunting is unlikely. They also point out that caves inhabited by Aborigines have a low proportion of bones and rock paintings of devils, and suggest that this is an indication that it was not a large part of indigenous lifestyle. A scientific report in 1910 claimed that Aborigines preferred the meat of herbivores rather than carnivores. The other main theory for the extinction was that it was due to the climate change brought on by the most recent ice age. Genetics The Tasmanian devil's genome was sequenced in 2010 by the Wellcome Trust Sanger Institute. Like all dasyurids, the devil has 14 chromosomes. Devils have a low genetic diversity compared to other Australian marsupials and placental carnivores; this is consistent with a founder effect as allelic size ranges were low and nearly continuous throughout all subpopulations measured. Allelic diversity was measured at 2.7–3.3 in the subpopulations sampled, and heterozygosity was in the range 0.386–0.467. According to a study by Menna Jones, "gene flow appears extensive up to ", meaning a high assignment rate to source or close neighbour populations "in agreement with movement data. At larger scales (), gene flow is reduced but there is no evidence for isolation by distance". Island effects may also have contributed to their low genetic diversity. Periods of low population density may also have created moderate population bottlenecks, reducing genetic diversity. Low genetic diversity is thought to have been a feature in the Tasmanian devil population since the mid-Holocene. Outbreaks of devil facial tumour disease (DFTD) cause an increase in inbreeding. A sub-population of devils in the north-west of the state is genetically distinct from other devils, but there is some exchange between the two groups. One strand conformation polymorphism analysis (OSCP) on the major histocompatibility complex (MHC) class I domain taken from various locations across Tasmania showed 25 different types, and showed a different pattern of MHC types in north-western Tasmania to eastern Tasmania. Those devils in the east of the state have less MHC diversity; 30% are of the same type as the tumour (type 1), and 24% are of type A. Seven of every ten devils in the east are of type A, D, G or 1, which are linked to DFTD; whereas only 55% of the western devils fall into these MHC categories. Of the 25 MHC types, 40% are exclusive to the western devils. Although the north-west population is less genetically diverse overall, it has higher MHC gene diversity, which allows them to mount an immune response to DFTD. According to this research, mixing the devils may increase the chance of disease. Of the fifteen different regions in Tasmania surveyed in this research, six were in the eastern half of the island. In the eastern half, Epping Forest had only two different types, 75% being type O. In the Buckland-Nugent area, only three types were present, and there were an average of 5.33 different types per location. In contrast, in the west, Cape Sorell yielded three types, and Togari North-Christmas Hills yielded six, but the other seven sites all had at least eight MHC types, and West Pencil Pine had 15 types. There was an average of 10.11 MHC types per site in the west. Recent research has suggested that the wild population of devils are rapidly evolving a resistance to DFTD. Description The Tasmanian devil is the largest surviving carnivorous marsupial. It has a squat, thick build, with a large head and a tail which is about half its body length. Unusually for a marsupial, its forelegs are slightly longer than its hind legs, and devils can run up to for short distances. The fur is usually black, often with irregular white patches on the chest and rump (although approximately 16% of wild devils do not have white patches). These markings suggest that the devil is most active at dawn and dusk, and they are thought to draw biting attacks toward less important areas of the body, as fighting between devils often leads to a concentration of scars in that region. Males are usually larger than females, having an average head and body length of , a tail and an average weight of . Females have an average head and body length of , a tail and an average weight of , although devils in western Tasmania tend to be smaller. Devils have five long toes on their forefeet, four pointing to the front and one coming out from the side, which gives the devil the ability to hold food. The hind feet have four toes, and the devils have non-retractable claws. The stocky devils have a relatively low centre of mass. Devils are fully grown at two years of age, and few devils live longer than five years in the wild. Possibly the longest-lived Tasmanian devil recorded was Coolah, a male devil which lived in captivity for more than seven years. Born in January 1997 at the Cincinnati Zoo, Coolah died in May 2004 at the Fort Wayne Children's Zoo. The devil stores body fat in its tail, and healthy devils have fat tails. The tail is largely non-prehensile and is important to its physiology, social behaviour and locomotion. It acts as a counterbalance to aid stability when the devil is moving quickly. An ano-genital scent gland at the base of its tail is used to mark the ground behind the animal with its strong, pungent scent. The male has external testes in a pouch-like structure formed by lateral ventrocrural folds of the abdomen, which partially hides and protects them. The testes are subovoid in shape and the mean dimensions of 30 testes of adult males was . The female's pouch opens backwards, and is present throughout its life, unlike some other dasyurids. The Tasmanian devil has the most powerful bite relative to body size of any living mammalian carnivore, exerting a force of . The jaw can open to 75–80 degrees, allowing the devil to generate the large amount of power to tear meat and crush bones—sufficient force to allow it to bite through thick metal wire. The power of the jaws is in part due to its comparatively large head. The teeth and jaws of Tasmanian devils resemble those of hyenas, an example of convergent evolution. Dasyurid teeth resemble those of primitive marsupials. Like all dasyurids, the devil has prominent canines and cheek teeth. It has three pairs of lower incisors and four pairs of upper incisors. These are located at the top of the front of the devil's mouth. Like dogs, it has 42 teeth, however, unlike dogs, its teeth are not replaced after birth but grow continuously throughout life at a slow rate. It has a "highly carnivorous dentition and trophic adaptations for bone consumption". The devil has long claws that allow it to dig burrows and seek subterranean food easily and grip prey or mates strongly. The teeth and claw strength allow the devil to attack wombats up to in weight. The large neck and forebody that give the devil its strength also cause this strength to be biased towards the front half of the body; the lopsided, awkward, shuffling gait of the devil is attributed to this. The devil has long whiskers on its face and in clumps on the top of the head. These help the devil locate prey when foraging in the dark, and aid in detecting when other devils are close during feeding. The whiskers can extend from the tip of the chin to the rear of the jaw and can cover the span of its shoulder. Hearing is its dominant sense, and it also has an excellent sense of smell, which has a range of . The devil, unlike other marsupials, has a "well-defined, saddle-shaped ectotympanic". Since devils hunt at night, their vision seems to be strongest in black and white. In these conditions they can detect moving objects readily, but have difficulty seeing stationary objects. Distribution and habitat Devils are found in all habitats on the island of Tasmania, including the outskirts of urban areas, and are distributed throughout the Tasmanian mainland and on Robbins Island (which is connected to mainland Tasmania at low tide). The north-western population is located west of the Forth River and as far south as Macquarie Heads. Previously, they were present on Bruny Island from the 19th century, but there have been no records of them after 1900. They were illegally introduced to Badger Island in the mid-1990s but were removed by the Tasmanian government by 2007. Although the Badger Island population was free from DFTD, the removed individuals were returned to the Tasmanian mainland, some to infected areas. A study has modelled the reintroduction of DFTD-free Tasmanian devils to the Australian mainland in areas where dingoes are sparse. It is proposed that devils would have fewer impacts on both livestock and native fauna than dingoes, and that the mainland population could act as an additional insurance population. In September 2015, 20 immunised captive-bred devils were released into Narawntapu National Park, Tasmania. Two later died from being hit by cars. The "core habitat" of the devils is considered to be within the "low to moderate annual rainfall zone of eastern and north-western Tasmania". Tasmanian devils particularly like dry sclerophyll forests and coastal woodlands. Although they are not found at the highest altitudes of Tasmania, and their population density is low in the button grass plains in the south-west of the state, their population is high in dry or mixed sclerophyll forests and coastal heaths. Devils prefer open forest to tall forest, and dry rather than wet forests. They are also found near roads where roadkill is prevalent, although the devils themselves are often killed by vehicles while retrieving the carrion. According to the Threatened Species Scientific Committee, their versatility means that habitat modification from destruction is not seen as a major threat to the species. The devil is directly linked to the Dasyurotaenia robusta, a tapeworm which is classified as Rare under the Tasmanian Threatened Species Protection Act 1995. This tapeworm is found only in devils. In late 2020, the species was reintroduced to mainland Australia, in a sanctuary run by Aussie Ark in the Barrington Tops area of New South Wales. This was the first time devils had lived on the Australian mainland in over 3,000 years. 26 adult devils were released into the protected area, and by late April 2021, seven joeys had been born, with up to 20 expected by the end of the year. Ecology and behaviour The Tasmanian devil is a keystone species in the ecosystem of Tasmania. It is a nocturnal and crepuscular hunter, spending the days in dense bush or in a hole. It has been speculated that nocturnalism may have been adopted to avoid predation by eagles and humans. Young devils are predominantly crepuscular. There is no evidence of torpor. Young devils can climb trees, but this becomes more difficult as they grow larger. Devils can scale trees of trunk diameter larger than , which tend to have no small side branches to hang onto, up to a height of around . Devils that are yet to reach maturity can climb shrubs to a height of , and can climb a tree to if it is not vertical. Adult devils may eat young devils if they are very hungry, so this climbing behaviour may be an adaptation to allow young devils to escape. Devils can also swim and have been observed crossing rivers that are in width, including icy cold waterways, apparently enthusiastically. Tasmanian devils do not form packs, but rather spend most of their time alone once weaned. Classically considered as solitary animals, their social interactions were poorly understood. However, a field study published in 2009 shed some light on this. Tasmanian devils in Narawntapu National Park were fitted with proximity sensing radio collars which recorded their interactions with other devils over several months from February to June 2006. This revealed that all devils were part of a single huge contact network, characterised by male-female interactions during mating season, while female–female interactions were the most common at other times, although frequency and patterns of contact did not vary markedly between seasons. Previously thought to fight over food, males only rarely interacted with other males. Hence, all devils in a region are part of a single social network. They are considered to be non-territorial in general, but females are territorial around their dens. This allows a higher total mass of devils to occupy a given area than territorial animals, without conflict. Tasmanian devils instead occupy a home range. In a period of between two and four weeks, devils' home ranges are estimated to vary between , with an average of . The location and geometry of these areas depend on the distribution of food, particularly wallabies and pademelons nearby. Devils use three or four dens regularly. Dens formerly owned by wombats are especially prized as maternity dens because of their security. Dense vegetation near creeks, thick grass tussocks, and caves are also used as dens. Adult devils use the same dens for life. It is believed that, as a secure den is highly prized, some may have been used for several centuries by generations of animals. Studies have suggested that food security is less important than den security, as habitat destruction that affects the latter has had more effect on mortality rates. Young pups remain in one den with their mother, and other devils are mobile, changing dens every 1–3 days and travelling a mean distance of every night. However, there are also reports that an upper bound can be per night. They choose to travel through lowlands, saddles and along the banks of creeks, particularly preferring carved-out tracks and livestock paths and eschewing steep slopes and rocky terrain. The amount of movement is believed to be similar throughout the year, except for mothers who have given birth recently. The similarity in travel distances for males and females is unusual for sexually dimorphic, solitary carnivores. As a male needs more food, he will spend more time eating than travelling. Devils typically make circuits of their home range during their hunts. In areas near human habitation, they are known to steal clothes, blankets and pillows and take them for use in dens in wooden buildings. While the dasyurids have similar diet and anatomy, differing body sizes affect thermoregulation and thus behaviour. In ambient temperatures between , the devil was able to maintain a body temperature between . When the temperature was raised to , and the humidity to 50%, the devil's body temperature spiked upwards by within 60 minutes, but then steadily decreased back to the starting temperature after a further two hours, and remained there for two more hours. During this time, the devil drank water and showed no visible signs of discomfort, leading scientists to believe that sweating and evaporative cooling is its primary means of heat dissipation. A later study found that devils pant but do not sweat to release heat. In contrast, many other marsupials were unable to keep their body temperatures down. As the smaller animals have to live in hotter and more arid conditions to which they are less well-adapted, they take up a nocturnal lifestyle and drop their body temperatures during the day, whereas the devil is active in the day and its body temperature varies by from its minimum at night to the maximum in the middle of the day. The standard metabolic rate of a Tasmanian devil is 141 kJ/kg (15.3 kcal/lb) per day, many times lower than smaller marsupials. A devil uses per day. The field metabolic rate is 407 kJ/kg (44.1 kcal/lb). Along with quolls, Tasmanian devils have a metabolic rate comparable to non-carnivorous marsupials of a similar size. This differs from placental carnivores, which have comparatively high basal metabolic rates. A study of devils showed a loss of weight from from summer to winter, but in the same time, daily energy consumption increased from . This is equivalent to an increase in food consumption from . The diet is protein-based with 70% water content. For every of insects consumed, of energy are produced, while a corresponding amount of wallaby meat generated . In terms of its body mass, the devil eats only a quarter of the eastern quoll's intake, allowing it to survive longer during food shortages. Feeding Tasmanian devils can take prey up to the size of a small kangaroo, but in practice they are opportunistic and eat carrion more often than they hunt live prey. Although the devil favours wombats because of the ease of predation and high fat content, it will eat all small native mammals such as wallabies, bettong and potoroos, domestic mammals (including sheep and rabbits), birds (including penguins), fish, fruit, vegetable matter, insects, tadpoles, frogs and reptiles. Their diet is widely varied and depends on the food available. Before the extinction of the thylacine, the Tasmanian devil ate thylacine joeys left alone in dens when their parents were away. This may have helped to hasten the extinction of the thylacine, which also ate devils. They are known to hunt water rats by the sea and forage on dead fish that have been washed ashore. Near human habitation, they can also steal shoes and chew on them, and eat the legs of otherwise robust sheep that have slipped in wooden shearing sheds, leaving their legs dangling below. Other unusual matter observed in devil scats includes collars and tags of devoured animals, intact echidna spines, pencil, plastic and jeans. Devils can bite through metal traps, and tend to reserve their strong jaws for escaping captivity rather than breaking into food storage. Due to their relative lack of speed, they can not run down a wallaby or a rabbit, but they can attack animals that have become slow due to illness. They survey flocks of sheep by sniffing them from away and attack if the prey is ill. The sheep stamp their feet in a show of strength. Despite their lack of extreme speed, there have been reports that devils can run at for , and it has been conjectured that, before European immigration and the introduction of livestock, vehicles and roadkill, they would have had to chase other native animals at a reasonable pace to find food. Pemberton has reported that they can average for "extended periods" on several nights per week, and that they run for long distances before sitting still for up to half an hour, something that has been interpreted as evidence of ambush predation. Devils can dig to forage corpses, in one case digging down to eat the corpse of a buried horse that had died due to illness. They are known to eat animal cadavers by first ripping out the digestive system, which is the softest part of the anatomy, and they often reside in the resulting cavity while they are eating. On average, devils eat about 15% of their body weight each day, although they can eat up to 40% of their body weight in 30 minutes if the opportunity arises. This means they can become very heavy and lethargic after a large meal; in this state they tend to waddle away slowly and lie down, becoming easy to approach. This has led to a belief that such eating habits became possible due to the lack of a predator to attack such bloated individuals. Tasmanian devils can eliminate all traces of a carcass of a smaller animal, devouring the bones and fur if desired. In this respect, devils have earned the gratitude of Tasmanian farmers, as the speed at which they clean a carcass helps prevent the spread of insects that might otherwise harm livestock. Some of these dead animals are disposed of when the devils haul off the excess feed back to their residence to continue eating at a later time. The diet of a devil can vary substantially for males and females, and seasonally, according to studies at Cradle Mountain. In winter, males prefer medium mammals over larger ones, with a ratio of 4:5, but in summer, they prefer larger prey in a 7:2 ratio. These two categories accounted for more than 95% of the diet. Females are less inclined to target large prey, but have the same seasonal bias. In winter, large and medium mammals account for 25% and 58% each, with 7% small mammals and 10% birds. In summer, the first two categories account for 61% and 37% respectively. Juvenile devils are sometimes known to climb trees; in addition to small vertebrates and invertebrates, juveniles climb trees to eat grubs and birds' eggs. Juveniles have also been observed climbing into nests and capturing birds. Throughout the year, adult devils derive 16.2% of their biomass intake from arboreal species, almost all of which is possum meat, just 1.0% being large birds. From February to July, subadult devils derive 35.8% of their biomass intake from arboreal life, 12.2% being small birds and 23.2% being possums. Female devils in winter source 40.0% of their intake from arboreal species, including 26.7% from possums and 8.9% from various birds. Not all of these animals were caught while they were in trees, but this high figure for females, which is higher than for male spotted-tailed quolls during the same season, is unusual, as the devil has inferior tree climbing skills. Although they hunt alone, there have been unsubstantiated claims of communal hunting, where one devil drives prey out of its habitat and an accomplice attacks. Eating is a social event for the Tasmanian devil. This combination of a solitary animal that eats communally makes the devil unique among carnivores. Much of the noise attributed to the animal is a result of raucous communal eating, at which up to 12 individuals can gather, although groups of two to five are common; it can often be heard several kilometres away. This has been interpreted as notifications to colleagues to share in the meal, so that food is not wasted by rot and energy is saved. The amount of noise is correlated to the size of the carcass. The devils eat in accordance with a system. Juveniles are active at dusk, so they tend to reach the source before the adults. Typically, the dominant animal eats until it is satiated and leaves, fighting off any challengers in the meantime. Defeated animals run into the bush with their hair and tail erect, their conqueror in pursuit and biting their victim's rear where possible. Disputes are less common as the food source increases as the motive appears to be getting sufficient food rather than oppressing other devils. When quolls are eating a carcass, devils will tend to chase them away. This is a substantial problem for spotted-tailed quolls, as they kill relatively large possums and cannot finish their meal before devils arrive. In contrast, the smaller eastern quolls prey on much smaller victims, and can complete feeding before devils turn up. This is seen as a possible reason for the relatively small population of spotted-tailed quolls. A study of feeding devils identified twenty physical postures, including their characteristic vicious yawn, and eleven different vocal sounds that devils use to communicate as they feed. They usually establish dominance by sound and physical posturing, although fighting does occur. The white patches on the devil are visible to the night-vision of its colleagues. Chemical gestures are also used. Adult males are the most aggressive, and scarring is common. They can also stand on their hind legs and push each other's shoulders with their front legs and heads, similar to sumo wrestling. Torn flesh around the mouth and teeth, as well as punctures in the rump, can sometimes be observed, although these can also be inflicted during breeding fights. Digestion is very fast in dasyurids and, for the Tasmanian devil, the few hours taken for food to pass through the small gut is a long period in comparison to some other dasyuridae. Devils are known to return to the same places to defecate, and to do so at a communal location, called a devil latrine. It is believed that the communal defecation may be a means of communication that is not well understood. Devil scats are very large compared to body size; they are on average long, but there have been samples that are in length. They are characteristically grey in colour due to digested bones, or have bone fragments included. Owen and Pemberton believe that the relationship between Tasmanian devils and thylacines was "close and complex", as they competed directly for prey and probably also for shelter. The thylacines preyed on the devils, the devils scavenged from the thylacine's kills, and the devils ate thylacine young. Menna Jones hypothesises that the two species shared the role of apex predator in Tasmania. Wedge-tailed eagles have a similar carrion-based diet to the devils and are regarded as competitors. Quolls and devils are also seen as being in direct competition in Tasmania. Jones believed that the quoll has evolved into its current state in just 100–200 generations of around two years as determined by the equal spacing effect on the devil, the largest species, the spotted-tail quoll, and the smallest species, the eastern quoll. Both the Tasmanian devil and the quolls appears to have evolved up to 50 times faster than the average evolutionary rate amongst mammals. Reproduction Females start to breed when they reach sexual maturity, typically in their second year. At this point, they become fertile once a year, producing multiple ova while in heat. As prey is most abundant in spring and early summer, the devil's reproductive cycle starts in March or April so that the end of the weaning period coincides with the maximisation of food supplies in the wild for the newly roaming young devils. Occurring in March, mating takes places in sheltered locations during both day and night. Males fight over females in the breeding season, and female devils will mate with the dominant male. Females can ovulate up to three times in a 21-day period, and copulation can take five days; one instance of a couple being in the mating den for eight days
Tribulation and will receive great blessings. According to dispensationalists who hold the futurist view, the Tribulation is thought to occur before the Second Coming of Jesus and during the End Times. In this view, the Tribulation will last seven prophetic Hebrew years (lasting 360 days each) in all but the Great Tribulation will be the second half of the Tribulation period. In this view, this seven-year period is considered to be the final week of Daniel's Prophecy of Seventy Weeks, found in Daniel chapter 9. It is theorized that each week represents seven years, with the timetable beginning from Artaxerxes' order to rebuild the Second Temple in Jerusalem. After seven weeks and 62 weeks, the prophecy says that the messiah will be "cut off", which is taken to correspond to the death of Christ. This is seen as creating a break of indeterminate length in the timeline, with one week remaining to be fulfilled. The time period for these beliefs is also based on other passages: in the Book of Daniel, "time, times, and half a time", interpreted as "three and a half years," and the Book of Revelation, "a thousand two hundred and threescore days" and "forty and two months" (the prophetic month averaging 30 days, hence 1260/30 = 42 months or 3.5 years). The 1290 days of Daniel 12:11, (rather than the 1260 days of Revelation 11:3), is thought to be the result of either a simple intercalary leap month adjustment, or due to further calculations related to the prophecy, or due to an intermediate stage of time that is to prepare the world for the beginning of the millennial reign. Events Among Futurists there are differing views about what will happen to Christians during the Tribulation: Pretribulationists believe that all righteous Christians (deceased and living) will be taken bodily up to Heaven (called the rapture) before the Tribulation begins. According to this belief, every true Christian that has ever existed throughout the course of the entire Christian era will be instantaneously transformed into a perfect resurrected body, and will thus escape the trials of the Tribulation. Those who become Christians after the rapture will live through (or perish during) the Tribulation. After the Tribulation, Christ will return to establish his Millennial Kingdom. Prewrath Tribulationists believe the rapture will occur during the Tribulation, halfway through or after, but before the seven bowls of the wrath of God. Midtribulationists believe that the rapture will occur halfway through the Tribulation, but before the worst part of it occurs. The seven-year period is divided into halves—the "beginning of sorrows" and the "Great Tribulation". Posttribulationists believe that Christians will not be taken up into Heaven for eternity, but will be received or gathered in the air by Christ, to descend together to establish the Kingdom of God on earth at the end of the Tribulation. In pretribulationism and midtribulationism, the rapture and the Second Coming of Christ are separate events, while in post-tribulationism the two events are identical or simultaneous. Another feature of the pre- and mid-tribulation beliefs is the idea that after the rapture, Christ will return for a third time (when also counting the first coming) to set up his kingdom on the earth. The Catholic Church teaches that there will be a "final Passover" or last "purgatory" before the final parousia (Second Coming), in which the church will "pass through a final fire that will shake the faith of many". Generally neither the Catholic Church, the various Orthodox and Anglican communions, nor the older Protestant denominations use the term "rapture", and tend towards amillennialism. In this view, the millennium is regarded as the initial period of Christ's reign (manifested in the life and activity of the church) that began with the Pentecost and will lead up to the messiah's eventual return, with the outcome being a single and permanent event at the end of
First Jewish–Roman War, and it only affected the Jewish people rather than all mankind. Christian preterists believe that the Tribulation was a divine judgment visited upon the Jews for their sins, including rejection of Jesus as the promised Messiah. It occurred entirely in the past, around AD 70 when the armed forces of the Roman Empire destroyed Jerusalem and its temple. A preterist discussion of the Tribulation has its focus on the Gospels, in particular the prophetic passages in Matthew 24, Mark 13 and Luke 21, rather than on the Apocalypse or Book of Revelation. (Preterists apply much of the symbolism in the Revelation to Rome, the Cæsars, and their persecution of Christians, rather than to the Tribulation upon the Jews.) Jesus' warning in Matthew 24:34 that "this generation shall not pass, till all these things be fulfilled" is tied back to his similar warning to the Scribes and the Pharisees that their judgment would "come upon this generation", that is, during the first century rather than at a future time long after the Scribes and Pharisees had died. The destruction in AD 70 occurred within a 40-year generation from the time when Jesus gave that discourse. The judgment on the Jewish nation was executed by the Roman legions, "the abomination of desolation, spoken of by Daniel the prophet." Since Matthew 24 begins with Jesus visiting the Jerusalem Temple and pronouncing that "there shall not be left here one stone upon another, that shall not be thrown down" (vs. 3), preterists see nothing in Scripture to indicate that another Jewish temple will ever be built. The prophecies were all fulfilled on the then-existing temple that Jesus spoke about and that was subsequently destroyed within that generation. Historicism The Historicist view applies Tribulation to the period known as "persecution of the saints" (Daniel 7, Revelation 13). This is believed to have begun with the period after the "falling away" when papal Rome came to power for 1260 years from 538 to 1798 (using the day-year principle). They believe that the Tribulation is not a future event, but it intensifies right at the end to a time such as never before. Matthew's reference to "Great Tribulation" as parallel to Revelation 6:12-13, will reach a point that if it was not shortened even the just would not survive. Historicists are prone to see prophecy fulfilled down through the centuries and rather than a single Antichrist to rule the earth during a future Tribulation period, Martin Luther, John Calvin and the other Protestant Reformers saw the Antichrist as fulfilled in the papacy. The reformers like Martin Luther, John Calvin and others saw the papacy's claim of temporal power over all secular governments and the autocratic character of the papal office as the falling away from the original faith founded by Jesus and the apostles, and challenged papal authority as it had deviated from scripture with its tradition and was a corruption from the early church. Similarly, some modern historicists see the Tribulation on the Jews as beginning in AD 70 and continuing for centuries, covering the same time span as "the times of the Gentiles" during which "Jerusalem shall be trodden down by the Gentiles." This view would have it encompass not only the death of a million Jews at the hands of the Roman legions, but also the death of six million Jews in the Holocaust. See also Christian eschatology References Further reading The Great
well as granting visions and divine revelations. Samuel also notes that in the Mahabharata, one of the commonest use of the term "yoga" refers to "a dying warrior transferring himself at death to the sphere of the sun through yoga, a practice that links up with Upanisadic references to the channel to the crown of the head as the pathway by which one can travel through the solar orb to the World of Brahman." This practice of transferring one's consciousness at death is still an important practice in Tibetan Buddhism. Samuel also notes that sexual rituals and a spiritualized sexuality are mentioned in the late Upanishads. According to Samuel, "late Vedic texts treat sexual intercourse as symbolically equivalent to the Vedic sacrifice, and ejaculation of semen as the offering." This theme can be found in the Jaiminiya Brahmana, the Chandogya Upanisad, and the Brhadaranyaka Upanisad. The Brhadaranyaka contains various sexual rituals and practices which are mostly aimed at obtaining a child which are concerned with the loss of male virility and power. David Gordon White views Yogini cults as foundational to early tantra but disagrees with scholars who maintain that the roots of such cults lie in an "autochthonous non-Vedic source" such as indigenous tribes or the Indus Valley Civilization. Instead, White suggests Vedic Srauta texts mention offerings to goddesses Rākā, Sinīvālī, and Kuhū in a manner similar to a tantric ritual. Frederick Smith – a professor of Sanskrit and Classical Indian Religions, considers Tantra to be a religious movement parallel to the Bhakti movement of the 1st millennium AD. Tantra along with Ayurveda, states Smith, has traditionally been attributed to Atharvaveda, but this attribution is one of respect not of historicity. Ayurveda has primarily been an empirical practice with Vedic roots, but Tantra has been an esoteric, folk movement without grounding that can be traced to anything in Atharvaveda or any other vedic text. Proto-Tantric elements in Buddhism Pre-tantric Buddhism contains elements which could be seen as proto-tantric, and which may have influenced the development of the Buddhist Tantric tradition. The use of magical chants or incantations can be found in the early Buddhist texts as well as in some Mahayana sutras. These magical spells or chants were used for various reasons, such as for protection, and for the generation of auspiciousness. In the Pali tradition, protection chants are called parittas, and include texts such as the Ratana Sutta which are widely recited today in the Theravada tradition. Mahayana incantations are called dhāraṇīs. Some Mahayana sutras incorporate the use of mantras, a central feature of tantric practice. According to Geoffrey Samuel, sramana groups like the Buddhists and Jains were associated with the dead. Samuel notes that they "frequently settled at sites associated with the dead and seem to have taken over a significant role in relation to the spirits of the dead." To step into this realm required entering a dangerous and impure supernatural realm from the Indian perspective. This association with death remains a feature of modern Buddhism, and in Buddhist countries today, Buddhist monks and other ritual specialists are in charge of the dead. Thus, the association of tantric practitioners with charnel grounds and death imagery is preceded by early Buddhist contact with these sites of the dead. Some scholars think that the development of tantra may have been influenced by the cults of nature spirit-deities like Yakṣas and Nagas. Yakṣa cults were an important part of early Buddhism. Yakṣas are powerful nature spirits which were sometimes seen as guardians or protectors. Yakṣas like Kubera are also associated with magical incantations. Kubera is said to have provided the Buddhist sangha with protection spells in the Āṭānāṭiya Sutta. These spirit deities also included numerous female deities (yakṣiṇī) that can be found depicted in major Buddhist sites like Sanchi and Bharhut. In early Buddhist texts there is also mention of fierce demon like deities called rākṣasa and rākṣasī, like the children eating Hārītī. They are also present in Mahayana texts, such as in Chapter 26 of the Lotus Sutra which includes a dialogue between the Buddha and a group of rākṣasīs, who swear to uphold and protect the sutra. These figures also teach magical dhāraṇīs to protect followers of the Lotus Sutra. A key element of Buddhist Tantric practice is the visualization of deities in meditation. This practice is actually found in pre-tantric Buddhist texts as well. In Mahayana sutras like the Pratyutpanna Samādhi and the three Amitabha Pure land sutras. There are other Mahāyāna sutras which contain what may be called "proto-tantric" material such as the Gandavyuha and the Dasabhumika which might have served as a source for the imagery found in later Tantric texts. According to Samuel, the Golden Light Sutra (c. 5th century at the latest) contains what could be seen as a proto-mandala. In the second chapter, a bodhisattva has a vision of "a vast building made of beryl and with divine jewels and celestial perfumes. Four lotus-seats appear in the four directions, with four Buddhas seated upon them: Aksobhya in the East, Ratnaketu in the South, Amitayus in the West and Dundubhīśvara in the North." A series of artwork discovered in Gandhara, in modern-day Pakistan, dating from about the 1st century CE, show Buddhist and Hindu monks holding skulls. The legend corresponding to these artworks is found in Buddhist texts, and describes monks "who tap skulls and forecast the future rebirths of the person to whom that skull belonged". According to Robert Brown, these Buddhist skull-tapping reliefs suggest that tantric practices may have been in vogue by the 1st century CE. Proto-Tantric elements in Shaktism and Shaivism The Mahabharata, the Harivamsa, and the Devi Mahatmya in the Markandeya Purana all mention the fierce, demon-killing manifestations of the Great Goddess, Mahishamardini, identified with Durga-Parvati. These suggest that Shaktism, reverence and worship for the Goddess in Indian culture, was an established tradition by the early centuries of the 1st millennium. Padoux mentions an inscription from 423 to 424 CE which mentions the founding of a temple to terrifying deities called "the mothers". However, this does not mean Tantric rituals and practices were as yet a part of either Hindu or Buddhist traditions. "Apart from the somewhat dubious reference to Tantra in the Gangadhar inscription of 423 CE", states David Lorenzen, it is only 7th-century Banabhatta's Kadambari which provide convincing proof of Tantra and Tantric texts. Shaivite ascetics seem to have been involved in the initial development of Tantra, particularly the transgressive elements dealing with the charnel ground. According to Samuel, one group of Shaiva ascetics, the Pasupatas, practiced a form of spirituality that made use of shocking and disreputable behavior later found in a tantric context, such as dancing, singing, and smearing themselves with ashes. Early Tantric practices are sometimes attributed to Shaiva ascetics associated with Bhairava, the Kapalikas ("skull men", also called Somasiddhatins or Mahavartins). Besides the shocking fact that they frequented cremation grounds and carried human skulls, little is known about them, and there is a paucity of primary sources on the Kapalikas. Samuel also states that the sources depict them as using alcohol and sex freely, that they were associated with terrfying female spirit-deities called yoginis and dakinis, and that they were believed to possess magical powers, such as flight. Kapalikas are depicted in fictional works and also widely disparaged in Buddhist, Hindu and Jain texts of the 1st millennium CE. In Hāla's Gatha-saptasati (composed by the 5th century AD), for example, the story calls a female character Kapalika, whose lover dies, he is cremated, she takes his cremation ashes and smears her body with it. The 6th-century Varāhamihira mentions Kapalikas in his literary works. Some of the Kāpālika practices mentioned in these texts are those found in Shaiva Hinduism and Vajrayana Buddhism, and scholars disagree on who influenced whom. These early historical mentions are in passing and appear to be Tantra-like practices, they are not detailed nor comprehensive presentation of Tantric beliefs and practices. Epigraphic references to the Kaulas Tantric practices are rare. Reference is made in the early 9th century to vama (left-hand) Tantras of the Kaulas. Literary evidence suggests Tantric Buddhism was probably flourishing by the 7th-century. Matrikas, or fierce mother goddesses that later are closely linked to Tantra practices, appear both in Buddhist and Hindu arts and literature between the 7th and 10th centuries. Rise and development According to Gavin Flood, the earliest date for the Tantra texts related to Tantric practices is 600 CE, though most of them were probably composed after the 8th century onwards. According to Flood, very little is known about who created the Tantras, nor much is known about the social status of these and medieval era Tantrikas. Flood states that the pioneers of Tantra may have been ascetics who lived at the cremation grounds, possibly from "above low-caste groups", and were probably non-Brahmanical and possibly part of an ancient tradition. By the early medieval times, their practices may have included the imitation of deities such as Kali and Bhairava, with offerings of non-vegetarian food, alcohol and sexual substances. According to this theory, these practitioners would have invited their deities to enter them, then reverted the role in order to control that deity and gain its power. These ascetics would have been supported by low castes living at the cremation places. Samuel states that transgressive and antinomian tantric practices developed in both Buddhist and Brahmanical (mainly Śaiva ascetics like the Kapalikas) contexts and that "Śaivas and Buddhists borrowed extensively from each other, with varying degrees of acknowledgement." According to Samuel, these deliberately transgressive practices included, "night time orgies in charnel grounds, involving the eating of human flesh, the use of ornaments, bowls and musical instruments made from human bones, sexual relations while seated on corpses, and the like." According to Samuel, another key element of in the development of tantra was "the gradual transformation of local and regional deity cults through which fierce male and, particularly, female deities came to take a leading role in the place of the yaksa deities." Samuel states that this took place between the fifth to eighth centuries CE. According to Samuel, there are two main scholarly opinions on these terrifying goddesses which became incorporated into Śaiva and Buddhist Tantra. The first view is that they originate out of a pan-Indian religious substrate that was not Vedic. Another opinion is to see these fierce goddesses as developing out of the Vedic religion. Alexis Sanderson has argued that tantric practices originally developed in a Śaiva milieu and was later adopted by Buddhists. He cites numerous elements that are found in the Śaiva Vidyapitha literature, including whole passages and lists of pithas, that seem to have been directly borrowed by Vajrayana texts. This has been criticized by Ronald M. Davidson however, due to the uncertain date of the Vidyapitha texts. Davidson argues that the pithas seem to have been neither uniquely Buddhist nor Śaiva, but frequented by both groups. He also states that the Śaiva tradition was also involved in the appropriation of local deities and that tantra may have been influenced by tribal Indian religions and their deities. Samuel writes that "the female divinities may well best be understood in terms of a distinct Śākta milieu from which both Śaivas and Buddhists were borrowing," but that other elements, like the Kapalika style practices, are more clearly derived from a Śaiva tradition. Samuel writes that the Saiva Tantra tradition appears to have originated as ritual sorcery carried out by hereditary caste groups (kulas) and associated with sex, death and fierce goddesses. The initiation rituals involved the consumption of the mixed sexual secretions (the clan essence) of a male guru and his consort. These practices were adopted by Kapalika styled ascetics and influenced the early Nath siddhas. Overtime, the more extreme external elements were replaced by internalized yogas that make use of the subtle body. Sexual ritual became a way to reach the liberating wisdom taught in the tradition. The Buddhists developed their own corpus of Tantras, which also drew on various Mahayana doctrines and practices, as well as on elements of the fierce goddess tradition and also on elements from the Śaiva traditions (such as deities like Bhairava, which were seen as having been subjugated and converted to Buddhism). Some Buddhist tantras (sometimes called "lower" or "outer" tantras) which are earlier works, do not make use of transgression, sex and fierce deities. These earlier Buddhist tantras mainly reflect a development of Mahayana theory and practice (like deity visualization) and a focus on ritual and purity. Between the eighth and tenth centuries, new tantras emerged which included fierce deities, kula style sexual initiations, subtle body practices and sexual yoga. The later Buddhist tantras are known as the "inner" or "unsurpassed yoga" (Anuttarayoga or "Yogini") tantras. According to Samuel, it seems that these sexual practices were not initially practiced by Buddhist monastics and instead developed outside of the monastic establishments among traveling siddhas. Tantric practices also included secret initiation ceremonies in which individuals would enter the tantric family (kula) and receive the secret mantras of the tantric deities. These initiations included the consumption of the sexual substances (semen and female sexual secretions) produced through ritual sex between the guru and his consort. These substances were seen as spiritually powerful and were also used as offerings for tantric deities. For both Śaivas and Buddhists, tantric practices often took place at important sacred sites (pithas) associated with fierce goddesses. Samuel writes that "we do not have a clear picture of how this network of pilgrimage sites arose." Whatever the case, it seems that it was in these ritual spaces visited by both Buddhists and Śaivas that the practice of Kaula and Anuttarayoga Tantra developed during the eighth and ninth centuries. Besides the practices outlined above, these sites also saw the practice of animal sacrifice as blood offerings to Śākta goddesses like Kamakhya. This practice is mentioned in Śākta texts like the Kālikāpurāṇa and the Yoginītantra. In some of these sites, such as Kamakhya Pitha, animal sacrifice is still widely practiced by Śāktas. Another key and innovative feature of medieval tantric systems was the development of internal yogas based on elements of the subtle body (sūkṣma śarīra). This subtle anatomy held that there were channels in the body (nadis) through which certain substances or energies (such as vayu, prana, kundalini, and shakti) flowed. These yogas involved moving these energies through the body to clear out certain knots or blockages (granthi) and to direct the energies to the central channel (avadhuti, sushumna). These yogic practices are also closely related to the practice of sexual yoga, since sexual intercourse was seen as being involved in the stimulation of the flow of these energies. Samuel thinks that these subtle body practices may have been influenced by Chinese Daoist practices. One of the earliest mentions of sexual yoga practice is in the Buddhist Mahāyānasūtrālamkāra of Asanga (c. 5th century), which states "Supreme self-control is achieved in the reversal of sexual intercourse in the blissful Buddha-poise and the untrammelled vision of one's spouse." According to David Snellgrove, the text's mention of a 'reversal of sexual intercourse' might indicate the practice of withholding ejaculation. Snellgrove states that it is possible that sexual yoga was already being practiced in Buddhist circles at this time, and that Asanga saw it as a valid practice. Likewise, Samuel thinks that there is a possibility that sexual yoga existed in the fourth or fifth centuries (though not in the same transgressive tantric contexts where it was later practiced). It is only in the seventh and eighth centuries however that we find substantial evidence for these sexual yogas. Unlike previous Upanishadic sexual rituals however, which seem to have been associated with Vedic sacrifice and mundane ends like childbirth, these sexual yogas were associated with the movement of subtle body energies (like Kundalini and Chandali, which were also seen as goddesses), and also with spiritual ends. These practices seemed to have developed at around the same time in both Saiva and Buddhist circles, and are associated with figures such as Tirumülar, Gorakhnath, Virupa, Naropa. The tantric mahasiddhas developed yogic systems with subtle body and sexual elements which could lead to magical powers (siddhis), immortality, as well as spiritual liberation (moksha, nirvana). Sexual yoga was seen as one way of producing a blissful expansion of consciousness that could lead to liberation. According to Jacob Dalton, ritualized sexual yoga (along with the sexual elements of the tantric initiation ritual, like the consumption of sexual fluids) first appears in Buddhist works called Mahayoga tantras (which include the Guhyagarbha and Ghuyasamaja). These texts "focused on the body's interior, on the anatomical details of the male and female sexual organs and the pleasure generated through sexual union." In these texts, sexual energy was also seen as a powerful force that could be harnessed for spiritual practice and according to Samuel "perhaps create the state of bliss and loss of personal identity which is homologised with liberating insight." These sexual yogas continued to develop further into more complex systems which are found in texts dating from about the ninth or tenth century, including the Saiva Kaulajñānanirṇaya and Kubjikātantra as well as the Buddhist Hevajra, and Cakrasamvara tantras which make use of charnel ground symbolism and fierce goddesses. Samuel writes that these later texts also combine the sexual yoga with a system of controlling the energies of the subtle body. "Tantric Age" From the 8th to the 14th century, Tantric traditions rose to prominence and flourished throughout India and beyond. By the 10th century, the main elements of tantric practice had reached maturity and were being practiced in Saiva and Buddhist contexts. This period has been referred to as the "Tantric Age" by some scholars due to prevalence of Tantra. Also by the 10th century, numerous tantric texts (variously called Agamas, Samhitas and Tantras) had been written, particularly in Kashmir, Nepal and Bengal. By this time, Tantric texts had also been translated into regional languages such as Tamil, and Tantric practices had spread across South Asia. Tantra also spread into Tibet, Indonesia and China. Gavin Flood describes this "Tantric age" as follows: Though the whole northern and Himalayan part of India was involved in the development of tantra, Kashmir was a particularly important center, both Saiva and Buddhist and numerous key tantric texts were written there according to Padoux. According to Alexis Sanderson, the Śaiva Tantra traditions of medieval Kashmir were mainly divided between the dualistic Śaiva Siddhanta and the non-dualist theology found in Śakta lineages like the Trika, Krama and Kaula. The non-dualists generally accepted and made use of sexual and transgressive practices, while the dualists mostly rejected them. Saiva tantra was especially successful because it managed to forge strong ties with South Asian kings who valued the power (shakti) of fierce deities like the warrior goddess Durga as a way to increase their own royal power. These kings took part in royal rituals led by Saiva "royal gurus" in which they were symbolically married to tantric deities and thus became the earthly representative of male gods like Shiva. Saiva tantra could also employ a variety of protection and destruction rituals which could be used for the benefit of the kingdom and the king. Tantric Shaivism was adopted by the kings of Kashmir, as well as by the Somavamshis of Odisha, the Kalachuris, and the Chandelas of Jejakabhukti (in Bundelkhand). There is also evidence of state support from the Cambodian Khmer Empire. As noted by Samuel, in spite of the increased depiction of female goddesses, these tantric traditions all seemed to have been mostly "male-directed and male-controlled." During the "Tantric Age", Buddhist Tantra was embraced by the Mahayana Buddhist mainstream and was studied at the great universities such as Nalanda and Vikramashila, from which it spread to Tibet and to the East Asian states of China, Korea, and Japan. This new Tantric Buddhism was supported by the Pala Dynasty (8th–12th century) which supported these centers of learning. The later Khmer kings and the Indonesian Srivijaya kingdom also supported tantric Buddhism. According to Samuel, while the sexual and transgressive practices were mostly undertaken in symbolic form (or through visualization) in later Tibetan Buddhist monastic contexts, it seems that in the eighth to tenth century Indian context, they were actually performed. In the 10th and 11th centuries, both Shaiva and Buddhist tantra evolved into more tame, philosophical, and liberation-oriented religions. This transformation saw a move from external and transgressive rituals towards a more internalized yogic practice focused on attaining spiritual insight. This recasting also made tantric religions much less open to attack by other groups. In Shaivism, this development is often associated with the Kashmiri master Abhinavagupta (c. 950 – 1016 CE) and his followers, as well the movements which were influenced by their work, like the Sri Vidya tradition (which spread as far as South India, and has been referred to as "high" tantra). In Buddhism, this taming of tantra is associated with the adoption of tantra by Buddhist monastics who sought to incorporate it within the Buddhist Mahayana scholastic framework. Buddhist tantras were written down and scholars like Abhayakaragupta wrote commentaries on them. Another important figure, the Bengali teacher Atisha, wrote a treatise which placed tantra as the culmination of a graduated Mahayana path to awakening, the Bodhipathapradīpa. In his view, one needed to first begin practicing non-tantric Mahayana, and then later one might be ready for tantra. This system became the model for tantric practice among some Tibetan Buddhist schools, like the Gelug. In Tibet, the transgressive and sexual practices of tantra became much less central and tantric practice was seen as suitable only for a small elite group. New tantras continued to be composed during this later period as well, such as the Kalachakra (c. 11th century), which seems to be concerned with converting Buddhists and non-Buddhists alike, and uniting them together against Islam. The Kalachakra teaches sexual yoga, but also warns not to introduce the practice of ingesting impure substances to beginners, since this is only for advanced yogis. This tantra also seems to want to minimize the impact of the transgressive practices, since it advises tantrikas to outwardly follow the customs of their country. Another influential development during this period was the codification of tantric yogic techniques that would later become the separate movement known as Hatha Yoga. According to James Mallinson, the original "source text" for Hatha Yoga is the Vajrayana Buddhist Amṛtasiddhi (11th century CE) attributed to the mahasiddha Virupa. This text was later adopted by Saiva yogic traditions (such as the Naths) and is quoted in their texts. Another tradition of Hindu Tantra developed among the Vaishnavas, this was called the Pāñcarātra Agama tradition. This tradition avoided the transgressive and sexual elements that were embraced by the Saivas and the Buddhists. There is also a smaller tantric tradition associated with Surya, the sun god. Jainism also seems to have developed a substantial Tantra corpus based on the Saura tradition, with rituals based on yakshas and yakshinis. However, this Jain tantrism was mainly used for pragmatic purposes like protection, and was not used to attain liberation. Complete manuscripts of these Jain tantras have not survived. The Jains also seem to have adopted some of the subtle body practices of tantra, but not sexual yoga. The Svetambara thinker Hemacandra (c. 1089–1172) discusses tantric practices extensively, such as internal meditations on chakras, which betray Kaula and Nath influences. Reception and later developments There seems to have been some debate regarding the appropriateness of tantra. Among the Hindus, those belonging to the more orthodox Vedic traditions rejected the Tantras. Meanwhile, tantrikas incorporated Vedic ideas within their own systems, while considering the Tantras as the higher, more refined understanding. Meanwhile, some Tantrikas considered the Tantras to be superior to the Vedas, while others considered them complementary such as Umapati, who is quoted as stating: "The Veda is the cow, the true Agama its milk." According to Samuel, the great Advaita philosopher Shankara (9th century) "is portrayed in his biography, the Sankaravijaya, as condemning the approaches of various kinds of Tantric practitioners and defeating them through argument or spiritual power." He also is said to have encouraged the replacement of fierce goddesses with benign female deities, and thus to have promoted the Sri Vidya tradition (which worships a peaceful and sweet goddess, Tripura Sundari). Though it is far from certain that Shankara actually campaigned against tantra, he is traditionally seen as someone who purified Hinduism from transgressive and antinomian tantric practices. The 13th-century Dvaita Vedanta philosopher Madhvacharya wrote copious commentaries on then existing major schools of Indian philosophies and practices, and cited the works of the 10th century Abhinavagupta, who was considered a major and influential Tantra scholar. However, Madhvacharya does not mention Tantra as a separate, distinct religious or ritual-driven practice. The early 20th-century Indian scholar Pandurang Vaman Kane conjectured that Madhvacharya ignored Tantra because it may have been considered scandalous. In contrast, Padoux suggests that Tantra may have been so pervasive by the 13th century that "it was not regarded as being a distinct system." Hindu tantra, while practiced by some of the general lay population, was eventually overshadowed by the more popular Bhakti movements that swept throughout India from the 15th century onwards. According to Samuel, "these new devotional styles of religion, with their emphasis on emotional submission to a supreme saviour-deity, whether Saivite or Vaisnavite, were better adapted, perhaps, to the subaltern role of non-Muslim groups under Muslim rule." Saiva tantra did remain an important practice among most Saiva ascetics however. Tantric traditions also survived in certain regions, such as among the Naths of Rajasthan, in the Sri Vidya tradition of South India and in the Bengali Bauls. In Buddhism, while tantra became accepted in the great Mahayana establishments of Nalanda and Vikramashila and spread to the Himalayan regions, it also experienced serious setbacks in other regions, particularly Southeast Asia. In Burma, for example, King Anawratha (1044–1077) is said to have disbanded tantric "Ari" monks. As Theravada Buddhism became dominant in South East Asian states, tantric religions became marginalised in those regions. In Sri Lanka, tantric Buddhism also suffered debilitating setbacks. Initially the large Abhayagiri Monastery was a place where the practice of Vajrayana seems to have flourished during the 8th century. However, Abhayagiri was disbanded and forced to convert to the orthodox Mahāvihāra sect during the reign of Parakramabahu I (1153–1186). Regarding the reception of tantra during the period of Hindu modernism in the 19th and 20th centuries, Samuel writes that this period saw "a radical reframing of yogic practices away from the Tantric context." Samuel notes that while Hindu Hatha yoga had its origins in a Saiva tantric context, Given the extremely negative views of Tantra and its sexual and magical practices which prevailed in middle-class India in the late nineteenth and twentieth centuries, and still largely prevail today, this was an embarrassing heritage. Much effort was given by people such as Swami Vivekananda into reconstructing yoga, generally in terms of a selective Vedantic reading of Patañjali's Yogasutra (de Michelis 2004). The effort was largely successful, and many modern Western practitioners of yoga for health and relaxation have little or no knowledge of its original function as a preparation for the internal sexual practices of the Nath tradition. Regarding modern Buddhist tantra, it has survived in modern Indo-Tibetan Buddhism, in various Japanese traditions such as Shingon, and in the Newar Buddhism of the Kathmandu Valley. There are also magical quasi-tantric traditions in Southeast Asia, sometimes termed Esoteric Southern Buddhism, though they are not called "tantric" and have been marginalised by state supported modernist forms of Theravada Buddhism. Tantric traditions Hindu tantra Within Hinduism, the word tantra often refers to a text, which may or may not be "tantric." Conversely, various tantric texts are actually not always called tantras (instead they may be called āgama, jñāna, saṃhitā, siddhānta, vidyā). There are also tantric Upanishads, which are late Upanishads as well as tantric Puranas (and Puranas influenced by tantric ideas). Besides these types of texts, there are also various types of tantric "sastras" (treatises) which may be "commentaries, digests, compilations, monographs, collections of hymns or of names of deities, and mantras and works on mantras." Though much of this vast body of tantric literature is in Sanskrit, others have also been written in Indian vernacular languages. As noted by Padoux, the largest portion of these tantric works are Shaiva texts. A web site with somewhat encyclopedic collection of yantra, mantra, and tantra scripture translated to English, also exists. Tantric texts and practitioners ("tantrikas" & "tantrinis") are often contrasted with Vedic texts and those who practice Vedic religion ("Vaidikas"). This non-Vedic path was often termed Mantramarga ("The way of mantras") or Tantrasastra ("Tantra teaching"). One of the most well known comments on this dichotomy is Kulluka Bhatta's statement in his 15th century commentary to the Manusmriti which states that revelation (sruti) is twofold – Vedic and Tantric. Hindu tantric teachings are generally seen as revelations from a divine being (such as Śiva, or the Goddess) which are considered by tantrikas to be superior to the Vedas in leading beings to liberation. They are also considered to be more effective during the Kali Yuga, a time of much passion (kama). However, tantric thinkers like Abhinavagupta, while considering tantra as superior, do not totally reject Vedic teachings, and instead consider them valid on a lower level since they also derive from the same source, the supreme Godhead. There are various Hindu tantric traditions within Shaivism, Shaktism and Vaishnavism. There are numerous tantric texts for these different traditions with different philosophical point of views, ranging from theistic dualism to absolute monism. According to David B. Gray, "one of the most important tropes in the history of the dissemination of tantric traditions is that of lineage, the transmission of teachings along an uninterrupted lineage, from master to disciple, the so-called guruparaṃparā." These various traditions also differ among themselves on how heterodox and transgressive they are (vis a vis the Vedic tradition). Since tantric rituals became so widespread, certain forms of tantra were eventually accepted by many orthodox Vedic thinkers such as Jayanta Bhatta and Yamunacarya as long as they did not contradict Vedic teaching and social rules. Tantric scriptures such as the Kali centered Jayadrathayamala also state that tantrikas can follow the Vedic social rules out of convenience and for the benefit of their clan and guru. However, not all Vedic thinkers accepted tantra. For example, Kumarila Bhatta wrote that one should have no contact with tantrikas nor speak to them. Śaiva and Śākta tantra Śaiva Tantra is called the Mantramārga, and is often seen as being a separate teaching than the ascetic "Atimārga" tradition (which includes the Pāśupatas and Kāpālikas). There are various doctrines, textual classes and schools of Shaiva Tantra, which often overlap with the Shakta tradition in different ways. The Śaiva Siddhānta tradition tradition is the earliest Śaiva Tantra school and was characterized by public rituals performed by priests. Some of their texts, like the Niśvāsatattvasaṃhitā have been dated to the fifth century. Their scriptures (the Śaiva Agamas) and basic doctrines are also shared by the other traditions as a common Śaiva doctrine and many of their rites are also used in other schools of Shaiva Tantra. The prescriptions and rituals of the Śaiva Siddhānta Agamas are generally followed by Śaiva temples in South India and they are mostly compatible with orthodox Brahmanism, lacking terrifying deities and animal sacrifice. The Mantrapīṭha tradition on the other hand, worships Svacchanda Bhairava, a terrifying form of Shiva also known as "Aghora" ("not fearsome"). This tradition promotes the Skull observance (Kapalavrata), that is, carrying a skull, a skull staff (khatavanga) and worshipping in cremation grounds. One contemporary group of Kapalika ascetics are the Aghoris. There are also various traditions who are classified as "Vidyāpīṭha". The texts of this tradition focus on worshipping goddesses known as Yoginīs or Ḍākinīs and include antinomian practices dealing with charnel grounds and sexuality. These goddess centered traditions of the Śākta tantras are mostly of the "left" current (vamachara) and are thus considered more heterodox. There are various Vidyāpīṭha traditions, which focus on a bipolar, bisexual divinity that is equal parts male and female, Śaiva and Śākta. The Yamalatantras worship Bhairava along with Kapalini, the goddess of the skull. The Goddess centered traditions are known as the Kulamārga (Path of the Clans), referring to the clans of the goddesses and their Shakti tantras, which may have been established around the 9th century. It includes sexual rituals, sanguinary practices, the ritual consumption of liquor and the importance of spirit possession. It includes various sub-traditions the developed in different regions of India, such as the Trika lineage (which worships a trio of deities: Parā, Parāparā, and Aparā), the tradition of the fierce goddess Guhyakālī, Krama tradition, focusing on the goddess Kālī, the Kubjikā cult, and the southern tradition which worships the beautiful goddess Kāmeśvarī or Tripurasundarī. During the 10th century, the syncretic Nondual School of Kashmir Śaivism developed. According to Alexis Sanderson, this tradition arose out of the confrontation between the dualistic and more orthodox Śaiva Siddhānta and the nondual transgressive traditions of the Trika and Krama. According to David B. Gray, this school integrated elements from both of these traditions, "the end result was a nondualistic system in which the transgressive elements were internalized and hence rendered less offensive to the orthodox." The philosophers of Kashmir Śaivism, especially Abhinavagupta (c. 975–1025 ce) and his student Jayaratha, are some of the most influential philosophers who wrote on Hindu tantra. These thinkers synthesized the various goddess and Śaiva lineages and philosophies into a comprehensive and influential religious system. According to David White, Abhinavagupta "sublimates, cosmeticizes, and semanticizes many of its practices into a type of meditative asceticism whose aim is to realize a transcendent subjectivity". Thus, his work domesticated the radically
Bhatta, is that literature which forms a parallel part of the Hindu tradition, independent of the Vedic corpus. The Vedic and non-Vedic (Tantric) paths are seen as two different approaches to ultimate reality, the Vedic approach based on Brahman, and Tantrika being based on the non-Vedic Āgama texts. Despite Bhatta attempt to clarify, states Padoux, in reality Hindus and Buddhists have historically felt free to borrow and blend ideas from all sources, Vedic, non-Vedic and in the case of Buddhism, its own canonical works. Trika or Kashmir Shaivism may also be referred to as Tantrika. One of the key differences between the Tantric and non-Tantric traditions – whether it be orthodox Buddhism, Hinduism or Jainism – is their assumptions about the need for monastic or ascetic life. Non-Tantrika, or orthodox traditions in all three major ancient Indian religions, hold that the worldly life of a householder is one driven by desires and greeds which are a serious impediment to spiritual liberation (moksha, nirvana, kaivalya). These orthodox traditions teach renunciation of householder life, a mendicant's life of simplicity and leaving all attachments to become a monk or nun. In contrast, the Tantrika traditions hold, states Robert Brown, that "both enlightenment and worldly success" are achievable, and that "this world need not be shunned to achieve enlightenment". Yet, even this supposed categorical divergence is debatable, e.g. Bhagavad Gita v.2:48-53, including: "Yoga is skill in [the performance of] actions." History Proto-Tantric elements in Vedic religion The Keśin hymn of the Rig Veda (10.136) describes the "wild loner" who, states Karel Werner, "carrying within oneself fire and poison, heaven and earth, ranging from enthusiasm and creativity to depression and agony, from the heights of spiritual bliss to the heaviness of earth-bound labor". The Rigveda uses words of admiration for these loners, and whether it is related to Tantra or not, has been variously interpreted. According to David Lorenzen, it describes munis (sages) experiencing Tantra-like "ecstatic, altered states of consciousness" and gaining the ability "to fly on the wind". In contrast, Werner suggests that these are early Yoga pioneers and accomplished yogis of the ancient pre-Buddhist Indian tradition, and that this Vedic hymn is speaking of those "lost in thoughts" whose "personalities are not bound to earth, for they follow the path of the mysterious wind". The two oldest Upanishadic scriptures of Hinduism, the Brihadaranyaka Upanishad in section 4.2 and Chandogya Upanishad in section 8.6, refer to nadis (hati) in presenting their theory on how the Atman (Self) and the body are connected and interdependent through energy carrying arteries when one is awake or sleeping, but they do not mention anything related to Tantric practices. The Shvetashvatara Upanishad describes breath control that became a standard part of Yoga, but Tantric practices do not appear in it. Likewise, the Taittiriya Upanishad discusses a central channel running through the body and various Vedic texts mention the bodily pranas (vital breaths) that move around in the body and animate it. However, the idea of consciously moving the bodily pranas through yoga is not found in these sources. According to Lorenzen, Vedic ideas related to the body later diversified into the "mystical anatomy" of nadis and chakras found in Tantra. The yogic component of Tantrism appears clearly in Bāṇabhaṭṭa's Harshacharita and Daṇḍin's Dashakumaracharita. In contrast to this theory of Lorenzen, other scholars such as Mircea Eliade consider Yoga and the evolution of Yogic practices to be separate and distinct from the evolution of Tantra and Tantric practices. According to Geoffrey Samuel, the inner development of a spiritual energy called tapas becomes a central element of Vedic religion in the Brahmanas and Srauta texts. In these texts, ascetic practices allow a holy man to build up tapas, a kind of magical inner heat, which allows them to perform all sorts of magical feats as well as granting visions and divine revelations. Samuel also notes that in the Mahabharata, one of the commonest use of the term "yoga" refers to "a dying warrior transferring himself at death to the sphere of the sun through yoga, a practice that links up with Upanisadic references to the channel to the crown of the head as the pathway by which one can travel through the solar orb to the World of Brahman." This practice of transferring one's consciousness at death is still an important practice in Tibetan Buddhism. Samuel also notes that sexual rituals and a spiritualized sexuality are mentioned in the late Upanishads. According to Samuel, "late Vedic texts treat sexual intercourse as symbolically equivalent to the Vedic sacrifice, and ejaculation of semen as the offering." This theme can be found in the Jaiminiya Brahmana, the Chandogya Upanisad, and the Brhadaranyaka Upanisad. The Brhadaranyaka contains various sexual rituals and practices which are mostly aimed at obtaining a child which are concerned with the loss of male virility and power. David Gordon White views Yogini cults as foundational to early tantra but disagrees with scholars who maintain that the roots of such cults lie in an "autochthonous non-Vedic source" such as indigenous tribes or the Indus Valley Civilization. Instead, White suggests Vedic Srauta texts mention offerings to goddesses Rākā, Sinīvālī, and Kuhū in a manner similar to a tantric ritual. Frederick Smith – a professor of Sanskrit and Classical Indian Religions, considers Tantra to be a religious movement parallel to the Bhakti movement of the 1st millennium AD. Tantra along with Ayurveda, states Smith, has traditionally been attributed to Atharvaveda, but this attribution is one of respect not of historicity. Ayurveda has primarily been an empirical practice with Vedic roots, but Tantra has been an esoteric, folk movement without grounding that can be traced to anything in Atharvaveda or any other vedic text. Proto-Tantric elements in Buddhism Pre-tantric Buddhism contains elements which could be seen as proto-tantric, and which may have influenced the development of the Buddhist Tantric tradition. The use of magical chants or incantations can be found in the early Buddhist texts as well as in some Mahayana sutras. These magical spells or chants were used for various reasons, such as for protection, and for the generation of auspiciousness. In the Pali tradition, protection chants are called parittas, and include texts such as the Ratana Sutta which are widely recited today in the Theravada tradition. Mahayana incantations are called dhāraṇīs. Some Mahayana sutras incorporate the use of mantras, a central feature of tantric practice. According to Geoffrey Samuel, sramana groups like the Buddhists and Jains were associated with the dead. Samuel notes that they "frequently settled at sites associated with the dead and seem to have taken over a significant role in relation to the spirits of the dead." To step into this realm required entering a dangerous and impure supernatural realm from the Indian perspective. This association with death remains a feature of modern Buddhism, and in Buddhist countries today, Buddhist monks and other ritual specialists are in charge of the dead. Thus, the association of tantric practitioners with charnel grounds and death imagery is preceded by early Buddhist contact with these sites of the dead. Some scholars think that the development of tantra may have been influenced by the cults of nature spirit-deities like Yakṣas and Nagas. Yakṣa cults were an important part of early Buddhism. Yakṣas are powerful nature spirits which were sometimes seen as guardians or protectors. Yakṣas like Kubera are also associated with magical incantations. Kubera is said to have provided the Buddhist sangha with protection spells in the Āṭānāṭiya Sutta. These spirit deities also included numerous female deities (yakṣiṇī) that can be found depicted in major Buddhist sites like Sanchi and Bharhut. In early Buddhist texts there is also mention of fierce demon like deities called rākṣasa and rākṣasī, like the children eating Hārītī. They are also present in Mahayana texts, such as in Chapter 26 of the Lotus Sutra which includes a dialogue between the Buddha and a group of rākṣasīs, who swear to uphold and protect the sutra. These figures also teach magical dhāraṇīs to protect followers of the Lotus Sutra. A key element of Buddhist Tantric practice is the visualization of deities in meditation. This practice is actually found in pre-tantric Buddhist texts as well. In Mahayana sutras like the Pratyutpanna Samādhi and the three Amitabha Pure land sutras. There are other Mahāyāna sutras which contain what may be called "proto-tantric" material such as the Gandavyuha and the Dasabhumika which might have served as a source for the imagery found in later Tantric texts. According to Samuel, the Golden Light Sutra (c. 5th century at the latest) contains what could be seen as a proto-mandala. In the second chapter, a bodhisattva has a vision of "a vast building made of beryl and with divine jewels and celestial perfumes. Four lotus-seats appear in the four directions, with four Buddhas seated upon them: Aksobhya in the East, Ratnaketu in the South, Amitayus in the West and Dundubhīśvara in the North." A series of artwork discovered in Gandhara, in modern-day Pakistan, dating from about the 1st century CE, show Buddhist and Hindu monks holding skulls. The legend corresponding to these artworks is found in Buddhist texts, and describes monks "who tap skulls and forecast the future rebirths of the person to whom that skull belonged". According to Robert Brown, these Buddhist skull-tapping reliefs suggest that tantric practices may have been in vogue by the 1st century CE. Proto-Tantric elements in Shaktism and Shaivism The Mahabharata, the Harivamsa, and the Devi Mahatmya in the Markandeya Purana all mention the fierce, demon-killing manifestations of the Great Goddess, Mahishamardini, identified with Durga-Parvati. These suggest that Shaktism, reverence and worship for the Goddess in Indian culture, was an established tradition by the early centuries of the 1st millennium. Padoux mentions an inscription from 423 to 424 CE which mentions the founding of a temple to terrifying deities called "the mothers". However, this does not mean Tantric rituals and practices were as yet a part of either Hindu or Buddhist traditions. "Apart from the somewhat dubious reference to Tantra in the Gangadhar inscription of 423 CE", states David Lorenzen, it is only 7th-century Banabhatta's Kadambari which provide convincing proof of Tantra and Tantric texts. Shaivite ascetics seem to have been involved in the initial development of Tantra, particularly the transgressive elements dealing with the charnel ground. According to Samuel, one group of Shaiva ascetics, the Pasupatas, practiced a form of spirituality that made use of shocking and disreputable behavior later found in a tantric context, such as dancing, singing, and smearing themselves with ashes. Early Tantric practices are sometimes attributed to Shaiva ascetics associated with Bhairava, the Kapalikas ("skull men", also called Somasiddhatins or Mahavartins). Besides the shocking fact that they frequented cremation grounds and carried human skulls, little is known about them, and there is a paucity of primary sources on the Kapalikas. Samuel also states that the sources depict them as using alcohol and sex freely, that they were associated with terrfying female spirit-deities called yoginis and dakinis, and that they were believed to possess magical powers, such as flight. Kapalikas are depicted in fictional works and also widely disparaged in Buddhist, Hindu and Jain texts of the 1st millennium CE. In Hāla's Gatha-saptasati (composed by the 5th century AD), for example, the story calls a female character Kapalika, whose lover dies, he is cremated, she takes his cremation ashes and smears her body with it. The 6th-century Varāhamihira mentions Kapalikas in his literary works. Some of the Kāpālika practices mentioned in these texts are those found in Shaiva Hinduism and Vajrayana Buddhism, and scholars disagree on who influenced whom. These early historical mentions are in passing and appear to be Tantra-like practices, they are not detailed nor comprehensive presentation of Tantric beliefs and practices. Epigraphic references to the Kaulas Tantric practices are rare. Reference is made in the early 9th century to vama (left-hand) Tantras of the Kaulas. Literary evidence suggests Tantric Buddhism was probably flourishing by the 7th-century. Matrikas, or fierce mother goddesses that later are closely linked to Tantra practices, appear both in Buddhist and Hindu arts and literature between the 7th and 10th centuries. Rise and development According to Gavin Flood, the earliest date for the Tantra texts related to Tantric practices is 600 CE, though most of them were probably composed after the 8th century onwards. According to Flood, very little is known about who created the Tantras, nor much is known about the social status of these and medieval era Tantrikas. Flood states that the pioneers of Tantra may have been ascetics who lived at the cremation grounds, possibly from "above low-caste groups", and were probably non-Brahmanical and possibly part of an ancient tradition. By the early medieval times, their practices may have included the imitation of deities such as Kali and Bhairava, with offerings of non-vegetarian food, alcohol and sexual substances. According to this theory, these practitioners would have invited their deities to enter them, then reverted the role in order to control that deity and gain its power. These ascetics would have been supported by low castes living at the cremation places. Samuel states that transgressive and antinomian tantric practices developed in both Buddhist and Brahmanical (mainly Śaiva ascetics like the Kapalikas) contexts and that "Śaivas and Buddhists borrowed extensively from each other, with varying degrees of acknowledgement." According to Samuel, these deliberately transgressive practices included, "night time orgies in charnel grounds, involving the eating of human flesh, the use of ornaments, bowls and musical instruments made from human bones, sexual relations while seated on corpses, and the like." According to Samuel, another key element of in the development of tantra was "the gradual transformation of local and regional deity cults through which fierce male and, particularly, female deities came to take a leading role in the place of the yaksa deities." Samuel states that this took place between the fifth to eighth centuries CE. According to Samuel, there are two main scholarly opinions on these terrifying goddesses which became incorporated into Śaiva and Buddhist Tantra. The first view is that they originate out of a pan-Indian religious substrate that was not Vedic. Another opinion is to see these fierce goddesses as developing out of the Vedic religion. Alexis Sanderson has argued that tantric practices originally developed in a Śaiva milieu and was later adopted by Buddhists. He cites numerous elements that are found in the Śaiva Vidyapitha literature, including whole passages and lists of pithas, that seem to have been directly borrowed by Vajrayana texts. This has been criticized by Ronald M. Davidson however, due to the uncertain date of the Vidyapitha texts. Davidson argues that the pithas seem to have been neither uniquely Buddhist nor Śaiva, but frequented by both groups. He also states that the Śaiva tradition was also involved in the appropriation of local deities and that tantra may have been influenced by tribal Indian religions and their deities. Samuel writes that "the female divinities may well best be understood in terms of a distinct Śākta milieu from which both Śaivas and Buddhists were borrowing," but that other elements, like the Kapalika style practices, are more clearly derived from a Śaiva tradition. Samuel writes that the Saiva Tantra tradition appears to have originated as ritual sorcery carried out by hereditary caste groups (kulas) and associated with sex, death and fierce goddesses. The initiation rituals involved the consumption of the mixed sexual secretions (the clan essence) of a male guru and his consort. These practices were adopted by Kapalika styled ascetics and influenced the early Nath siddhas. Overtime, the more extreme external elements were replaced by internalized yogas that make use of the subtle body. Sexual ritual became a way to reach the liberating wisdom taught in the tradition. The Buddhists developed their own corpus of Tantras, which also drew on various Mahayana doctrines and practices, as well as on elements of the fierce goddess tradition and also on elements from the Śaiva traditions (such as deities like Bhairava, which were seen as having been subjugated and converted to Buddhism). Some Buddhist tantras (sometimes called "lower" or "outer" tantras) which are earlier works, do not make use of transgression, sex and fierce deities. These earlier Buddhist tantras mainly reflect a development of Mahayana theory and practice (like deity visualization) and a focus on ritual and purity. Between the eighth and tenth centuries, new tantras emerged which included fierce deities, kula style sexual initiations, subtle body practices and sexual yoga. The later Buddhist tantras are known as the "inner" or "unsurpassed yoga" (Anuttarayoga or "Yogini") tantras. According to Samuel, it seems that these sexual practices were not initially practiced by Buddhist monastics and instead developed outside of the monastic establishments among traveling siddhas. Tantric practices also included secret initiation ceremonies in which individuals would enter the tantric family (kula) and receive the secret mantras of the tantric deities. These initiations included the consumption of the sexual substances (semen and female sexual secretions) produced through ritual sex between the guru and his consort. These substances were seen as spiritually powerful and were also used as offerings for tantric deities. For both Śaivas and Buddhists, tantric practices often took place at important sacred sites (pithas) associated with fierce goddesses. Samuel writes that "we do not have a clear picture of how this network of pilgrimage sites arose." Whatever the case, it seems that it was in these ritual spaces visited by both Buddhists and Śaivas that the practice of Kaula and Anuttarayoga Tantra developed during the eighth and ninth centuries. Besides the practices outlined above, these sites also saw the practice of animal sacrifice as blood offerings to Śākta goddesses like Kamakhya. This practice is mentioned in Śākta texts like the Kālikāpurāṇa and the Yoginītantra. In some of these sites, such as Kamakhya Pitha, animal sacrifice is still widely practiced by Śāktas. Another key and innovative feature of medieval tantric systems was the development of internal yogas based on elements of the subtle body (sūkṣma śarīra). This subtle anatomy held that there were channels in the body (nadis) through which certain substances or energies (such as vayu, prana, kundalini, and shakti) flowed. These yogas involved moving these energies through the body to clear out certain knots or blockages (granthi) and to direct the energies to the central channel (avadhuti, sushumna). These yogic practices are also closely related to the practice of sexual yoga, since sexual intercourse was seen as being involved in the stimulation of the flow of these energies. Samuel thinks that these subtle body practices may have been influenced by Chinese Daoist practices. One of the earliest mentions of sexual yoga practice is in the Buddhist Mahāyānasūtrālamkāra of Asanga (c. 5th century), which states "Supreme self-control is achieved in the reversal of sexual intercourse in the blissful Buddha-poise and the untrammelled vision of one's spouse." According to David Snellgrove, the text's mention of a 'reversal of sexual intercourse' might indicate the practice of withholding ejaculation. Snellgrove states that it is possible that sexual yoga was already being practiced in Buddhist circles at this time, and that Asanga saw it as a valid practice. Likewise, Samuel thinks that there is a possibility that sexual yoga existed in the fourth or fifth centuries (though not in the same transgressive tantric contexts where it was later practiced). It is only in the seventh and eighth centuries however that we find substantial evidence for these sexual yogas. Unlike previous Upanishadic sexual rituals however, which seem to have been associated with Vedic sacrifice and mundane ends like childbirth, these sexual yogas were associated with the movement of subtle body energies (like Kundalini
of money, property, and prestige divert us from our primary purpose. Every AA group ought to be fully self-supporting, declining outside contributions. Alcoholics Anonymous should remain forever non-professional, but our service centers may employ special workers. AA, as such, ought never be organized; but we may create service boards or committees directly responsible to those they serve. Alcoholics Anonymous has no opinion on outside issues; hence the AA name ought never be drawn into public controversy. Our public relations policy is based on attraction rather than promotion; we need always to maintain personal anonymity at the level of press, radio, and films. Anonymity is the spiritual foundation of all our traditions, ever reminding us to place principles before personalities. Process In the twelve-step program, the human structure is symbolically represented in three dimensions: physical, mental, and spiritual. The problems the groups deal with are understood to manifest themselves in each dimension. For addicts and alcoholics, the physical dimension is best described by the allergy-like bodily reaction resulting in the compulsion to continue using substances after the initial use. The statement in the First Step that the individual is "powerless" over the substance-abuse related behavior at issue refers to the lack of control over this compulsion, which persists despite any negative consequences that may be endured as a result. The mental obsession is described as the cognitive processes that cause the individual to repeat the compulsive behavior after some period of abstinence, either knowing that the result will be an inability to stop or operating under the delusion that the result will be different. The description in the First Step of the life of the alcoholic or addict as "unmanageable" refers to the lack of choice that the mind of the addict or alcoholic affords concerning whether to drink or use again. The illness of the spiritual dimension, or "spiritual malady," is considered in all twelve-step groups to be self-centeredness. The process of working the steps is intended to replace self-centeredness with a growing moral consciousness and a willingness for self-sacrifice and unselfish constructive action. In twelve-step groups, this is known as a "spiritual awakening." This should not be confused with abreaction, which produces dramatic, but temporary, changes, As a rule, in twelve-step fellowships, spiritual awakening occurs slowly over a period of time, although there are exceptions where members experience a sudden spiritual awakening. In accordance with the First Step, twelve-step groups emphasize self-admission by members of the problem they are recovering from. It is in this spirit that members often identify themselves along with an admission of their problem, often as "Hi, I’m , and I’m an alcoholic". Sponsorship A sponsor is a more experienced person in recovery who guides the less-experienced aspirant ("sponsee") through the program's twelve steps. New members in twelve-step programs are encouraged to secure a relationship with at least one sponsor who both has a sponsor and has taken the twelve steps themselves. Publications from twelve-step fellowships emphasize that sponsorship is a "one on one" nonhierarchical relationship of shared experiences focused on working the Twelve Steps. According to Narcotics Anonymous: Sponsors share their experience, strength, and hope with their sponsees... A sponsor's role is not that of a legal adviser, a banker, a parent, a marriage counselor, or a social worker. Nor is a sponsor a therapist offering some sort of professional advice. A sponsor is simply another addict in recovery who is willing to share his or her journey through the Twelve Steps. Sponsors and sponsees participate in activities that lead to spiritual growth. Experiences in the program are often shared by outgoing members with incoming members. This rotation of experience is often considered to have a great spiritual reward. These may include practices such as literature discussion and study, meditation, and writing. Completing the program usually implies competency to guide newcomers which is often encouraged. Sponsees typically do their Fifth Step, review their moral inventory written as part of the Fourth Step, with their sponsor. The Fifth Step, as well as the Ninth Step, have been compared to confession and penitence. Michel Foucault, a French philosopher, noted such practices produce intrinsic modifications in the person—exonerating, redeeming and purifying them; relieves them of their burden of wrong, liberating them and promising salvation. The personal nature of the behavioral issues that lead to seeking help in twelve-step fellowships results in a strong relationship between sponsee and sponsor. As the relationship is based on spiritual principles, it is unique and not generally characterized as "friendship". Fundamentally, the sponsor has the single purpose of helping the sponsee recover from the behavioral problem that brought the sufferer into twelve-step work, which reflexively helps the sponsor recover. A study of sponsorship as practiced in Alcoholics Anonymous and Narcotics Anonymous found that providing direction and support to other alcoholics and addicts is associated with sustained abstinence for the sponsor, but suggested that there were few short-term benefits for the sponsee's one-year sustained abstinence rate. Effectiveness Alcoholics Anonymous is the largest of all of the twelve-step programs (from which all other
new life with a new code of behavior; helping others who suffer from the same alcoholism, addictions or compulsions. Overview Twelve-step methods have been adapted to address a wide range of alcoholism, substance abuse, and dependency problems. Over 200 self-help organizations—often known as fellowships—with a worldwide membership of millions—now employ twelve-step principles for recovery. Narcotics Anonymous was formed by addicts who did not relate to the specifics of alcohol dependency. Demographic preferences related to the addicts' drug of choice has led to the creation of Cocaine Anonymous, Crystal Meth Anonymous and Marijuana Anonymous. Behavioral issues such as compulsion for or addiction to gambling, crime, food, sex, hoarding, getting into debt and work are addressed in fellowships such as Gamblers Anonymous, Overeaters Anonymous, Sexaholics Anonymous and Debtors Anonymous. Auxiliary groups such as Al-Anon and Nar-Anon, for friends and family members of alcoholics and addicts, respectively, are part of a response to treating addiction as a disease that is enabled by family systems. Adult Children of Alcoholics (ACA or ACOA) addresses the effects of growing up in an alcoholic or otherwise dysfunctional family. Co-Dependents Anonymous () addresses compulsions related to relationships, referred to as codependency. History Alcoholics Anonymous (AA), the first twelve-step fellowship, was founded in 1935 by Bill Wilson and Dr. Robert Holbrook Smith, known to AA members as "Bill W." and "Dr. Bob", in Akron, Ohio. In 1946 they formally established the twelve traditions to help deal with the issues of how various groups could relate and function as membership grew. The practice of remaining anonymous (using only one's first names) when interacting with the general public was published in the first edition of the AA Big Book. As AA chapters were increasing in number during the 1930s and 1940s, the guiding principles were gradually defined as the Twelve Traditions. A singleness of purpose emerged as Tradition Five: "Each group has but one primary purpose—to carry its message to the alcoholic who still suffers". Consequently, drug addicts who do not suffer from the specifics of alcoholism involved in AA hoping for recovery technically are not welcome in "closed" meetings unless they have a desire to stop drinking alcohol. The principles of AA have been used to form many numbers of other fellowships specifically designed for those recovering from various pathologies; each emphasizes recovery from the specific malady which brought the sufferer into the fellowship. Twelve Steps The following are the original twelve steps as published by Alcoholics Anonymous: We admitted we were powerless over alcohol—that our lives had become unmanageable. Came to believe that a power greater than ourselves could restore us to sanity. Made a decision to turn our will and our lives over to the care of God as we understood Him. Made a searching and fearless moral inventory of ourselves. Admitted to God, to ourselves, and to another human being the exact nature of our wrongs. Were entirely ready to have God remove all these defects of character. Humbly asked Him to remove our shortcomings. Made a list of all persons we had harmed, and became willing to make amends to them all. Made direct amends to such people wherever possible, except when to do so would injure them or others. Continued to take personal inventory, and when we were wrong, promptly admitted it. Sought through prayer and meditation to improve our conscious contact with God as we understood Him, praying only for knowledge of His will for us and the power to carry that out. Having had a spiritual awakening as the result of these steps, we tried to carry this message to alcoholics, and to practice these principles in all our affairs. In some cases, where other twelve-step groups have adapted the AA steps as guiding principles, step one is uniquely different for each organization, for example in Overeaters Anonymous, the first step reads, "We admitted we were powerless over compulsive overeating- that our lives had become unmanageable." The third step is also sometimes altered to emphasize principles important to those particular fellowships, or to remove gender-specific pronouns language. Twelve Traditions The Twelve Traditions accompany the Twelve Steps. The Traditions provide guidelines for group governance. They were developed in AA in order to help resolve conflicts in the areas of publicity, politics, religion and finances. Alcoholics Anonymous' Twelve Traditions are: Our common welfare should come first; personal recovery depends upon AA unity. For our group purpose there is but one ultimate authority—a loving God as He may express Himself in our group conscience. Our leaders are but trusted servants; they do not govern. The only requirement for AA membership is a desire to stop drinking. Each group should be autonomous except in matters affecting other groups or AA as a whole. Each group has but one primary purpose—to carry its message to the alcoholic who still suffers. An AA group ought never endorse, finance, or lend the AA name to any related facility or outside enterprise, lest problems of money, property, and prestige divert us from our primary purpose. Every AA group ought to be fully self-supporting, declining outside contributions. Alcoholics Anonymous should remain forever non-professional, but our service centers may employ special workers. AA, as such, ought never be organized; but we may create service boards or committees directly responsible to those they serve. Alcoholics Anonymous has no opinion on outside issues; hence the AA name ought never be drawn into public controversy. Our public relations policy is based on attraction rather than promotion; we need always to maintain personal anonymity at the level of press, radio, and films. Anonymity is
an "unusually robust" retraction. The Washington Times has at least twice published articles, one written by the ambassador of Turkey to the US and one by an attorney and lobbyist for the Turkish government, that deny the Armenian genocide. Science coverage Climate change denial The Washington Times is known for promoting climate change denial. Michael E. Mann, director of the Earth System Science Center at Pennsylvania State University, characterizes the Times as a prominent outlet that propagates "climate change disinformation." Naomi Oreskes, Professor of the History of Science at Harvard University, and Erik M. Conway, historian of science at NASA's Jet Propulsion Laboratory at the California Institute of Technology, wrote in their 2010 book Merchants of Doubt that the Times has given the public a false sense that the science of anthropogenic climate change was in dispute by giving disproportionate coverage of fringe viewpoints and by preventing scientists from rebutting coverage in the Times. The Washington Times reprinted a column by Steve Milloy criticizing research of climate change in the Arctic without disclosing Milloy's financial ties to the fossil fuel industry. During the Climatic Research Unit email controversy (also known as "Climategate") in 2009 in the lead-up to the UN Climate Change Conference in Copenhagen, the Times wrote in an editorial: "these revelations of fudged science should have a cooling effect on global-warming hysteria and the panicked policies that are being pushed forward to address the unproven theory." Eight committees investigated the controversy and found no evidence of fraud or scientific misconduct. In 2010, the Times published an article claiming that February 2010 snow storms "Undermin[e] The Case For Global Warming One Flake At A Time". A 2014 Times editorial mocked the "global warming scam" and asserted: "The planetary thermometer hasn’t budged in 15 years. Wildfires, tornadoes, hurricanes and other ‘extreme’ weather events are at normal or below-normal levels. Pacific islands aren't submerged. There's so much ice the polar bears are celebrating." The Times cited a blog post in support of these claims; PolitiFact fact-checked the claims in the blog post and concluded it was "pants-on-fire" false. The Times later said that a NASA scientist claimed that global warming was on a "hiatus" and that NASA had found evidence of global cooling; Rebecca Leber of The New Republic said that the NASA scientist in question said the opposite of what the Times claimed. In 2015, it published a column by Congressman Lamar Smith in which he argued that the work of the National Oceanic and Atmospheric Administration was "not good science, [but] science fiction." In 1993, The Washington Times published articles purporting to debunk climate change. It headlined its story about the 1997 Kyoto Protocol on climate change: "Under the deal, the use of coal, oil and other fossil fuel in the United States would be cut by more than one-third by 2002, resulting in lower standards of living for consumers and a long-term reduction in economic growth." In November 2021, a study by the Center for Countering Digital Hate described The Washington Times as being among "ten fringe publishers" that together were responsible for nearly 70 percent of Facebook user interactions with content that denied climate change. Facebook disputed the study's methodology. Ozone depletion denial In the 1990s, The Washington Times published columns which cast doubt on the scientific consensus on the causes of ozone depletion (which had led to an "ozone hole"). It published columns disputing the science as late as 2000. In 1991, NASA scientists warned of the potential of a major Arctic ozone hole developing in the spring of 1992 due to elevated levels of chlorine monoxide in the Arctic stratosphere. However, as the Arctic winter was unusually warm, the chemical reactions needed for ozone depletion did not occur. Even though the science was not incorrect, the Times, along with other conservative media, subsequently created a "crying wolf" narrative, where scientists were portrayed as political activists who were following an environmental agenda rather than the science. In 1992, it published an editorial saying: "This is not the disinterested, objective, just-the-facts tone one ordinarily expects from scientists... This is the cry of the apocalyptic, laying the groundwork for a decidedly non-scientific end: public policy... it would be nice if the next time NASA cries 'wolf,' fewer journalists, politicians and citizens heed the warning like sheep." Second-hand smoke denial In 1995, The Washington Times published a column by Fred Singer, who is known for promoting views contrary to mainstream science on a number of issues, where Singer referred to the science on the adverse health impact of second-hand smoke as the "second-hand smoke scare" and accused the Environmental Protection Agency of distorting data when it classified second-hand smoke as harmful. In 1995, it published an editorial titled "How not to spend science dollars" condemning a grant to the National Cancer Institute to study how political contributions from tobacco companies shape policy-making and the voting behavior of politicians. Controversial reporting on the COVID-19 pandemic In January 2020, The Washington Times published two widely shared articles about the COVID-19 pandemic that suggested that the virus was created by the government of the People's Republic of China as a biological weapon. One article quoted a former Israeli intelligence officer as a source. White nationalism, neo-Confederatism, and racism Under Pruden's editorship (1992–2008), The Washington Times regularly printed excerpts from racist hard-right publications including VDARE and American Renaissance, and from Bill White, leader of the American National Socialist Workers' Party, in its Culture Briefs section. Robert Stacy McCain, a member of the neo-Confederate white-supremacist group League of the South, was hired and promoted to edit the Culture Briefs section, which became, according to Max Blumenthal, "a bulletin board for the racialist far right." Blumenthal also wrote that The Washington Times was: "characterized by extreme racial animus and connections to nativist and neo-Confederate organizations... from its earliest days the Times has been a hothouse for hard-line racialists and neo-Confederates." In 2013, the Columbia Journalism Review reported that under Pruden's editorship The Washington Times was: "a forum for the racialist hard right, including white nationalists, neo-Confederates, and anti-immigrant scare mongers." Between 1998 and 2004, the Times covered every biennial American Renaissance conference, hosted by the white supremacist New Century Foundation. According to the Columbia Journalism Review, "the paper's coverage of these events—which are hotbeds for holocaust deniers, neo-Nazis, and eugenicists—was stunningly one sided", and favorably depicted the conference and attendees. In 2009, journalist David Neiwert wrote that it championed, "various white-nationalist causes emanating from the neo-Confederate movement (with which, until a recent housecleaning, two senior editors had long associations.)" A page in The Washington Times Sunday edition was devoted to the American Civil War, on which the Confederacy was several times described with admiration. In 1993, Pruden gave an interview to the neo-Confederate magazine Southern Partisan, which has been called "arguably the most important neo-Confederate periodical" by the Southern Poverty Law Center, where he said: "Every year I make sure that we have a story in the paper about any observance of Robert E. Lee's birthday." Pruden said, "And the fact that it falls around Martin Luther King’s birthday," to which a Southern Partisan interviewer interjected, "Makes it all the better," with Pruden finishing, "I make sure we have a story. Oh, yes." Samuel T. Francis controversy The Washington Times employed Samuel T. Francis, a white nationalist, as a columnist and editor, beginning in 1991 after he was chosen by Pat Buchanan to take over his column. In 1995, Francis resigned or was forced out after Dinesh D'Souza reported on racist comments that Francis made at a conference hosted by American Renaissance the previous year. At the conference, Francis called on whites to: "reassert our identity and our solidarity, and we must do so in explicitly racial terms through the articulation of a racial consciousness as whites... The civilization that we as whites created in Europe and America could not have developed apart from the genetic endowments of the creating people." Francis was an aide to Republican Senator John East of North Carolina before joining the editorial staff of The Washington Times in 1986. Five years later, he became a columnist for the newspaper, and his column became syndicated. In addition to his journalistic career, Francis was an adjunct scholar at the Ludwig von Mises Institute of Auburn, Alabama. In June 1995, editor-in-chief Wesley Pruden "had cut back on Francis' column" after The Washington Times ran his essay criticizing the Southern Baptist Convention for its approval of a resolution which apologized for slavery. In the piece, Francis asserted that "The contrition of the Southern Baptists for slavery and racism is a bit more than a politically fashionable gesture intended to massage race relations" and that "Neither slavery' nor racism' as an institution is a sin." In September 1995, Pruden fired Francis from The Washington Times after conservative journalist Dinesh D'Souza, in a column in The Washington Post, described Francis's appearance at the 1994 American Renaissance conference: A lively controversialist, Francis began with some largely valid complaints about how the Southern heritage is demonized in mainstream culture. He went on, however, to attack the liberal principles of humanism and universalism for facilitating "the war against the white race." At one point he described country music megastar Garth Brooks as "repulsive" because "he has that stupid universalist song (We Shall Be Free), in which we all intermarry." His fellow whites, he insisted, must "reassert our identity and our solidarity, and we must do so in explicitly racial terms through the articulation of a racial consciousness as whites ... The civilization that we as whites created in Europe and America could not have developed apart from the genetic endowments of the creating people, nor is there any reason to believe that the civilization can be successfully transmitted to a different people." After D'Souza's column was published, Pruden "decided he did not want the Times associated with such views after looking into other Francis writings, in which he advocated the possible deportation of legal immigrants and forced birth control for welfare mothers." Francis said soon after the firing that I believe there are racial differences, there are natural differences between the races. I don't believe that one race is better than another. There's reasonably solid evidence for IQ differences, personality and behavior differences. I understand those things have been taken to justify segregation and white supremacy. That is not my intent. When Francis died in 2005, The Washington Times wrote a "glowing" obituary that omitted his racist beliefs, as well as his firing from the paper, and described him as a "scholarly, challenging and sometimes pungent writer"; in response, editor David Mastio of the conservative Washington Examiner wrote in an obituary: "Sam Francis was merely a racist and doesn’t deserve to be remembered as anything less." Mastio added that Francis: "led a double life by day he served up conservative, red meat that was strong but never quite out of bounds by mainstream standards; by night, unbeknownst to the Times or his syndicate, he pushed white supremacist ideas." Southern Poverty Law Center report The Southern Poverty Law Center (SPLC) noted that The Washington Times had, by 2005, published at least 35 articles by Marian Kester Coombs, who was married to managing editor Francis Coombs. She had a record of racially incendiary rhetoric and had written for the white nationalist magazine The Occidental Quarterly, which has been described as a "stalwart" of the alt-right movement in the United States and as a "far-right, racially obsessed US magazine." The SPLC highlighted columns written by Marian Kester Coombs in The Washington Times, in which she asserted that the whole of human history was "the struggle of ... races"; that non-white immigration is the "importing [of] poverty and revolution" that will end in "the eventual loss of sovereign American territory"; and that Muslims in England "are turning life in this once pleasant land into a misery for its native inhabitants." Coverage of Barack Obama In 2007 The Washington Times companion news magazine Insight on the News (also called just Insight) published a story which claimed that someone on the campaign staff of American presidential candidate Senator Hillary Clinton had leaked a report to one of Insight's reporters which said that Obama had "spent at least four years in a so-called madrassa, or Muslim seminary, in Indonesia" Insight's editor, Jeffrey T. Kuhner, also claimed that the source said that the Clinton campaign was "preparing an accusation that her rival Senator Barack Obama had covered up a brief period he had spent in an Islamic religious school in Indonesia when he was six." Clinton denied the allegations. When interviewed by the New York Times, Kuhner refused to name the person said to be the reporter's source. Insight's story was reported on first by conservative talk radio and Fox News Channel, and then by The New York Times and other major newspapers. CNN reporter John Vause visited State Elementary School Menteng 01, a secular public school which Obama had attended for one year after attending a Roman Catholic school for three, and found that each student received two hours of religious instruction per week in his or her own faith. He was told by Hardi Priyono, deputy headmaster of the school, "This is a public school. We don't focus on religion. In our daily lives, we try to respect religion, but we don't give preferential treatment." Students at Besuki wore Western clothing, and the Chicago Tribune described the school as "so progressive that teachers wore miniskirts and all students were encouraged to celebrate Christmas". Interviews by Nedra Pickler of the Associated Press found that students of all faiths have been welcome there since before Obama's attendance. Akmad Solichin, the vice principal of the school, told Pickler: “The allegations are completely baseless. Yes, most of our students are Muslim, but there are Christians as well. Everyone's welcome here ... it's a public school.” In 2008, The Washington Times published a column by Frank Gaffney that promoted the false conspiracy theories which asserted that President Barack Obama was born in Kenya and was courting the "jihadist vote." Gaffney also published pieces in 2009 and 2010 promoting the false assertion that Obama is a Muslim. In
Milloy criticizing research of climate change in the Arctic without disclosing Milloy's financial ties to the fossil fuel industry. During the Climatic Research Unit email controversy (also known as "Climategate") in 2009 in the lead-up to the UN Climate Change Conference in Copenhagen, the Times wrote in an editorial: "these revelations of fudged science should have a cooling effect on global-warming hysteria and the panicked policies that are being pushed forward to address the unproven theory." Eight committees investigated the controversy and found no evidence of fraud or scientific misconduct. In 2010, the Times published an article claiming that February 2010 snow storms "Undermin[e] The Case For Global Warming One Flake At A Time". A 2014 Times editorial mocked the "global warming scam" and asserted: "The planetary thermometer hasn’t budged in 15 years. Wildfires, tornadoes, hurricanes and other ‘extreme’ weather events are at normal or below-normal levels. Pacific islands aren't submerged. There's so much ice the polar bears are celebrating." The Times cited a blog post in support of these claims; PolitiFact fact-checked the claims in the blog post and concluded it was "pants-on-fire" false. The Times later said that a NASA scientist claimed that global warming was on a "hiatus" and that NASA had found evidence of global cooling; Rebecca Leber of The New Republic said that the NASA scientist in question said the opposite of what the Times claimed. In 2015, it published a column by Congressman Lamar Smith in which he argued that the work of the National Oceanic and Atmospheric Administration was "not good science, [but] science fiction." In 1993, The Washington Times published articles purporting to debunk climate change. It headlined its story about the 1997 Kyoto Protocol on climate change: "Under the deal, the use of coal, oil and other fossil fuel in the United States would be cut by more than one-third by 2002, resulting in lower standards of living for consumers and a long-term reduction in economic growth." In November 2021, a study by the Center for Countering Digital Hate described The Washington Times as being among "ten fringe publishers" that together were responsible for nearly 70 percent of Facebook user interactions with content that denied climate change. Facebook disputed the study's methodology. Ozone depletion denial In the 1990s, The Washington Times published columns which cast doubt on the scientific consensus on the causes of ozone depletion (which had led to an "ozone hole"). It published columns disputing the science as late as 2000. In 1991, NASA scientists warned of the potential of a major Arctic ozone hole developing in the spring of 1992 due to elevated levels of chlorine monoxide in the Arctic stratosphere. However, as the Arctic winter was unusually warm, the chemical reactions needed for ozone depletion did not occur. Even though the science was not incorrect, the Times, along with other conservative media, subsequently created a "crying wolf" narrative, where scientists were portrayed as political activists who were following an environmental agenda rather than the science. In 1992, it published an editorial saying: "This is not the disinterested, objective, just-the-facts tone one ordinarily expects from scientists... This is the cry of the apocalyptic, laying the groundwork for a decidedly non-scientific end: public policy... it would be nice if the next time NASA cries 'wolf,' fewer journalists, politicians and citizens heed the warning like sheep." Second-hand smoke denial In 1995, The Washington Times published a column by Fred Singer, who is known for promoting views contrary to mainstream science on a number of issues, where Singer referred to the science on the adverse health impact of second-hand smoke as the "second-hand smoke scare" and accused the Environmental Protection Agency of distorting data when it classified second-hand smoke as harmful. In 1995, it published an editorial titled "How not to spend science dollars" condemning a grant to the National Cancer Institute to study how political contributions from tobacco companies shape policy-making and the voting behavior of politicians. Controversial reporting on the COVID-19 pandemic In January 2020, The Washington Times published two widely shared articles about the COVID-19 pandemic that suggested that the virus was created by the government of the People's Republic of China as a biological weapon. One article quoted a former Israeli intelligence officer as a source. White nationalism, neo-Confederatism, and racism Under Pruden's editorship (1992–2008), The Washington Times regularly printed excerpts from racist hard-right publications including VDARE and American Renaissance, and from Bill White, leader of the American National Socialist Workers' Party, in its Culture Briefs section. Robert Stacy McCain, a member of the neo-Confederate white-supremacist group League of the South, was hired and promoted to edit the Culture Briefs section, which became, according to Max Blumenthal, "a bulletin board for the racialist far right." Blumenthal also wrote that The Washington Times was: "characterized by extreme racial animus and connections to nativist and neo-Confederate organizations... from its earliest days the Times has been a hothouse for hard-line racialists and neo-Confederates." In 2013, the Columbia Journalism Review reported that under Pruden's editorship The Washington Times was: "a forum for the racialist hard right, including white nationalists, neo-Confederates, and anti-immigrant scare mongers." Between 1998 and 2004, the Times covered every biennial American Renaissance conference, hosted by the white supremacist New Century Foundation. According to the Columbia Journalism Review, "the paper's coverage of these events—which are hotbeds for holocaust deniers, neo-Nazis, and eugenicists—was stunningly one sided", and favorably depicted the conference and attendees. In 2009, journalist David Neiwert wrote that it championed, "various white-nationalist causes emanating from the neo-Confederate movement (with which, until a recent housecleaning, two senior editors had long associations.)" A page in The Washington Times Sunday edition was devoted to the American Civil War, on which the Confederacy was several times described with admiration. In 1993, Pruden gave an interview to the neo-Confederate magazine Southern Partisan, which has been called "arguably the most important neo-Confederate periodical" by the Southern Poverty Law Center, where he said: "Every year I make sure that we have a story in the paper about any observance of Robert E. Lee's birthday." Pruden said, "And the fact that it falls around Martin Luther King’s birthday," to which a Southern Partisan interviewer interjected, "Makes it all the better," with Pruden finishing, "I make sure we have a story. Oh, yes." Samuel T. Francis controversy The Washington Times employed Samuel T. Francis, a white nationalist, as a columnist and editor, beginning in 1991 after he was chosen by Pat Buchanan to take over his column. In 1995, Francis resigned or was forced out after Dinesh D'Souza reported on racist comments that Francis made at a conference hosted by American Renaissance the previous year. At the conference, Francis called on whites to: "reassert our identity and our solidarity, and we must do so in explicitly racial terms through the articulation of a racial consciousness as whites... The civilization that we as whites created in Europe and America could not have developed apart from the genetic endowments of the creating people." Francis was an aide to Republican Senator John East of North Carolina before joining the editorial staff of The Washington Times in 1986. Five years later, he became a columnist for the newspaper, and his column became syndicated. In addition to his journalistic career, Francis was an adjunct scholar at the Ludwig von Mises Institute of Auburn, Alabama. In June 1995, editor-in-chief Wesley Pruden "had cut back on Francis' column" after The Washington Times ran his essay criticizing the Southern Baptist Convention for its approval of a resolution which apologized for slavery. In the piece, Francis asserted that "The contrition of the Southern Baptists for slavery and racism is a bit more than a politically fashionable gesture intended to massage race relations" and that "Neither slavery' nor racism' as an institution is a sin." In September 1995, Pruden fired Francis from The Washington Times after conservative journalist Dinesh D'Souza, in a column in The Washington Post, described Francis's appearance at the 1994 American Renaissance conference: A lively controversialist, Francis began with some largely valid complaints about how the Southern heritage is demonized in mainstream culture. He went on, however, to attack the liberal principles of humanism and universalism for facilitating "the war against the white race." At one point he described country music megastar Garth Brooks as "repulsive" because "he has that stupid universalist song (We Shall Be Free), in which we all intermarry." His fellow whites, he insisted, must "reassert our identity and our solidarity, and we must do so in explicitly racial terms through the articulation of a racial consciousness as whites ... The civilization that we as whites created in Europe and America could not have developed apart from the genetic endowments of the creating people, nor is there any reason to believe that the civilization can be successfully transmitted to a different people." After D'Souza's column was published, Pruden "decided he did not want the Times associated with such views after looking into other Francis writings, in which he advocated the possible deportation of legal immigrants and forced birth control for welfare mothers." Francis said soon after the firing that I believe there are racial differences, there are natural differences between the races. I don't believe that one race is better than another. There's reasonably solid evidence for IQ differences, personality and behavior differences. I understand those things have been taken to justify segregation and white supremacy. That is not my intent. When Francis died in 2005, The Washington Times wrote a "glowing" obituary that omitted his racist beliefs, as well as his firing from the paper, and described him as a "scholarly, challenging and sometimes pungent writer"; in response, editor David Mastio of the conservative Washington Examiner wrote in an obituary: "Sam Francis was merely a racist and doesn’t deserve to be remembered as anything less." Mastio added that Francis: "led a double life by day he served up conservative, red meat that was strong but never quite out of bounds by mainstream standards; by night, unbeknownst to the Times or his syndicate, he pushed white supremacist ideas." Southern Poverty Law Center report The Southern Poverty Law Center (SPLC) noted that The Washington Times had, by 2005, published at least 35 articles by Marian Kester Coombs, who was married to managing editor Francis Coombs. She had a record of racially incendiary rhetoric and had written for the white nationalist magazine The Occidental Quarterly, which has been described as a "stalwart" of the alt-right movement in the United States and as a "far-right, racially obsessed US magazine." The SPLC highlighted columns written by Marian Kester Coombs in The Washington Times, in which she asserted that the whole of human history was "the struggle of ... races"; that non-white immigration is the "importing [of] poverty and revolution" that will end in "the eventual loss of sovereign American territory"; and that Muslims in England "are turning life in this once pleasant land into a misery for its native inhabitants." Coverage of Barack Obama In 2007 The Washington Times companion news magazine Insight on the News (also called just Insight) published a story which claimed that someone on the campaign staff of American presidential candidate Senator Hillary Clinton had leaked a report to one of Insight's reporters which said that Obama had "spent at least four years in a so-called madrassa, or Muslim seminary, in Indonesia" Insight's editor, Jeffrey T. Kuhner, also claimed that the source said that the Clinton campaign was "preparing an accusation that her rival Senator Barack Obama had covered up a brief period he had spent in an Islamic religious school in Indonesia when he was six." Clinton denied the allegations. When interviewed by the New York Times, Kuhner refused to name the person said to be the reporter's source. Insight's story was reported on first by conservative talk radio and Fox News Channel, and then by The New York Times and other major newspapers. CNN reporter John Vause visited State Elementary School Menteng 01, a secular public school which Obama had attended for one year after attending a Roman Catholic school for three, and found that each student received two hours of religious instruction per week in his or her own faith. He was told by Hardi Priyono, deputy headmaster of the school, "This is a public school. We don't focus on religion. In our daily lives, we try to respect religion, but we don't give preferential treatment." Students at Besuki wore Western clothing, and the Chicago Tribune described the school as "so progressive that teachers wore miniskirts and all students were encouraged to celebrate Christmas". Interviews by Nedra Pickler of the Associated Press found that students of all faiths have been welcome there since before Obama's attendance. Akmad Solichin, the vice principal of the school, told Pickler: “The allegations are completely baseless. Yes, most of our students are Muslim, but there are Christians as well. Everyone's welcome here ... it's a public school.” In 2008, The Washington Times published a column by Frank Gaffney that promoted the false conspiracy theories which asserted that President Barack Obama was born in Kenya and was courting the "jihadist vote." Gaffney also published pieces in 2009 and 2010 promoting the false assertion that Obama is a Muslim. In a 2009 column entitled "'Inner Muslim' at work in Cairo", Pruden wrote that President Obama was the: "first president without an instinctive appreciation of the culture, history, tradition, common law and literature whence America sprang. The genetic imprint writ large in his 43 predecessors is missing from the Obama DNA." In another 2009 column, Pruden wrote that Obama had "no natural instinct or blood impulse” for what America was about because he was “sired by a Kenyan father” and “born to a mother attracted to men of the Third World." Pruden's columns stirred controversy, leading The Washington Times to assign David Mastio, its deputy editor, to edit his work. In 2016, The Washington Times claimed that $3.6 million in federal funds were spent on a 2013 golf outing for President Obama and pro-golfer Tiger Woods which was widely reported on by the American news media in 2013. Snopes rated the article "mostly false", because the estimated cost included both official presidential travel and a brief vacation in Florida. The online article contained hyperlinks to other, unrelated, stories from The Washington Times. These links' appearance were not readily distinguishable from the citation links sometimes used to support or substantiate reporting. Not included in the article were any links to the Government Accountability Office (GAO) report of expenditure for the 2013 trip, which included a detailed overview of President
= February |day = 26 |year = 2022
= February |day = 26 |year =
is a normal space and is a continuous map from a closed subset of into the real numbers carrying the standard topology, then there exists a of to that is, there exists a map continuous on all of with for all Moreover, may be chosen such that that is, if is bounded then may be chosen to be bounded (with the same bound as ). History L. E. J. Brouwer and Henri Lebesgue proved a special case of the theorem, when is a finite-dimensional real vector space. Heinrich Tietze extended it to all metric spaces, and Pavel Urysohn proved the theorem as stated here, for normal topological spaces. Equivalent statements This theorem is equivalent to Urysohn's lemma (which is also equivalent to the normality of the space) and is widely applicable, since all metric spaces and all compact Hausdorff spaces are normal. It can be generalized by replacing with for some indexing set any retract of or any normal absolute retract
numbers carrying the standard topology, then there exists a of to that is, there exists a map continuous on all of with for all Moreover, may be chosen such that that is, if is bounded then may be chosen to be bounded (with the same bound as ). History L. E. J. Brouwer and Henri Lebesgue proved a special case of the theorem, when is a finite-dimensional real vector space. Heinrich Tietze extended it to all metric spaces, and Pavel Urysohn proved the theorem as stated here, for normal topological spaces. Equivalent statements This theorem is equivalent to Urysohn's lemma (which is also equivalent to the normality of the space) and is widely applicable, since all metric spaces and all compact Hausdorff spaces are normal. It can be generalized by replacing with for some indexing set any retract of or any normal absolute retract whatsoever. Variations If is a metric space, a non-empty subset of and is a Lipschitz continuous function with Lipschitz constant then can be extended
Harpur College, and eventually evolved into Binghamton University. Its school of engineering and applied science is named the Thomas J. Watson College of Engineering and Applied Science. After World War II, Watson began work to further the extent of IBM's influence abroad and in 1949, he created the IBM World Trade Corporation in order to oversee IBM's foreign business. Watson retired in 1956 and his oldest son, Thomas J. Watson Jr., became IBM's CEO. He died on June 19, 1956, in Manhattan, New York City and was buried in Sleepy Hollow Cemetery in Sleepy Hollow, New York. Personal life Watson married Jeanette Kittredge, from a prominent Dayton, Ohio railroad family, on April 17, 1913. They had two sons and two daughters. Thomas Watson, Jr. succeeded his father as IBM chairman and later served as ambassador to the Soviet Union under Jimmy Carter Jeanette Watson Irwin married businessman John N. Irwin II, later ambassador to France Helen Watson Buckner became an important philanthropist in New York City Arthur K. Watson served as president of IBM World Trade Corporation and later, as ambassador to France As a Democrat (after his criminal indictment by the Taft Administration), Watson was an ardent supporter of Roosevelt. He was one of the most prominent businessmen in the Democratic Party. He was considered Roosevelt's strongest supporter in the business community. Watson served as a powerful trustee of Columbia University from June 6, 1933, until his death. He engineered the selection of Dwight D. Eisenhower as its president and played the central role in convincing Eisenhower to become president of the university. Additionally, he served as a trustee of Lafayette College and is the namesake of Watson Hall, a campus residence hall. In 1936 the U.S. Supreme Court upheld a lower court decision that IBM, together with Remington Rand, should cease its practice of requiring its customers to buy their punch cards from it alone. The ruling made little difference because IBM was the only effective supplier to the market, and profits continued undiminished. In 1937, Watson was awarded the Order of the German Eagle by Adolf Hitler. Watson was also president of the International Chamber of Commerce in 1937; the medal was awarded while the ICC was meeting in Germany that year. In 1939, he received an honorary degree in Doctor of Commercial Science from Oglethorpe University. In the 1940s, Watson was on the national executive board of the Boy Scouts of America and served for a time as an international Scout commissioner. E. Urner Goodman recounts that the elderly Watson attended an international Scout commissioners' meeting in Switzerland, where the IBM founder asked not to be put on a pedestal. Before the conference was over, Goodman relates, Watson "... sat by that campfire, in Scout uniform, 'chewing the fat' like the rest of the boys". He received the Silver Buffalo Award in 1944. His son, Thomas Jr., later served as national president of the Boy Scouts of America from 1964 to 1968. He was also inducted into the Steuben County (NY) Hall of Fame. Throughout his life Watson continued to own and enjoy the family farm on which he was born. In 1955 he and his wife gave it, along with one million dollars, to the Methodist Church for use as a retreat and conference center, to be named Watson Homestead in memory of his parents. Watson Homestead became independent of the church in 1995, and continues as a conference and retreat center. The one-room school that Watson attended as a child is still on the grounds. Watson was chairman of the Elmira College centennial committee in 1955 and donated Watson Hall, primarily a music and mathematics academic building. He was posthumously inducted into the Junior Achievement U.S. Business Hall of Fame in 1990. Famous attribution Although Watson is well known for his alleged 1943 statement, "I think there is a world market for maybe five computers," there is scant evidence he said it. Author Kevin Maney tried to find the origin of the quote, but has been unable to locate any speeches or documents of Watson's that contain this, nor are the words present in any contemporary articles about IBM. One of the first attributions is in the German magazine Der Spiegel of May 22, 1965, stating that IBM boss Thomas Watson had not been interested in the new machines initially, and when the first commercial calculation behemoths appeared in the early 1950s, filling whole floors with thousands of heat generating vacuum tubes, he estimated the demand by the US economy at a maximum of five. Later attributions may be found in The Experts Speak, a book written by Christopher Cerf and Victor S. Navasky in 1984, however Cerf and Navasky just quote from a book written by Morgan and Langford, Facts and Fallacies. Another early article source (May 15, 1985) is a column by Neil Morgan, a San Diego Evening Tribune writer who wrote: "Forrest Shumway, chairman of The Signal Cos., doesn't make predictions. His role model is Tom Watson, then IBM chairman, who said in 1958: 'I think there is a world market for about five computers. The earliest known citation on the Internet is from 1986 on Usenet in the signature of a poster from Convex Computer Corporation as I think there is a world market for about five computers' —Remark attributed to Thomas J. Watson (Chairman of the Board of International Business Machines), 1943". All these early quotes are questioned by Eric Weiss, an editor of the Annals of the History of Computing in ACS letters in 1985. There are documented versions of similar quotes by other people in the early history of the computer. In 1946 Sir Charles Darwin (grandson of the famous naturalist), head of Britain's NPL (National Physical Laboratory), where research into computers was taking place, wrote: it is very possible that ... one machine would suffice to solve all the problems that are demanded of it from the whole country. In 1985 the story was discussed on Usenet (in net.misc), without Watson's name being attached. The original discussion has not survived, but an explanation has; it attributes a very similar quote to the Cambridge mathematician Professor Douglas Hartree, around 1951: I went to see Professor Douglas Hartree, who had built the first differential analyzers in England and had more experience in using these very specialized computers than anyone else. He told me that, in his opinion, all the calculations that would ever be needed in this country could be done on the three digital computers which were then being built—one in Cambridge, one in Teddington, and one in Manchester. No one else, he said, would ever need machines of their own, or would be able to afford to buy them.The Language of Computers a transcript of a talk given by Lord Bowden of Chesterfield, at Brighton College of Technology. the first Richard Goodman Memorial Lecture Howard H. Aiken made a similar statement in 1952: Originally one thought that if there were a half dozen large computers in this country, hidden away in research laboratories, this would take care of all requirements we had throughout the country.Cohen, I. Bernard (1998). IEEE Annals of the History of Computing 20.3 pp. 27–33 The story already had been described as a myth in 1973; the Economist quoted a Mr. Maney as "revealing that Watson never made his oft-quoted prediction that there was 'a world market for maybe five computers. Since the attribution typically is used to demonstrate the fallacy of predictions, if Watson had made such a prediction in 1943, then, as Gordon Bell pointed out in his ACM 50 years celebration keynote, it would have held true for some ten years. The IBM archives of Frequently Asked Questions notes an inquiry about whether he said in the 1950s that he foresaw a market potential for only five electronic computers. The document says no, but quotes his son and then IBM President Thomas J. Watson, Jr., at the annual IBM stockholders meeting, April 28, 1953, as speaking about the IBM 701 Electronic Data Processing Machine, which it identifies as "the company's first production computer designed for scientific calculations". He said that "IBM had developed a paper plan for such a machine and took this paper plan across the country to some 20 concerns that we thought could use such a machine. I would like to tell you that the machine rents for between $12,000 and $18,000 a month, so it was not the type of thing that could be sold from place to place. But, as a result of our trip, on which we expected to get orders for five machines, we came home with orders for 18." Watson, Jr., later gave a slightly different version of the story in his autobiography, where he said the initial market sampling indicated 11 firm takers and 10 more prospective orders. Famous motto "THINK" – Watson began using "THINK" to motivate, or inspire, staff while at NCR
the richest men of his time and was called the world's greatest salesman when he died in 1956. Early life and career Thomas J. Watson was born in Campbell, New York, the fifth child and only son of Thomas and Jane Fulton White Watson. His four older siblings were Jennie, Effie, Loua, and Emma. His father farmed and owned a modest lumber business located near Painted Post, a few miles west of Corning, in the Southern Tier region of New York. Thomas worked on the family farm in East Campbell, New York and attended the District School Number Five in the late 1870s. As Watson entered his teen years he attended Addison Academy In Addison, New York. Having given up his first job—teaching—after just one day, Watson took a year's course in accounting and business at the Miller School of Commerce in Elmira. He left the school in 1891, taking a job at $6 a week as bookkeeper for Clarence Risley's Market in Painted Post. One year later he joined a traveling salesman, George Cornwell, peddling organs and pianos around the farms for William Bronson's local hardware store, Watson's first sales job. When Cornwell left, Watson continued alone, earning $10 per week. After two years of this life, he realized he would be earning $70 per week if he were on a commission. His indignation on making this discovery was such that he quit and moved from his familiar surroundings to the relative metropolis of Buffalo. Watson then spent a very brief period selling sewing machines for Wheeler and Wilson. According to son, Tom Watson, Jr.'s, autobiography: One day my dad went into a roadside saloon to celebrate a sale and had too much to drink. When the bar closed, he found that his entire rig—horse, buggy, and samples—had been stolen. Wheeler and Wilson fired him and dunned him for the lost property. Word got around, of course, and it took Dad more than a year to find another steady job. Watson would later enforce strict rules at IBM against alcohol consumption, even off the job. According to Tom Jr.: This anecdote never made it into IBM lore, which is too bad, because it would have helped explain Father to the tens of thousands of people who had to follow his rules. Watson's next job was peddling shares of the Buffalo Building and Loan Company for a huckster named C. B. Barron, a showman renowned for his disreputable conduct, which Watson deplored. Barron absconded with the commission and the loan funds. Next Watson opened a butcher shop in Buffalo, which soon failed, leaving Watson with no money, no investment, and no job. NCR Watson had a newly acquired NCR cash register in his butcher shop, for which he had to arrange transfer of the installment payments to the new owner of the butcher shop. On visiting NCR, he met John J. Range and asked him for a job. Determined to join the company, he repeatedly called on Range until, after a number of abortive attempts, he finally was hired in November 1896, as sales apprentice to Range. Led by John Patterson, NCR was then one of the leading selling organizations, and John J. Range, its Buffalo branch manager, became almost a father figure for Watson and was a model for his sales and management style. Certainly in later years, in a 1952 interview, he claimed he learned more from Range than anyone else. But at first, he was a poor salesman, until Range took him personally in hand. Then he became the most successful salesman in the East, earning $100 per week. Four years later, NCR assigned Watson to run the struggling NCR agency in Rochester, New York. As an agent, he got 35% commission and reported directly to Hugh Chalmers, the second-in-command at NCR. In four years Watson made Rochester effectively an NCR monopoly by using the technique of knocking the main competitor, Hallwood, out of business, sometimes resorting to sabotage of the competitor's machines. As a reward he was called to the NCR head office in Dayton, Ohio. In 1912, the company was found guilty of violating the Sherman Antitrust Act. Patterson, Watson, and 26 other NCR executives and managers were convicted for illegal anti-competitive sales practices and were sentenced to one year of imprisonment. Their convictions were unpopular with the public because of the efforts of Patterson and Watson to help those affected by the Dayton, Ohio floods of 1913, but efforts to have them pardoned by President Woodrow Wilson were unsuccessful. However, their convictions were overturned on appeal in 1915 on the grounds that important defense evidence should have been admitted. Head of IBM Charles Ranlett Flint, who had engineered the amalgamation (via stock acquisition) forming the Computing-Tabulating-Recording Company (CTR) found it difficult to manage the five companies. He hired Watson as general manager on May 1, 1914, when the five companies had about 1,300 employees. Eleven months later he was made President when court cases relating to his time at NCR were resolved. Within four years revenues had been doubled to $9 million. In 1924, he renamed CTR to International Business Machines. Watson built IBM into such a dominant company that the federal government filed a civil antitrust suit against it in 1952. IBM owned and leased to its customers more than 90 percent of all tabulating machines in the United States at the time. When Watson died in 1956, IBM's revenues were $897 million, and the company had 72,500 employees. Throughout his life, Watson maintained a deep interest in international relations, from both a diplomatic and a business perspective. He was known as US President Franklin D. Roosevelt's unofficial ambassador in New York and often entertained foreign statesmen. In 1937, he was elected president of the International Chamber of Commerce (ICC) and at that year's biennial congress in Berlin stated that the conference keynote would be "World Peace Through World Trade." That phrase became the slogan of both the ICC and IBM. Dealings with Nazi Germany In 1937, as President of the International Chamber of Commerce, Watson met Adolf Hitler. During the 1930s, IBM's German subsidiary was its most profitable foreign operation, and a 2001 book by Edwin Black, IBM and the Holocaust, proves that Watson's pursuit of profit led him to personally approve and spearhead IBM's strategic technological relationship with Nazi Germany. It describes how IBM provided the tabulating equipment Hitler used to round up the Jews. His Hollerith punch-card machines are in the Holocaust Museum today. The book describes IBM's punch cards as "a card with standardized holes", each representing a different trait of the individual. The card was fed into a "reader" and sorted. Punch cards identified Jews by name. Each one served as "a nineteenth-century bar code for human beings". In particular, critics point to the Order of the German Eagle medal that Watson received at the Berlin ICC meeting in 1937, as evidence that he was being honored for the help that IBM's German subsidiary Dehomag (Deutsche Hollerith-Maschinen Gesellschaft mbH) and its punch card machines provided the Nazi regime, particularly in the tabulation of census data (i.e. location of Jews). Another study argues that Watson believed, perhaps naively, that the medal was in recognition of his years of labor on behalf of global commerce and international peace. Within a year of the Berlin congress though, where Watson's hopes had run high, he found himself strongly protesting the German policy toward the Jews. Because of his strong feelings about the issue, Watson wanted to return his German citation shortly after receiving it. When Secretary of State Hull advised him against that course of action, he gave up the idea until the spring of 1940. Then Hull refused advice, and Watson sent the medal back in June 1940. Dehomag's management disapproved of Watson's action and considered separating from IBM. This occurred when Germany declared war on the United States in December 1941, and the German shareholders took custody of the Dehomag operation. However, during World War II, IBM subsidiaries in occupied Europe never stopped delivery of punch cards to Dehomag, and documents uncovered show that senior executives at IBM world headquarters in New York took great pains to maintain legal authority over Dehomag's operations and assets through the personal intervention of IBM managers in neutral Switzerland, directed via personal communications and private letters. Dealings with the United States During this same period, IBM became more deeply involved in the war effort for the U.S., focusing on producing large quantities of data processing equipment for the military and experimenting with analog computers. Watson, Sr. also developed the "1% doctrine" for war profits which mandated that IBM receive no more than 1% profit from the sales of military equipment to U.S. Government. Watson was one of the few CEOs to develop such a policy. In 1941, Watson received the third highest salary and compensation package in the U.S., $517,221, on which he paid 69% in tax. Watson had a personal interest in the progress of the war. His eldest son, Thomas J. Watson Jr., joined the United States Army Air Corps and became a bomber pilot. He was soon hand-picked to become the assistant and personal pilot for General Follet Bradley, who was in charge of all Lend-Lease equipment supplied to the Soviet Union from the United States. Watson, Sr.'s youngest son, Arthur K. Watson, also joined the military during the conflict. Post-World War II Watson worked with local leaders to create a college in the Binghamton area, where IBM was founded and had major plants. In 1946, IBM provided land and funding for Triple Cities College, an extension of Syracuse University. Later it became known as Harpur College, and eventually evolved into Binghamton University. Its school of engineering and applied science is named the Thomas J. Watson College of Engineering and Applied Science. After World War II, Watson began work to further the extent of IBM's influence abroad and in 1949, he created the IBM World Trade Corporation in order to oversee IBM's foreign business. Watson retired in 1956 and his oldest son, Thomas J. Watson Jr., became IBM's CEO. He died on June 19, 1956, in Manhattan, New York City and was buried in Sleepy Hollow Cemetery in Sleepy Hollow, New York. Personal life Watson married Jeanette Kittredge, from a prominent Dayton, Ohio railroad family, on April 17, 1913. They had two sons and two daughters. Thomas Watson, Jr. succeeded his father as IBM chairman and later served as ambassador to the Soviet Union under
for gold but his search again fails. 1896–1899: Scrooge, age 29–32, searches for gold in the Klondike. During his years there he meets the saloon owner, singer and occasional thief "Glittering" Goldie O'Gilt. He carries a love/hate relationship with her for the rest of his life. His search for gold succeeds. 1897: Scrooge's mother Downy O'Drake dies, aged 57, in Dismal Downs. Scrooge is now 30. 1899–1902: Scrooge, at 32, becomes a millionaire and buys a bank in Whitehorse, Yukon. He starts building a small financial empire; by 1902, at 35, he has become a billionaire. 1902: Scrooge, age 35, returns to Scotland intending to make Castle McDuck at Dismal Downs the heart of his empire, but he soon finds local culture too stagnant and decides to return to America. His sisters Matilda McDuck and Hortense McDuck go to America with him. Also in 1902, Scrooge's father Fergus McDuck dies, aged 67, in Dismal Downs. Scrooge, Matilda and Hortense are the last of the McDuck clan. Scrooge settles in the small village of Duckburg, Calisota, United States, which he chose as his home base. 1909–1930: While his sisters remain in Duckburg and run his empire, Scrooge, age 42–63, travels the world expanding his empire in every continent. 1930: Scrooge, at 63, becomes the richest duck in the world, but a fight with his family leaves him with no contact with them for the next seventeen years. Note that during this year he met his ten-year-old nephew Donald Duck and his nephew's twin sister Della Duck for the first time. (It was possibly the only time Scrooge met his niece Della, ignoring the girl completely.) 1942: Scrooge, age 75, feels depressed and tired and decides to retire. 1947: Scrooge, age 80, meets his nephew Donald Duck, now age 27, as well as his grandnephews, Della's children, Huey, Dewey, and Louie Duck, who are under Donald's care. He decides to become active again and soon a circle of activities whirl around him as he attracts the attention of relatives, old and new enemies and friends. 1955: Scrooge, age 88, is reunited and reconciled with his sister Matilda, thanks to Donald (In the story "A Letter From Home"). 1967: According to Don Rosa's unofficial timeline, Scrooge McDuck died at the age of 100 years after a life of adventure. Historical figures appearing in the work Several notable
which he chose as his home base. 1909–1930: While his sisters remain in Duckburg and run his empire, Scrooge, age 42–63, travels the world expanding his empire in every continent. 1930: Scrooge, at 63, becomes the richest duck in the world, but a fight with his family leaves him with no contact with them for the next seventeen years. Note that during this year he met his ten-year-old nephew Donald Duck and his nephew's twin sister Della Duck for the first time. (It was possibly the only time Scrooge met his niece Della, ignoring the girl completely.) 1942: Scrooge, age 75, feels depressed and tired and decides to retire. 1947: Scrooge, age 80, meets his nephew Donald Duck, now age 27, as well as his grandnephews, Della's children, Huey, Dewey, and Louie Duck, who are under Donald's care. He decides to become active again and soon a circle of activities whirl around him as he attracts the attention of relatives, old and new enemies and friends. 1955: Scrooge, age 88, is reunited and reconciled with his sister Matilda, thanks to Donald (In the story "A Letter From Home"). 1967: According to Don Rosa's unofficial timeline, Scrooge McDuck died at the age of 100 years after a life of adventure. Historical figures appearing in the work Several notable historical figures appear in the series: John Jacob Astor IV Phineas Taylor Barnum Roy Bean Buffalo Bill Butch Cassidy and the Sundance Kid The Dalton Gang Marcus Daly Wyatt Earp Geronimo Esteban Huertas Frank and Jesse James Jack London Macbeth, King of Scotland Murdo MacKenzie Bat Masterson William Henry Moody Capt. E. Moore Nicholas II of Russia Annie Oakley Parita Robert Peary Edith Roosevelt Theodore Roosevelt Captain George R. Shanton, Canal Zone Police John Frank Stevens Royal Canadian Mounted Police Colonel Sam Steele Other notable historical figures mentioned include: Manuel Amador Guerrero Philippe Bunau-Varilla "Gentleman Jim" Corbett Sitting Bull John Philip Sousa Collected editions References External links The Life and Times of Scrooge McDuck
12-part comic saga The Life and Times of Scrooge McDuck (1992–94) which introduced Scrooge's immediate family. Literary origins In the early 1950s, Carl Barks was in his second decade of creating comic book stories starring Donald Duck and his various relatives. He had personally created several of the latter, including cousin Gladstone Gander and uncle Scrooge McDuck, although the specific relationships between them were still uncertain. To better define these relationships, Barks created a version of the McDuck/Duck/Coot family tree for his own personal benefit, incidentally creating several additional characters. During his retirement, Barks' stories remained popular and gained him unexpected fame. Barks gave several interviews during which he answered questions about his stories and the characters he had created. In 1981, Barks described his personal version of Donald's family tree, which was used by amateur artist Mark Worden in drawing the family tree and including portraits of the characters mentioned. Worden's tree was first published in several fanzines, and later in the Disney-licensed Carl Barks Library, a ten-volume hardcover collection of Barks' stories in black-and-white. In 1987, Don Rosa, a long-time fan of Carl Barks and a personal friend of Mark Worden, started creating his own stories featuring Scrooge McDuck. His stories contained numerous references to older stories by Barks as well as several original ideas. After several years he gained a fan base of his own. In the early 1990s, the Egmont Group, the publishing house employing Rosa, offered him an ambitious assignment: he was to create the definitive version of Scrooge's biography and a family tree to accompany it. The project was intended to end decades of contradictions between stories which caused confusion to readers. The project was to become The Life and Times of Scrooge McDuck. The family tree accompanying it was first published in Norway on July 3, 1993. In the process of working on Scrooge's biography, Rosa studied Barks' old stories in detail. Rosa made note of as many clues as he could of Scrooge's past given by Barks – which Rosa dubbed "Barksian facts" – and used them to write new stories. Despite the ambitious nature of the project, Rosa himself stressed in the introduction to the book "...this version of Scrooge's life is not the 'official' version – there's no particular reason why I (or anyone else) should expect other Duck writers to adhere to my vision of Scrooge's history. As carefully and authentically as I sought to construct it, it was never intended to be anything but my personal telling of the life of Scrooge McDuck." Modern family tree by Carl Barks The family tree below shows the McDuck portion of Donald's family tree according to Carl Barks. The chart is based on a 1950s sketch made by Barks for personal use, which was later illustrated by artist Mark Worden in 1981. According to Barks, Matilda McDuck is married to Goosetail Gander, and the couple adopts Donald's cousin Gladstone. The character Old "Scotty" McDuck does not appear in any stories, but eventually became Fergus McDuck in Don Rosa's stories. Modern family tree by Don Rosa This family tree is based on the work of Don Rosa. The seat of Clan McDuck The seat of Clan McDuck is McDuck Castle (alternately called Castle McDuck) which is located in Dismal Downs, somewhere in Rannoch Moor, a non-fictional location within Scotland. The nearest village is the fictional MacDuich. The castle usually appears in good condition considering its great age. However, in the Barks story "Hound of the Whiskervilles" (1960) the castle is in ruins. The comics continuity does not establish when McDuck Castle was built, but it first appears (on the fictional timeline) in 946 when the Saxons laid siege to it. For many centuries the castle served as the home of the clan chief. In 1675, the McDucks were run out of the castle due to the depredations of a "monstrous devil dog" in Dismal Downs, later discovered to be a plot by the rival Clan Whiskerville. At this time, many of the McDucks moved to the village of MacDuich and to Glasgow. Even after their departure, the clan still owned the castle and continued to pay the taxes by pooling their incomes. By 1885, only Fergus and Jake McDuck remain to pay the taxes, but their combined income is not enough, causing the Crown to auction it off. Scrooge then buys the estate, allowing his family to reoccupy the castle. He also hires local dogface Scottie McTerrier as caretaker. Sometime after Scottie's death, Scrooge's sister Matilda becomes caretaker. In the DuckTales continuity, Castle McDuck was built by Scrooge's great-great grandfather Silas who incorporated the castle into an existing Druid stone circle to save on construction costs. This story would date the castle itself to about the 18th century. The Druids, seeking revenge on the McDucks for taking away their sacred meeting place, scared the clan away using trained phosphorescent hounds. Years later, Scrooge returns with Huey, Dewey, Louie, and Webby and uncovers the mystery. Scrooge befriends the Druids and partners with them to turn Castle McDuck into a tourist attraction. Scrooge plans to give a share of the profit to the Druids as reparations for desecrating their stone circle. The story is loosely based on the Barks story "Hound of the Whiskervilles", which was in turn loosely based on The Hound of the Baskervilles. In the 2017 DuckTales series, the castle is Clan McDuck's ancestral home, as in the comics, and is protected by the spirits of the McDuck ancestors buried there. Scrooge used part of his fortune to purchase and restore the castle as a home for his parents, but because he used discount druid stones, his parents were cursed with immortality and bound to the castle, which appears only once every five years. The castle appears in the Carl Barks stories The Old Castle's Secret (1948) and Hound of the Whiskervilles (1960) and in the Don Rosa stories The Last of the Clan McDuck (1992), The New Laird of Castle McDuck (1993), The Billionaire of Dismal Downs (1993) and The Old Castle's Other Secret or A Letter from Home (2004). Other comic book authors have also used the castle, such as Andrew Galton, Dave Angus, and Vicar in The Crying Monster (1982). In the 1987 TV series DuckTales, McDuck Castle appears in the episode "The Curse of Castle McDuck". In the 2017 DuckTales series, the castle is the setting of the episodes "The Secret(s) of Castle McDuck!" and "The Fight for Castle McDuck!". Tartan of Clan McDuck The fictional McDuck tartan first appears in 1960 in Hound of the Whiskervilles. However, the coloring of the tartan was not Barks' decision but that of colorists working for Dell Comics, which first published the story; subsequent publications showed the tartan having differing colors. When Don Rosa decided to include the tartan in his stories, he used the original coloring of green and orange. Nevertheless, some European publications have still shown variations in Rosa's color scheme. (See Sir Roast McDuck's tam o' shanter cap in the illustration at the top of the page, which was first published in France.) The old clansmen seen on DuckTales wear a green and orange tartan, but of a slightly different design from that of the comics. Ancient McDucks Scrooge Shah and Prince Donduk Scrooge Shah was the last king of Sagbad and the earliest known ancestor of Scrooge McDuck. A young King Khan Khan (2050 BC-1967 BC) sacked the city of Sagbad in 2033 BC, but Scrooge Shah and Prince Donduk, his heir apparent, managed to escape. Khan Khan lost their tracks, but would much later locate their distant descendants. Scrooge Shah features in the story "King Scrooge the First" (1967) by Carl Barks and Tony Strobl. Postclassical McDucks Eider McDuck Sir Eider McDuck (880-946; from earlier Eider MacDuich) was the chief of Clan McDuck during an Anglo-Saxon invasion in 946 (despite England and Scotland signing a peace treaty in 945). Eider was killed during the Anglo-Saxons' siege of McDuck Castle after his serfs abandoned him. He had refused to buy them arrows because they were too expensive, and only paid his serfs, collectively, 30 copper pieces an hour. Eider McDuck is first mentioned in Barks' The Old Castle's Secret (1948). Friar Juicy McDuck (910-971) and Sir Smokt McDuck (b. 931) are buried in the McDuck cemetery as seen in the Carl Barks painting Dubious Doings at Dismal Downs. He makes a cameo appearance in the 2017 DuckTales series episode, "The Secret(s) of Castle McDuck!", both as a statue in front of the titular Castle McDuck and as a ghost. Quackly McDuck Sir Quackly McDuck (1010-1057; from earlier Quackly MacDuich) was clan chief when King Macbeth was killed in 1057. That same year, Macbeth offered Quackly a treasure chest in exchange for his support in the ongoing war for the throne. Quackly agreed and served the king during the war, but became obsessed with protecting the treasure, eventually trapping himself inside the castle walls with it. Quackly and his treasure became a McDuck legend, and it is believed that his ghost continues to protect the treasure and the castle. In 1877, Quackly's ghost saves a young Scrooge McDuck from the Whiskervilles of Dismal Downs. Without revealing his true identity, he suggests to Scrooge that he travel to America and work for his Uncle Pothole, thus serving as the catalyst for all of Scrooge's adventures. In 1885, Quackly again tries to save Scrooge, but his action unintentionally brings about Scrooge's temporary death. In heaven, Quackly is reprimanded by his relatives for interfering in earthly events. Quackly McDuck is first mentioned in The Old Castle's Secret (1948) by Carl Barks, and first appears in The Last of the Clan McDuck (1994) by Don Rosa. Murdoch McDuck Sir Murdoch McDuck (?-1066; from earlier Murdoch MacDuich) was a businessman who patented the longbow. Most notably in 1066, when the Normans invaded England, he had the latter sign a contract with him so they would have enough longbows to fight off the invaders. However, they did not have enough arrows as Sir Murdoch charged extra for them. He is also the last of the Dark Ages McDucks and the one who modernized their family name "MacDuich" to the more familiar "McDuck". He only appears in the unfinished sketch-only story "The History of the Clan McDuck" (written and drawn approx. in 1992 by Don Rosa, but not released until December 2011), which was meant to serve as a prologue to "The Last of the Clan McDuck" before it was scrapped. In the 2017 DuckTales series episode, "The Secret(s) of Castle McDuck!", Downy McDuck relates Murdoch's history (which remains intact) to Huey, Dewey, and Louie Duck, and Webby Vanderquack. His longbow is later used as a clue that the boys use to uncover the mystery behind their mother, Della's, disappearance. Stuft McDuck Sir Stuft McDuck (1110-1175) was a successful chief of Clan McDuck who oversaw a period of prosperity. Roast McDuck Sir Roast McDuck (1159-1205) succeeded his father, Stuft McDuck, as clan chief, while Clan McDuck was one of the richest clans in Scotland. However, in 1189, Roast offered much of the clan's wealth to the king of Scotland, William the Lion, after William asked for his help in paying tribute to Richard I of England. This act of patriotic generosity led to financial ruin for the clan. Aside from this imprudence, Roast is primarily remembered for his gluttony. In 1205, he raided the king's pantry and ate himself to death. Roast's memorial suit of armor displayed in Castle McDuck holds a knife and fork in its hands. The character is first mentioned in The Old Castle's Secret (1948) by Carl Barks. He has a small speaking role in The Last of the Clan McDuck (1994), but makes his first appearance in The New Laird of Castle McDuck. His ghost makes a cameo appearance in the 2017 DuckTales series episode, "The Secret(s) of Castle McDuck!" Swamphole McDuck Sir Swamphole McDuck (1190-1260) succeeded his father, Roast McDuck, as clan chief and inherited its financial problems. In 1220, Swamphole sealed the dungeon of Castle McDuck, which he claimed was an attempt to decrease maintenance costs. He did, however, create secret passageways in the castle leading to the dungeons. (These passageways would later be useful during subsequent sieges.) After his death in 1260, Swamphole was not buried in the clan cemetery; rather, his skeleton was placed inside his memorial suit of armor, which was placed in Castle McDuck. Swamphole McDuck is first mentioned in The Old Castle's Secret by Carl
which was later illustrated by artist Mark Worden in 1981. According to Barks, Matilda McDuck is married to Goosetail Gander, and the couple adopts Donald's cousin Gladstone. The character Old "Scotty" McDuck does not appear in any stories, but eventually became Fergus McDuck in Don Rosa's stories. Modern family tree by Don Rosa This family tree is based on the work of Don Rosa. The seat of Clan McDuck The seat of Clan McDuck is McDuck Castle (alternately called Castle McDuck) which is located in Dismal Downs, somewhere in Rannoch Moor, a non-fictional location within Scotland. The nearest village is the fictional MacDuich. The castle usually appears in good condition considering its great age. However, in the Barks story "Hound of the Whiskervilles" (1960) the castle is in ruins. The comics continuity does not establish when McDuck Castle was built, but it first appears (on the fictional timeline) in 946 when the Saxons laid siege to it. For many centuries the castle served as the home of the clan chief. In 1675, the McDucks were run out of the castle due to the depredations of a "monstrous devil dog" in Dismal Downs, later discovered to be a plot by the rival Clan Whiskerville. At this time, many of the McDucks moved to the village of MacDuich and to Glasgow. Even after their departure, the clan still owned the castle and continued to pay the taxes by pooling their incomes. By 1885, only Fergus and Jake McDuck remain to pay the taxes, but their combined income is not enough, causing the Crown to auction it off. Scrooge then buys the estate, allowing his family to reoccupy the castle. He also hires local dogface Scottie McTerrier as caretaker. Sometime after Scottie's death, Scrooge's sister Matilda becomes caretaker. In the DuckTales continuity, Castle McDuck was built by Scrooge's great-great grandfather Silas who incorporated the castle into an existing Druid stone circle to save on construction costs. This story would date the castle itself to about the 18th century. The Druids, seeking revenge on the McDucks for taking away their sacred meeting place, scared the clan away using trained phosphorescent hounds. Years later, Scrooge returns with Huey, Dewey, Louie, and Webby and uncovers the mystery. Scrooge befriends the Druids and partners with them to turn Castle McDuck into a tourist attraction. Scrooge plans to give a share of the profit to the Druids as reparations for desecrating their stone circle. The story is loosely based on the Barks story "Hound of the Whiskervilles", which was in turn loosely based on The Hound of the Baskervilles. In the 2017 DuckTales series, the castle is Clan McDuck's ancestral home, as in the comics, and is protected by the spirits of the McDuck ancestors buried there. Scrooge used part of his fortune to purchase and restore the castle as a home for his parents, but because he used discount druid stones, his parents were cursed with immortality and bound to the castle, which appears only once every five years. The castle appears in the Carl Barks stories The Old Castle's Secret (1948) and Hound of the Whiskervilles (1960) and in the Don Rosa stories The Last of the Clan McDuck (1992), The New Laird of Castle McDuck (1993), The Billionaire of Dismal Downs (1993) and The Old Castle's Other Secret or A Letter from Home (2004). Other comic book authors have also used the castle, such as Andrew Galton, Dave Angus, and Vicar in The Crying Monster (1982). In the 1987 TV series DuckTales, McDuck Castle appears in the episode "The Curse of Castle McDuck". In the 2017 DuckTales series, the castle is the setting of the episodes "The Secret(s) of Castle McDuck!" and "The Fight for Castle McDuck!". Tartan of Clan McDuck The fictional McDuck tartan first appears in 1960 in Hound of the Whiskervilles. However, the coloring of the tartan was not Barks' decision but that of colorists working for Dell Comics, which first published the story; subsequent publications showed the tartan having differing colors. When Don Rosa decided to include the tartan in his stories, he used the original coloring of green and orange. Nevertheless, some European publications have still shown variations in Rosa's color scheme. (See Sir Roast McDuck's tam o' shanter cap in the illustration at the top of the page, which was first published in France.) The old clansmen seen on DuckTales wear a green and orange tartan, but of a slightly different design from that of the comics. Ancient McDucks Scrooge Shah and Prince Donduk Scrooge Shah was the last king of Sagbad and the earliest known ancestor of Scrooge McDuck. A young King Khan Khan (2050 BC-1967 BC) sacked the city of Sagbad in 2033 BC, but Scrooge Shah and Prince Donduk, his heir apparent, managed to escape. Khan Khan lost their tracks, but would much later locate their distant descendants. Scrooge Shah features in the story "King Scrooge the First" (1967) by Carl Barks and Tony Strobl. Postclassical McDucks Eider McDuck Sir Eider McDuck (880-946; from earlier Eider MacDuich) was the chief of Clan McDuck during an Anglo-Saxon invasion in 946 (despite England and Scotland signing a peace treaty in 945). Eider was killed during the Anglo-Saxons' siege of McDuck Castle after his serfs abandoned him. He had refused to buy them arrows because they were too expensive, and only paid his serfs, collectively, 30 copper pieces an hour. Eider McDuck is first mentioned in Barks' The Old Castle's Secret (1948). Friar Juicy McDuck (910-971) and Sir Smokt McDuck (b. 931) are buried in the McDuck cemetery as seen in the Carl Barks painting Dubious Doings at Dismal Downs. He makes a cameo appearance in the 2017 DuckTales series episode, "The Secret(s) of Castle McDuck!", both as a statue in front of the titular Castle McDuck and as a ghost. Quackly McDuck Sir Quackly McDuck (1010-1057; from earlier Quackly MacDuich) was clan chief when King Macbeth was killed in 1057. That same year, Macbeth offered Quackly a treasure chest in exchange for his support in the ongoing war for the throne. Quackly agreed and served the king during the war, but became obsessed with protecting the treasure, eventually trapping himself inside the castle walls with it. Quackly and his treasure became a McDuck legend, and it is believed that his ghost continues to protect the treasure and the castle. In 1877, Quackly's ghost saves a young Scrooge McDuck from the Whiskervilles of Dismal Downs. Without revealing his true identity, he suggests to Scrooge that he travel to America and work for his Uncle Pothole, thus serving as the catalyst for all of Scrooge's adventures. In 1885, Quackly again tries to save Scrooge, but his action unintentionally brings about Scrooge's temporary death. In heaven, Quackly is reprimanded by his relatives for interfering in earthly events. Quackly McDuck is first mentioned in The Old Castle's Secret (1948) by Carl Barks, and first appears in The Last of the Clan McDuck (1994) by Don Rosa. Murdoch McDuck Sir Murdoch McDuck (?-1066; from earlier Murdoch MacDuich) was a businessman who patented the longbow. Most notably in 1066, when the Normans invaded England, he had the latter sign a contract with him so they would have enough longbows to fight off the invaders. However, they did not have enough arrows as Sir Murdoch charged extra for them. He is also the last of the Dark Ages McDucks and the one who modernized their family name "MacDuich" to the more familiar "McDuck". He only appears in the unfinished sketch-only story "The History of the Clan McDuck" (written and drawn approx. in 1992 by Don Rosa, but not released until December 2011), which was meant to serve as a prologue to "The Last of the Clan McDuck" before it was scrapped. In the 2017 DuckTales series episode, "The Secret(s) of Castle McDuck!", Downy McDuck relates Murdoch's history (which remains intact) to Huey, Dewey, and Louie Duck, and Webby Vanderquack. His longbow is later used as a clue that the boys use to uncover the mystery behind their mother, Della's, disappearance. Stuft McDuck Sir Stuft McDuck (1110-1175) was a successful chief of Clan McDuck who oversaw a period of prosperity. Roast McDuck Sir Roast McDuck (1159-1205) succeeded his father, Stuft McDuck, as clan chief, while Clan McDuck was one of the richest clans in Scotland. However, in 1189, Roast offered much of the clan's wealth to the king of Scotland, William the Lion, after William asked for his help in paying tribute to Richard I of England. This act of patriotic generosity led to financial ruin for the clan. Aside from this imprudence, Roast is primarily remembered for his gluttony. In 1205, he raided the king's pantry and ate himself to death. Roast's memorial suit of armor displayed in Castle McDuck holds a knife and fork in its hands. The character is first mentioned in The Old Castle's Secret (1948) by Carl Barks. He has a small speaking role in The Last of the Clan McDuck (1994), but makes his first appearance in The New Laird of Castle McDuck. His ghost makes a cameo appearance in the 2017 DuckTales series episode, "The Secret(s) of Castle McDuck!" Swamphole McDuck Sir Swamphole McDuck (1190-1260) succeeded his father, Roast McDuck, as clan chief and inherited its financial problems. In 1220, Swamphole sealed the dungeon of Castle McDuck, which he claimed was an attempt to decrease maintenance costs. He did, however, create secret passageways in the castle leading to the dungeons. (These passageways would later be useful during subsequent sieges.) After his death in 1260, Swamphole was not buried in the clan cemetery; rather, his skeleton was placed inside his memorial suit of armor, which was placed in Castle McDuck. Swamphole McDuck is first mentioned in The Old Castle's Secret by Carl Barks. In The Old Castle's Other Secret or A Letter from Home (2004) by Don Rosa, it is revealed that Swamphole sealed the dungeons not to reduce maintenance costs, but to conceal a treasure. In the 2017 DuckTales series episode, "The Secret(s) of Castle McDuck!", he is stated to be a treasure hunter (like Scrooge) who constructed secret passageways underneath Castle McDuck and let loose a demon dog to protect his treasure. His ghost later appears to ward off said demon dog alongside the ghosts of several of his family members. Donald McDuck Sir Donald McDuck, nicknamed "Black Donald" because of his foul temper, is said to have invented golf, the hammer throw, and the caber toss in 1440. His temper while playing golf resulted in James II of Scotland outlawing the sport. Black Donald is mentioned in "The History of the Clan McDuck" by Don Rosa. In the 2017 DuckTales series episode "The Missing Links of Moorshire!", Scrooge McDuck relates the story of how "Black Donald" McDuck invented golf and subsequently got it banned due to his temper to Dewey, Louie, and Webby before participating in a golf tournament in Scotland. Simon McDuck Sir Simon McDuck (1437-1509) was the treasurer of the Knights Templar and hid their treasure beneath McDuck Castle. He is mentioned in The Old Castle's Other Secret or A Letter from Home (2004) by Don Rosa. In the 2017 DuckTales series episode, "The Secret(s) of Castle McDuck", Scrooge McDuck states Simon was the "accountant" to the Knights Templar who had stolen and hidden their treasure somewhere underneath Castle McDuck, and he had returned to his father Fergus to reluctantly ask for his help in finding it since he knows where it is. His ghost appears later in the episode to stop a ghost hound from attacking Scrooge's grandnephews, Huey, Dewey, and Louie. Early modern McDucks Malcolm McDuck Malcolm "Matey" McDuck (1530-1564?) was a McDuck relative who settled in England and is suggested to be a previous incarnation of Scrooge McDuck. Malcolm served in the English Navy, and in 1563 he became first mate of the frigate HMS Falcon Rover, serving under Captain Loyal Hawk. The Falcon Rover raided Spanish targets in the Caribbean Sea between 1563 and 1564. Also serving on the Falcon Rover was the boatswain, Pintail Duck, an ancestor of Donald Duck. Malcolm is said to have lost his life on 9 December 1564 when the Spanish fleet sunk the HMS Falcon Rover. However, in 1579, Malcolm was also said to have commanded the newly founded Fort Drakeborough, an establishment that in 1818 was taken over by Cornelius Coot and renamed Fort Duckburg. Malcolm first appears in "Back to Long Ago!" (1956) by Carl Barks. He is mentioned on Webby Vanderquack's family chart in the 2017 DuckTales series. Locksley McDuck Locksley McDuck was an 18th-century McDuck relative. Sometime after 1707, he became an associate of Scottish outlaw Rob Roy MacGregor who is characterized as a noble thief who would "rob from the rich to give to the poor". Locksley's alliance with MacGregor would come to an end after Locksley was unable to "give to the poor" after having robbed the rich. He is mentioned in The History of The Clan McDuck by Don Rosa. His name is derived from the English village of Loxley, the traditional birthplace of Robin Hood. Hugh McDuck Captain Hugh "Seafoam" McDuck (1710-1776) was a McDuck relative who settled in Glasgow in 1727, as the clan had been driven from their ancestral home of Dismal Downs in 1675. Hugh turned to the sea for a living and became a successful merchant. He obtained his own ship, the Golden Goose, and became known by the nickname "Seafoam". In 1753, Seafoam McDuck signed a contract with Swindle McSue to deliver a cargo of horseradish to Jamaica. But McSue sabotaged the Golden Goose and the ship sank before reaching Jamaica. Upon returning to Scotland, Seafoam McDuck learned that his contract with McSue contained fine print stating that if the shipment was not completed, McDuck would forfeit all his possessions to McSue. Seafoam escaped with nothing but the clothes on his back, a silver pocket watch, and the golden dentures in his mouth. It is later presumed that Seafoam was involved in the American Revolutionary War and died in 1776. His descendant Quagmire McDuck inherited the silver pocket watch. Seafoam McDuck first appears in The Horseradish Story (1953) by Carl Barks. His ghost makes a cameo appearance in the 2017 DuckTales series episode, "The Secret(s) of Castle McDuck". Modern McDucks (1st generation) Dingus McDuck "Dirty" Dingus McDuck, was Scrooge's paternal grandfather. He worked as a coal miner, married Molly Mallard, and had three sons – Angus, Fergus, and Jake. He appeared in Don Rosa's illustrated family tree, but has not appeared in any comic book stories. A 1960s story by Bob Gregory and Tony Strobl identifies Scrooge's grandfather as Titus McDuck. In the 2017 DuckTales series episode, "The Secret(s) of Castle McDuck", Dingus is revealed to have had an antagonistic relationship with his son, Fergus (not unlike that of the latter and his son, Scrooge). In fact, knowing he would seek out Simon McDuck's treasure, he left his son a note telling him to work hard and not accept hand-outs inside a hidden chamber underneath Castle McDuck. Molly Mallard Molly McDuck (née Mallard) was the wife of Dingus McDuck, Scrooge's paternal grandmother, the daughter-in-law of Dingus McDuck, and the mother of Angus, Fergus, and Jake McDuck. Her first and only appearance was in an illustrated family tree created by Don Rosa; she has not appeared in any stories. Coincidentally, her maiden name is the same as the title character of Darkwing Duck. Her ghost makes a cameo appearance in the 2017 DuckTales series' episode, "The Secret(s) of Castle McDuck!" Quagmire McDuck Quagmire McDuck was Dingus McDuck's brother and Scrooge McDuck's paternal great uncle. He inherited a silver watch from his ancestor Hugh "Seafoam" McDuck and passed it on to his nephew Fergus. After his death, Quagmire's estate remained unclaimed. Quagmire appears in the Carl Barks story "The Heirloom Watch" (1955). His ghost makes a cameo appearance in the 2017 DuckTales series episode, "The Secret(s) of Castle McDuck". Modern McDucks (2nd generation) Angus "Pothole" McDuck Angus "Pothole" McDuck (born 1829) is the first child of Dingus and Molly McDuck, and is Scrooge's paternal uncle. Angus was born in Glasgow in 1829. He was first mentioned in "The Great Steamboat Race" by Carl Barks and later appeared in person in a handful of stories by Don Rosa. Angus migrated to the United States during the late 1840s. In 1850 he was working as a cabin boy in the Mississippi riverboat Drennan Whyte when it sank. He was the only survivor. He continued working on Mississippi riverboats and he had obtained his own by 1861, named Cotton Queen. Around the time of the American Civil War (1861–1865) he became quite successful as a river boater. Soon after the end of the war in 1865 he and fellow river boater Porker Hogg became the co-owners of Cornpone Gables, a Southern plantation that had gone bankrupt. The two were unable to settle their differences and they decided to have a riverboat race in 1870 to decide who would be the owner. Both riverboats sank. Porker had two more riverboats but Angus spent the next ten years as a professional card player. In 1880, in a poker game with Porker, Angus won the rights to one of his rival's riverboats, named Dilly Dollar. Porker soon lost his other riverboat to Blackheart Beagle and his sons, the first generation of the Beagle Boys, a family of outlaws, and retired. Angus on the other hand hired his nephew Scrooge McDuck and a penniless inventor named Ratchet Gearloose as his crew. Business wasn't going well and Angus decided to retire in 1882. He left his riverboat to his nephew and settled down in New Orleans. He became the writer of a series of dime novels under the title The Master of Mississippi, based on a highly exaggerated description of his life. His dime novels became very popular and to have more material to add he occasionally traveled through the country. In the story "The Vigilante of Pizen Bluff" by Don Rosa, he is seen appearing at Buffalo Bill's Wild West. After the show's money is stolen by the Dalton Gang, Angus rides out with Bill, Scrooge, P. T. Barnum, Annie Oakley, and Geronimo to stop the bandits. Angus' exact date of death is unknown. In 1955, Porker's nephew, Horseshoe Hogg, and Scrooge McDuck would bring their uncles' steamboats back to the surface to finish the race for Cornpone Gables. Scrooge won, only to learn that 85 years of disuse made the mansion so fragile that he accidentally destroyed it with a sneeze. A character based on Angus named "Catfish" McDuck appears in the 1987 DuckTales episode, "Once Upon a Dime", voiced by Peter Renaday, Fergus McDuck Fergus McDuck (1835–1902) is the second child of Dingus and Molly McDuck and the father of Scrooge McDuck. As such he is a prominent character in The Life and Times of Scrooge McDuck. He was born in Glasgow in 1835 to Dingus McDuck and Molly Mallard, who were both working as coal miners at the time. He spent most of his life as a mill worker. According to a story by William Van Horn, Fergus at some point had a short marriage with an unidentified woman, with whom he had the son Rumpus McFowl. He later married Downy O'Drake, his wife in Rosa's stories, who became the mother of three of his children – Scrooge, Matilda, and Hortense. The rest of Fergus' biography is shown in The Life and Times of Scrooge McDuck. In 1877 he encouraged his son to work to have his own money. Scrooge's obvious intelligence, skill at hard work and ambition made his father believe that Scrooge would be able to restore Clan McDuck to its former glory. In the story Of Ducks, Dimes, and Destinies, it is revealed that Scrooge's Number One Dime came from Fergus, who gave it to the man who used it to pay Scrooge for shining his shoes. In 1885 the Clan's hereditary lands would have been seized due to Fergus' inability to pay his taxes. But Scrooge spent his savings at the time ($10,000) to pay the taxes and become the new owner of their lands. While Scrooge was away, Fergus and his family moved back to Castle McDuck, abandoned for centuries in Dismal Downs. The family continued to work to pay for the taxes and Scrooge sent them most all of the money he earned while traveling. Fergus became a widower in 1897. Scrooge became rich in the Klondike and returned to Scotland in 1902 as a billionaire. Scrooge's intention was originally to settle in Dismal Downs but he quickly changed his mind and decided to settle in the United States. He wanted to take his family with him. His sisters accepted but Fergus decided to stay. He died during the night, aged 72, and was re-united with his wife Downy and the
architect, city planner, and administrator Places Poland and Czech Republic Cieszyn, a border-town in southern Poland Switzerland Canton of Ticino (German: Tessin; French: Tessin; Romansh: Tessin; Italian: Ticino) Ticino (river), running in Switzerland and Italy Germany Tessin, Germany, a town
of Ticino (German: Tessin; French: Tessin; Romansh: Tessin; Italian: Ticino) Ticino (river), running in Switzerland and Italy Germany Tessin, Germany, a town in the district of Bad Doberan in Mecklenburg-Vorpommern Tessin (Amt), a union of communes in the district of Bad Doberan in Mecklenburg-Vorpommern Tessin bei Boizenburg in the district of Ludwigslust in Mecklenburg-Vorpommern a part of the commune Wittendörp in the
its crystalline structure. Imperial topaz is yellow, pink (rare, if natural) or pink-orange. Brazilian imperial topaz can often have a bright yellow to deep golden brown hue, sometimes even violet. Many brown or pale topazes are treated to make them bright yellow, gold, pink, or violet colored. Some imperial topaz stones can fade on exposure to sunlight for an extended period of time. Naturally occurring blue topaz is quite rare. Typically, colorless, gray, or pale yellow and blue material is heat treated and irradiated to produce a more desired darker blue. Mystic topaz is colorless topaz which has been artificially coated via a vapor deposition process giving it a rainbow effect on its surface. Although very hard, topaz must be treated with greater care than some other minerals of similar hardness (such as corundum) because of a weakness of atomic bonding of the stone's molecules along one or another axial plane (whereas diamonds, for example, are composed of carbon atoms bonded to each other with equal strength along all of its planes). This gives topaz a tendency to break along such a cleavage plane if struck with sufficient force. Topaz has a relatively low index of refraction for a gemstone, and so stones with large facets or tables do not sparkle as readily as stones cut from minerals with higher refractive indices, though quality colorless topaz sparkles and shows more "life" than similarly cut quartz. When given a typical "brilliant" cut, topaz may either show a sparkling table facet surrounded by dead-looking crown facets or a ring of sparkling crown facets with a dull well-like table. Localities and occurrence Topaz is commonly associated with silicic igneous rocks of the granite and rhyolite type. It typically crystallizes in granitic pegmatites or in vapor cavities in rhyolite lava flows including those at Topaz Mountain in western Utah and Chivinar in South America. It can be found with fluorite and cassiterite in various areas including the Ural and Ilmensky Mountains of Russia, in Afghanistan, Sri Lanka, Czech Republic, Germany, Norway, Pakistan, Italy, Sweden, Japan, Brazil, Mexico; Flinders Island, Australia; Nigeria and the United States. Brazil is one of the largest producers of topaz, some clear topaz crystals from Brazilian pegmatites can reach boulder size and weigh hundreds of pounds. The Topaz of Aurangzeb, observed by Jean Baptiste Tavernier weighed 157.75 carats. The American Golden Topaz, a more recent gem, weighed a massive 22,892.5 carats. Large, vivid blue topaz specimens from the St. Anns mine in Zimbabwe were found
reddish-orange, pale green, pink, or purple. Although it is often associated with golden yellow and blue, it comes in a variety of colors, including colorless. The rarest are natural pinks, reds, and delicate golden oranges, sometimes with pink hues. Topaz is a nesosilicate mineral. It is one of the hardest naturally occurring minerals and has a relatively low index of refraction. It occurs in many places in the world. Etymology The name "topaz" is usually derived (via Old French: Topace and Latin: Topazus) from the Greek Τοπάζιος (Τοpáziοs) or Τοπάζιον (Τοpáziοn), from Τοπαζος, the ancient name of St. John's Island in the Red Sea which was difficult to find and from which a yellow stone (now believed to be chrysolite: yellowish olivine) was mined in ancient times; the name topaz was first applied to the mineral now known by that name in 1737. Ancient Sri Lanka (Tamraparni) exported native oriental topazes to Greece and ancient Egypt, which led to the etymologically related names of the island by Alexander Polyhistor (Topazius) and the early Egyptians (Topapwene) – "land of the Topaz". Pliny said that Topazos is a legendary island in the Red Sea and the mineral "topaz" was first mined there. Alternatively, the word topaz may be related to the Sanskrit word तपस् "tapas", meaning "heat" or "fire". History Nicols, the author of one of the first systematic treatises on minerals and gemstones, dedicated two chapters to the topic in 1652. In the Middle Ages, the name topaz was used to refer to any yellow gemstone, but in modern times it denotes only the silicate described above. Many English translations of the Bible, including the King James Version, mention topaz. However, because these translations as topaz all derive from the Septuagint translation topazi[os], which referred to a yellow stone that was
director Sam Raimi and screenwriter Ivan Raimi. Career Raimi's motion picture acting credits include Wes Craven's Shocker, Born Yesterday, Patriot Games, Clear and Present Danger, The Evil Dead, Evil Dead II, Army of Darkness, Darkman and the Spider-Man series, as well as roles in such features as Stuart Saves His Family, The Grudge, Midnight Meat Train and Oz the Great and Powerful. On television, he has been seen on shows such as Twin Peaks, CSI: NY, Supernatural and Legend of the Seeker but is best known for his roles as the communication officer Lt. Tim O'Neill on the science fiction television series seaQuest DSV (later seaQuest 2032) and starring as the warrior wannabe Joxer on Xena: Warrior Princess. Raimi wrote the original "Joxer the Mighty" song with help from director Josh Becker for Xena: Warrior Princess. Selected filmography Film Television Video games Non-acting work References Further reading External links 2005 MarsDust Interview 1965 births Male actors from Detroit 20th-century American male actors 21st-century American male actors Jewish American male comedians American male comedians American male film actors American male television actors American television directors American television writers American male voice actors American male television writers American people of Russian-Jewish descent American people of Hungarian-Jewish descent University of Michigan alumni New York University alumni Michigan State University alumni Jewish American male actors Jewish American writers Living people People from Royal Oak, Michigan University of Detroit Mercy alumni Writers from Detroit Screenwriters from Michigan Raimi family 20th-century American comedians 21st-century American
Raimi was born to a Jewish family in Detroit, Michigan, the son of Celia (née Abrams), a lingerie store proprietor, and Leonard Raimi, a furniture store proprietor. Ted was raised in Conservative Judaism; his ancestors immigrated from Russia and Hungary. He attended Wylie E. Groves High School in Beverly Hills, Michigan, where he was a popular DJ on WGHS, a blues harp prodigy, and an active member of the Groves Cinema Society. At seventeen he began his professional acting career doing industrial films in Detroit for Ford, General Motors and Chrysler. He attended University of Michigan, New York University, then finally University of Detroit. Raimi's older brothers are director Sam Raimi and screenwriter Ivan Raimi. Career Raimi's motion picture acting credits include Wes Craven's Shocker, Born Yesterday, Patriot Games, Clear and Present Danger, The Evil Dead, Evil Dead II, Army of Darkness, Darkman and the Spider-Man series, as well as roles in such features as Stuart Saves His Family, The Grudge, Midnight Meat Train and Oz the Great and Powerful. On television, he
music was, wanted to move the music in a newer direction than Boyce and Hart, and so he decided to move the production to New York where his A-list of writers/producers resided. However, the Monkees had already been complaining that the music publishing company would not allow them to play their own instruments on their records or to use more of their own material. These complaints intensified when Kirshner moved track recording from California to New York, leaving the band out of the musical process until they were called upon to add their vocals to the completed tracks. The group's efforts eventually gained them more participation in the recording process and laid the groundwork for Kirshner's departure. Dolenz's initial reaction, mentioned in the 2006 Rhino CD reissue of More of the Monkees, was "To me, these were the soundtrack albums to the show, and it wasn't my job. My job was to be an actor and to come in and to sing the stuff when I was asked to do so. I had no problem with that . . . It wasn't until Mike and Peter started getting so upset that Davy and I started defending them ... they were upset because it wasn't the way they were used to making music. The artist is the bottom line. The artist decides what songs are gonna go on and in what order and who writes 'em and who produces 'em." Nesmith, when asked about the situation, in Rolling Stone magazine, said, "... We were confused, especially me. But all of us shared the desire to play the songs we were singing. Everyone was accomplished--the notion [that] I was the only musician is one of those rumors that got started and won't stop--but it was not true ... We were also kids with our own taste in music and were happier performing songs we liked--and/or wrote--than songs that were handed to us ... The [TV show's] producers [in Hollywood] backed us and David went along. None of us could have fought the battles we did [with the music publishers] without the explicit support of the show's producers." Four months after their debut single was released in September 1966, on January 16, 1967, the Monkees held their first recording session as a fully functioning, self-contained band, recording an early version of Nesmith's self-composed top 40 hit single "The Girl I Knew Somewhere", along with "All of Your Toys" and "She's So Far Out, She's In". Four days later, on January 20, 1967, their debut self-titled album made its belated release in the UK (it was released in October '66 in the U.S.). This same month Kirshner released their second album of songs that used session musicians, More of the Monkees, without the band's knowledge. Nesmith and Tork were particularly upset when they were on tour in January 1967 and discovered this second album. The Monkees were annoyed at not having even been told of the release in advance, at having their opinions on the track selection ignored, at Kirshner's self-congratulatory liner notes and also because of the amateurish-looking cover art, which was merely a composite of pictures of the four taken for a J.C. Penney clothing advertisement. Indeed, the Monkees had not even been given a copy of the album; they had to buy it from a record store. The climax of the rivalry between Kirshner and the band was an intense argument among Nesmith, Kirshner and Colgems lawyer Herb Moelis, which took place at the Beverly Hills Hotel in January 1967. Kirshner had presented the group with royalty checks and gold records. Nesmith had responded with an ultimatum, demanding a change in the way the Monkees' music was chosen and recorded. Moelis reminded Nesmith that he was under contract. The confrontation ended with Nesmith punching a hole in a wall and saying, "That could have been your face!" However, each of the members, including Nesmith, accepted the $250,000 royalty checks (equivalent to approximately $ in today's funds). Kirshner's dismissal came in early February 1967, when he violated an agreement between Colgems and the Monkees not to release material directly created by the group together with unrelated Kirshner-produced material. Kirshner violated this agreement when he released "A Little Bit Me, A Little Bit You", composed and written by Neil Diamond, as a single with an early version of "She Hangs Out", a song recorded in New York with Davy Jones' vocals, as the B-side. This single was only released in Canada and was withdrawn after a couple of weeks. Kirshner was reported to have been incensed by the group's unexpected rebellion, especially when he felt they had a "modicum" of talent when compared to the superstars of the day like John Lennon and Paul McCartney. In the liner notes for Rhino's 2006 Deluxe Edition CD reissue of More of the Monkees, Kirshner stated, "[I controlled the group] because I had a contract. I kicked them out of the studio because I had a TV show that I had to put songs in, and to me it was a business and I had to knock off the songs." This experience led directly to Kirshner's later venture, The Archies, which was an animated series—the "stars" existed only on animation cels, with music done by studio musicians, and obviously could not seize creative control over the records issued under their name. Screen Gems held the publishing rights to a wealth of material, with the Monkees being offered the first choice of many new songs. Due to the abundance of material numerous tracks were recorded, but these were left unreleased until Rhino Records started releasing them through the Missing Links series of albums starting in the late 1980s. A rumor persists that the Monkees were offered "Sugar, Sugar" in 1967, but declined to record it. Producer and songwriter Jeff Barry, joint writer and composer of "Sugar, Sugar" with Andy Kim, has denied this, saying that the song had not even been written at the time. Independence Headquarters and Pisces, Aquarius, Capricorn & Jones The Monkees wanted to pick the songs they sang and played on, the songs they recorded and be the Monkees. With Kirshner dismissed as musical supervisor, in late February 1967 Nesmith hired former Turtles bassist Douglas Farthing Hatlelid, who was better known by his stage name Chip Douglas, to produce the next Monkees album, which was to be the first Monkees album where they were the only musicians, outside of most of the bass, and the horns. Douglas was responsible for both music presentation—actually leading the band and engineering recordings—and playing bass on most of Headquarters. This album, along with their next, Pisces, Aquarius, Capricorn & Jones Ltd., served as the soundtrack to the second season of the television show. In March 1967 "The Girl I Knew Somewhere", composed by Nesmith and performed by Dolenz, Nesmith, Tork and bassist John London, was issued as the B-side to the Monkees' third single, "A Little Bit Me, a Little Bit You", and it rose to No. 39 on the charts. The A-side rose to No. 2. Issued in May 1967, Headquarters had no songs released as singles in the United States, but it was still their third No. 1 album in a row, with many of its songs played on the second season of the television show. Having a more country-folk-rock sound than the pop outings under Kirshner, Sandoval notes in the 2007 Deluxe Edition reissue from Rhino that the album rose to No. 1 on May 24, 1967, with the Beatles' Sgt. Pepper released the following week, which moved Headquarters to the #2 spot on the charts for the next 11 weeks—the same weeks which became known by the counterculture as the "Summer of Love". A selection that Dolenz wrote and composed, "Randy Scouse Git", was issued under the title "Alternate Title" (owing to the controversial nature of its original title) as a single internationally, where it rose to No. 2 on the charts in the UK and Norway, and in the top 10 in other parts of the world. Tork's "For Pete's Sake" was used as the closing theme for the television show. Nesmith continued in his country-rock leanings, adding the pedal steel guitar to three of the songs, along with contributing his self-composed countrified-rock song "Sunny Girlfriend". Tork added the banjo to the Nesmith-composed rocker "You Told Me", a song whose introduction was satirical of the Beatles' "Taxman". Other notable songs are the Nesmith-composed straightforward pop-rock song "You Just May Be the One" (the only track from their peak years to feature the Monkees playing the same instruments they were shown to play on the television show), used on the television series during both seasons, along with "Shades of Gray" (with piano introduction written by Tork), "Forget that Girl", and "No Time", used in the television show. The Monkees wrote five of the 12 songs on the album, plus the two tracks "Band 6" and "Zilch". The Los Angeles Times, when reviewing Headquarters, stated that "The Monkees Upgrade Album Quality" and that "The Monkees are getting better. Headquarters has more interesting songs and a better quality level [than previous albums]... None of the tracks is a throwaway... The improvement trend is laudable." The high of Headquarters was short-lived, however. Recording and producing as a group was Tork's major interest and he hoped that the four would continue working together as a band on future recordings, according to the liner notes of the 2007 Rhino reissue of Pisces, Aquarius, Capricorn & Jones Ltd.. "Cuddly Toy" on Pisces, Aquarius, Capricorn & Jones Ltd. marked the last time Dolenz, who originally played guitar before the Monkees, made a solo stand as a studio drummer. In commentary for the DVD release of the second season of the show, Tork said that Dolenz was "incapable of repeating a triumph." Having been a drummer for one album, Dolenz lost interest in being a drummer and, indeed, he largely gave up playing instruments on Monkees recordings to session musicians like "Fast" Eddie Hoh. (Producer Chip Douglas also had identified Dolenz's drumming as the weak point in the collective musicianship of the quartet, having to splice together multiple takes of Dolenz's "shaky" drumming for final use.) By this point, the four did not have a common vision regarding their musical interests, with Nesmith and Jones also moving in different directions—Nesmith following his country/folk instincts and Jones reaching for Broadway-style numbers. The next three albums featured a diverse mixture of musical style influences, including country-rock, folk-rock, psychedelic rock, soul/R&B, guitar rock, Broadway and English music hall sensibilities. At the height of their fame in 1967, they also suffered from a media backlash. Nesmith states in the 2007 Rhino reissue of Pisces, Aquarius, Capricorn & Jones Ltd., "Everybody in the press and in the hippie movement had got us into their target window as being illegitimate and not worthy of consideration as a musical force [or] certainly any kind of cultural force. We were under siege; wherever we went there was such resentment for us. We were constantly mocked and humiliated by the press. We were really gettin' beat up pretty good. We all knew what was going on inside. Kirshner had been purged. We'd gone to try to make Headquarters and found out that it was only marginally okay and that our better move was to just go back to the original songwriting and song-making strategy of the first albums except with a clear indication of how [the music] came to be... The rabid element and the hatred that was engendered is almost impossible to describe. It lingers to this day among people my own age." Tork disagreed with Nesmith's assessment of Headquarters, stating, "I don't think the Pisces album was as groovy to listen to as Headquarters. Technically it was much better, but I think it suffers for that reason." With Pisces, Aquarius, Capricorn & Jones Ltd., the Monkees' fourth album, they went back to making music for the television show, except that they had control over the music and which songs would be chosen. They used a mixture of themselves and session musicians on the album. They used this strategy of themselves playing, plus adding session musicians (including the Wrecking Crew, Louie Shelton, Glen Campbell, members of the Byrds and the Association, drummer "Fast" Eddie Hoh, Lowell George, Stephen Stills, Buddy Miles, and Neil Young) throughout their recording career, relying more on session musicians when the group became temporarily estranged after Pisces, Aquarius, Capricorn & Jones Ltd. and recorded some of their songs separately. Using Chip Douglas again to produce, Pisces, Aquarius, Capricorn & Jones Ltd., released in November 1967 was the Monkees' fourth No. 1 album in a row, staying at No. 1 for 5 weeks, and was also their last No. 1 album. It featured the hit single "Pleasant Valley Sunday" (#3 on charts) b/w "Words" (#11 on charts), the A-side had Nesmith on electric guitar/backing vocals, Tork on piano/backing vocals, Dolenz on lead vocals and possibly guitar and Jones on backing vocals; the B-side had Micky and Peter alternating lead vocals, Peter played organ, Mike played guitar, percussion, and provided backing vocals, and Davy provided percussion and backing vocals. Other notable items about this album is that it features an early use of the Moog synthesizer on two tracks, the Nesmith-penned "Daily Nightly", along with "Star Collector". All of its songs, except for two, were featured on the Monkees' television show during the second season. The song "What Am I Doing Hangin' 'Round?", recorded in June 1967 and featured on Pisces, Aquarius, Capricorn & Jones Ltd., is seen as a landmark in the fusion of country and rock despite Nesmith's prior country-flavored rock songs for the Monkees. Nesmith stated, "One of the things that I really felt was honest was country-rock. I wanted to move the Monkees more into that because ... if we get closer to country music, we'll get closer to blues, and country blues, and so forth. ... It had a lot of un-country things in it: a familiar change from a I major to a VI minor—those kinds of things. So it was a little kind of a new wave country song. It didn't sound like the country songs of the time, which was Buck Owens." Their next single, "Daydream Believer" (with a piano intro written by Tork), shot to No. 1 on the charts, letting the Monkees hold the No. 1 position in the singles chart and the album chart with Pisces simultaneously. "Daydream Believer" used the non-album track "Goin' Down" as its B-side, which featured Nesmith and Tork on guitar with Micky on lead vocals. During their 1986 reunion, both Headquarters and Pisces, Aquarius, Capricorn & Jones Ltd. returned to the charts for 17 weeks. The Birds, The Bees & The Monkees The Monkees decided that they no longer needed Chip Douglas as a producer, and starting in November 1967, they largely produced their own sessions. Although credited to the whole band, the songs were mostly solo efforts. In a couple of cases, Boyce and Hart had returned from the first two albums to produce, but credit was given to the Monkees. It was also during this time that Michael Nesmith recorded his first solo album, The Wichita Train Whistle Sings, a big band jazz instrumental collection of interpretations of Nesmith's compositions, arranged by the jazz musician Shorty Rogers. Praising Nesmith in The Los Angeles Times, jazz critic Leonard Feather wrote, "Verbally and musically, Mike Nesmith is one of the most articulate spokesmen for the new and literate breed of pop musicians who have spring from the loins of primitive rock. [The album] with its carriage trade of symphony, rock, country, western, and swing, and with jazz riding in the caboose, may well indicate where contemporary popular music will be situated in the early 1970s." The album is considered by some the Monkees' "White Album" (Sandoval mentions this in the liner notes of Rhino Handmade's 2010 Deluxe reissue of the album); the songs reflected the respective band members' own musical tastes, which resulted in an eclectic album (although Peter did not have a song on the album). Micky sang the pop songs (e.g., "I'll Be Back Upon My Feet"), and performed a double vocal with Mike on the Nesmith/Allison composed "Auntie's Municipal Court". Davy sang the ballads (e.g., "Daydream Believer" and "We Were Made for Each Other") and Nesmith contributed some experimental songs, like the progressive "Writing Wrongs", the unusual hit song "Tapioca Tundra", and the lo-fi 1920s sound of "Magnolia Simms". This last song is notable for added effects to make it sound like an old record (even including a "record skipping" simulation) made before the Beatles "Honey Pie", which used a similar effect. Propelled by the hit singles "Daydream Believer" and "Valleri", along with Nesmith's self-penned top 40 hit "Tapioca Tundra", The Birds, The Bees & The Monkees reached No. 3 on the Billboard charts shortly after it was released in April 1968. It was the first album released after NBC announced they were not renewing The Monkees for a third season. The album cover—a quaint collage of items looking like a display in a jumble shop or toy store—was chosen over the Monkees' objections. It was the last Monkees' album to be released in separate, dedicated mono and stereo mixes. During the 1986 reunion, it returned to the Billboard charts for 11 weeks. Beyond television During the filming of the second season, the band became tired of scripts which they deemed monotonous and stale. They had already succeeded in eliminating the laugh track (a then-standard on American sitcoms), with the bulk of Season 2 episodes airing minus the canned chuckles. They proposed switching the format of the series to become more like a variety show, with musical guests and live performances. This desire was partially fulfilled within some second-season episodes, with guest stars like musicians Frank Zappa, Tim Buckley and Charlie Smalls (composer of The Wiz) performing on the show. However, NBC was not interested in eliminating the existing format, and the group (except for Peter) had little desire to continue for a third season. Tork said in DVD commentary that everyone had developed such difficult personalities that the big-name stars invited as guests on the show invariably left the experience "hating everybody". Screen Gems and NBC went ahead with the existing format anyway, commissioning Monkees writers Gerald Gardner and Dee Caruso to create a straight-comedy, no-music half-hour in the Monkees mold; a pilot episode was filmed with the then-popular nightclub act the Pickle Brothers. The pilot had the same energy and pace of The Monkees, but never became a series. In June 1968, Music Supervisor Lester Sill chose to release the two non-album tracks "D.W. Washburn" b/w "It's Nice To Be With You" as the Monkees' next single. The Leiber/Stoller-penned A-side broke into the Top 20, peaking at No. 19 on the charts. Head After The Monkees was canceled in February 1968, Rafelson directed the four Monkees in a feature film, Head. Schneider was executive producer, and the project was co-written and co-produced by Bob Rafelson with a then-relatively unknown Jack Nicholson. The film, conceived and edited in a stream of consciousness style, featured oddball cameo appearances by movie stars Victor Mature, Annette Funicello, a young Teri Garr, boxer Sonny Liston, famous stripper Carol Doda, Green Bay Packers linebacker Ray Nitschke, and musician Frank Zappa. It was filmed at Columbia Pictures' Screen Gems studios and on location in California, Utah, and the Bahamas between February 19 and May 17, 1968, and premiered in New York City on November 6 of that year (the film later debuted in Hollywood on November 20). The film was not a commercial success, in part because it was the antithesis of The Monkees television show, intended to comprehensively demolish the group's carefully groomed public image. Rafelson and Nicholson's "Ditty Diego-War Chant" (recited at the start of the film by the group) ruthlessly parodies Boyce and Hart's "Monkees Theme". A sparse advertising campaign (with no mention of the Monkees) hurt any chances of the film doing well, and it played briefly in half-filled theaters. In the DVD commentary, Nesmith said that everyone associated with the Monkees "had gone crazy" by this time. They were each using the platform of the Monkees to push their own disparate career goals, to the detriment of the Monkees project. Nesmith added that Head was Rafelson and Nicholson's intentional effort to "kill" the Monkees, so that they would no longer be bothered with the matter. Indeed, Rafelson and Schneider severed all ties to the band amid the bitterness that ensued over the commercial failure of Head. At the time, Rafelson told the press, "I grooved on those four in very special ways while at the same time thinking they had absolutely no talent." Released in October 1968, the single from the album, "The Porpoise Song", is a psychedelic pop song written by Goffin and King, with lead vocals from Micky Dolenz and backing vocals from Davy Jones, and it reached No. 62 on the Billboard charts. The soundtrack album to the movie, Head, reached No. 45 on the Billboard charts. Jack Nicholson assembled the film's soundtrack album, weaving dialogue and sound effects from the film in between the songs from the film. The six (plus "Ditty Diego") Monkees songs on the album range from psychedelic pop to straightforward rockers to Broadway rock to eastern-influenced pop to a folk-rock ballad. Although the Monkees performed "Circle Sky" live in the film, the studio version is chosen for the soundtrack album. The live version was later released on various compilations, including Rhino's Missing Links series of Monkees albums. The soundtrack album also includes a song from the film's composer, Ken Thorne. The album had a mylar cover, to give it a mirror-like appearance, so that the person looking at the cover would see his own head, a play on the album title Head. Peter Tork said, "That was something special... [Jack] Nicholson coordinated the record, made it up from the soundtrack. He made it different from the movie. There's a line in the movie where [Frank] Zappa says, 'That's pretty white.' Then there's another line in the movie that was not juxtaposed in the movie, but Nicholson put them together in the [soundtrack album], when Mike says, 'And the same thing goes for Christmas'... that's funny... very different from the movie... that was very important and wonderful that he assembled the record differently from the movie... It was a different artistic experience." Over the intervening years Head has developed a cult following for its innovative style and anarchic humor. Members of the Monkees, Nesmith in particular, cite the soundtrack album as one of the crowning achievements of the band. Early 1969: Tork's resignation, Instant Replay and The Monkees Present Tensions within the group were increasing. Peter Tork, citing exhaustion, quit by buying out the last four years of his Monkees contract at $150,000 per year, equal to about $ per year today. This was shortly after the band's Far East tour in December 1968, after completing work on their 1969 NBC television special, 33⅓ Revolutions Per Monkee, which rehashed many of the ideas from Head, only with the Monkees playing a strangely second-string role. In the DVD commentary for the television special, Dolenz noted that after filming was complete, Nesmith gave Tork a gold watch as a going-away present, engraved "From the guys down at work." (Tork kept the back, but replaced the watch several times in later years.) Most of the songs from the 33 1/3 Revolutions Per Monkee TV Special were not officially released until over 40 years later, on the 2010 and 2011 Rhino Handmade Deluxe boxed sets of Head and Instant Replay. Since the Monkees at this point were producing their own songs with very little of the other band members' involvement, they planned a future double album (eventually to be reduced to The Monkees Present) on which each Monkee would separately produce one side of a disc. In February 1969, the Monkees' seventh album, Instant Replay, without Tork's involvement beyond playing guitar on "I Won't Be the Same Without Her", was released, which reached No. 32 on the charts. The single from the album was "Tear Drop City", which peaked at No. 56 on the U.S. Billboard chart and No. 34 on the Australian chart. According to Rhino Handmade's 2011 Deluxe Edition reissue of this album, Davy Jones told Melody Maker, "Half of the songs were recorded over the last three years, but there are also about six new ones." The Monkees wanted to please the original 1966 fans by offering up new recordings of some previously unreleased older styled songs, as well as gain a new audience with what they considered a more mature sound. Nesmith continued in his country-rock vein after offering straight ahead rock and experimental songs on the two prior albums. Nesmith stated in Rhino Handmade's 2011 Deluxe Edition reissue, "I guess it was the same embryo beating in me that was somewhere in Don Henley and Glenn Frey and Linda Ronstadt and Neil Young. Everybody who was hanging out in those times. I could just feel this happening that there was this thing. So, I headed off to Nashville to see if I couldn't get some of the Nashville country thing into the rock 'n' roll or vice versa. What I found was that Nashville country was not the country that was going to be the basis of country-rock and that it was Western, Southwest country. It was coming much more out of the Southern California scene. I ended up with a lot of Dobro, mandolin, banjo, and things that were hard-core mountain music stuff ... the Nashville cats were so blown out by playin' this kind of music. They loved it, for one thing." Dolenz contributed the biggest and longest Monkees' production, "Shorty Blackwell", a song inspired by his cat of the same name. Dolenz called it his "feeble attempt at something to do with Sgt. Pepper." Jones contributed an electric guitar rocker, "You and I". Both Jones and Dolenz continued their role of singing on the pop songs. Lyrically, it has a theme of being one of the Monkees' most melancholy albums. Throughout 1969 the trio appeared as guests on television programs such as The Glen Campbell Goodtime Hour, The Johnny Cash Show, Hollywood Squares, and Laugh-In (Jones had also appeared on Laugh-In separate from the group). The Monkees also had a contractual obligation to appear in several television commercials with Bugs Bunny for Kool-Aid drink mix as well as Post cereal box singles. In April 1969, the single "Someday Man" b/w "Listen to the Band" was released, which had the unique distinction of the B-side, a Nesmith composed country-rock song, charting higher (No. 63) than the Jones-sung A-side (No. 81). The final album with Michael Nesmith, from the Monkees' original incarnation, was their eighth album, The Monkees Present, released in October 1969, which peaked at No. 100 on the Billboard charts. It included the Nesmith composed country-rock singles "Listen to the Band" and "Good Clean Fun" (released in September 1969). Other notable songs include the Dolenz composition "Little Girl", which featured Louie Shelton on electric guitar, joining Micky on acoustic guitar, along with "Mommy and Daddy" (B-side to the "Good Clean Fun" single) in which he sang about America's treatment of the Native Americans and drug abuse, and in an earlier take, released on Rhino Handmade's 2011 Deluxe Edition of Instant Replay, sang about JFK's assassination and the Vietnam war. Jones collaborated with Bill Chadwick on some slower ballads, along with releasing a couple of older upbeat songs from 1966. In the summer of 1969 the three Monkees embarked on a tour with the backing of the soul band Sam and the Goodtimers. Concerts for this tour were longer sets than their earlier performances tours, with many shows running over two hours. Although the tour was met with some positive critical reception (Billboard in particular praised it), other critics were not favorable of the mixing of the Monkees' pop music with the Goodtimers' R&B approach. Toward the end of the tour, some dates were canceled due to poor ticket sales, and the tour failed to re-establish the band commercially, with no single entering the Top 40 in 1969. Dolenz remarked that the tour "was like kicking a dead horse. The phenomenon had peaked." April 1970: Nesmith's resignation and Changes On April 14, 1970, Nesmith joined Dolenz and Jones for the last time as part of the original incarnation of the Monkees to film a Kool-Aid commercial (with the then-newly introduced Nerf balls, thrown around a mock living room by the trio, available as a premium for Kool-Aid labels), with Nesmith leaving the group to continue recording songs with his own country-rock group called Michael Nesmith & The First National Band, which he had started recording with on February 10, 1970. His first album with his own band was called Magnetic South, and at the time he left the Monkees in April, he was recording songs for his second album with The First National Band, called Loose Salute. This left Dolenz and Jones to record the bubblegum pop album Changes as the ninth and final album by the Monkees released during its original incarnation. By this time, Colgems was hardly putting any effort into the project, and they sent Dolenz and Jones to New York for the Changes sessions, to be produced by Jeff Barry. In comments for the liner notes of the 1994 re-release of Changes, Jones said that he felt they had been tricked into recording an "Andy Kim album" under the Monkees name. Except for the two singers' vocal performances, Changes is the only album that fails to win any significant praise from critics looking back 40 years to the Monkees' recording output. The album spawned the single "Oh My My", which was accompanied by a music film promo (produced/directed by Dolenz). Dolenz contributed one of his own compositions, "Midnight Train", which was used in the re-runs of the Monkees TV series. The "Oh My My" b/w "I Love You Better" single from the Changes album was the last single issued under the Monkees name in the United States until 1986. Originally released in June 1970, Changes first charted in Billboard's Top 200 during the Monkees' 1986 reunion, staying on the charts for 4 weeks. September 22, 1970 marked the final recording session by the Monkees in their original incarnation, when Jones and Dolenz recorded "Do It in the Name of Love" and "Lady Jane". Not mixed until February 19, 1971, and released later that year as a single ("Do It in the Name Of Love" b/w "Lady Jane"), the two remaining Monkees then lost the rights to use the name in several countries, the U.S. included. The single was not credited to the Monkees in the U.S., but to a misspelled "Mickey Dolenz and Davy Jones", although in Japan it was issued under the Monkees' name. Jones released a solo album in 1971, titled Davy Jones, featuring the single "Rainy Jane" / "Welcome to My Love". Both Jones and Dolenz released multiple singles as solo artists in the years following the original break-up of the Monkees. The duo continued to tour throughout most of the 1970s. Reunions and revivals Dolenz, Jones, Boyce & Hart Partly because of repeats of the television series The Monkees on Saturday mornings and in syndication, The Monkees Greatest Hits charted in 1976. The LP, issued by Arista Records, who by this time had possession of the Monkees' master tapes, courtesy of their corporate owner, Screen Gems, was actually a re-packaging of an earlier (1972) compilation LP called Refocus that had been issued by Arista's previous label imprint, Bell Records, also owned by Screen Gems. Dolenz and Jones took advantage of this, joining ex-Monkees songwriters Tommy Boyce and Bobby Hart to tour the United States. From 1975 to 1977, as the "Golden Hits of the Monkees" show ("The Guys who Wrote 'Em and the Guys who Sang 'Em!"), they successfully performed in smaller venues such as state fairs and amusement parks, as well as making stops in Japan, Thailand, Hong Kong and Singapore. They also released an album of new material as Dolenz, Jones, Boyce & Hart. Nesmith had not been interested in a reunion. Tork claimed later that he had not been asked, although a Christmas single (credited to Micky Dolenz, Davy Jones and Peter Tork due to legal reasons) was produced by Chip Douglas and released on his own label in 1976. The single featured Douglas' and Howard Kaylan's "Christmas Is My Time Of Year" (originally recorded by a 1960s group Christmas Spirit), with a B-side of Irving Berlin's "White Christmas" (Douglas released a remixed version of the single, with additional overdubbed instruments, in 1986). This was the first (albeit unofficial) Monkees single since 1971. Tork also joined Dolenz, Jones, Boyce & Hart on stage at Disneyland in Anaheim, California on July 4, 1976, and also joined Dolenz and Jones on stage at the Starwood in Hollywood in 1977. Other semi-reunions occurred between 1970 and 1986. Tork helped produce a Dolenz single, "Easy on You"/"Oh Someone" in 1971. Tork also recorded some unreleased tracks for Nesmith's Countryside label during the 1970s, and Dolenz (by then a successful television director in the United Kingdom) directed a segment of Nesmith's TV series Television Parts, although his segment was ultimately not included when the series' six episodes were broadcast by NBC during the summer of 1985. MTV and Nickelodeon reignite Monkeemania Brushed off by critics during their heyday in the late 1960s as manufactured and lacking talent, the Monkees experienced a critical and commercial renaissance two decades later. A Monkees TV show marathon ("Pleasant Valley Sunday") was broadcast on February 23, 1986, on the then five-year-old MTV video music channel. In February and March, Tork and Jones played together in Australia. Then in May, Dolenz, Jones, and Tork announced a "20th Anniversary Tour" produced by David Fishof and they began playing North America in June. Their original albums began selling again as Nickelodeon began to run their old series daily. MTV promotion also helped to resurrect a smaller version of Monkeemania, and tour dates grew from smaller to larger venues and became one of the biggest live acts of 1986 and 1987. A new greatest hits collection was issued, reaching platinum status. By this point, Nesmith was more amenable to a reunion, but forced to sit out most projects because of prior commitments to his Pacific Arts video production company. However, he did appear with the band in a 1986 Christmas medley music video for MTV, and appeared on stage with Dolenz, Jones, and Tork at the Greek Theatre, in Los Angeles, on September 7, 1986. In September 1988, the three rejoined to play Australia again, Europe and then North America, with that string of tours ending in September 1989. Nesmith again returned at the Universal Amphitheatre, Los Angeles, show on July 10, 1989, and took part in a dedication ceremony at the Hollywood Walk of Fame, when the Monkees received a TV star there in 1989. The sudden revival of the Monkees in 1986 helped move the first official Monkees single since 1971, "That Was Then, This Is Now", to the No. 20 position in Billboard Magazine. The success, however, was not without controversy. Jones had declined to sing on the track, recorded along with two other new songs included in a compilation album, Then & Now... The Best of The Monkees. Some copies of the single and album credit the new songs to "the Monkees", others as "Micky Dolenz and Peter Tork (of the Monkees)". Reportedly, these recordings were the source of some personal friction between Jones and the others during the 1986 tour; Jones typically left the stage when the new songs were performed. New Monkees In 1987, a new television series called New Monkees appeared. Other than being centered around a boy band quartet, it bore no resemblance to the earlier series or group. The New Monkees left the air after 13 episodes. (Bob Rafelson and Bert Schneider were involved in the production of the series, although it was primarily produced by "Straybert Productions" headed by Steve Blauner, Rafelson and Schneider's partner in BBS Productions.) 1990s reunions In the 1990s, the Monkees continued to record new material. The band also re-issued all the original LPs on CD, each of which included between three and six bonus tracks of previously unreleased songs or alternate takes; the first editions came with collectable trading cards. Dolenz, Jones and Tork appeared in a 1995 episode of Boy Meets World, but not as themselves; Tork appeared in two episodes as Topanga Lawrence's father Jedediah. The trio also appeared together, as themselves, in the 1995 film The Brady Bunch Movie. Their eleventh album Justus was released in 1996. It was the first since 1968 on which all four original members performed and produced. Justus was produced by the Monkees, all songs were written by one of the four Monkees, and it was recorded using only the four Monkees for all instruments and vocals, which was the inspiration for the album title and spelling (Justus = Just Us). The trio of Dolenz, Jones, and Tork reunited again for a successful 30th anniversary tour of American amphitheaters in 1996, while Nesmith joined them onstage in Los Angeles to promote the new songs from Justus. For the first time since the brief 1986 reunion, Nesmith returned to the concert stage for a tour of the United Kingdom in 1997, highlighted by two sold-out concerts at Wembley Arena in Wembley Park, London. This was a very fitting venue, as from 30 June to 2 July 1967 the Monkees had been the first group to headline on their own at the Empire Pool, as the Arena was then called. The full quartet also appeared in an ABC television special titled Hey, Hey, It's the Monkees, which was written and directed by Nesmith and spoofed the original series that had made them famous. Following the UK tour, Nesmith declined to continue future performances with the Monkees, having faced harsh criticism from the British music press for his deteriorating musicianship. Tork noted in DVD commentary that "In 1966, Nesmith had learned a reasonably good version of the famous 'Last Train to Clarksville' guitar lick, but in 1996, Mike was no longer able to play it" and so Tork took over the lead guitar parts. Nesmith's departure from the tour was acrimonious. Jones was quoted by the Los Angeles Times as complaining that Nesmith "made a new album with us. He toured Great Britain with us. Then all of a sudden, he's not here. Later, I hear rumors he's writing a script for our next movie. Oh, really? That's bloody news to me. He's always been this aloof, inaccessible person... the fourth part of the jigsaw puzzle that never quite fit in." 2000s reunions Tork, Jones, and Dolenz toured the United States in 1997, after which the group took another hiatus until 2001 when they once again reunited to tour the United States. However, this tour was also accompanied by public sniping. Dolenz and Jones had announced that they had "fired" Tork for his constant complaining and threatening to quit. Tork was quoted as saying that, as well as the fact he wanted to tour with his own band, "Shoe Suede Blues." Tork told WENN News he was troubled by the overindulgence in alcohol by other members of the tour crew: Micky Dolenz and Davy Jones fired me just before the last two shows of our 35th anniversary tour. I'm both happy and sad over the whole thing. I always loved the work onstage—but I just couldn't handle the backstage problems. I'd given them 30 days notice that I was leaving so my position is that I resigned first and then they dropped me. Thank God I don't need the Monkees anymore...I'm a recovering alcoholic and haven't had a drink in several years. I'm not against people drinking—just when they get mean and abusive. I went on the anniversary tour with the agreement that I didn't have to put up with drinking and difficult behavior offstage. When things weren't getting better, I gave the guys notice that I was leaving in 30 days for good. Tork later stated in 2011 that the alcohol played only a small role and Tork then said, "I take full responsibility for the backstage problems on the 2001 tour. We were getting along pretty well until I had a meltdown. I ticked the other guys off good and proper and it was a serious mistake on my part. I was not in charge of myself to the best of my ability – the way I hope I have become since. I really just behaved inappropriately, honestly. I apologized to them." Jones and Dolenz went on to tour the United Kingdom in 2002, but Tork declined to participate. Jones and Dolenz toured the United States one more time as a duo in 2002, and then split to concentrate on their own individual projects. With different Monkees citing different reasons, the group chose not to mark their 40th anniversary in 2006. 2010–2011 reunions In October 2010, Jones stated that a reunion marking the band's 45th anniversary was a possibility. Monkees biographer Andrew Sandoval commented in The Hollywood Reporter that he "spent three years cajoling them to look beyond their recent differences (which included putting aside solo projects to fully commit to the Monkees)." An Evening with The Monkees: The 45th Anniversary Tour commenced on May 12, 2011, in Liverpool, England, before moving to North America in June and July for a total of 43 performances. Sandoval noted, "Their mixed feelings on the music business and their long and winding relationship weighed heavily, but once they hit the stage, the old magic was apparent. For the next three months...[they brought] the music and memories to fans in the band's grandest stage show in decades. Images from their series and films flashed on a huge screen behind them; even Rolling Stone, whose owner, Jann Wenner, has vowed to keep them out of the Rock and Roll Hall of Fame, gushed." Nesmith did not take part in the tour, which grossed approximately $4 million. On August 8, 2011, the band cancelled ten last-minute shows due to what was initially reported as "internal group issues and conflicts", though Tork later confirmed "there were some business affairs that couldn't be coordinated correctly. We hit a glitch and there was just this weird dislocation at one point." Jones clarified that "the (45th Anniversary) tour was only supposed to go until July. And it was great, the best time we've had because we're all on the same page now. We jelled onstage and off. But then more dates were being added. And more. And then the next thing we knew, they were talking about Japan, Australia, Brazil, and we were like, 'Wait a second. This is turning into something more than a tour.' We were doing 40 songs a night, plus other material. Some of these shows were 2 hours long. Then there was the travel, getting to the next venue with no time to revive. The audiences were great. But, let's face it, we're not kids." Death of Jones and
later stated in 2011 that the alcohol played only a small role and Tork then said, "I take full responsibility for the backstage problems on the 2001 tour. We were getting along pretty well until I had a meltdown. I ticked the other guys off good and proper and it was a serious mistake on my part. I was not in charge of myself to the best of my ability – the way I hope I have become since. I really just behaved inappropriately, honestly. I apologized to them." Jones and Dolenz went on to tour the United Kingdom in 2002, but Tork declined to participate. Jones and Dolenz toured the United States one more time as a duo in 2002, and then split to concentrate on their own individual projects. With different Monkees citing different reasons, the group chose not to mark their 40th anniversary in 2006. 2010–2011 reunions In October 2010, Jones stated that a reunion marking the band's 45th anniversary was a possibility. Monkees biographer Andrew Sandoval commented in The Hollywood Reporter that he "spent three years cajoling them to look beyond their recent differences (which included putting aside solo projects to fully commit to the Monkees)." An Evening with The Monkees: The 45th Anniversary Tour commenced on May 12, 2011, in Liverpool, England, before moving to North America in June and July for a total of 43 performances. Sandoval noted, "Their mixed feelings on the music business and their long and winding relationship weighed heavily, but once they hit the stage, the old magic was apparent. For the next three months...[they brought] the music and memories to fans in the band's grandest stage show in decades. Images from their series and films flashed on a huge screen behind them; even Rolling Stone, whose owner, Jann Wenner, has vowed to keep them out of the Rock and Roll Hall of Fame, gushed." Nesmith did not take part in the tour, which grossed approximately $4 million. On August 8, 2011, the band cancelled ten last-minute shows due to what was initially reported as "internal group issues and conflicts", though Tork later confirmed "there were some business affairs that couldn't be coordinated correctly. We hit a glitch and there was just this weird dislocation at one point." Jones clarified that "the (45th Anniversary) tour was only supposed to go until July. And it was great, the best time we've had because we're all on the same page now. We jelled onstage and off. But then more dates were being added. And more. And then the next thing we knew, they were talking about Japan, Australia, Brazil, and we were like, 'Wait a second. This is turning into something more than a tour.' We were doing 40 songs a night, plus other material. Some of these shows were 2 hours long. Then there was the travel, getting to the next venue with no time to revive. The audiences were great. But, let's face it, we're not kids." Death of Jones and reunion with Nesmith The 45th anniversary tour was the last with Jones, who died of a heart attack at age 66 on February 29, 2012. Soon thereafter, rumors began to circulate that Nesmith would reunite with Dolenz and Tork in the wake of Jones' death. This was confirmed on August 8, 2012, when the surviving trio announced a series of U.S. shows for November and December, commencing in Escondido, California and concluding in New York City. The brief tour marked the first time Nesmith performed with the Monkees since 1997, as well as the first without Jones. Jones' memory was honored throughout the shows via recordings and video. During one point, the band went quiet and a recording of Jones singing "I Wanna Be Free" played while footage of him was screening behind the band. For Jones' signature song, "Daydream Believer", Dolenz said that the band had discussed who should sing the song and had concluded that it should be the fans, saying "It doesn't belong to us anymore. It belongs to you." The Fall 2012 tour was very well received by both fans and critics, resulting in the band's scheduling a 24-date summer tour for 2013. Dubbed "A Midsummer’s Night With the Monkees", concerts also featured Nesmith, Dolenz, and Tork. "The reaction to the last tour was euphoric", Dolenz told Rolling Stone magazine. "It was pretty apparent there was a demand for another one." A third tour with Nesmith followed in 2014. In 2014, the Monkees were inducted into the Pop Music Hall of Fame at the 2014 Monkees Convention. At the convention the band announced a 2014 tour of the Eastern and Midwestern US. Good Times! and 50th anniversary: 2015–2017 Dolenz and Tork toured as the Monkees in 2015 without Nesmith's participation. Nesmith stated that he was busy with other ventures, although Dolenz said that "He's always invited." In February 2016, Dolenz announced that the Monkees would be releasing a new album, titled Good Times!, as a celebration of their 50th anniversary. Good Times!, produced by Adam Schlesinger of Fountains of Wayne, features contributions by all three surviving members, as well as a posthumous contribution from Jones through vocals he had recorded in the 60s. The album was released in May 2016 to considerable success, reaching No. 14 on the Billboard 200 and generally favorable reviews. With the release of the album, the band, featuring Dolenz and Tork, commenced their 50th anniversary tour. Nesmith did not participate in most of the tour, again citing other commitments. He did, however, make a few appearances throughout the summer of 2016, appearing virtually via Skype to perform "Papa Gene's Blues" at one concert and in person for a four-song encore at another. In September, he replaced Tork on the tour for two dates while Tork attended to a family emergency. After Tork returned to the tour, Nesmith performed with the band for a concert at the Pantages Theatre in Hollywood on September 16, which he stated would likely be his final concert appearance with the Monkees. Dolenz and Tork's tour announced dates to the end of the year, including concerts in Australia and New Zealand. After the end of the 50th anniversary tour, Dolenz, Tork, and Nesmith spent 2017 engaging in solo activities. 2018–2021: Tork's death, Mike and Micky Show, farewell tour, and Nesmith's death In 2018, Nesmith toured with a revived version of the First National Band and stated that he was in negotiations with promoters to tour again with Dolenz later in the summer. On February 20, the tour was announced as "The Monkees Present: The Mike and Micky Show", their first tour as a duo; Tork declined to participate due to wanting to focus on his new solo album. Though the pair played Monkees music and promoted the tour under the Monkees banner, Nesmith stated that "there's no pretense there about Micky and I being the Monkees. We're not." The tour was cut short in June 2018, with four shows left unplayed, due to Nesmith having a health issue. He and Dolenz announced March 2019 as make-up dates for the missed shows. In an interview with Rolling Stone published on July 26, 2018, Nesmith revealed he had undergone quadruple bypass heart surgery. He was in the hospital for over a month and the health issue had persisted since early in the tour. Nesmith resumed live touring with his First National Band Redux shows in September 2018. In November 2018, Nesmith and Dolenz announced an additional eight shows had been added to the Mike and Micky Show tour. In June 2019, Nesmith and Dolenz toured the Mike and Micky Show in Australia and New Zealand. The Monkees released a Christmas album, Christmas Party, on October 12, 2018. The Adam Schlesinger-produced album features several holiday standards and new songwriting contributions from Andy Partridge, Scott McCaughey, Peter Buck, Rivers Cuomo and author Michael Chabon. In addition to newly recorded material from the three surviving Monkees, two songs feature vocals from Davy Jones. The cover art is provided by the comic book artists Mike and Laura Allred. Tork died of cancer on February 21, 2019. After Tork's death, Dolenz and Nesmith revealed that Tork had informed them that he would not be well enough to join them on tour, which led Dolenz and Nesmith to demand that the Mike and Mickey Show dates in 2018 were a separate duo, and not Monkees dates without Tork. However, after Tork's death, all future dates were credited to the Monkees. Following the success of the Mike and Micky Show, Dolenz and Nesmith announced a follow-up tour, An Evening with the Monkees, to begin in early 2020. The tour was delayed, however, due the COVID-19 pandemic. It was announced on May 4, 2021, that the rescheduled dates will be billed as a farewell tour. "The Monkees Farewell Tour" consisted of over 40 dates in the US from September to November; because of restrictions due to the ongoing COVID-19 pandemic, they were unable to play shows in Canada, the UK or Australia. The final date and final show for the Monkees Farewell Tour was held on November 14, 2021, at the Greek Theatre in Los Angeles. In interviews, Dolenz did not rule out the possibility of the duo playing future one-off dates after the tour had concluded. However, he emphasized that as both members of the duo would be rapidly approaching their eighties by 2022–2023, the physical demands of touring meant that the Monkees would not be mounting any further tours after 2021. The duo had been scheduled to perform at least one more traditional concert (postponed due to coronavirus regulations) as well as perform on a cruise headlined Mike Love and Bruce Johnston of The Beach Boys, but can be assumed that both of these appearances have been or will be cancelled, in light of the final concert in Los Angeles and Nesmith's death. In May 2021, Dolenz released a solo album, Dolenz Sings Nesmith, featuring songs written by Nesmith and produced by Christian Nesmith. Nesmith died of heart failure on December 10, 2021, less than a month after the final date of the 2021 tour. Nesmith's passing leaves Dolenz as the only surviving member of the band. Tributes to Nesmith from other musicians, fans, and Dolenz were posted on social media. 2022: Micky Dolenz Celebrates the Monkees Tour In early 2022 Dolenz announced he would embark on a "special series of concert dates in April 2022. Honoring the contributions of his bandmates – the late Davy Jones, Mike Nesmith & Peter Tork – in song and with personal multimedia footage of the legendary performers". Monkees manager and tour manager Andrew Sandoval stated "We will be fully delving into The Monkees' songbook, as well as Micky's personal archive of films and photos to create a unique evening of memories,". "It will give Micky and the band an opportunity to share the music he made alongside Davy, Peter & Michael and reminisce on their journey as brothers for five decades. We have also been talking about Micky singing some songs he's never done on stage before, as well as pulling out older Monkees album tracks that have not been performed in many years... it is unclear if we will be doing anything beyond these shows in this format, but we are truly looking forward to being together again to celebrate the Monkees in song." The official tour is set to start on April 5, 2022, with a pre-tour performance on "The Beach Boys Good Vibrations Cruise".. Controversies Studio recordings controversy In early 1967, controversy hit concerning the Monkees' studio abilities. Dolenz told a reporter that the Wrecking Crew provided the backing tracks for the first two Monkees albums, and that his position as drummer was simply because a Monkee had to learn to play the drums, and he only knew the guitar. In the January 28, 1967 issue of Saturday Evening Post an article quoted Nesmith railing against the music creation process. "Do you know how debilitating it is to sit up and have to duplicate somebody else’s records?" he asked. "Tell the world we don’t record our own music." The whistle-blowing on themselves created a rift between the Monkees and producer Don Kirshner, ultimately resulting in his being fired from the project, and in the band taking creative control for the Monkees' third album. But the Monkees' U.K. tour in 1967 received a chilly reception. The front pages of several U.K. and international music papers proclaimed that the group members did not always play their own instruments or sing the backing vocals in the studio. They were derisively dubbed the "Pre-Fab Four" and the Sunday Mirror called them a "disgrace to the pop world". Jimi Hendrix was their tour-opener that year, and he told Melody Maker magazine, "Oh God, I hate them! Dishwater… You can't knock anybody for making it, but people like the Monkees?" Dealing with the controversy proved challenging on the TV series. In an interview segment that closed episode No. 31, "Monkees at the Movies", first broadcast on April 17, 1967, Bob Rafelson asked the group about accusations that they did not play their instruments in concert. Nesmith responded, "I'm fixin' to walk out there in front of fifteen thousand people, man! If I don't play my own instrument, I'm in a lot of trouble!" But the "Devil and Peter Tork" episode serves as a parable, as a Kirshner-like entrepreneur has Tork sign over his soul to be a success as a musician. In November 1967, the wave of anti-Monkees sentiment was reaching its peak while they released their fourth album, Pisces, Aquarius, Capricorn, & Jones Ltd. The liner notes for the 1995 re-release of this album quote Nesmith: "The press went into a full-scale war against us, talking about how 'The Monkees are four guys who have no credits, no credibility whatsoever and have been trying to trick us into believing they are a rock band.' Number 1, not only was this not the case; the reverse was true. Number 2, for the press to report with genuine alarm that the Monkees were not a real rock band was looney tunes! It was one of the great goofball moments of the media, but it stuck." Jones stated in 1969 to Tiger Beat, "I get so angry when musicians say, 'Oh, your music is so bad', because it's not bad to the kids. Those people who talk about 'doing their own thing' are groups that go and play in the clubs that hold 50 people, while we're playing to 10,000 kids. You know, it hurts me to think that anybody thinks we're phony, because we're not. We're only doing what we think is our own thing." Rolling Stone reported on October 11, 2011, that Tork believed the Monkees did not receive the respect they deserve. "The Monkees' songbook is one of the better songbooks in pop history", he said. "Certainly in the top five in terms of breadth and depth. It was revealed that we didn't play our own instruments on the records much at the very moment when the idealism of early Beatlemania in rock was at its peak. So we became the ultimate betrayers." Timeline for the studio recordings controversy 1962: Jones lands the part of Michael in the stage show Peter Pan, in which he is coached on the tone of his voice. Later that year, he lands the role of the Artful Dodger in the Broadway musical production of Oliver! Nesmith receives his first guitar during Christmas of 1962. He will build his proficiency with it to rehabilitate his hands after they are injured. Tork takes part in folk ensembles. The initial idea for The Monkees is developed. 1963: Tork moves to New York's Greenwich Village to play in various folk groups in music "basket" houses, where money is collected after each performance. While still performing in the musical Oliver!, Jones makes his first studio recordings of demonstration tapes of his singing. He is also nominated for a Tony award. Nesmith performs solo and with folk groups and releases his first recording. 1964: Dolenz plays guitar and sings in his first band, the Missing Links. Dolenz had started playing Spanish guitar when he was 10–12 years old. Jones signs recording contract with Colpix Records. He appears on The Ed Sullivan Show on the same night as the Beatles. This will bring him to the attention of Bob Rafelson and Bert Schneider. Nesmith wins Headliner of the Year talent contest performing with John London. Tork tours with folk group. 1965: Jones's first singles and album are released. He appears on Dick Clark's Where the Action Is. Nesmith releases more singles and plays with folk group. He records for Colpix. Record World gives one of Nesmith's singles a four star review. He appears on a couple of TV shows performing music. Tork still performs in Greenwich Village clubs. Dolenz sings on stage. At the end of the year, the four Monkees are cast in the TV show. Rafelson: "It's often been said that the Monkees were manufactured, but the term irritates me just a little bit. The Monkees were more like a Japanese marriage: arranged. In America and elsewhere the divorce rate is pretty high, but in Japan things go better." April 1966: The Monkees begin rehearsing as a band to produce music for the upcoming TV show and records. Nesmith, Dolenz, and Tork were all experienced guitar players, and Nesmith and Tork were a little familiar with drums, but no one was a real expert in drumming. Jones was an able drummer and percussionist, but his experience from Broadway made him more known as a singer. Producer Ward Sylvester tells Tork that he would have signed the band even without a TV show. May 1966: Filming for the TV show starts, taking 12 hours a day for the cast of the Monkees. The public is informed in the beginning that the Monkees are "manufactured", as seen in this Washington Post report: "The series stars a fearsome foursome in the Monkees, a wholly manufactured singing group of attractive young men who come off as a combination of the Beatles, the Dead End Kids and the Marx Brothers. Critics will cry foul. Longhairs will demand, outraged, that they be removed from the air. But the kids will adore the Monkees [...] unlike other rock 'n' roll groups, the boys had never performed together before. Indeed, they'd never even met [...] they've been working to create their own sound." June 1966: Although the producers want the Monkees to create their own music, they had not progressed enough by this point and still lacked the "upbeat, young, happy, driving, pulsating sound" that they desired. Dolenz stated, "I'm sure that Rafelson and Schneider said in all honesty, 'Yeah, don't worry, when we start going you're gonna record your own tunes and it will be wonderful.' But the things get caught up in the inertia of the moment. NBC gets involved. RCA gets involved. Screen Gems gets involved. Millions and millions of dollars are on the line [...] people aren't as forthcoming. Mike's style was very distinct, country-western, Peter was very folk-rock, neither of which at the time would have been considered mainstream pop. Davy would have done all Broadway tunes [...] I ended up singing the leads [...] pop-rock was more my style." However, they used selections of Nesmith's authorship and composition from the beginning. June 10, 1966: The Monkees' first recording sessions take place. These sessions feature members of the Wrecking Crew, a group of studio musicians in Los Angeles who played on several Monkees album tracks, mostly those produced by Nesmith. These sessions were unsuccessful, however, and most future sessions in 1966 featured the Candy Store Prophets, a studio band led by Boyce & Hart. June 25, 1966: Nesmith produces his first Monkees track in a recording studio, his two self-composed songs "All the King's Horses", "The Kind of Girl I Could Love", plus "I Don't Think You Know Me", as a way for Raybert Productions to fulfill their promise to him to allow him to produce and record his own music. He is not allowed to play the instruments. July 1966: Various producers from Boyce & Hart to Jack Keller to Nesmith continue to record sessions. Nesmith gets all four members to sing on his productions. On July 18, 1966, Nesmith also gets Tork to play guitar on the songs he is producing for the first time. Sessions continue in this manner, with the hired producers Boyce & Hart and Jack Keller and Monkees member Nesmith producing/recording songs in the studio through November 1966. August 1966: The Monkees' first single is released. September 1966: The Monkees' TV show premieres. October 1966: The Monkees' debut album is released. Group member Nesmith, in particular, is angered when he sees the album cover, because he thinks it makes it look like they played all of the instruments. October 2, 1966: The Monkees give their first public interview, which appears in The New York Times, in which Jones is asked if the big push for the Monkees is fair to the real rock groups, to which he responds, "... That's the breaks, but you can't fool the people, you really can't." October 24, 1966: Newsweek interviews the Monkees. They are asked how the music is created. Davy Jones tells them, "This isn't a rock 'n' roll group. This is an act." December 1966: The Monkees perform live in concert starting December 3, 1966. TV Week in the meantime, interviews Rafelson about why the Monkees' public access to interviews is limited, wondering if it could be related to embarrassing questions regarding their musical prowess, to which Rafelson assures that they do all of their own playing and singing. He also states that interviews are almost impossible due to their spending 12 hours a day filming the TV show, 4 hours recording, rehearsing for concert tours, and spending some weekends making personal appearance tours. During this time frame, the Monkees are generally barred from making television appearances on shows outside of their own, as Raybert fears the group's overexposure. December 27, 1966: The Monkees are again interviewed about their music in Look magazine. Tork responds, "We have the potential, but there's not time to practice." Dolenz says, "We're advertisers. We're selling the Monkees. It's gotta be that way." Nesmith says, "They're in the middle of something good and they're trying to sell something. They want us to be the Beatles, but we're not. We're us. We're funny." December 28, 1966: Weekly Variety reports that the Monkees are selling faster than the Beatles did at their launch. January 1967: The Monkees' second album is released while they were on tour, without the Monkees' knowledge. This upsets Nesmith and Tork, as they had been told that they were going to be doing their own album. Dolenz and Jones are initially indifferent because to them, coming from the acting world, it was just a soundtrack to the TV show and they were doing their job by singing what they were asked to sing. But when they saw how angry Nesmith and Tork were, they too joined in that anger. January 16, 1967: Four months after their first single is released, the Monkees hold their first recording session as a self-contained, fully functioning band. January 28, 1967: Band member Nesmith speaks to the Saturday Evening Post in an exposé, stating, "The music had nothing to do with us. It was totally dishonest. Do you know how debilitating it is to sit up and have to duplicate somebody else's records? That's really what we're doing. The music happened in spite of the Monkees. It was what Kirshner wanted to do. Our records are not our forte. I don't care if we never sell another record. Maybe we were manufactured [...] Tell the world we're synthetic because [...] we are. Tell them the Monkees are wholly man-made overnight, that millions of dollars have been poured into this thing. Tell the world we don't record our own music. But that's us they see on television. That show is really a part of us. They're not seeing something invalid." Decades later, Nesmith reflected, "The press decided they were going to unload on us as being somehow illegitimate, somehow false. That we were making an attempt to dupe the public, when in fact it was me that was making the attempt to maintain the integrity. So, the press went into a full-scale war against us. Telling us the Monkees are four guys who have no credits, no credibility whatsoever, who have been trying to trick us into believing that they are a rock band. Number one, not only was it not the case, the reverse was true. Number two, [for] the press to report with genuine alarm that the Monkees were not a real rock band was looney tunes. It was one of the great goofball moments of the media, but it stuck." February 4, 1967: Although the Monkees have continued to play and record their own music for their upcoming album, Jones records some songs with hired producer Jeff Barry. February 1967: Kirshner works behind the Monkees' backs to release another single without the band's knowledge. February 25, 1967: Jones is interviewed for the New Musical Express, and says, "I can only speak for myself. I am an actor and I have never pretended to be anything else. The public have made me into a rock 'n' roll singer. No one is trying to fool anyone! People have tried to put us down by saying we copied the Beatles. So, all right, maybe the Monkees is a half-hour Hard Day's Night. But now we read that the Who are working on a TV a group. Now who's copying who?" February 27, 1967: Kirshner is dismissed as Music Coordinator for the Monkees, primarily due to his handling of the third would-be-but-withdrawn single from the Monkees. Lester Sill takes his place. The Monkees continue recording their own songs, with them playing instruments, getting ready for their next album. In the meantime, the Nesmith-penned "The Girl I Knew Somewhere" is released as part of the Monkees third single, which features the Monkees playing as a self-contained band, which becomes a top 40 hit. May 1967: The Monkees' first self-made album, Headquarters, is released. After Headquarters, the Monkees started using a mixture of themselves playing along with other musicians, including members of the Wrecking Crew and Candy
field a wide array of third-generation FAE warheads, such as the RPO-A, and Russia used them in Chechnya. The Russian armed forces have developed thermobaric ammunition variants for several of their weapons, such as the TBG-7V thermobaric grenade with a lethality radius of , which can be launched from an RPG-7. The GM-94 is a pump-action grenade launcher designed mainly to fire thermobaric grenades for close-quarters combat. The grenade weighed and contained of explosive, its lethality radius is , but due to the deliberate "fragmentation-free" design of the grenade, a distance of is considered safe. The RPO-A and upgraded RPO-M are infantry-portable RPGs, designed to fire thermobaric rockets. The RPO-M, for instance, has a thermobaric warhead with a TNT equivalence of and destructive capabilities similar to a high-explosive fragmentation artillery shell. The RShG-1 and the RShG-2 are thermobaric variants of the RPG-27 and RPG-26 respectively. The RShG-1 is the more powerful variant, with its warhead having a lethality radius and producing about the same effect as of TNT. The RMG is a further derivative of the RPG-26 that uses a tandem-charge warhead, with the precursor HEAT warhead blasting an opening for the main thermobaric charge to enter and detonate inside. The RMG's precursor HEAT warhead can penetrate 300 mm of reinforced concrete or over 100 mm of rolled homogeneous armour, thus allowing the -diameter thermobaric warhead to detonate inside. Other examples include the SACLOS or millimeter-wave radar-guided thermobaric variants of the 9M123 Khrizantema, the 9M133F-1 thermobaric warhead variant of the 9M133 Kornet, and the 9M131F thermobaric warhead variant of the 9K115-2 Metis-M, all of which are anti-tank missiles. The Kornet has since been upgraded to the Kornet-EM, and its thermobaric variant has a maximum range of and has a TNT equivalence of . The 9M55S thermobaric cluster warhead rocket was built to be fired from the BM-30 Smerch MLRS. A dedicated carrier of thermobaric weapons is the purpose-built TOS-1, a 24-tube MLRS designed to fire thermobaric rockets. A full salvo from the TOS-1 will cover a rectangle . The Iskander-M theatre ballistic missile can also carry a thermobaric warhead. Many Russian Air Force munitions also have thermobaric variants. The S-8 rocket has the S-8DM and S-8DF thermobaric variants. The S-8's brother, the S-13, has the S-13D and S-13DF thermobaric variants. The S-13DF's warhead weighs only , but its power is equivalent to of TNT. The KAB-500-OD variant of the KAB-500KR has a thermobaric warhead. The ODAB-500PM and ODAB-500PMV unguided bombs carry a fuel–air explosive each. The KAB-1500S GLONASS/GPS guided bomb also has a thermobaric variant. Its fireball will cover a radius and its lethal zone is a radius. The 9M120 Ataka-V and the 9K114 Shturm ATGMs both have thermobaric variants. In September 2007, Russia exploded the largest thermobaric weapon ever made. Its yield was reportedly greater than the smallest dial-a-yield nuclear weapons at their lowest settings. Russia named this particular ordnance the "Father of All Bombs" in response to the American-developed Massive Ordnance Air Blast (MOAB) bomb, which has the backronym "Mother of All Bombs" and once held the title of the most powerful non-nuclear weapon in history. The Russian bomb contains a charge of approximately 7 tons of a liquid fuel, such as pressurized ethylene oxide, mixed with energy-rich nanoparticles, such as aluminium, surrounding a high explosive burster that when detonated created an explosion equivalent to 39.9 tons of TNT. American developments FAEs were first developed by the United States for use in the Vietnam War. Current American FAE munitions include the following: BLU-73 FAE I BLU-95 (FAE-II) BLU-96 (FAE-II) CBU-55 FAE I CBU-72 FAE I The XM1060 40-mm grenade is a small-arms thermobaric device, which was delivered to US forces in April 2003. Since the 2003 Invasion of Iraq, the US Marine Corps has introduced a thermobaric "Novel Explosive" (SMAW-NE) round for the Mk 153 SMAW rocket launcher. One team of Marines reported that they had destroyed a large one-story masonry type building with one round from . The AGM-114N Hellfire II, first used by US forces in 2003 in Iraq, uses a Metal Augmented Charge (MAC) warhead, which contains a thermobaric explosive fill that uses aluminium powder coated or is mixed with PTFE layered between the charge casing and a PBXN-112 explosive mixture. When the PBXN-112 detonates, the aluminium mixture is dispersed and rapidly burns. The result is a sustained high pressure that is extremely effective against people and structures. Spanish BEAC thermobaric bomb project In 1983, a program of military research was launched with collaboration between the Spanish Ministry of Defence (Directorate General of Armament and Material, DGAM), Explosives Alaveses (EXPAL) and Explosives Rio Tinto (ERT) with the goal of developing a Spanish version of a thermobaric bomb, the BEAC (Bomba Explosiva de Aire-Combustible). A prototype was tested successfully in a foreign location out of safety and confidentiality concerns. The Spanish Air Force has an undetermined number of BEACs in its inventory. Indian development Based on the high-explosive squash head (HESH) round, a 120 mm thermobaric round was developed, which packed thermobaric explosives into the tank shells to increase the effectiveness against enemy bunkers and light armoured vehicles. The design and the development of the round was taken up by Armament Research and Development Establishment (ARDE). The rounds were designed for the Arjun MBT. The TB rounds contains fuel rich explosive composition called thermobaric explosive. As the name implies, the shells, when they hit a target, produce blast overpressure and heat energy for hundreds of milliseconds. The blast overpressure and heat energy causes collateral damage to enemy fortified structures like bunkers and buildings and for soft targets like enemy personal and light armoured vehicles. History Military use FAEs such as the CBU-55 were first developed by the United States for use in
close-quarters combat. The grenade weighed and contained of explosive, its lethality radius is , but due to the deliberate "fragmentation-free" design of the grenade, a distance of is considered safe. The RPO-A and upgraded RPO-M are infantry-portable RPGs, designed to fire thermobaric rockets. The RPO-M, for instance, has a thermobaric warhead with a TNT equivalence of and destructive capabilities similar to a high-explosive fragmentation artillery shell. The RShG-1 and the RShG-2 are thermobaric variants of the RPG-27 and RPG-26 respectively. The RShG-1 is the more powerful variant, with its warhead having a lethality radius and producing about the same effect as of TNT. The RMG is a further derivative of the RPG-26 that uses a tandem-charge warhead, with the precursor HEAT warhead blasting an opening for the main thermobaric charge to enter and detonate inside. The RMG's precursor HEAT warhead can penetrate 300 mm of reinforced concrete or over 100 mm of rolled homogeneous armour, thus allowing the -diameter thermobaric warhead to detonate inside. Other examples include the SACLOS or millimeter-wave radar-guided thermobaric variants of the 9M123 Khrizantema, the 9M133F-1 thermobaric warhead variant of the 9M133 Kornet, and the 9M131F thermobaric warhead variant of the 9K115-2 Metis-M, all of which are anti-tank missiles. The Kornet has since been upgraded to the Kornet-EM, and its thermobaric variant has a maximum range of and has a TNT equivalence of . The 9M55S thermobaric cluster warhead rocket was built to be fired from the BM-30 Smerch MLRS. A dedicated carrier of thermobaric weapons is the purpose-built TOS-1, a 24-tube MLRS designed to fire thermobaric rockets. A full salvo from the TOS-1 will cover a rectangle . The Iskander-M theatre ballistic missile can also carry a thermobaric warhead. Many Russian Air Force munitions also have thermobaric variants. The S-8 rocket has the S-8DM and S-8DF thermobaric variants. The S-8's brother, the S-13, has the S-13D and S-13DF thermobaric variants. The S-13DF's warhead weighs only , but its power is equivalent to of TNT. The KAB-500-OD variant of the KAB-500KR has a thermobaric warhead. The ODAB-500PM and ODAB-500PMV unguided bombs carry a fuel–air explosive each. The KAB-1500S GLONASS/GPS guided bomb also has a thermobaric variant. Its fireball will cover a radius and its lethal zone is a radius. The 9M120 Ataka-V and the 9K114 Shturm ATGMs both have thermobaric variants. In September 2007, Russia exploded the largest thermobaric weapon ever made. Its yield was reportedly greater than the smallest dial-a-yield nuclear weapons at their lowest settings. Russia named this particular ordnance the "Father of All Bombs" in response to the American-developed Massive Ordnance Air Blast (MOAB) bomb, which has the backronym "Mother of All Bombs" and once held the title of the most powerful non-nuclear weapon in history. The Russian bomb contains a charge of approximately 7 tons of a liquid fuel, such as pressurized ethylene oxide, mixed with energy-rich nanoparticles, such as aluminium, surrounding a high explosive burster that when detonated created an explosion equivalent to 39.9 tons of TNT. American developments FAEs were first developed by the United States for use in the Vietnam War. Current American FAE munitions include the following: BLU-73 FAE I BLU-95 (FAE-II) BLU-96 (FAE-II) CBU-55 FAE I CBU-72 FAE I The XM1060 40-mm grenade is a small-arms thermobaric device, which was delivered to US forces in April 2003. Since the 2003 Invasion of Iraq, the US Marine Corps has introduced a thermobaric "Novel Explosive" (SMAW-NE) round for the Mk 153 SMAW rocket launcher. One team of Marines reported that they had destroyed a large one-story masonry type building with one round from . The AGM-114N Hellfire II, first used by US forces in 2003 in Iraq, uses a Metal Augmented Charge (MAC) warhead, which contains a thermobaric explosive fill that uses aluminium powder coated or is mixed with PTFE layered between the charge casing and a PBXN-112 explosive mixture. When the PBXN-112 detonates, the aluminium mixture is dispersed and rapidly burns. The result is a sustained high pressure that is extremely effective against people and structures. Spanish BEAC thermobaric bomb project In 1983, a program of military research was launched with collaboration between the Spanish Ministry of Defence (Directorate General of Armament and Material, DGAM), Explosives Alaveses (EXPAL) and Explosives Rio Tinto (ERT) with the goal of developing a Spanish version of a thermobaric bomb, the BEAC (Bomba Explosiva de Aire-Combustible). A prototype was tested successfully in a foreign location out of safety and confidentiality concerns. The Spanish Air Force has an undetermined number of BEACs in its inventory. Indian development Based on the high-explosive squash head (HESH) round, a 120 mm thermobaric round was developed, which packed thermobaric explosives into the tank
in back-up generators. Production Originally all peppers used in Tabasco were grown on Avery Island. Today, peppers grown on the Island are used to produce seed stock, which is then shipped to foreign growers primarily in Central and South America. More predictable weather and readily available farmland in these locales allow a constant year-round supply. This ensures the availability of peppers should severe weather or other problems occur at a particular growing location. Following company tradition, peppers are picked by hand. To ensure ripeness, pickers compare peppers to a little red stick (le petit bâton rouge); peppers that match the color of the stick are then introduced into the sauce production process. Peppers are ground into a mash on the day of harvest and placed along with salt in white oak barrels previously used for whiskey of various distilleries. To prepare the barrel, the inside of the barrel is de-charred (top layer of wood is removed), torched, and cleaned, to minimize the presence of any residual whiskey. The barrels are then used in warehouses on Avery Island for aging the mash. After aging for up to three years, the mash is strained to remove skins and seeds. The resulting liquid is then mixed with distilled vinegar, stirred occasionally for a month, and then bottled as a finished sauce. Tabasco has released a Tabasco reserve edition with peppers aged for up to eight years, mixed with wine vinegar. Tabasco diamond reserve edition was a limited bottling released in 2018 to commemorate the brand's 150th anniversary. This sauce consists of peppers that have been aged for up to fifteen years, then mixed with sparkling white wine vinegar. Much of the salt used in Tabasco production comes from the Avery Island salt dome, the largest one in Louisiana. Varieties Several sauces are produced under the Tabasco brand name. A few of the varieties include: Buffalo Style Hot Sauce Cayenne garlic Chipotle-based smoked Family Reserve Habanero Jalapeño-based green Original Red sauce Raspberry Chipotle Roasted Pepper sauce Rocoto pepper sauce Scorpion sauce Sriracha Sweet & Spicy The habanero, chipotle, and garlic sauces include the tabasco peppers blended with other peppers, whereas the jalapeño variety does not include tabasco peppers. None of these sauces, however, has the three-year aging process the flagship product uses. The brand also produces a selection of Tabasco Chocolate. Spiciness Packaging Tabasco brand pepper sauce is sold in more than 195 countries and territories and is packaged in 25 languages and dialects. The Tabasco bottle is still modeled after the cologne-style bottles used for the first batch of sauce in 1868. As many as 720,000 two-ounce (57 ml) bottles of Tabasco sauce are produced daily at the Tabasco factory on Avery Island. Bottles range from the common two-ounce and five-ounce (59 ml and 148 ml) bottles, up to a one US gallon-(3.8 liter) jug for food service businesses, and down to a 1/8-ounce (3.7 ml) miniature bottle. There are also 0.11-ounce portion control (PC) packets of Tabasco sauce. One-eighth-ounce bottles of Tabasco, bearing the presidential seal, are served on Air Force One. The US military has included Tabasco sauce in Meals, Ready-to-Eat (MREs) since the 1980s. The Australian, British and Canadian armies also issue small bottles of Tabasco sauce in their rations. Uses McIlhenny Company produces Tabasco brand products that contain pepper seasoning, including popcorn, nuts, olives, mayonnaise, mustard, steak sauce, Worcestershire sauce, soy sauce, teriyaki sauce, marinating sauce, barbecue sauce, chili sauce, pepper jelly, and Bloody Mary mix. McIlhenny Company also permits other brands to use and advertise Tabasco sauce as an ingredient in their products (a common marketing practice called "co-branding"), including Spam, Hormel chili, Slim Jim beef sticks, Heinz ketchup, A1 steak sauce, Plochman's mustard, Lawry's salt, Zapp's potato chips, Heluva Good dip, and Vlasic Pickles. Cheez-It crackers for a long time used McIlhenny's Tabasco Green Pepper Sauce until 2018, when Kellogg's replaced it with their own hot sauce. The original red Tabasco sauce has a shelf life of five years when stored in a cool and dry place; other Tabasco flavors have shorter shelf lives. Tabasco appeared on the menu of NASA's Space Shuttle program and went into orbit on the Shuttles. It was on Skylab and on the International Space Station and is popular with astronauts as a means of countering the bland food they frequently are provided within space. Cookbooks During the Vietnam War, Brigadier General Walter
McIlhenny Company also permits other brands to use and advertise Tabasco sauce as an ingredient in their products (a common marketing practice called "co-branding"), including Spam, Hormel chili, Slim Jim beef sticks, Heinz ketchup, A1 steak sauce, Plochman's mustard, Lawry's salt, Zapp's potato chips, Heluva Good dip, and Vlasic Pickles. Cheez-It crackers for a long time used McIlhenny's Tabasco Green Pepper Sauce until 2018, when Kellogg's replaced it with their own hot sauce. The original red Tabasco sauce has a shelf life of five years when stored in a cool and dry place; other Tabasco flavors have shorter shelf lives. Tabasco appeared on the menu of NASA's Space Shuttle program and went into orbit on the Shuttles. It was on Skylab and on the International Space Station and is popular with astronauts as a means of countering the bland food they frequently are provided within space. Cookbooks During the Vietnam War, Brigadier General Walter S. McIlhenny issued The Charlie Ration Cookbook. (Charlie ration or "C-Rats" was the name for the field meal then given to troops.) This cookbook came wrapped around a two-ounce bottle of Tabasco sauce in a camouflaged, water-resistant container. It instructed troops how to mix C-rations to make such meals as "Combat Canapés" or "Breast of Chicken under Bullets." Soldiers also requested their families to send them Tabasco sauce in "care packages" from home. During the 1980s, the U.S. military began to include miniature bottles of Tabasco sauce in its MREs. Eventually, miniature bottles of Tabasco sauce were included in two-thirds of all MRE menus. During the same period, McIlhenny Company issued a new military-oriented cookbook using characters from the comic strip Beetle Bailey. Titled The Unofficial MRE Cookbook, it was offered free of charge to U.S. troops. Toxicity In a 1982 article titled "Pepper Sauce Toxicity" Tabasco pepper sauce's toxicity was evaluated based on red peppers and vinegar. Sprague-Dawley rats (lab rats) were tested on. The oral median lethal dose in male lab rats was determined to be 23.58 mL/kg body weight (BW) with an upper limit of 29.75 mL/kg BW and a lower limit of 18.70 mL/kg BW. The median lethal dose in the female lab rats was found to be 19.52 mL/kg BW (15.64 mL/kg BW lower, 24.35 mL/kg BW upper). The sauce was found to be a mild skin irritant and a moderate to severe eye irritant. The toxicity to the eye is mainly caused by vinegar. In art and culture The current Tabasco bottle design remains very close to the original design created in 1868. In 1894 composer George W. Chadwick composed the Burlesque Opera of Tabasco, a musical comedy that conductor Paul Mauffray revived in 2018 with support from McIlhenny Company. Tabasco has appeared in many movies and cartoons, as well as on television. It featured in two James Bond films in the 1970s, The Man with the Golden Gun and The Spy Who Loved Me, as well as a shot of the iconic bottle in Sidney Lumet's 1974 film Murder on the Orient Express. Some appearances date as far back as the Our Gang short Birthday Blues in 1932 and Charlie Chaplin's Modern Times in 1936. In Back to the Future Part III, the saloon bartender uses Tabasco as an ingredient for an instant hangover cure he calls "wake-up juice". Tabasco sauce was also an important element in the television series Roswell about alien/human hybrid teenagers who craved foods that were sweet and spicy and often carried bottles of Tabasco sauce with them. When the network tried to cancel the series in the first season, thousands of fans mailed bottles of Tabasco to the network to show their support. The series continued for three seasons.
of Turkey Turkic languages, a language family of at least thirty-five documented languages Turkic alphabets (disambiguation) Turkish language, the most widely spoken Turkic language Turkic peoples, a collection of ethno-linguistic groups Turkic migration,
country of Turkey Turkic languages, a language family of at least thirty-five documented languages Turkic alphabets (disambiguation) Turkish language, the most widely spoken Turkic language Turkic peoples, a collection
are widely used in the building interiors such as base content paints in wall coatings. Other areas that use talc to a great extent are organic agriculture, food industry, cosmetics, and hygiene products such as baby powder and detergent powder. Talc is sometimes used as an adulterant to illegal heroin, to expand volume and weight and thereby increase its street value. With intravenous use, it may lead to pulmonary talcosis, a granulomatous inflammation in the lungs. Sterile talc powder Sterile talc powder (NDC 63256-200-05) is a sclerosing agent used in the procedure of pleurodesis. This can be helpful as a cancer treatment to prevent pleural effusions (an abnormal collection of fluid in the space between the lungs and the thoracic wall). It is inserted into the space via a chest tube, causing it to close up, so fluid cannot collect there. The product can be sterilized by dry heat, ethylene oxide, or gamma irradiation. Safety Suspicions have been raised that talc use contributes to certain types of disease, mainly cancers of the ovaries and lungs. According to the IARC, talc containing asbestos is classified as a group 1 agent (carcinogenic to humans), talc use in the perineum is classified as group 2B (possibly carcinogenic to humans), and talc not containing asbestos is classified as group 3 (unclassifiable as to carcinogenicity in humans). Reviews by Cancer Research UK and the American Cancer Society conclude that some studies have found a link, but other studies have not. The studies discuss pulmonary issues, lung cancer, and ovarian cancer. One of these, published in 1993, was a US National Toxicology Program report, which found that cosmetic grade talc containing no asbestos-like fibres was correlated with tumor formation in rats forced to inhale talc for 6 hours a day, five days a week over at least 113 weeks. A 1971 paper found particles of talc embedded in 75% of the ovarian tumors studied. Research published in 1995 and 2000 concluded that it was plausible that talc could cause ovarian cancer, but no conclusive evidence was shown. The Cosmetic Ingredient Review Expert Panel concluded in 2015 that talc, in the concentrations currently used in cosmetics, is safe. In 2018, Health Canada issued a warning, advising against inhaling talcum powder or using it in the female perineal area. Industrial grade In the United States, the Occupational Safety and Health Administration and National Institute for Occupational Safety and Health have set occupational exposure limits to respirable talc dusts at 2 mg/m3 over an eight-hour workday. At levels of 1000 mg/m3, inhalation of talc is considered immediately dangerous to life and health. Food grade The United States Food and Drug Administration considers talc (magnesium silicate) generally recognized as safe (GRAS) to use as an anticaking agent in table salt in concentrations smaller than 2%. Association with asbestos One particular issue with commercial use of talc is its frequent co-location in underground deposits with asbestos ore. Asbestos is a general term for different types of fibrous silicate minerals, desirable in construction for their heat resistant properties. There are six varieties of asbestos; the most common variety in manufacturing, white asbestos, is in the serpentine family. Serpentine minerals are sheet silicates; although not in the serpentine family, talc is also a sheet silicate, with two sheets connected by magnesium cations. The frequent co-location of talc deposits with asbestos may result in contamination of mined talc with white asbestos, which poses serious health risks when dispersed into the air and inhaled. Stringent quality control since 1976, including separating cosmetic- and food-grade talc from "industrial"-grade talc, has largely eliminated this issue, but it remains a potential hazard requiring mitigation in the mining and processing of talc. A 2010 US FDA survey failed to find asbestos in a variety of talc-containing products. A 2018 Reuters investigation asserted that pharmaceuticals company Johnson & Johnson knew for decades that there was asbestos in its baby powder, and in 2020 the company stopped selling its baby powder in the US and Canada. Litigation In 2006 the International Agency for Research on Cancer classified talcum powder as a possible human carcinogen if used in the female genital area. Despite this, no federal agency in the US acted to remove talcum powder from the market or add warnings. In February 2016, as the result of a lawsuit against Johnson & Johnson (J&J), a St. Louis jury awarded $72 million to the family of an Alabama woman who died from ovarian cancer. The family claimed that the use of talcum powder was responsible for her cancer. In May 2016, a South Dakota woman was awarded $55 million as the result of another lawsuit against J&J. The woman had used Johnson
glazes and can be used to produce magnesia mattes at high temperatures. ISO standard for quality (ISO 3262) Patents are pending on the use of magnesium silicate as a cement substitute. Its production requirements are less energy-intensive than ordinary Portland cement (at a heating requirement of around 650 °C for talc compared to 1500 °C for limestone to produce Portland cement), while it absorbs far more carbon dioxide as it hardens. This results in a negative carbon footprint overall, as the cement substitute removes 0.6 tonnes of CO2 per tonne used. This contrasts with a positive carbon footprint of 0.4 tonne per tonne of conventional cement. Talc is used in the production of the materials that are widely used in the building interiors such as base content paints in wall coatings. Other areas that use talc to a great extent are organic agriculture, food industry, cosmetics, and hygiene products such as baby powder and detergent powder. Talc is sometimes used as an adulterant to illegal heroin, to expand volume and weight and thereby increase its street value. With intravenous use, it may lead to pulmonary talcosis, a granulomatous inflammation in the lungs. Sterile talc powder Sterile talc powder (NDC 63256-200-05) is a sclerosing agent used in the procedure of pleurodesis. This can be helpful as a cancer treatment to prevent pleural effusions (an abnormal collection of fluid in the space between the lungs and the thoracic wall). It is inserted into the space via a chest tube, causing it to close up, so fluid cannot collect there. The product can be sterilized by dry heat, ethylene oxide, or gamma irradiation. Safety Suspicions have been raised that talc use contributes to certain types of disease, mainly cancers of the ovaries and lungs. According to the IARC, talc containing asbestos is classified as a group 1 agent (carcinogenic to humans), talc use in the perineum is classified as group 2B (possibly carcinogenic to humans), and talc not containing asbestos is classified as group 3 (unclassifiable as to carcinogenicity in humans). Reviews by Cancer Research UK and the American Cancer Society conclude that some studies have found a link, but other studies have not. The studies discuss pulmonary issues, lung cancer, and ovarian cancer. One of these, published in 1993, was a US National Toxicology Program report, which found that cosmetic grade talc containing no asbestos-like fibres was correlated with tumor formation in rats forced to inhale talc for 6 hours a day, five days a week over at least 113 weeks. A 1971 paper found particles of talc embedded in 75% of the ovarian tumors studied. Research published in 1995 and 2000 concluded that it was plausible that talc could cause ovarian cancer, but no conclusive evidence was shown. The Cosmetic Ingredient Review Expert Panel concluded in 2015 that talc, in the concentrations currently used in cosmetics, is safe. In 2018, Health Canada issued a warning, advising against inhaling talcum powder or using it in the female perineal area. Industrial grade In the United States, the Occupational Safety and Health Administration and National Institute for Occupational Safety and Health have set occupational exposure limits to respirable talc dusts at 2 mg/m3 over an eight-hour workday. At levels of 1000 mg/m3, inhalation of talc is considered immediately dangerous to life and health. Food grade The United States Food and Drug Administration considers talc (magnesium silicate) generally recognized as safe (GRAS) to use as an anticaking agent in table salt in concentrations smaller than 2%. Association with asbestos One particular issue with commercial use of talc is its frequent co-location in underground deposits with asbestos ore. Asbestos is a general term for different types of fibrous silicate minerals, desirable in construction for their heat resistant properties. There are six varieties of asbestos; the most common variety in manufacturing, white asbestos, is in the serpentine family. Serpentine minerals are sheet silicates; although not in the serpentine family, talc is also a sheet silicate, with two sheets connected by magnesium cations. The frequent co-location of talc deposits with asbestos may result in contamination of mined talc with white asbestos, which poses serious health risks when dispersed into the air and inhaled. Stringent quality control since 1976, including separating cosmetic- and food-grade talc from "industrial"-grade talc, has largely eliminated this issue, but it remains a potential hazard requiring mitigation in the mining and processing of talc. A 2010 US FDA survey failed to find asbestos in a variety of talc-containing products. A 2018 Reuters investigation asserted that pharmaceuticals company Johnson & Johnson knew for decades that there was asbestos in its baby powder, and in 2020 the company stopped selling its baby powder in the US and Canada. Litigation In 2006 the International Agency for Research on Cancer classified talcum powder as a possible human carcinogen if used in the female genital area. Despite this, no federal agency in the US acted to remove talcum powder from the market or add warnings. In February 2016, as the result of a lawsuit against Johnson & Johnson (J&J), a St. Louis jury awarded $72 million to the family of an Alabama woman who died from ovarian cancer. The family claimed that the use of talcum powder was responsible for her cancer. In May 2016, a South Dakota woman was awarded $55 million as the result of another lawsuit against J&J. The woman had used Johnson & Johnson's Baby Powder for more than 35 years before being diagnosed with ovarian cancer in 2011. In October 2016, a St. Louis jury awarded $70.1 million to a Californian woman with ovarian cancer who had used Johnson's Baby Powder for 45 years. In August 2017, a Los Angeles jury awarded $417 million to a Californian woman, Eva Echeverria, who developed ovarian cancer as a "proximate result of the unreasonably dangerous and defective nature of talcum powder", her lawsuit against Johnson & Johnson stated. On 20 October 2017, Los Angeles Superior Court judge Maren Nelson dismissed the verdict. The judge stated that Echeverria proved there is "an ongoing debate in the scientific and medical community about whether talc more probably than not causes ovarian cancer and thus (gives) rise to a duty to warn", but not enough to sustain the jury's imposition of liability against Johnson & Johnson stated, and concluded that Echeverria did not adequately establish that talc causes ovarian cancer. In July 2018, a court in St. Louis awarded a $4.7bn claim ($4.14bn in punitive damages and $550m in compensatory damages) against J&J to 22 claimant women, concluding that the company had suppressed evidence
of Congress). Early recipes The first published Tom Collins recipe appears to have been in Harry Johnson's 1882 book, New and Improved Bartender’s Manual or How to Mix Drinks of the Present Style. This book contains a recipe for two Collins drinks, the John Collins and the Tom Collins. The John Collins calls for Holland Gin, which is most likely what is also known as Genièvre, but the recipe for the Tom Collins in this book is as follows: Tom Collins (Use an extra large bar glass.) Three-quarters table-spoon of sugar; 3 or 4 dashes of lime or lemon juice; 3 or 4 pieces of broken ice; 1 wine glass full of Old Tom gin; 1 bottle of plain soda water; mix up well with a spoon, remove the ice, and serve. Attention must be paid not to let the foam of the soda water spread over the glass. In the 1884 book, The Modern Bartender’s Guide by O. H. Byron there is a drink called a "John Collins' Gin" where he calls simply for gin with no specifications of which gin, lemon juice, sugar, and filled with soda. That book also has a "Tom Collins' Brandy", which consists of brandy, lemon juice, gum syrup and Maraschino liqueur, and filled with soda water built in the glass over ice. This book also lists a recipe for a, "Tom Collins Gin and Whiskey", with the only instructions of, "Are concocted in the same manner as a Brandy receipt, substituting their respective liquors". In another 1884 book, Scientific Barkeeping by E.N. Cook & Co, you can also find a John Collins and a Tom Collins, with the John Collins calling for Holland Gin and the Tom Collins calling for Whiskey. There is a recipe for the Tom Collins in the 1887 posthumous edition of Jerry Thomas' Bar-Tender's Guide. Since New York based Thomas would have known about the widespread hoax and the contents of his 1876 published book were developed during or right after The Great Tom Collins hoax of 1874, it was believed by George Sinclair that the hoax event was the most plausible source of the name for the Tom Collins cocktail. Classified under the heading "Collins" with similarly named whisky and brandy drinks, Jerry Thomas' Tom Collins Gin instructed: Tom Collins (1887) (Use large bar-glass.) Take 5 or 6 dashes of gum syrup. Juice of a small lemon. 1 large wine-glass of gin. 2 or 3 lumps of ice; Shake up well and strain into a large bar-glass. Fill up the glass with plain soda water and drink while it is lively. This was distinguished from the Gin Fizz cocktail in that the 3 dashes of lemon juice in the Gin Fizz was "fizzed" with carbonated water to essentially form a "Gin and Sodawater" whereas the considerably more "juice of a small lemon" in the Tom Collins essentially formed a "Gin and Sparkling Lemonade" when sweetened with the gum syrup. The type of gin used by Thomas was not specified in his 1887 book, but was most likely Old Tom if that was responsible for the change in the drink's name. Popularity By 1878, the Tom Collins was being served in the bar rooms of New York City and elsewhere. Identified as among 'the favorite drinks which are in demand everywhere' in an advertisement for the 1878 edition of The Modern Bartender's Guide by O. H. Byron, both Tom Collins gin and whiskey and Tom Collins brandy were considered fancy drinks. In the 1891 book, The Flowing Bowl: When and what to Drink, author William Schmidt listed the Tom Collins as including: Tom Collins Gin (1891) The juice of half a lemon in a large glass, a bar-spoonful of sugar, a drink of Tom gin; mix this well; 2 lumps of ice, a bottle of plain soda. Mix well and serve. One turn of the 20th century recipe subsequently replaced the lemon juice with lime juice. Others An alternative history places the origin in St. Louis. Modern mix The 1986 The Book of Cocktails provides a modern take on Thomas' 1876 recipe for this long drink:John (or Tom) Collins (1986)ice cubes2 oz. [6 cL] dry gin2 oz. [6 cL] lemon juice1 teaspoon sugar (gomme) syrupsoda waterslice of lemon1 colored cherryPlace ample ice in large glass. Add gin, lemon juice and syrup. Top up with soda water and stir well. Serve with lemon slice, cherry and a straw. Variants A simple Summer Collins is a two-ingredient cocktail consisting only of equal parts gin and lemonade, served over ice with an optional fruit garnish. The vodka Collins uses vodka in place of gin. The South Side uses limeade in place of lemonade and adds mint. A Rum Collins uses light rum in place of gin. Juan Collins The Juan Collins is a Collins cocktail made from tequila, lime juice, sugar or some other sweetening agent, and club soda. It is a variation of the original Tom Collins, first memorialized in writing in 1876 by "the father of American mixology" Jerry
and the cause for its change of name has arisen in the past due to the following: The Tom Collins Hoax of 1874 In 1874, people in New York, Pennsylvania, and elsewhere in the United States would start a conversation with "Have you seen Tom Collins?" After the listener predictably reacts by explaining that they did not know a Tom Collins, the speaker would assert that Tom Collins was talking about the listener to others and that Tom Collins was "just around the corner", "in a [local] bar," or somewhere else near. The conversation about the nonexistent Tom Collins was a proven hoax of exposure. In The Great Tom Collins hoax of 1874, as it became known, the speaker would encourage the listener to act foolishly by reacting to patent nonsense that the hoaxer deliberately presents as reality. In particular, the speaker desired the listener to become agitated at the idea of someone talking about them to others such that the listener would rush off to find the purportedly nearby Tom Collins. Similar to the New York Zoo hoax of 1874, several newspapers propagated the very successful practical joke by printing stories containing false sightings of Tom Collins. The 1874 hoax quickly gained such notoriety that several 1874 music hall songs memorialized the event (copies of which now are in the U.S. Library of Congress). Early recipes The first published Tom Collins recipe appears to have been in Harry Johnson's 1882 book, New and Improved Bartender’s Manual or How to Mix Drinks of the Present Style. This book contains a recipe for two Collins drinks, the John Collins and the Tom Collins. The John Collins calls for Holland Gin, which is most likely what is also known as Genièvre, but the recipe for the Tom Collins in this book is as follows: Tom Collins (Use an extra large bar glass.) Three-quarters table-spoon of sugar; 3 or 4 dashes of lime or lemon juice; 3 or 4 pieces of broken ice; 1 wine glass full of Old Tom gin; 1 bottle of plain soda water; mix up well with a spoon, remove the ice, and serve. Attention must be paid not to let the foam of the soda water spread over the glass. In the 1884 book, The Modern Bartender’s Guide by O. H. Byron there is a drink called a "John Collins' Gin" where he calls simply for gin with no specifications of which gin, lemon juice, sugar, and filled with soda. That book also has a "Tom Collins' Brandy", which consists of brandy, lemon juice, gum syrup and Maraschino liqueur, and filled with soda water built in the glass over ice. This book also lists a recipe for a, "Tom Collins Gin and Whiskey", with the only instructions of, "Are concocted in the same manner as a Brandy receipt, substituting their respective liquors". In another 1884 book, Scientific Barkeeping by E.N. Cook & Co, you can also find a John Collins and a Tom Collins, with the John Collins calling for Holland Gin and the Tom Collins calling for Whiskey. There is a recipe for the Tom Collins in the 1887 posthumous edition
an attack, the prudent thing for a target to do was to turn to parallel the course of the incoming torpedo and steam away from the torpedoes and the firer, allowing the relatively short-range torpedoes to use up their fuel. An alternative was to "comb the tracks", turning to parallel the incoming torpedo's course, but turning towards the torpedoes. The intention of such a tactic was still to minimize the size of the target offered to the torpedoes, but at the same time be able to aggressively engage the firer. This was the tactic advocated by critics of Jellicoe's actions at Jutland, his caution at turning away from the torpedoes being seen as the reason the Germans escaped. The use of multiple torpedoes to engage single targets depletes torpedo supplies and greatly reduces a submarine's combat endurance. Endurance can be improved by ensuring a target can be effectively engaged by a single torpedo, which gave rise to the guided torpedo. Pattern running In World War II the Germans introduced programmable pattern-running torpedoes, which would run a predetermined pattern until they either ran out of fuel or hit something. The earlier version, FaT, ran out after launch in a straight line, and then weaved backward and forwards parallel to that initial course, whilst the more advanced LuT could transit to a different angle after launch, and then enter a more complex weaving pattern. Radio and wire guidance Though Luppis' original design had been rope-guided, torpedoes were not wire-guided until the 1960s. During the First World War the U.S. Navy evaluated a radio controlled torpedo launched from a surface ship called the Hammond Torpedo. A later version tested in the 1930s was claimed to have an effective range of . Modern torpedoes use an umbilical wire, which nowadays allows the computer processing power of the submarine or ship to be used. Torpedoes such as the U.S. Mark 48 can operate in a variety of modes, increasing tactical flexibility. Homing Homing "fire and forget" torpedoes can use passive or active guidance or a combination of both. Passive acoustic torpedoes home in on emissions from a target. Active acoustic torpedoes home in on the reflection of a signal, or "ping", from the torpedo or its parent vehicle; this has the disadvantage of giving away the presence of the torpedo. In semi-active mode, a torpedo can be fired to the last known position or calculated position of a target, which is then acoustically illuminated ("pinged") once the torpedo is within attack range. Later in the Second World War torpedoes were given acoustic (homing) guidance systems, with the American Mark 24 mine and Mark 27 torpedo and the German G7es torpedo. Pattern-following and wake homing torpedoes were also developed. Acoustic homing formed the basis for torpedo guidance after the Second World War. The homing systems for torpedoes are generally acoustic, though there have been other target sensor types used. A ship's acoustic signature is not the only emission a torpedo can home in on to engage U.S. supercarriers, the Soviet Union developed the 53–65 wake-homing torpedo. As standard acoustic lures can't distract a wake homing torpedo, the US Navy has installed the Surface Ship Torpedo Defense on aircraft carriers that use a Countermeasure Anti-Torpedo to home in on and destroy the attacking torpedo. Warhead and fuzing The warhead is generally some form of aluminized explosive, because the sustained explosive pulse produced by the powdered aluminum is particularly destructive against underwater targets. Torpex was popular until the 1950s, but has been superseded by PBX compositions. Nuclear torpedoes have also been developed, e.g. the Mark 45 torpedo. In lightweight antisubmarine torpedoes designed to penetrate submarine hulls, a shaped charge can be used. Detonation can be triggered by direct contact with the target or by a proximity fuze incorporating sonar and/or magnetic sensors. Contact detonation When a torpedo with a contact fuze strikes the side of the target hull, the resulting explosion creates a bubble of expanding gas, the walls of which move faster than the speed of sound in water, thus creating a shock wave. The side of the bubble which is against the hull rips away the external plating creating a large breach. The bubble then collapses in on itself, forcing a high-speed stream of water into the breach which can destroy bulkheads and machinery in its path. Proximity detonation A torpedo fitted with a proximity fuze can be detonated directly under the keel of a target ship. The explosion creates a gas bubble which may damage the keel or underside plating of the target. However, the most destructive part of the explosion is the upthrust of the gas bubble, which will bodily lift the hull in the water. The structure of the hull is designed to resist downward rather than upward pressure, causing severe strain in this phase of the explosion. When the gas bubble collapses, the hull will tend to fall into the void in the water, creating a sagging effect. Finally, the weakened hull will be hit by the uprush of water caused by the collapsing gas bubble, causing structural failure. On vessels up to the size of a modern frigate, this can result in the ship breaking in two and sinking. This effect is likely to prove less catastrophic on a much larger hull, for instance, that of an aircraft carrier. Damage The damage that may be caused by a torpedo depends on the "shock factor value", a combination of the initial strength of the explosion and the distance between the target and the detonation. When taken about ship hull plating, the term "hull shock factor" (HSF) is used, while keel damage is termed "keel shock factor" (KSF). If the explosion is directly underneath the keel, then HSF is equal to KSF, but explosions that are not directly underneath the ship will have a lower value of KSF. Direct damage Usually only created by contact detonation, direct damage is a hole blown in the ship. Among the crew, fragmentation wounds are the most common form of injury. Flooding typically occurs in one or two main watertight compartments, which can sink smaller ships or disable larger ones. Bubble jet effect The bubble jet effect occurs when a mine or torpedo detonates in the water a short distance away from the targeted ship. The explosion creates a bubble in the water, and due to the pressure difference, the bubble will collapse from the bottom. The bubble is buoyant, and so it rises towards the surface. If the bubble reaches the surface as it collapses, it can create a pillar of water that can go over a hundred meters into the air (a "columnar plume"). If conditions are right and the bubble collapses onto the ship's hull, the damage to the ship can be extremely serious; the collapsing bubble forms a high-energy jet that can break a meter-wide hole straight through the ship, flooding one or more compartments, and is capable of breaking smaller ships apart. The crew in the areas hit by the pillar are usually killed instantly. Another damage is usually limited. The Baengnyeong incident, in which broke in half and sank off the coast South Korea in 2010, was caused by the bubble jet effect, according to an international investigation. Shock effect If the torpedo detonates at a distance from the ship, and especially under the keel, the change in water pressure causes the ship to resonate. This is frequently the most deadly type of explosion if it is strong enough. The whole ship is dangerously shaken and everything onboard is tossed around. Engines rip from their beds, cables from their holders, etc. A badly shaken ship usually sinks quickly, with hundreds, or even thousands of small leaks all over the ship and no way to power the pumps. The crew fares no better, as the violent shaking tosses them around. This shaking is powerful enough to cause disabling injury to knees and other joints in the body, particularly if the affected person stands on surfaces connected directly to the hull (such as steel decks). The resulting gas cavitation and shock-front-differential over the width of the human body is sufficient to stun or kill divers. Control surfaces and hydrodynamics Control surfaces are essential for a torpedo to maintain its course and depth. A homing torpedo also needs to be able to outmaneuver a target. Good hydrodynamics are needed for it to attain high speed efficiently and also to give a long range since the torpedo has limited stored energy. Launch platforms and launchers Torpedoes may be launched from submarines, surface ships, helicopters and fixed-wing aircraft, unmanned naval mines and naval fortresses. They are also used in conjunction with other weapons; for example, the Mark 46 torpedo used by the United States is the warhead section of the ASROC (Anti-Submarine ROCket) and the CAPTOR mine (CAPsulated TORpedo) is a submerged sensor platform which releases a torpedo when a hostile contact is detected. Ships Originally, Whitehead torpedoes were intended for launch underwater and the firm was upset when they found out the British were launching them above water, as they considered their torpedoes too delicate for this. However, the torpedoes survived. The launch tubes could be fitted in a ship's bow, which weakened it for ramming, or on the broadside; this introduced problems because of water flow twisting the torpedo, so guide rails and sleeves were used to prevent it. The torpedoes were originally ejected from the tubes by compressed air but later slow-burning gunpowder was used. Torpedo boats originally used a frame that dropped the torpedo into the sea. Royal Navy Coastal Motor Boats of World War I used a rear-facing trough and a cordite ram to push the torpedoes into the water tail-first; they then had to move rapidly out of the way to avoid being hit by their torpedo. Developed in the run-up to the First World War, multiple-tube mounts (initially twin, later triple and in WW2 up to quintuple in some ships) for torpedoes in rotating turntable mounts appeared. Destroyers could be found with two or three of these mounts with between five and twelve tubes in total. The Japanese went one better, covering their tube mounts with splinter protection and adding reloading gear (both unlike any other navy in the world), making them true turrets and increasing the broadside without adding tubes and top hamper (as the quadruple and quintuple mounts did). Considering that their Type 93s were very effective weapons, the IJN equipped their cruisers with torpedoes. The Germans also equipped their capital ships with torpedoes. Smaller vessels such as PT boats carried their torpedoes in fixed deck-mounted tubes using compressed air. These were either aligned to fire forward or at an offset angle from the centerline. Later, lightweight mounts for homing torpedoes were developed for anti-submarine use consisting of triple launch tubes used on the decks of ships. These were the 1960 Mk 32 torpedo launcher in the US and part of STWS (Shipborne Torpedo Weapon System) in the UK. Later a below-decks launcher was used by the RN. This basic launch system continues to be used today with improved torpedoes and fire control systems. Submarines Modern submarines use either swim-out systems or a pulse of water to discharge the torpedo from the tube, both of which have the advantage of being significantly quieter than previous systems, helping avoid detection of the firing from passive sonar. Earlier designs used a pulse of compressed air or a hydraulic ram. Early submarines, when they carried torpedoes, were fitted with a variety of torpedo launching mechanisms in a range of locations; on the deck, in the bow or stern, amidships, with some launch mechanisms permitting the torpedo to be aimed over a wide arc. By World War II, designs favored multiple bow tubes and fewer or no stern tubes. Modern submarine bows are usually occupied by a large sonar array, necessitating midships tubes angled outward, while stern tubes have largely disappeared. The first French and Russian submarines carried their torpedoes externally in Drzewiecki drop collars. These were cheaper than tubes but less reliable. Both the United Kingdom and the United States experimented with external tubes in World War II. External tubes offered a cheap and easy way of increasing torpedo capacity without radical redesign, something neither had time or resources to do before nor early in, the war. British T-class submarines carried up to 13 torpedo tubes, up to 5 of them external. America's use was mainly limited to earlier Porpoise-, -, and -class boats. Until the appearance of the class, most American submarines only carried 4 bow and either 2 or 4 stern tubes, something many American submarine officers felt provided inadequate firepower. This problem was compounded by the notorious unreliability of the Mark 14 torpedo. Late in World War II, the U.S. adopted a homing torpedo (known as "Cutie") for use against escorts. It was basically a modified Mark 24 Mine with wooden rails to allow firing from a torpedo tube. Air launch Aerial torpedoes may be carried by fixed-wing aircraft, helicopters, or missiles. They are launched from the first two at prescribed speeds and altitudes, dropped from bomb-bays or underwing hardpoints. Handling equipment Although lightweight torpedoes are fairly easily handled, the transport and handling of heavyweight torpedoes is difficult, especially in the tight spaces in a submarine. After the Second World War, some Type XXI submarines were obtained from Germany by the United States and Britain. One of the main novel developments seen was a mechanical handling system for torpedoes. Such systems were widely adopted as a result of this discovery. Classes and diameters Torpedoes are launched in several ways: From a torpedo tube mounted either in a trainable deck mount (common in destroyers), or fixed above or below the waterline of a surface vessel (as in cruisers, battleships, and armed merchant cruisers) or submarine. Early submarines and some torpedo boats (such as the U.S. World War II PT boats, which used the Mark 13 aircraft torpedo) used deck-mounted "drop collars", which simply relied on gravity. From shackles aboard low-flying aircraft or helicopters. As the final stage of a compound rocket or ramjet powered munition (sometimes called an assisted torpedo). Many navies have two weights of torpedoes: A light torpedo used primarily as a close attack weapon, particularly by aircraft. A heavy torpedo used primarily as a standoff weapon, particularly by submerged submarines. In the case of deck or tube launched torpedoes, the diameter of the torpedo is a key factor in determining the suitability of a particular torpedo to a tube or launcher, similar to the caliber of the gun. The size is not quite as critical as for a gun, but the diameter has become the most common way of classifying torpedoes. Length, weight, and other factors also contribute to compatibility. In the case of aircraft launched torpedoes, the key factors are weight, provision of suitable attachment points, and launch speed. Assisted torpedoes are the most recent development in torpedo design, and are normally engineered as an integrated package. Versions for aircraft and assisted launching have sometimes been based on deck or tube launched versions, and there has been at least
was sunk with the loss of 46 personnel. A subsequent investigation concluded that the warship had been sunk by a North Korean torpedo fired by a midget submarine. Energy sources Compressed air The Whitehead torpedo of 1866, the first successful self-propelled torpedo, used compressed air as its energy source. The air was stored at pressures of up to and fed to a piston engine that turned a single propeller at about 100 rpm. It could travel about at an average speed of . The speed and range of later models were improved by increasing the pressure of the stored air. In 1906 Whitehead built torpedoes that could cover nearly at an average speed of . At higher pressures the adiabatic cooling, experienced by the air as it expanded in the engine caused icing problems. This drawback was remedied by heating the air with seawater before it was fed to the engine, which increased engine performance further because the air expanded even more after heating. This was the principle used by the Brotherhood engine. Heated torpedoes Passing the air through an engine led to the idea of injecting a liquid fuel, like kerosene, into the air and igniting it. In this manner, the air is heated more and expands even further, and the burned propellant adds more gas to drive the engine. Construction of such heated torpedoes started circa 1904 by Whitehead's company. Wet-heater A further improvement was the use of water to cool the combustion chamber of the fuel-burning torpedo. This not only solved heating problems so more fuel could be burned but also allowed additional power to be generated by feeding the resulting steam into the engine together with the combustion products. Torpedoes with such a propulsion system became known as wet heaters, while heated torpedoes without steam generation were retrospectively called dry heaters. A simpler system was introduced by the British Royal Gun factory in 1908. Most torpedoes used in World War I and World War II were wet-heaters. Compressed oxygen The amount of fuel that can be burned by a torpedo engine (i.e. wet engine) is limited by the amount of oxygen it can carry. Since compressed air contains only about 21% oxygen, engineers in Japan developed the Type 93 (nicknamed "Long Lance" postwar) for destroyers and cruisers in the 1930s. It used pure compressed oxygen instead of compressed air and had performance unmatched by any contemporary torpedo in service, through the end of World War II. However, oxygen systems posed a danger to any ship that came under attack while still carrying such torpedoes; Japan lost several cruisers partly due to catastrophic secondary explosions of Type 93s. During the war, Germany experimented with hydrogen peroxide for the same purpose. Oxygen enriched air The British approached the problem of providing additional oxygen for the torpedo engine by the use of oxygen-enriched air, up to 57% instead of the 21% of normal atmospheric compressed air rather than pure oxygen. This significantly increased the range of the torpedo, the 24.5 inch Mk 1 having a range of at or at at with a warhead. There was a general nervousness about the oxygen enrichment equipment, known for reasons of secrecy as 'No 1 Air Compressor Room' onboard ships, and development shifted to the highly efficient Brotherhood Burner Cycle engine that used un-enriched air. Burner cycle engine After the First World War Brotherhood developed a 4 cylinder burner cycle engine which was rough twice as powerful as the older wet heater engine. It was first used in the British Mk VIII torpedoes, which were still in service in 1982. It used a modified diesel cycle, using a small amount of paraffin to heat the incoming air, which was then compressed and further heated by the piston, and then more fuel was injected. In the introduction, it produced about 322 hp when introduced, but by the end of WW2 was at 465 hp, and there was a proposal to fuel it with nitric acid when it was projected to develop 750 hp. Wire driven The Brennan torpedo had two wires wound around internal drums. Shore-based steam winches pulled the wires, which spun the drums and drove the propellers. An operator-controlled the relative speeds of the winches, providing guidance. Such systems were used for coastal defense of the British homeland and colonies from 1887 to 1903 and were purchased by, and under the control of, the Army as opposed to the Navy. Speed was about for over 2,400 m. Flywheel The Howell torpedo used by the US Navy in the late 19th century featured a heavy flywheel that had to be spun up before launch. It was able to travel about at . The Howell had the advantage of not leaving a trail of bubbles behind it, unlike compressed air torpedoes. This gave the target vessel less chance to detect and evade the torpedo and avoided giving away the attacker's position. Additionally, it ran at a constant depth, unlike Whitehead models. Electric batteries Electric propulsion systems avoided tell-tale bubbles. John Ericsson invented an electrically propelled torpedo in 1873, it was powered by a cable from an external power source, as batteries of the time had insufficient capacity. The Sims-Edison torpedo was similarly powered. The Nordfelt torpedo was also electrically powered and was steered by impulses down a trailing wire. Germany introduced its first battery-powered torpedo shortly before World War II, the G7e. It was slower and had a shorter range than the conventional G7a, but was wakeless and much cheaper. Its lead-acid rechargeable battery was sensitive to shock, required frequent maintenance before use, and required preheating for best performance. The experimental G7es, an enhancement of the G7e, used primary cells. The United States had an electric design, the Mark 18, largely copied from the German torpedo (although with improved batteries), as well as FIDO, an air-dropped acoustic homing torpedo for anti-submarine use. Modern electric torpedoes such as the Mark 24 Tigerfish, the Black Shark or DM2 series commonly use silver oxide batteries that need no maintenance, so torpedoes can be stored for years without losing performance. Rockets Several experimental rocket-propelled torpedoes were tried soon after Whitehead's invention but were not successful. Rocket propulsion has been implemented successfully by the Soviet Union, for example in the VA-111 Shkval—and has been recently revived in Russian and German torpedoes, as it is especially suitable for supercavitating devices. Modern energy sources Modern torpedoes use a variety of propellants, including electric batteries (as with the French F21 torpedo or Italian Black Shark), monopropellants (e.g., Otto fuel II as with the US Mark 48 torpedo), and bipropellants (e.g., hydrogen peroxide plus kerosene as with the Swedish Torped 62, sulfur hexafluoride plus lithium as with the US Mark 50 torpedo, or Otto fuel II plus hydroxyl ammonium perchlorate as with the British Spearfish torpedo). Propulsion The first of Whitehead's torpedoes had a single propeller and needed a large vane to stop it spinning about its longitudinal axis. Not long afterward the idea of contra-rotating propellers was introduced, to avoid the need for the vane. The three-bladed propeller came in 1893 and the four-bladed one in 1897. To minimize noise, today's torpedoes often use pump-jets. Some torpedoes—like the Russian VA-111 Shkval, Iranian Hoot, and German Unterwasserlaufkörper/ Barracuda—use supercavitation to increase speed to over . Torpedoes that don't use supercavitation, such as the American Mark 48 and British Spearfish, are limited to under , though manufacturers and the military don't always release exact figures. Guidance Torpedoes may be aimed at the target and fired unguided, similarly to a traditional artillery shell, or they may be guided onto the target. They may be guided automatically towards the target by some procedure, e.g., sound (homing), or by the operator, typically via commands sent over a signal-carrying cable (wire guidance). Unguided The Victorian era Brennan torpedo could be steered onto its target by varying the relative speeds of its propulsion cables. However, the Brennan required a substantial infrastructure and was not suitable for shipboard use. Therefore, for the first part of its history, the torpedo was guided only in the sense that its course could be regulated to achieve an intended impact depth (because of the sine wave running path of the Whitehead, this was a hit or miss proposition, even when everything worked correctly) and, through gyroscopes, a straight course. With such torpedoes the method of attack in small torpedo boats, torpedo bombers and small submarines was to steer a predictable collision course abeam to the target and release the torpedo at the last minute, then veer away, all the time subject to defensive fire. In larger ships and submarines, fire control calculators gave a wider engagement envelope. Originally, plotting tables (in large ships), combined with specialized slide rules (known in U.S. service as the "banjo" and "Is/Was"), reconciled the speed, distance, and course of a target with the firing ship's speed and course, together with the performance of its torpedoes, to provide a firing solution. By the Second World War, all sides had developed automatic electro-mechanical calculators, exemplified by the U.S. Navy's Torpedo Data Computer. Submarine commanders were still expected to be able to calculate a firing solution by hand as a backup against mechanical failure, and because many submarines existed at the start of the war were not equipped with a TDC; most could keep the "picture" in their heads and do much of the calculations (simple trigonometry) mentally, from extensive training. Against high-value targets and multiple targets, submarines would launch a spread of torpedoes, to increase the probability of success. Similarly, squadrons of torpedo boats and torpedo bombers would attack together, creating a "fan" of torpedoes across the target's course. Faced with such an attack, the prudent thing for a target to do was to turn to parallel the course of the incoming torpedo and steam away from the torpedoes and the firer, allowing the relatively short-range torpedoes to use up their fuel. An alternative was to "comb the tracks", turning to parallel the incoming torpedo's course, but turning towards the torpedoes. The intention of such a tactic was still to minimize the size of the target offered to the torpedoes, but at the same time be able to aggressively engage the firer. This was the tactic advocated by critics of Jellicoe's actions at Jutland, his caution at turning away from the torpedoes being seen as the reason the Germans escaped. The use of multiple torpedoes to engage single targets depletes torpedo supplies and greatly reduces a submarine's combat endurance. Endurance can be improved by ensuring a target can be effectively engaged by a single torpedo, which gave rise to the guided torpedo. Pattern running In World War II the Germans introduced programmable pattern-running torpedoes, which would run a predetermined pattern until they either ran out of fuel or hit something. The earlier version, FaT, ran out after launch in a straight line, and then weaved backward and forwards parallel to that initial course, whilst the more advanced LuT could transit to a different angle after launch, and then enter a more complex weaving pattern. Radio and wire guidance Though Luppis' original design had been rope-guided, torpedoes were not wire-guided until the 1960s. During the First World War the U.S. Navy evaluated a radio controlled torpedo launched from a surface ship called the Hammond Torpedo. A later version tested in the 1930s was claimed to have an effective range of . Modern torpedoes use an umbilical wire, which nowadays allows the computer processing power of the submarine or ship to be used. Torpedoes such as the U.S. Mark 48 can operate in a variety of modes, increasing tactical flexibility. Homing Homing "fire and forget" torpedoes can use passive or active guidance or a combination of both. Passive acoustic torpedoes home in on emissions from a target. Active acoustic torpedoes home in on the reflection of a signal, or "ping", from the torpedo or its parent vehicle; this has the disadvantage of giving away the presence of the torpedo. In semi-active mode, a torpedo can be fired to the last known position or calculated position of a target, which is then acoustically illuminated ("pinged") once the torpedo is within attack range. Later in the Second World War torpedoes were given acoustic (homing) guidance systems, with the American Mark 24 mine and Mark 27 torpedo and the German G7es torpedo. Pattern-following and wake homing torpedoes were also developed. Acoustic homing formed the basis for torpedo guidance after the Second World War. The homing systems for torpedoes are generally acoustic, though there have been other target sensor types used. A ship's acoustic signature is not the only emission a torpedo can home in on to engage U.S. supercarriers, the Soviet Union developed the 53–65 wake-homing torpedo. As standard acoustic lures can't distract a wake homing torpedo, the US Navy has installed the Surface Ship Torpedo Defense on aircraft carriers that use a Countermeasure Anti-Torpedo to home in on and destroy the attacking torpedo. Warhead and fuzing The warhead is generally some form of aluminized explosive, because the sustained explosive pulse produced by the powdered aluminum is particularly destructive against underwater targets. Torpex was popular until the 1950s, but has been superseded by PBX compositions. Nuclear torpedoes have also been developed, e.g. the Mark 45 torpedo. In lightweight antisubmarine torpedoes designed to penetrate submarine hulls, a shaped charge can be used. Detonation can be triggered by direct contact with the target or by a proximity fuze incorporating sonar and/or magnetic sensors. Contact detonation When a torpedo with a contact fuze strikes the side of the target hull, the resulting explosion creates a bubble of expanding gas, the walls of which move faster than the speed of sound in water, thus creating a shock wave. The side of the bubble which is against the hull rips away the external plating creating a large breach. The bubble then collapses in on itself, forcing a high-speed stream of water into the breach which can destroy bulkheads and machinery in its path. Proximity detonation A torpedo fitted with a proximity fuze can be detonated directly under the keel of a target ship. The explosion creates a gas bubble which may damage the keel or underside plating of the target. However, the most destructive part of the explosion is the upthrust of the gas bubble, which will bodily lift the hull in the water. The structure of the hull is designed to resist downward rather than upward pressure, causing severe strain in this phase of the explosion. When the gas bubble collapses, the hull will tend to fall into the void in the water, creating a sagging effect. Finally, the weakened hull will be hit by the uprush of water caused by the collapsing gas bubble, causing structural failure. On vessels up to the size of a modern frigate, this can result in the ship breaking in two and sinking. This effect is likely to prove less catastrophic on a much larger hull, for instance, that of an aircraft carrier. Damage The damage that may be caused by a torpedo depends on the "shock factor value", a combination of the initial strength of the explosion and the distance between the target and the detonation. When taken about ship hull plating, the term "hull shock factor" (HSF) is used, while keel damage is termed "keel shock factor" (KSF). If the explosion is directly underneath the keel, then HSF is equal to KSF, but explosions that are not directly underneath the ship will have a lower value of KSF. Direct damage Usually only created by contact detonation, direct damage is a hole blown in the ship. Among the crew, fragmentation wounds are the most common form of injury. Flooding typically occurs in one or two main watertight compartments, which can sink smaller ships or disable larger ones. Bubble jet effect The bubble jet effect occurs when a mine or torpedo detonates in the water a short distance away from the targeted ship. The explosion creates a bubble in the water, and due to the pressure difference, the bubble will collapse from the bottom. The bubble is buoyant, and so it rises towards the surface. If the bubble reaches the surface as it collapses, it can create a pillar of water that can go over a hundred meters into the air (a "columnar plume"). If conditions are right and the bubble collapses onto the ship's hull, the damage to the ship can be extremely serious; the collapsing bubble forms a high-energy jet that can break a meter-wide hole straight through the ship, flooding one or more compartments, and is capable of breaking smaller ships apart. The crew in the areas hit by the pillar are usually killed instantly. Another damage is usually limited. The Baengnyeong incident, in which broke in half and sank off the coast South Korea in 2010, was caused by the bubble jet effect, according to an international investigation. Shock effect If the torpedo detonates at a distance from the ship, and especially under the keel, the change in water pressure causes the ship to resonate. This is frequently the most deadly type of explosion if it is strong enough. The whole ship is dangerously shaken and everything onboard is tossed around. Engines rip from their beds, cables from their holders, etc. A badly shaken ship usually sinks quickly, with hundreds, or even thousands of small leaks all over the ship and no way to power the pumps. The crew fares no better, as the violent shaking tosses them around. This shaking is powerful enough to cause disabling injury to knees and other joints in the body, particularly if the affected person stands on surfaces connected directly to the hull (such as steel decks). The resulting gas cavitation and shock-front-differential over the width of the human body is sufficient to stun or kill divers. Control surfaces and hydrodynamics Control surfaces are essential for a torpedo to maintain its course and depth. A homing torpedo also needs to be able to outmaneuver a target. Good hydrodynamics are needed for it to attain high speed efficiently and also to give a long range since the torpedo has limited stored energy. Launch platforms and launchers Torpedoes may be launched from submarines, surface ships, helicopters and fixed-wing aircraft, unmanned naval mines and naval fortresses. They are also used in conjunction with other weapons; for example, the Mark 46 torpedo used by the United States is the warhead section of the ASROC (Anti-Submarine ROCket) and the CAPTOR mine (CAPsulated TORpedo) is a submerged sensor platform which releases a torpedo when a hostile contact is detected. Ships Originally, Whitehead torpedoes were intended for launch underwater and the firm was upset when they found out the British were launching them above water, as they considered their torpedoes too delicate for this. However, the torpedoes survived. The launch tubes could be fitted in a ship's bow, which weakened it for ramming, or on the broadside; this introduced problems because of water flow twisting the torpedo, so guide rails and sleeves were used to prevent it. The torpedoes were originally ejected from the tubes by compressed air but later slow-burning gunpowder was used. Torpedo boats originally used a frame that dropped the torpedo into the sea. Royal Navy Coastal Motor Boats of World War I used a rear-facing trough and a cordite ram to push the torpedoes into the water tail-first; they then had to move rapidly out of the way to avoid being hit by their torpedo. Developed in the run-up to the First World War, multiple-tube mounts (initially twin, later triple and in WW2 up to quintuple in some ships) for torpedoes in rotating turntable mounts appeared. Destroyers could be found with two or three of these mounts with between five and twelve tubes in total. The Japanese went one better, covering their tube mounts with splinter protection and adding reloading gear (both unlike any other navy in the world), making them true turrets and increasing the broadside without adding tubes and top hamper (as the quadruple and quintuple mounts did). Considering that their Type 93s were very effective weapons, the IJN equipped their cruisers with torpedoes. The Germans also equipped their capital ships with torpedoes. Smaller vessels such as PT boats carried their torpedoes in fixed deck-mounted tubes using compressed air. These were either aligned to fire forward or at an offset angle from the centerline. Later, lightweight mounts for homing torpedoes were developed for anti-submarine use consisting of triple launch tubes used on the decks of ships. These were the 1960 Mk 32 torpedo launcher in the US and part of STWS (Shipborne Torpedo Weapon System) in the UK. Later a below-decks launcher was used by the RN. This basic launch system continues to be used today with improved torpedoes and fire control systems. Submarines Modern submarines use either swim-out systems or a pulse of water to discharge the torpedo from the tube, both of which have the advantage of being significantly quieter than previous systems, helping avoid detection of the firing from passive sonar. Earlier designs used a pulse of compressed air or a hydraulic ram. Early submarines, when they carried torpedoes, were fitted with a variety of torpedo launching mechanisms in a range of locations; on the deck, in the bow or stern, amidships, with some launch mechanisms permitting the torpedo to be aimed over a wide arc. By World War II, designs favored multiple bow tubes and fewer or no stern tubes. Modern submarine bows are usually occupied by a large sonar array, necessitating midships tubes angled outward, while stern tubes have largely disappeared. The first French and Russian submarines carried their torpedoes externally in Drzewiecki drop collars. These were cheaper than tubes but less reliable. Both the United Kingdom and the United States experimented with external tubes in World War II. External tubes offered a cheap and easy way of increasing torpedo capacity without radical redesign, something neither had time or resources to do before nor early in, the war. British T-class submarines carried up to 13 torpedo tubes, up to 5 of them external. America's use was mainly limited to earlier Porpoise-, -, and -class boats. Until the appearance of the class, most American submarines only carried 4 bow and either 2 or 4 stern tubes, something many American submarine officers felt provided inadequate firepower. This problem was compounded by the notorious unreliability of the Mark 14 torpedo. Late in
Turkish cuisine. The use of layered dough is rooted in the nomadic character of early Central Asian Turks. The combination of domed metal sac and oklava (the Turkish rod-style rolling pin) enabled the invention of the layered dough style used in börek (especially in Su Böreği, or 'water pastry', a salty baklava-like pastry with cheese filling), güllaç and baklava. Börek is the general name for salty pastries made with yufka (a thick phyllo dough), which consists of thin layers of dough. Su Böreği, made with boiled yufka/phyllo layers, cheese and parsley, is the most frequently eaten. Çiğ börek (also known as Tatar böreği) is fried and stuffed with minced meat. Kol böreği is another well-known type of börek that takes its name from its shape, as do fincan (coffee cup), muska (talisman), Gül böreği (rose) or Sigara böreği (cigarette). Other traditional Turkish böreks include Talaş böreği (phyllo dough filled with vegetables and diced meat), Puf böreği. Laz böreği is a sweet type of börek, widespread in the Black Sea region. Poğaça is the label name for dough based salty pastries. Likewise çörek is another label name used for both sweet and salty pastries. Gözleme is a food typical in rural areas, made of lavash bread or phyllo dough folded around a variety of fillings such as spinach, cheese and parsley, minced meat or potatoes and cooked on a large griddle (traditionally sac). Katmer is another traditional rolled-out dough. It can be salty or sweet according to the filling. Katmer with pistachio and kaymak is a sweet food and one of the most popular breakfast items in Gaziantep. Lahmacun (meaning dough with meat in Arabic) is a thin flatbread covered with a layer of spiced minced meat, tomato, pepper, onion or garlic. Pide, which can be made with minced meat (together with onion, chopped tomatoes, parsley and spices), kashar cheese, spinach, white cheese, pieces of meat, braised meat (kavurma), sucuk, pastırma or/and eggs put on rolled-out dough, is one of the most common traditional stone-baked Turkish specialities. Açma is a soft bread found in most parts of Turkey. It is similar to simit in shape, is covered in a glaze, and is usually eaten as a part of breakfast or as a snack. Pilav and pasta Vegetarian dishes Vegetable dishes A vegetable dish can be a main course in a Turkish meal. A large variety of vegetables are used, such as spinach, leek, cauliflower, artichoke, cabbage, celery, eggplant, green and red bell peppers, string bean and jerusalem artichoke. A typical vegetable dish is prepared with a base of chopped onions, carrots sautéed first in olive oil and later with tomatoes or tomato paste. The vegetables and hot water will then be added. Quite frequently a spoon of rice and lemon juice is also added. Vegetable dishes usually tend to be served with its own water (the cooking water) thus often called in colloquial Turkish sulu yemek (literally "a dish with juice"). Minced meat can also be added to a vegetable dish but vegetable dishes that are cooked with olive oil (zeytinyağlılar) are often served cold and do not contain meat. Spinach, leek, string bean and artichoke with olive oil are among the most widespread dishes in Turkey. Dolma is the name used for stuffed vegetables. Like the vegetables cooked with olive oil as described above dolma with olive oil does not contain meat. Many vegetables are stuffed, most typically green peppers (biber dolması), eggplants, tomatoes, or zucchini/courgettes (kabak dolması), vine leaves (yaprak dolması). If vine leaves are used, they are first pickled in brine. However, dolma is not limited to these common types; many other vegetables and fruits are stuffed with a meat or pilav mixture. For example, artichoke dolma (enginar dolması) is an Aegean region specialty. Fillings used in dolma may consist of parts of the vegetable carved out for preparation, pilav with spices or minced meat. Mercimek köfte, although being named köfte, does not contain any meat. Instead, red lentil is used as the major ingredient together with spring onion, tomato paste etc. Imam bayildi is a version of karnıyarık with no minced meat inside. It can be served as a meze as well. Fried eggplant and pepper is a common summer dish in Turkey. It is served with yoğurt or tomato sauce and garlic. Mücver is prepared with grated squash/courgette or potatoes, egg, onion, dill or cheese and flour. It can be either fried or cooked in the oven. Pilav can be served either as a side dish or main dish but bulgur pilavı (pilav made of boiled and pounded wheat - bulgur) is also widely eaten. The dishes made with kuru fasulye (white beans), nohut (chickpeas), mercimek (lentils), börülce (black-eyed peas), etc., combined with onion, vegetables, minced meat, tomato paste and rice, have always been common due to being economical and nutritious. Turşu is pickle made with brine, usually with the addition of garlic. It is often enjoyed as an appetizer. It is made with a large variety of vegetables, from cucumber to courgette. In the towns on the Aegean coast, the water of turşu is consumed as a drink. It comes from the Persian "Torshi", which refers to pickled "Torsh" (sour) vegetables. Egg dishes Menemen consists of scrambled eggs cooked in tomato, green pepper, and can be onion and garlic. Çılbır is another traditional Turkish food made with poached eggs, yogurt and oil. Ispanaklı yumurta consists of eggs with spinach and onion. Kaygana can be described as something of a cross between the pancake and the omelet in Ottoman cuisine. It used to be served with cheese, honey, crushed nuts, or eggplant. However, it is almost forgotten in the big cities of Turkey. Meze and salads Meze is a selection of food served as the appetizer course with or without drinks. Some of them can be served as a main course as well. Aside from olive, mature kaşar kashar cheese, white cheese, various mixed pickles turşu, frequently eaten Turkish mezes include: Acılı ezme – hot spicy freshly mashed tomato with onion and green herbs Acuka (also known as muhammara) – a spread having both Circassian and Syrian origins, prepared with from Aleppo pepper paste, ground walnuts, tomato paste, bread crumbs, garlic, and spices Arnavut ciğeri (literally "Albanian liver") – fried liver cubes served with onion, parsley and hot pepper Roka (arugula) salatası Patlıcan salatası – eggplant salad Piyaz – white bean or potato salad with onion and vinegar Şakşuka or in another version köpoğlu – fried and chopped eggplants and peppers served with garlic yogurt or tomato sauce Bakla ezmesi – hummus prepared from broad bean Barbunya pilaki – borlotti beans cooked with garlic, tomato paste, carrot and olive oil Borani Börek – very thin dough layers stuffed with cheese, meat or vegetables Cacık – cucumber with yogurt, dried mint and olive oil Cevizli biber – a meze prepared with walnut, red pepper, pepper paste, onion and cumin Çerkez tavuğu (literally "Circassian chicken") Ahtapot (octopus) – in seatowns served as a salad or grilled Çiğ köfte – raw meat patties, similar to steak tartare, prepared with ground beef (sometimes lamb) and fine-ground bulgur; a vegetarian version using tomato paste is known as etsiz çiğ köfte (literally "meatless raw meatballs") Çoban salatası – a mixed salad of tomato, cucumber, onion, green peppers, and parsley Deniz börülcesi salatası, a salad made with young shoots of Salicornia europaea (also called common glasswort or marsh samphire), garlic, lemon juice and olive oil Dolma – vine leaves, cabbage leaves, chard leaves, peppers, tomato, squash, pumpkin, eggplant or mussels stuffed with rice or meat Fasulye pilaki – white beans cooked with garlic, tomato paste, carrot and olive oil Ezme - red pepper, onion, garlic, parsley leaves with tomato paste. The salad is seasoned with lemon, olive oil, cumin, salt and pepper. Fava – broad/horse bean puree Gavurdağı salatası Hardalotu – mustard plant salad Haydari Humus (from the Arabic for "chickpea") – a spread prepared from sesame tahini, chickpeas, garlic, olive oil, and lemon juice. İçli köfte (also known as oruk) – served either as a meze or a main dish; especially in the east of Turkey, when it is cooked through boiling in a pot, içli köfte is served as a main dish Kabak çiçeği dolması – stuffed zucchini blossoms, a kind of dolma Kalamar (calamari) – fried or grilled, served with tarator sauce Karides (shrimp) – served as a salad, grilled, or stewed with vegetables in a güveç (a casserole) Kısır (also known as 'sarma içi') – a very popular meze or side dish prepared with fine-ground bulgur, tomato paste, parsley, onion, garlic, sour pomegranate juice and a lot of spices Kızartma, various fried vegetables (eggplants, peppers, courgettes) served with yogurt or tomato-and-garlic sauce Köfte – meatballs Lakerda - picked bonito traditionally served with raki at taverns Muhammara: see Acuka Oruk: see İçli köfte Semizotu (summer purslane) salatası – served with yogurt Sıgara boreğı - feta or hot dogs wrapped in phyllo dough and fried Soslu patlıcan - cubed eggplant served in a sauce of olive oil and tomato Tarama – a spread made with fish roe Turp otu salatası Zeytin piyazi - olives and green onion salad Dolma and sarma Dolma is a verbal noun of the Turkish verb dolmak 'to be stuffed (or filled)', and means simply 'stuffed thing'. Sarma is also verbal noun of the Turkish verb sarmak 'to wrap', and means simply 'wrapped/wrapping'. Dolma and sarma has a special place in Turkish Cuisine. It can be eaten either as a meze or a main dish. It can be cooked either as a vegetable dish or meat dish. If a meat mixture is put in, it is usually served hot with yogurt and spices such as oregano and red pepper powder with oil. If the mixture is only vegan recipe it should only have olive oil, rice or bulgur, and some nuts and raisins inside, especially blackcurrant. (stuffed leaves with olive oil) is the sarma made with vine leaves stuffed with a rice-spice mixture and cooked with olive oil. This type of dolma does not contain meat, is served cold and also referred to as sarma, which means "wrapping" in Turkish. Dried fruit such as blackcurrant, raisins, figs or cherries, and cinnamon and allspice used to be added into the mixture to sweeten zeytinyağlı dolma in Ottoman Cuisine. Vine leaves (yaprak) could be filled not only with rice and spices but also with meat and rice, etli yaprak sarma, in which case it was often served hot with yogurt. The word sarma is also used for some types of desserts, such as fıstık sarma (wrapped pistachio). Melon dolma along with quince or apple dolma was one of the palace's specialties (raw melon stuffed with minced meat, onion, rice, almonds, cooked in an oven). In contemporary Turkey, a wide variety of dolma is prepared. Although it is not possible to give an exhaustive list of dolma recipes, courgette ("kabak"), aubergine ("patlıcan"), tomato ("domates"), pumpkin ("balkabağı"), pepper ("biber"), cabbage ("lahana") (black or white cabbage), chard ("pazı") and mussel ("midye") dolma constitute the most common types. Instead of dried cherries in the Palace Cuisine, currants are usually added to the filling of dolma cooked in olive oil. A different type of dolma is mumbar dolması, for which the membrane of intestines of sheep is filled up with a spicy rice pilav-nut mixture. Meat dishes Consisted of chicken or lean veal, Döner kebap is a common Turkish fast food. Tantuni (similar to dürüm, meat cut in very small pieces, served with lavash, a specialty from the Mersin province of Turkey) Kuzu güveç (lamb cooked in earthenware casserole) Pastırmalı kuru fasulye (white kidney bean stew with pastırma) Kuzu kapama (spring lamb stewed) Haşlama (boiled lamb with vegetables and lemon juice) Kavurma which means frying, roasting or parching in Turkish, is generally used for roasted lamb or a variety of fried meat dishes. Çoban kavurma is a variety of it, prepared with diced lamb with tomatoes, onions, mushrooms, peppers and herbs. Kavurma is one of the favorite dishes of Ramadan. Alinazik, a home-style Turkish kebab variety which is a specialty of the Gaziantep province. Hünkârbeğendi (the name means that the sovereign/sultan liked it, the dish consists of a puree of grilled eggplant with kaşar cheese, topped with cubed lamb meat) Türlü (a stew of vegetables and meat cooked in güveç-casserole) Külbastı Ankara tava (pilav with lamb) Elbasan tava Tandır (without adding any water, the meat is cooked very slowly with a special technique) İncik (lamb shank cooked in the oven) Boraniye (broad bean/spinach/squash boraniye, vegetables cooked together with meat, yogurt and chickpea) Karnıyarık (split-belly eggplant) (eggplants are cut off and fried. Then they are filled with minced meat, onion, garlic and tomato paste and cooked in the oven) Köfte (meatball) is another meat dish in Turkey. The word köfte is sometimes preceded by the name of a town, which refers to the technique for cooking it or the ingredients or spices specifically used in that region, for example; İnegöl köftesi, İzmir köfte, Akçaabat köfte, pideli köfte (Bursa), Filibe köfte, Tire köfte, Islama köfte (mainly in Sakarya province) etc. Its main ingredients are minced meat, parsley, bread-egg (not necessarily, usually homemade köfte contains egg yolk and some crumbled bread) and a range of spices: cumin, oregano, mint powder, red or black pepper powder with onion or garlic. Kadınbudu köfte is another traditional speciality; minced meat is mixed with cooked rice and fried. Içli köfte can be described as a shell of "bulgur" filled with onion, minced meat and nuts. Çiğ köfte is a meze from south-eastern Turkey meaning raw meatballs, prepared with bulgur wheat and raw minced meat (like beef or lamb). Today in most Turkish restaurants, the raw meat is usually omitted and instead extra-fine bulgar is used. Terbiyeli Sulu Köfte is another meatball speciality cooked with flour, tomato paste and water in which lemon and egg sauce is added. Sucuk is a form of raw sausage (made with beef meat and a range of spices, and garlic) commonly eaten with breakfast. Instead of classical sausages (sosis), sucuk is the most used ingredient for snacks and fast-food style toasts and sandwiches in Turkey. Pastırma is another famous beef delicacy. Both pastırma and sucuk can be put in kuru fasulye (dry beans) to enrich the aroma. Both can be served as a meze as well. Sucuk or pastırma with scrambled eggs, served in a small pan called sahan, is eaten at breakfast in Turkey. Kokoreç (the intestines of sheep) with spices is a traditional low-price fast food in Turkey. Liver is fried in Turkish cuisine. "Arnavut ciğeri" (meaning Albanian liver), served with onion and sumac, is usually eaten as a meze, in combination with other mezes such as fava. "Edirne ciğeri" is another famous liver dish from Edirne. Liver is first frozen so that it can be cut into very thin layers. After being cut off, liver layers are fried. Kelle (roasted sheep's head) Kuzu etli enginar (artichokes with lamb) Etli taze fasulye (green beans stew with meat) Etli bamya (okra with meat) İşkembeli nohut (chickpea with tripe) Piliç dolma (stuffed chicken with spice filling) Kebabs Kebab refers to a great variety of meat-based dishes in Turkish cuisine. Kebab in Turkey encompasses not only grilled or skewered meats, but also stews and casseroles. Adana kebap or kıyma kebabı – kebab with hand-minced meat mixed with chili on a flat wide metal skewer (shish); associated with Adana region although very popular all over Turkey. Ali Paşa kebabı, "Ali Pasha kebab" – cubed lamb with tomato, onion and parsley wrapped in phillo. Alinazik kebab – Ground meat kebab sautéed in a saucepan, with garlic, yogurt and eggplants added. Bahçıvan kebabı, 'gardener's kebab' – Boneless lamb shoulder mixed with chopped onions and tomato paste. Beyti kebab – Ground lamb or beef, seasoned and grilled on a skewer, often served wrapped in lavash and topped with tomato sauce and yogurt, traced back to the famous kebab house Beyti in İstanbul and particularly popular in Turkey's larger cities. Bostan kebabı – Lamb and aubergine casserole. Buğu kebabı, "steamed kebap" – cooked in low heat until the meat releases its moisture and reabsorbs it. Cağ kebab, 'spoke kebab' – Cubes of lamb roasted first on a cağ (a horizontal rotating spit) and then on a skewer, a specialty of Erzurum region with recently rising popularity. Ciğer kebabı, 'liver kebab' - usually eaten with sliced onions, salad and bread. Ciğerli kağıt kebabı, 'liver paper kebab' – Lamb liver kebab mixed with meat and marinated with thyme, parsley and dill. Çardak kebabı, 'arbor kebab' – Stuffed lamb meat in a crêpe. Çökertme kebabı – Sirloin veal kebap stuffed with yogurt and potatoes. Çömlek kebabı, 'earthenware bowl kebab' – Meat and vegetable casserole (called a güveç in Turkish) with eggplant, carrots, shallots, beans, tomatoes and green pepper. Çöp şiş, "small skewer kebab" – a speciality of Selçuk and Germencik near Ephesus, pounded boneless meat with tomatoes and garlic marinated with black pepper, thyme and oil on wooden skewers. Döner kebab Hünkâri kebabı, 'Sultan's kebab' – Sliced lamb meat mixed with patlıcan beğendi (aubergine purée), basil, thyme and bay leaf. İskender kebap – döner kebap served with yogurt, tomato sauce and butter, originated in Bursa. The kebab was invented by İskender Efendi in 1867. He was inspired from Cağ kebab and turned it from horizontal to vertical. İslim kebabı, 'steamed kebab' – Another version of the aubergine kebab without its skin, marinated in sunflower oil. Kağıt kebabı – Lamb cooked in a paper wrapping. Kuyu kebabı, 'pit kebab' – Prepared from the goat it is special for Aydın region, similar to tandır kebabı. Kuzu incik kebabı, 'lamb shank kebab' – Lamb shanks mixed with peeled eggplants and chopped tomatoes, cream, salt and pepper. Kuzu şiş – Shish prepared with marinated milk-fed lamb meat. Köfte kebap or Shish köfte – minced lamb meatballs with herbs, often including parsley and mint, on a stick, grilled. Manisa kebabı – This Manisa region version of the kebab is smaller and flat size shish meat on the sliced pide bread, flavored with butter, and stuffed with tomato, garlic and green pepper. Orman kebabı, 'forest kebab' – Lamb meat on the bone and cut in large pieces mixed with carrots, potatoes and peas. Patates kebabı, 'potato kebab' – Beef or chicken mixed with potatoes, onions, tomato sauce and bay leaves. Patlıcan kebabı, 'aubergine kebab' – Special kebap meat marinated in spices and served with eggplant (aubergine), hot pide bread and a yogurt sauce. Ramazan kebabı, 'Ramadan kebab' – Meat mixed with yogurt, tomato and garlic stuffed with fresh mint or garnish on Pide bread. Shish kebab – Prepared with fish, lamb or chicken meat on thin metal or reed rods, grilled. Şiş tavuk or Tavuk şiş – Yogurt-marinated chicken grilled on a stick. Sivas kebabı – Associated with the Sivas region, similar to Tokat kebab but especially lamb ribs are preferred and it also differs from Tokat kebabı on the point that there are no potatoes inside. Susuz kebap, 'waterless kebab' – Cooked after draining excess fluid from the meat rubbed with salt and cinnamon in saucepan. Talaş kebabı, 'sawdust kebab' – Diced lamb, mixed with grated onions, brown meat mixed with flour dough. Tandır kebabı, 'tandoor kebab' – Lamb pieces (sometimes a whole lamb) baked in an oven called a tandır, which requires a special way of cooking for hours. Served with bread and raw onions. Tas kebabı, 'bowl kebab' – Stewed kebab in a bowl, beginning with the cooking of the vegetables in butter employing a method called yaga vurmak, ("butter infusion"), before the meat itself is cooked in the same grease. Testi kebabı, 'earthenware-jug kebab' – Ingredients are similar to çömlek kebabı, prepared in a testi instead of a güveç, generally found in Central Anatolia and the Mid-Western Black Sea region. Tokat kebabı – Associated with the Tokat region, it is made with veal marinated in olive oil, aubergine, tomatoes, potatoes, onion, garlic and special pita bread. Urfa kebabı – is similar to Adana kebabı, but not that spicy. Fish Turkey is surrounded by seas that contain a large variety of fish. Fish are grilled, fried or cooked slowly by the buğulama (poaching) method. Buğulama is fish with lemon and parsley, covered while cooking so that it will be cooked with
Some are eaten fresh while others are preserved, either by storage in goatskin bags or pottery jars, or by drying in the sun. Çömlek cheese is a typical artisanal cheese from Central Anatolia. Kurut and keş are regional names for dried bricks of yogurt made from low-fat milk or from çökelek made from buttermilk. Golot cheese is one of the most important traditional cheeses produced in the region of East Black Sea. Gravyer is produced in Turkey as well. Among others, Kars is famous for this type of cheese. Hellim is a salty, firm-textured goat cheese, generally with some mint added, made in Northern Cyprus. In Turkey, it is common to fry hellim in a pan in some olive oil. Kaşar is Turkey's other ubiquitous cheese, a moderately fatty sheep's cheese similar to the Greek kasseri, sometimes marketed as "Turkish cheddar", being closer in consistency and taste to mild cheddar-style cheese than other Turkish cheeses. Less matured kaşar, called fresh kaşar, is widely consumed as well. Two varieties are popular Kars and Thrace. Kaşkaval is a wheel-shaped yellow sheep's cheese, similar to fresh kaşar. The name comes from Romanian word cașcaval, which bears the Italian structure of caciocavallo. Lor is the other type of unsalted whey cheese, similarly made from the whey left over from kaşar or strained yogurt manufacture. Lor is used in traditional foods and desserts made from unsalted cheese like "ekşimik" and höşmerim Mihaliç peyniri or Kelle peyniri is a hard sheep's cheese that can be grated, like Parmesan cheese. Sometimes goat or cow milk is used. It is a specialty from Karacabey, a town in Bursa province which was called Mihaliç during Byzantine and Ottoman period. Mostly it is produced from non-pasteurized milk and processed by salt. Örgü peyniri, "braided cheese", is a specialty from Diyarbakır. Otlu peynir', 'Van herbed cheese ("herbed cheese") is produced in many areas, chiefly in East Anatolia. Traditionally sheep's or goat's milk is used, but more recently cow's milk otlu peynir has been produced. The type of herb used varies by region: in Van wild garlic is traditional; Bitlis otlu peynir contains a damp-loving herb known as sof otu. In other areas horse mint (Mentha longifolia) and Pimpinella rhodentha are used. Tulum is a mostly sheep's curd molded in an animal skin bag called as tulum. There are regional varieties of tulum peynir in such areas as İzmir, Ödemiş and Erzincan. And each of the tulum cheeses have very different characteristics. Soups A Turkish meal usually starts with a thin soup (çorba). Soups are usually named after their main ingredient, the most common types being mercimek (lentil) çorbası, yogurt, and wheat (often mashed) called tarhana çorbası. Delicacy soups are the ones that are usually not the part of the daily diet, such as İşkembe soup and paça çorbası, although the latter also used to be consumed as a nutritious winter meal. Before the popularisation of the typical Turkish breakfast, soup was the default morning meal for some people. The most common soups in Turkish cuisine are: Analı kızlı soup Yayla çorbası Erişte aşı Buğday aşı/Ayran çorbası (which is served cold) Corba Domates çorbası (tomato soup) Düğün çorbası (wedding soup) Ekşi Aşı Ezogelin çorbası İşkembe çorbası Keledoş Lahana çorbası (cabbage soup) Mahluta Mercimek çorbası (lentil soup) Paça Pazı Şehriye Sheep's sorrel soup Sulu köfte Sumak aşı Tarhana çorbası Tavuk (chicken soup, with almond becomes "Bademli Tavuk") Toyga soup Trabzon Balık çorbası Tutmaç (lentil dish with noodles) Yüksük çorbası Arabaşı çorbası Bread Bazlama Gözleme Mısır ekmeği (corn bread) Lavaş Poğaça Pide (a broad, round and flat bread made of wheat flour) Simit (known as "gevrek" in Izmir, another type of ring-shaped bread covered with sesame seeds. Simit is commonly eaten in Turkey, plain or with cheese, butter or marmalade). Yufka, also known as sac ekmeği a round and flat bread, made of wheat flour, thinner than pide. Pastries Turkish cuisine has a range of savoury and sweet pastries. Dough-based specialties form an integral part of traditional Turkish cuisine. The use of layered dough is rooted in the nomadic character of early Central Asian Turks. The combination of domed metal sac and oklava (the Turkish rod-style rolling pin) enabled the invention of the layered dough style used in börek (especially in Su Böreği, or 'water pastry', a salty baklava-like pastry with cheese filling), güllaç and baklava. Börek is the general name for salty pastries made with yufka (a thick phyllo dough), which consists of thin layers of dough. Su Böreği, made with boiled yufka/phyllo layers, cheese and parsley, is the most frequently eaten. Çiğ börek (also known as Tatar böreği) is fried and stuffed with minced meat. Kol böreği is another well-known type of börek that takes its name from its shape, as do fincan (coffee cup), muska (talisman), Gül böreği (rose) or Sigara böreği (cigarette). Other traditional Turkish böreks include Talaş böreği (phyllo dough filled with vegetables and diced meat), Puf böreği. Laz böreği is a sweet type of börek, widespread in the Black Sea region. Poğaça is the label name for dough based salty pastries. Likewise çörek is another label name used for both sweet and salty pastries. Gözleme is a food typical in rural areas, made of lavash bread or phyllo dough folded around a variety of fillings such as spinach, cheese and parsley, minced meat or potatoes and cooked on a large griddle (traditionally sac). Katmer is another traditional rolled-out dough. It can be salty or sweet according to the filling. Katmer with pistachio and kaymak is a sweet food and one of the most popular breakfast items in Gaziantep. Lahmacun (meaning dough with meat in Arabic) is a thin flatbread covered with a layer of spiced minced meat, tomato, pepper, onion or garlic. Pide, which can be made with minced meat (together with onion, chopped tomatoes, parsley and spices), kashar cheese, spinach, white cheese, pieces of meat, braised meat (kavurma), sucuk, pastırma or/and eggs put on rolled-out dough, is one of the most common traditional stone-baked Turkish specialities. Açma is a soft bread found in most parts of Turkey. It is similar to simit in shape, is covered in a glaze, and is usually eaten as a part of breakfast or as a snack. Pilav and pasta Vegetarian dishes Vegetable dishes A vegetable dish can be a main course in a Turkish meal. A large variety of vegetables are used, such as spinach, leek, cauliflower, artichoke, cabbage, celery, eggplant, green and red bell peppers, string bean and jerusalem artichoke. A typical vegetable dish is prepared with a base of chopped onions, carrots sautéed first in olive oil and later with tomatoes or tomato paste. The vegetables and hot water will then be added. Quite frequently a spoon of rice and lemon juice is also added. Vegetable dishes usually tend to be served with its own water (the cooking water) thus often called in colloquial Turkish sulu yemek (literally "a dish with juice"). Minced meat can also be added to a vegetable dish but vegetable dishes that are cooked with olive oil (zeytinyağlılar) are often served cold and do not contain meat. Spinach, leek, string bean and artichoke with olive oil are among the most widespread dishes in Turkey. Dolma is the name used for stuffed vegetables. Like the vegetables cooked with olive oil as described above dolma with olive oil does not contain meat. Many vegetables are stuffed, most typically green peppers (biber dolması), eggplants, tomatoes, or zucchini/courgettes (kabak dolması), vine leaves (yaprak dolması). If vine leaves are used, they are first pickled in brine. However, dolma is not limited to these common types; many other vegetables and fruits are stuffed with a meat or pilav mixture. For example, artichoke dolma (enginar dolması) is an Aegean region specialty. Fillings used in dolma may consist of parts of the vegetable carved out for preparation, pilav with spices or minced meat. Mercimek köfte, although being named köfte, does not contain any meat. Instead, red lentil is used as the major ingredient together with spring onion, tomato paste etc. Imam bayildi is a version of karnıyarık with no minced meat inside. It can be served as a meze as well. Fried eggplant and pepper is a common summer dish in Turkey. It is served with yoğurt or tomato sauce and garlic. Mücver is prepared with grated squash/courgette or potatoes, egg, onion, dill or cheese and flour. It can be either fried or cooked in the oven. Pilav can be served either as a side dish or main dish but bulgur pilavı (pilav made of boiled and pounded wheat - bulgur) is also widely eaten. The dishes made with kuru fasulye (white beans), nohut (chickpeas), mercimek (lentils), börülce (black-eyed peas), etc., combined with onion, vegetables, minced meat, tomato paste and rice, have always been common due to being economical and nutritious. Turşu is pickle made with brine, usually with the addition of garlic. It is often enjoyed as an appetizer. It is made with a large variety of vegetables, from cucumber to courgette. In the towns on the Aegean coast, the water of turşu is consumed as a drink. It comes from the Persian "Torshi", which refers to pickled "Torsh" (sour) vegetables. Egg dishes Menemen consists of scrambled eggs cooked in tomato, green pepper, and can be onion and garlic. Çılbır is another traditional Turkish food made with poached eggs, yogurt and oil. Ispanaklı yumurta consists of eggs with spinach and onion. Kaygana can be described as something of a cross between the pancake and the omelet in Ottoman cuisine. It used to be served with cheese, honey, crushed nuts, or eggplant. However, it is almost forgotten in the big cities of Turkey. Meze and salads Meze is a selection of food served as the appetizer course with or without drinks. Some of them can be served as a main course as well. Aside from olive, mature kaşar kashar cheese, white cheese, various mixed pickles turşu, frequently eaten Turkish mezes include: Acılı ezme – hot spicy freshly mashed tomato with onion and green herbs Acuka (also known as muhammara) – a spread having both Circassian and Syrian origins, prepared with from Aleppo pepper paste, ground walnuts, tomato paste, bread crumbs, garlic, and spices Arnavut ciğeri (literally "Albanian liver") – fried liver cubes served with onion, parsley and hot pepper Roka (arugula) salatası Patlıcan salatası – eggplant salad Piyaz – white bean or potato salad with onion and vinegar Şakşuka or in another version köpoğlu – fried and chopped eggplants and peppers served with garlic yogurt or tomato sauce Bakla ezmesi – hummus prepared from broad bean Barbunya pilaki – borlotti beans cooked with garlic, tomato paste, carrot and olive oil Borani Börek – very thin dough layers stuffed with cheese, meat or vegetables Cacık – cucumber with yogurt, dried mint and olive oil Cevizli biber – a meze prepared with walnut, red pepper, pepper paste, onion and cumin Çerkez tavuğu (literally "Circassian chicken") Ahtapot (octopus) – in seatowns served as a salad or grilled Çiğ köfte – raw meat patties, similar to steak tartare, prepared with ground beef (sometimes lamb) and fine-ground bulgur; a vegetarian version using tomato paste is known as etsiz çiğ köfte (literally "meatless raw meatballs") Çoban salatası – a mixed salad of tomato, cucumber, onion, green peppers, and parsley Deniz börülcesi salatası, a salad made with young shoots of Salicornia europaea (also called common glasswort or marsh samphire), garlic, lemon juice and olive oil Dolma – vine leaves, cabbage leaves, chard leaves, peppers, tomato, squash, pumpkin, eggplant or mussels stuffed with rice or meat Fasulye pilaki – white beans cooked with garlic, tomato paste, carrot and olive oil Ezme - red pepper, onion, garlic, parsley leaves with tomato paste. The salad is seasoned with lemon, olive oil, cumin, salt and pepper. Fava – broad/horse bean puree Gavurdağı salatası Hardalotu – mustard plant salad Haydari Humus (from the Arabic for "chickpea") – a spread prepared from sesame tahini, chickpeas, garlic, olive oil, and lemon juice. İçli köfte (also known as oruk) – served either as a meze or a main dish; especially in the east of Turkey, when it is cooked through boiling in a pot, içli köfte is served as a main dish Kabak çiçeği dolması – stuffed zucchini blossoms, a kind of dolma Kalamar (calamari) – fried or grilled, served with tarator sauce Karides (shrimp) – served as a salad, grilled, or stewed with vegetables in a güveç (a casserole) Kısır (also known as 'sarma içi') – a very popular meze or side dish prepared with fine-ground bulgur, tomato paste, parsley, onion, garlic, sour pomegranate juice and a lot of spices Kızartma, various fried vegetables (eggplants, peppers, courgettes) served with yogurt or tomato-and-garlic sauce Köfte – meatballs Lakerda - picked bonito traditionally served with raki at taverns Muhammara: see Acuka Oruk: see İçli köfte Semizotu (summer purslane) salatası – served with yogurt Sıgara boreğı - feta or hot dogs wrapped in phyllo dough and fried Soslu patlıcan - cubed eggplant served in a sauce of olive oil and tomato Tarama – a spread made with fish roe Turp otu salatası Zeytin piyazi - olives and green onion salad Dolma and sarma Dolma is a verbal noun of the Turkish verb dolmak 'to be stuffed
the vertical length of a single unit to form bundles of three columns. Bundles are packed together to form the final crystal structure. Because the neighboring columns are offset, the basic structural unit is not a unit cell: The actual unit cell of this structure includes portions of several units belonging to adjacent columns. Color Tourmaline has a variety of colors. Iron-rich tourmalines are usually black to bluish-black to deep brown, while magnesium-rich varieties are brown to yellow, and lithium-rich tourmalines are almost any color: blue, green, red, yellow, pink, etc. Rarely, it is colorless. Bi-colored and multicolored crystals are common, reflecting variations of fluid chemistry during crystallization. Crystals may be green at one end and pink at the other, or green on the outside and pink inside; this type is called watermelon tourmaline and is prized in jewelry. An excellent example of watermelon tourmaline jewelry is a brooch piece (1969, gold, watermelon tourmaline, diamonds) by Andrew Grima (British, b. Italy, 1921–2007), in the collection of Kimberly Klosterman and on display at the Cincinnati Art Museum. Some forms of tourmaline are dichroic; they change color when viewed from different directions. The pink color of tourmalines from many localities is the result of prolonged natural irradiation. During their growth, these tourmaline crystals incorporated Mn2+ and were initially very pale. Due to natural gamma ray exposure from radioactive decay of 40K in their granitic environment, gradual formation of Mn3+ ions occurs, which is responsible for the deepening of the pink to red color. Magnetism Opaque black schorl and yellow tsilaisite are idiochromatic tourmaline species that have high magnetic susceptibilities due to high concentrations of iron and manganese respectively. Most gem-quality tourmalines are of the elbaite species. Elbaite tourmalines are allochromatic, deriving most of their color and magnetic susceptibility from schorl (which imparts iron) and tsilaisite (which imparts manganese). Red and pink tourmalines have the lowest magnetic susceptibilities among the elbaites, while tourmalines with bright yellow, green and blue colors are the most magnetic elbaites. Dravite species such as green chromium dravite and brown dravite are diamagnetic. A handheld neodymium magnet can be used to identify or separate some types of tourmaline gems from others. For example, blue indicolite tourmaline is the only blue gemstone of any kind that will show a drag response when a neodymium magnet is applied. Any blue tourmaline that is diamagnetic can be identified as paraiba tourmaline colored by copper in contrast to magnetic blue tourmaline colored by iron. Treatments Some tourmaline gems, especially pink to red colored stones, are altered by heat treatment to improve their color. Overly dark red stones can be lightened by careful heat treatment. The pink color in manganese-containing near-colorless to pale pink stones can be greatly increased by irradiation with gamma-rays or electron beams. Irradiation is almost impossible to detect in tourmalines, and does not, currently, affect the value. Heavily included tourmalines, such as rubellite and Brazilian paraiba, are sometimes clarity-enhanced. A clarity-enhanced tourmaline (especially the paraiba variety) is worth much less than an untreated gem of equal clarity. Geology Tourmaline is found in granite and granite pegmatites and in metamorphic rocks such as schist and marble. Schorl and lithium-rich tourmalines are usually found in granite and granite pegmatite. Magnesium-rich tourmalines, dravites, are generally restricted to schists and marble. Tourmaline is a durable mineral and can be found in minor amounts as grains in sandstone and conglomerate, and is part of the ZTR index for highly weathered sediments. Localities Gem and specimen tourmaline is mined chiefly in Brazil and many parts of Africa, including Tanzania, Nigeria, Kenya, Madagascar, Mozambique, Malawi, and Namibia. It is also mined in Asia, notably in Pakistan, Afghanistan, and Indonesia as well as in Sri Lanka and India, where some placer material suitable for gem use is found. United States Some fine gems and specimen material have been produced in the United States, with the first discoveries in 1822, in the state of Maine. California became a large producer of tourmaline in the early 1900s. The Maine deposits tend to produce crystals in raspberry pink-red as well as minty greens. The California deposits are known for bright pinks, as well as bicolors. During the early 1900s, Maine and California were the world's largest producers of gem tourmalines. The Empress Dowager Cixi of China loved pink tourmaline and bought large quantities for gemstones and carvings from the then new Himalaya Mine, located in San Diego County, California. It is not clear when the first tourmaline was found in California. Native Americans have used pink and green tourmaline as funeral gifts for centuries. The first documented case was in 1890 when Charles Russel Orcutt found pink tourmaline at what later became the Stewart Mine at Pala, California in San Diego County. Brazil Almost every color of tourmaline can be found in Brazil, especially in the Brazilian states of Minas Gerais and Bahia. The new type of tourmaline, which soon became known as paraiba tourmaline, came in blue and green. Brazilian paraiba tourmaline usually contains abundant inclusions. Much of the paraiba tourmaline from Brazil actually comes from the neighboring state of Rio Grande do Norte. Material from Rio Grande do Norte is often somewhat less intense in color, but many fine gems are found there. It was determined that the element copper was important in the coloration of the stone. A large bluish-green tourmaline from Paraiba, measuring and weighing , is the world's largest cut tourmaline. Owned by Billionaire Business Enterprises, it was presented in Montreal, Quebec, Canada, on 14 October 2009. Africa In the late 1990s, copper-containing tourmaline was found in Nigeria. The material was generally paler and less saturated than the Brazilian materials, although the material generally was much less included. A more recent African discovery from Mozambique has also produced tourmaline colored by copper, similar
pink stones can be greatly increased by irradiation with gamma-rays or electron beams. Irradiation is almost impossible to detect in tourmalines, and does not, currently, affect the value. Heavily included tourmalines, such as rubellite and Brazilian paraiba, are sometimes clarity-enhanced. A clarity-enhanced tourmaline (especially the paraiba variety) is worth much less than an untreated gem of equal clarity. Geology Tourmaline is found in granite and granite pegmatites and in metamorphic rocks such as schist and marble. Schorl and lithium-rich tourmalines are usually found in granite and granite pegmatite. Magnesium-rich tourmalines, dravites, are generally restricted to schists and marble. Tourmaline is a durable mineral and can be found in minor amounts as grains in sandstone and conglomerate, and is part of the ZTR index for highly weathered sediments. Localities Gem and specimen tourmaline is mined chiefly in Brazil and many parts of Africa, including Tanzania, Nigeria, Kenya, Madagascar, Mozambique, Malawi, and Namibia. It is also mined in Asia, notably in Pakistan, Afghanistan, and Indonesia as well as in Sri Lanka and India, where some placer material suitable for gem use is found. United States Some fine gems and specimen material have been produced in the United States, with the first discoveries in 1822, in the state of Maine. California became a large producer of tourmaline in the early 1900s. The Maine deposits tend to produce crystals in raspberry pink-red as well as minty greens. The California deposits are known for bright pinks, as well as bicolors. During the early 1900s, Maine and California were the world's largest producers of gem tourmalines. The Empress Dowager Cixi of China loved pink tourmaline and bought large quantities for gemstones and carvings from the then new Himalaya Mine, located in San Diego County, California. It is not clear when the first tourmaline was found in California. Native Americans have used pink and green tourmaline as funeral gifts for centuries. The first documented case was in 1890 when Charles Russel Orcutt found pink tourmaline at what later became the Stewart Mine at Pala, California in San Diego County. Brazil Almost every color of tourmaline can be found in Brazil, especially in the Brazilian states of Minas Gerais and Bahia. The new type of tourmaline, which soon became known as paraiba tourmaline, came in blue and green. Brazilian paraiba tourmaline usually contains abundant inclusions. Much of the paraiba tourmaline from Brazil actually comes from the neighboring state of Rio Grande do Norte. Material from Rio Grande do Norte is often somewhat less intense in color, but many fine gems are found there. It was determined that the element copper was important in the coloration of the stone. A large bluish-green tourmaline from Paraiba, measuring and weighing , is the world's largest cut tourmaline. Owned by Billionaire Business Enterprises, it was presented in Montreal, Quebec, Canada, on 14 October 2009. Africa In the late 1990s, copper-containing tourmaline was found in Nigeria. The material was generally paler and less saturated than the Brazilian materials, although the material generally was much less included. A more recent African discovery from Mozambique has also produced tourmaline colored by copper, similar to the Brazilian paraiba. While its colors are somewhat less bright than top Brazilian material, Mozambique paraiba is often less-included and has been found in larger sizes. The Mozambique paraiba material usually is more intensely colored than the Nigerian. Another highly valuable variety is chrome tourmaline, a rare type of dravite tourmaline from Tanzania. Chrome tourmaline is a rich green color due to the presence of chromium atoms in the crystal. Of the standard elbaite colors, blue indicolite gems are typically the most valuable, followed by green verdelite and pink to red rubellite. See also Benjamin Wilson – experimented with the electrical properties of tourmaline References Citations Sources Further reading External links Tourmaline classification Mindat tourmaline group ICA's tourmaline
a journey into space in a high-speed rocket and returns home to find that the twin who remained on Earth has aged more. This result appears puzzling because each twin sees the other twin as moving, and so, as a consequence of an incorrect and naive application of time dilation and the principle of relativity, each should paradoxically find the other to have aged less. However, this scenario can be resolved within the standard framework of special relativity: the travelling twin's trajectory involves two different inertial frames, one for the outbound journey and one for the inbound journey. Another way of looking at it is by realising that the travelling twin is undergoing acceleration, which makes him a non-inertial observer. In both views there is no symmetry between the spacetime paths of the twins. Therefore, the twin paradox is not a paradox in the sense of a logical contradiction. Starting with Paul Langevin in 1911, there have been various explanations of this paradox. These explanations "can be grouped into those that focus on the effect of different standards of simultaneity in different frames, and those that designate the acceleration [experienced by the travelling twin] as the main reason". Max von Laue argued in 1913 that since the traveling twin must be in two separate inertial frames, one on the way out and another on the way back, this frame switch is the reason for the aging difference. Explanations put forth by Albert Einstein and Max Born invoked gravitational time dilation to explain the aging as a direct effect of acceleration. However, it has been proven that neither general relativity, nor even acceleration, are necessary to explain the effect, as the effect still applies to a theoretical observer that can invert the direction of motion instantly, maintaining constant speed all through the two phases of the trip. Such observer can be thought of as a pair of observers, one travelling away from the starting point and another travelling toward it, passing by each other where the turnaround point would be. At this moment, the clock reading in the first observer is transferred to the second one, both maintaining constant speed, with both trip times being added at the end of their journey. History In his famous paper on special relativity in 1905, Albert Einstein deduced that when two clocks were brought together and synchronized, and then one was moved away and brought back, the clock which had undergone the traveling would be found to be lagging behind the clock which had stayed put. Einstein considered this to be a natural consequence of special relativity, not a paradox as some suggested, and in 1911, he restated and elaborated on this result as follows (with physicist Robert Resnick's comments following Einstein's): In 1911, Paul Langevin gave a "striking example" by describing the story of a traveler making a trip at a Lorentz factor of (99.995% the speed of light). The traveler remains in a projectile for one year of his time, and then reverses direction. Upon return, the traveler will find that he has aged two years, while 200 years have passed on Earth. During the trip, both the traveler and Earth keep sending signals to each other at a constant rate, which places Langevin's story among the Doppler shift versions of the twin paradox. The relativistic effects upon the signal rates are used to account for the different aging rates. The asymmetry that occurred because only the traveler underwent acceleration is used to explain why there is any difference at all, because "any change of velocity, or any acceleration has an absolute meaning". Max von Laue (1911, 1913) elaborated on Langevin's explanation. Using Hermann Minkowski's spacetime formalism, Laue went on to demonstrate that the world lines of the inertially moving bodies maximize the proper time elapsed between two events. He also wrote that the asymmetric aging is completely accounted for by the fact that the astronaut twin travels in two separate frames, while the Earth twin remains in one frame, and the time of acceleration can be made arbitrarily small compared with the time of inertial motion. Eventually, Lord Halsbury and others removed any acceleration by introducing the "three-brother" approach. The traveling twin transfers his clock reading to a third one, traveling in the opposite direction. Another way of avoiding acceleration effects is the use of the relativistic Doppler effect (see What it looks like: the relativistic Doppler shift below). Neither Einstein nor Langevin considered such results to be problematic: Einstein only called it "peculiar" while Langevin presented it as a consequence of absolute acceleration. Both men argued that, from the time differential illustrated by the story of the twins, no self-contradiction could be constructed. In other words, neither Einstein nor Langevin saw the story of the twins as constituting a challenge to the self-consistency of relativistic physics. Specific example Consider a space ship traveling from Earth to the nearest star system: a distance years away, at a speed (i.e., 80% of the speed of light). To make the numbers easy, the ship is assumed to attain full speed in a negligible time upon departure (even though it would actually take about 9 months accelerating at 1 g to get up to speed). Similarly, at the end of the outgoing trip, the change in direction needed to start the return trip is assumed to occur in a negligible time. This can also be modelled by assuming that the ship is already in motion at the beginning of the experiment and that the return event is modelled by a Dirac delta distribution acceleration. The parties will observe the situation as follows: Earth perspective The Earth-based mission control reasons about the journey this way: the round trip will take in Earth time (i.e. everybody on Earth will be 10 years older when the ship returns). The amount of time as measured on the ship's clocks and the aging of the travelers during their trip will be reduced by the factor , the reciprocal of the Lorentz factor (time dilation). In this case and the travelers will have aged only when they return. Travellers' perspective The ship's crew members also calculate the particulars of their trip from their perspective. They know that the distant star system and the Earth are moving relative to the ship at speed v during the trip. In their rest frame the distance between the Earth and the star system is years (length contraction), for both the outward and return journeys. Each half of the journey takes , and the round trip takes twice as long (6 years). Their calculations show that they will arrive home having aged 6 years. The travelers' final calculation about their aging is in complete agreement with the calculations of those on Earth, though they experience the trip quite differently from those who stay at home. Conclusion No matter what method they use to predict the clock readings, everybody will agree about them. If twins are born on the day the ship leaves, and one goes on the journey while the other stays on Earth, they will meet again when the traveler is 6 years old and the stay-at-home twin is 10 years old. Resolution of the paradox in special relativity The paradoxical aspect of the twins' situation arises from the fact that at any given moment the travelling twin's clock is running slow in the earthbound twin's inertial frame, but based on the relativity principle one could equally argue that the earthbound twin's clock is running slow in the travelling twin's inertial frame. One proposed resolution is based on the fact that the earthbound twin is at rest in the same inertial frame throughout the journey, while the travelling twin is not: in the simplest version of the thought-experiment, the travelling twin switches at the midpoint of the trip from being at rest in an inertial frame which moves in one direction (away from the Earth) to being at rest in an inertial frame which moves in the opposite direction (towards the Earth). In this approach, determining which observer switches frames and which does not is crucial. Although both twins can legitimately claim that they are at rest in their own frame, only the traveling twin experiences acceleration when the spaceship engines are turned on. This acceleration, measurable with an accelerometer, makes his rest frame temporarily non-inertial. This reveals a crucial asymmetry between the twins' perspectives: although we can predict the aging difference from both perspectives, we need to use different methods to obtain correct results. Role of acceleration Although some solutions attribute a crucial role to the acceleration of the travelling twin at the time of the turnaround, others note that the effect also arises if one imagines two separate travellers, one outward-going and one inward-coming, who pass each other and synchronize their clocks at the point corresponding to "turnaround" of a single traveller. In this version, physical acceleration of the travelling clock plays no direct role; "the issue is how long the world-lines are, not how bent". The length referred to here is the Lorentz-invariant length or "proper time interval" of a trajectory which corresponds to the elapsed time measured by a clock following that trajectory (see Section Difference in elapsed time as a result of differences in twins' spacetime paths below). In Minkowski spacetime, the travelling twin must feel a different history of accelerations from the earthbound twin, even if this just means accelerations of the same size separated by different amounts of time, however "even this role for acceleration can be eliminated in formulations of the twin paradox in curved spacetime, where the twins can fall freely along space-time geodesics between meetings". Relativity of simultaneity For a moment-by-moment understanding of how the time difference between the twins unfolds, one must understand that in special relativity there is no concept of absolute present. For different inertial frames there are different sets of events that are simultaneous in that frame. This relativity of simultaneity means that switching from one inertial frame to another requires an adjustment in what slice through spacetime counts as the "present". In the spacetime diagram on the right, drawn for the reference frame of the Earth-based twin, that twin's world line coincides with the vertical axis (his position is constant in space, moving only in time). On the first leg of the trip, the second twin moves to the right (black sloped line); and on the second leg, back to the left. Blue lines show the planes of simultaneity for the traveling twin during the first leg of the journey; red lines, during the second leg. Just before turnaround, the traveling twin calculates the age of the Earth-based twin by measuring the interval along the vertical axis from the origin to the upper blue line. Just after turnaround, if he recalculates, he will measure the interval from the origin to the lower red line. In a sense, during the U-turn the plane of simultaneity jumps from blue to red and very quickly sweeps over a large segment of the world line of the Earth-based twin. When one transfers from the outgoing inertial frame to the incoming inertial frame there is a jump discontinuity in the age of the Earth-based twin (6.4 years in the example above). A non space-time approach As mentioned above, an "out and back" twin paradox adventure may incorporate the transfer of clock reading from an "outgoing" astronaut to an "incoming" astronaut, thus entirely eliminating the effect of acceleration. Also, according to the so-called "clock postulate", physical acceleration of clocks doesn't contribute to the kinematical effects of special relativity. Rather, the time differential between two reunited clocks is produced purely by uniform inertial motion, as discussed in Einstein's original 1905 relativity paper, as well as in all subsequent kinematical derivations of the Lorentz transformations. Because spacetime diagrams incorporate Einstein's clock synchronization (with its lattice of clocks methodology), there will be a requisite jump in the reading of the Earth clock time made by a "suddenly returning astronaut" who inherits a "new meaning of simultaneity" in keeping with a new clock synchronization dictated by the transfer to a different inertial frame, as explained in Spacetime Physics by John A. Wheeler. If, instead of incorporating Einstein's clock synchronization (lattice of clocks), the astronaut (outgoing and incoming) and the Earth-based party regularly update each other on the status of their clocks by way of sending radio signals (which travel at light speed), then all parties will note an incremental buildup of asymmetry in time-keeping, beginning at the "turn around" point. Prior to the "turn around", each party regards the other party's clock to be recording time differently from his own, but the noted difference is symmetrical between the two parties. After the "turn around", the noted differences are not symmetrical, and the asymmetry grows incrementally until the two parties are reunited. Upon finally reuniting, this asymmetry can be seen in the actual difference showing on the two reunited clocks. The equivalence of biological aging and clock time-keeping All processes—chemical, biological, measuring apparatus functioning, human perception involving the eye and brain, the communication of force—are constrained by the speed of light. There is clock functioning at every level, dependent on light speed and
time of the turnaround, others note that the effect also arises if one imagines two separate travellers, one outward-going and one inward-coming, who pass each other and synchronize their clocks at the point corresponding to "turnaround" of a single traveller. In this version, physical acceleration of the travelling clock plays no direct role; "the issue is how long the world-lines are, not how bent". The length referred to here is the Lorentz-invariant length or "proper time interval" of a trajectory which corresponds to the elapsed time measured by a clock following that trajectory (see Section Difference in elapsed time as a result of differences in twins' spacetime paths below). In Minkowski spacetime, the travelling twin must feel a different history of accelerations from the earthbound twin, even if this just means accelerations of the same size separated by different amounts of time, however "even this role for acceleration can be eliminated in formulations of the twin paradox in curved spacetime, where the twins can fall freely along space-time geodesics between meetings". Relativity of simultaneity For a moment-by-moment understanding of how the time difference between the twins unfolds, one must understand that in special relativity there is no concept of absolute present. For different inertial frames there are different sets of events that are simultaneous in that frame. This relativity of simultaneity means that switching from one inertial frame to another requires an adjustment in what slice through spacetime counts as the "present". In the spacetime diagram on the right, drawn for the reference frame of the Earth-based twin, that twin's world line coincides with the vertical axis (his position is constant in space, moving only in time). On the first leg of the trip, the second twin moves to the right (black sloped line); and on the second leg, back to the left. Blue lines show the planes of simultaneity for the traveling twin during the first leg of the journey; red lines, during the second leg. Just before turnaround, the traveling twin calculates the age of the Earth-based twin by measuring the interval along the vertical axis from the origin to the upper blue line. Just after turnaround, if he recalculates, he will measure the interval from the origin to the lower red line. In a sense, during the U-turn the plane of simultaneity jumps from blue to red and very quickly sweeps over a large segment of the world line of the Earth-based twin. When one transfers from the outgoing inertial frame to the incoming inertial frame there is a jump discontinuity in the age of the Earth-based twin (6.4 years in the example above). A non space-time approach As mentioned above, an "out and back" twin paradox adventure may incorporate the transfer of clock reading from an "outgoing" astronaut to an "incoming" astronaut, thus entirely eliminating the effect of acceleration. Also, according to the so-called "clock postulate", physical acceleration of clocks doesn't contribute to the kinematical effects of special relativity. Rather, the time differential between two reunited clocks is produced purely by uniform inertial motion, as discussed in Einstein's original 1905 relativity paper, as well as in all subsequent kinematical derivations of the Lorentz transformations. Because spacetime diagrams incorporate Einstein's clock synchronization (with its lattice of clocks methodology), there will be a requisite jump in the reading of the Earth clock time made by a "suddenly returning astronaut" who inherits a "new meaning of simultaneity" in keeping with a new clock synchronization dictated by the transfer to a different inertial frame, as explained in Spacetime Physics by John A. Wheeler. If, instead of incorporating Einstein's clock synchronization (lattice of clocks), the astronaut (outgoing and incoming) and the Earth-based party regularly update each other on the status of their clocks by way of sending radio signals (which travel at light speed), then all parties will note an incremental buildup of asymmetry in time-keeping, beginning at the "turn around" point. Prior to the "turn around", each party regards the other party's clock to be recording time differently from his own, but the noted difference is symmetrical between the two parties. After the "turn around", the noted differences are not symmetrical, and the asymmetry grows incrementally until the two parties are reunited. Upon finally reuniting, this asymmetry can be seen in the actual difference showing on the two reunited clocks. The equivalence of biological aging and clock time-keeping All processes—chemical, biological, measuring apparatus functioning, human perception involving the eye and brain, the communication of force—are constrained by the speed of light. There is clock functioning at every level, dependent on light speed and the inherent delay at even the atomic level. Biological aging, therefore, is in no way different from clock time-keeping. This means that biological aging would be slowed in the same manner as a clock. What it looks like: the relativistic Doppler shift In view of the frame-dependence of simultaneity for events at different locations in space, some treatments prefer a more phenomenological approach, describing what the twins would observe if each sent out a series of regular radio pulses, equally spaced in time according to the emitter's clock. This is equivalent to asking, if each twin sent a video feed of themselves to each other, what do they see in their screens? Or, if each twin always carried a clock indicating his age, what time would each see in the image of their distant twin and his clock? Shortly after departure, the traveling twin sees the stay-at-home twin with no time delay. At arrival, the image in the ship screen shows the staying twin as he was 1 year after launch, because radio emitted from Earth 1 year after launch gets to the other star 4 years afterwards and meets the ship there. During this leg of the trip, the traveling twin sees his own clock advance 3 years and the clock in the screen advance 1 year, so it seems to advance at the normal rate, just 20 image seconds per ship minute. This combines the effects of time dilation due to motion (by factor ε=0.6, five years on Earth are 3 years on ship) and the effect of increasing light-time-delay (which grows from 0 to 4 years). Of course, the observed frequency of the transmission is also the frequency of the transmitter (a reduction in frequency; "red-shifted"). This is called the relativistic Doppler effect. The frequency of clock-ticks (or of wavefronts) which one sees from a source with rest frequency frest is when the source is moving directly away. This is fobs = frest for v/c = 0.8. As for the stay-at-home twin, he gets a slowed signal from the ship for 9 years, at a frequency the transmitter frequency. During these 9 years, the clock of the traveling twin in the screen seems to advance 3 years, so both twins see the image of their sibling aging at a rate only their own rate. Expressed in other way, they would both see the other's clock run at their own clock speed. If they factor out of the calculation the fact that the light-time delay of the transmission is increasing at a rate of 0.8 seconds per second, both can work out that the other twin is aging slower, at 60% rate. Then the ship turns back toward home. The clock of the staying twin shows "1 year after launch" in the screen of the ship, and during the 3 years of the trip back it increases up to "10 years after launch", so the clock in the screen seems to be advancing 3 times faster than usual. When the source is moving towards the observer, the observed frequency is higher ("blue-shifted") and given by This is fobs = 3frest for v/c = 0.8. As for the screen on Earth, it shows that trip back beginning 9 years after launch, and the traveling clock in the screen shows that 3 years have passed on the ship. One year later, the ship is back home and the clock shows 6 years. So, during the trip back, both twins see their sibling's clock going 3 times faster than their own. Factoring out the fact that the light-time-delay is decreasing by 0.8 seconds every second, each twin calculates that the other twin is aging at 60% his own aging speed. The x–t (space–time) diagrams at left show the paths of light signals traveling between Earth and ship (1st diagram) and between ship and Earth (2nd diagram). These signals carry the images of each twin and his age-clock to the other twin. The vertical black line is the Earth's path through spacetime and the other two sides of the triangle show the ship's path through spacetime (as in the Minkowski diagram above). As far as the sender is concerned, he transmits these at equal intervals (say, once an hour) according to his own clock; but according to the clock of the twin receiving these signals, they are not being received at equal intervals. After the ship has reached its cruising speed of 0.8c, each twin would see 1 second pass in the received image of the other twin for every 3 seconds of his own time. That is, each would see the image of the other's clock going slow, not just slow by the ε factor 0.6, but even slower because light-time-delay is increasing 0.8 seconds per second. This is shown in the figures by red light paths. At some point, the images received by each twin change so that each would see 3 seconds pass in the image for every second of his own time. That is, the received signal has been increased in frequency by the Doppler shift. These high frequency images are shown in the figures by blue light paths. The asymmetry in the Doppler shifted images The asymmetry between the Earth and the space ship is manifested in this diagram by the fact that more blue-shifted (fast aging) images are received by the ship. Put another way, the space ship sees the image change from a red-shift (slower aging of the image) to a blue-shift (faster aging of the image) at the midpoint of its trip (at the turnaround, 3 years after departure); the Earth sees the image of the ship change from red-shift to blue shift after 9 years (almost at the end of the period that the ship is absent). In the next section, one will see another asymmetry in the images: the Earth twin sees the ship twin age by the same amount in the red and blue shifted images; the ship twin sees the Earth twin age by different amounts in the red and blue shifted images. Calculation of elapsed time from the Doppler diagram The twin on the ship sees low frequency (red) images for 3 years. During that time, he would see the Earth twin in the image grow older by . He then sees high frequency (blue) images during the back trip of 3 years. During that time, he would see the Earth twin in the image grow older by When the journey is finished, the image of the Earth twin has aged by The Earth twin sees 9 years of slow
daughter, pours upon it a poisonous distillation, which she drinks and dies. Fiammetta narrates this tale, whose earliest source is a French manuscript written by a man named Thomas. However, it is referred to in the early 12th century of Tristan and Iseult. Second tale (IV, 2) Friar Alberto deceives a woman into believing that the Angel Gabriel is in love with her. As an excuse to sleep with her, Friar Alberto tells her that Gabriel can enter his body. Afterward, for fear of her kinsmen, he flings himself out of her window and finds shelter in the house of a poor man. The next day the poor man leads him in the guise of a wild man into the piazza, where, being recognized, he is apprehended by his fellow monks and imprisoned. Pampinea tells the second tale of the day, which is a very ancient tale. Supposedly it comes from an episode in the life of Alexander the Great. Other notable previous recordings of it include Josephus's Jewish Antiquities, the Pantschantantra, and One Thousand and One Arabian Nights. Third tale (IV, 3) Three young men love three sisters, and flee with them to Crete. The eldest of the sisters slays her lover for jealousy. The second saves the life of the first by yielding herself to the Duke of Crete. Her lover slays her, and makes off with the first: the third sister and her lover are charged with the murder, are arrested and confess the crime. They escape death by bribing the guards, flee destitute to Rhodes, and there in destitution die. Lauretta narrates. Fourth tale (IV, 4) Gerbino, in breach of the plighted faith of his grandfather, King William, attacks a ship of the King of Tunis to rescue his daughter. She is killed by those aboard the ship, Gerbino slays them, and afterward he is beheaded. There is no known source for Elissa's tale. Fifth tale (IV, 5) Lisabetta's brothers slay her lover. He appears to her in a dream and shows her where he is buried. She disinters the head and sets it in a pot of basil, whereon she daily weeps a great while. Her brothers take the pot from her and she dies shortly after. Filomena tells this story, one of the most famous in the Decameron, and the basis of John Keats' narrative poem Isabella, or the Pot of Basil. Sixth tale (IV, 6) Andreuola loves Gabriotto: she tells him a dream that she has had; he tells her a dream of his own, and dies suddenly in her arms. While she and her maidservant are carrying his corpse to his house, they are taken by the Signory. She tells how the matter stands, is threatened with violence by the podestà, but will not brook it. Her father hears how she is bested; and, her innocence being established, causes her to be set at large; but she, being minded to tarry no longer in the world, becomes a nun. Panfilo, the first male storyteller of the day to narrate, tells this tale. Seventh tale (IV, 7) Simona loves Pasquino; they are together in a garden; Pasquino rubs a leaf of sage against his teeth, and dies; Simona is arrested, and, with intent to show the judge how Pasquino died, rubs one of the leaves of the same plant against her teeth, and likewise dies. Emilia narrates. Eighth tale (IV, 8) Girolamo loves Salvestra: yielding to his mother's prayers he goes to Paris; he returns to find Salvestra married; he enters her house by stealth, lays himself by her side, and dies; he is borne to the church, where Salvestra lays herself by his side, and dies. Neifile narrates. Ninth tale (IV, 9) Sieur Guillaume de Roussillon slays his wife's lover, Sieur Guillaume de Cabestaing, and gives her his heart to eat. When she finds out, she throws herself from a high window, dies, and is buried with her lover. Filostrato tells this story, which has so many similarities with tale IV, 1 that both tales could have shared sources. Tenth tale (IV, 10) The wife of a leech, deeming her lover, who has taken an opiate, to be dead, puts him in a chest, which, with him therein, two usurers carry off to their house. He comes to himself, and is taken for a thief; but, the lady's maid giving the Signory to understand that she had put him in the chest which the usurers stole, he escapes the gallows, and the usurers are fined for the theft of the chest. Dioneo, whose stories are exempt from being governed by the theme of each day, tells this tale of Buddhist origin. Fifth day During the fifth day Fiammetta, whose name means small flame, sets the theme of tales where lovers pass through disasters before having their love end in good fortune. First tale (V, 1) Cimon, by loving, waxes wise, wins his wife Iphigenia by capture on the high seas, and is imprisoned at Rhodes. He is freed by Lysimachus; and the two capture Cassandra and recapture Iphigenia in the hour of their marriage. They flee with their ladies to Crete, and having there married them, are brought back to their homes. Like the tale in the introduction to the fourth day, Panfilo's tale seems to derive from the story of Barlaam and Josaphat. Second tale (V, 2) Gostanza loves Martuccio Gomito and after hearing that he is dead, gives way to despair, and hides her alone aboard a boat, which is wafted by the wind to Susa. She finds him alive in Tunis, and makes herself known to him. Having gained high place in the king's favour by way of his council, he marries Gostanza and returns with her to Lipari. Emilia narrates this tale, one part of which (the motif of using extra fine bow strings) supposedly is based on a real event, according to a chronicle by Giovanni Villani. In Villani's story's Emperor Kassan of the Tartars thus defeated the Sultan of Egypt in 1299. Third tale (V, 3) Pietro Boccamazza runs away with Agnolella and encounters a gang of robbers. The girl takes refuge in the woods and is guided to a castle. Pietro is taken but escapes from the robbers. After some adventures, he arrives at the castle and marries Agnolella; they return to Rome. Elissa tells this tale. Fourth tale (V, 4) Ricciardo Manardi is found by Messer Lizio da Valbona after an affair with his daughter, whom he marries, and remains at peace with her father. Filostrato narrates this tale, which some claim bears a resemblance to "Lai du Laustic" by the famed late 12th-century poet Marie de France. However, the resemblance is not strong and the story may be of either Boccaccio's invention or may come from oral tradition. Fifth tale (V, 5) Guidotto da Cremona dies leaving a girl to Giacomino da Pavia. She has two lovers in Faenza, Giannole di Severino and Minghino di Mingole, who fight about her. She is discovered to be Giannole's sister, and is given to Minghino to marry. Neifile tells this story which has no previous literary recording. Sixth tale (V, 6) Gianni di Procida, being found with a damsel that he loves, and who had been given to King Frederick, is bound with her to a stake, so to be burned. He is recognized by Ruggieri dell'Oria, is freed, and marries her. Pampinea narrates this tale. Seventh tale (V, 7) Teodoro is sold to Messer Amerigo as a slave when still a child. He is christened and brought up together with Violente, the daughter of his master. The two fall in love and Violente eventually bears a boy. Threatened with death by her outraged father she names the father who is sentenced to the gallows. Amerigo orders his daughter to choose between knife or poison and the child to be killed. Traveling Armenian dignitaries recognize the condemned by a strawberry shaped birth mark. Thus his life is saved as well as Violente's in the last minute. The couple get the blessing of their father, marry and live a happy life until old age. Lauretta narrates. Eighth tale (V, 8) In his love for a young lady of the Traversari family, Nastagio degli Onesti squanders his wealth without being loved in return. He is entreated by his friends to leave the city, and goes away to Chiassi, where he sees a female ghost cursed to be hunted down and killed by a horseman and devoured by a pack of hounds every week. He finds out that the cursed horseman was in a similar situation to his own, and committed suicide while the woman died afterwards unrepentant for her role in his death. Nastagio then invites his kinfolk and the lady he loves to a banquet at this same place, so the ghost woman is torn to pieces before the eyes of his beloved, who, fearing a similar fate, accepts Nastagio as her husband. Filomena's tale may originate from the early 13th century Chronicle of Helinandus. However, the tale was a widespread one and Boccaccio could have taken it from any number of sources or even oral tradition. Ninth tale (V, 9) Federigo degli Alberighi, who loves but is not loved in return, spends all the money he has in courtship and is left with only a falcon, which, since he has nothing else to give her, he offers to his lady to eat when she visits his home; then she, learning of this, changes her mind, takes him for her husband, and makes him rich. Fiammetta's tale (she is the speaker in this story, contrary to what a couple of incorrect sources may say) is also told about the legendary Hatim Tai, who lived in the 6th century and sacrificed his favorite horse to provide a meal for the ambassador of the Greek Emperor. This earliest version of the tale is of Persian origin. Tenth tale (V, 10) Pietro di Vinciolo goes from home to eat, and his wife brings a boy into the house to bear her company. Pietro returns, and she hides her lover under a hen-coop. Pietro explains that in the house of Ercolano, with whom he was to have supped, there was discovered a young man bestowed there by Ercolano's wife. The lady censures Ercolano's wife, but unluckily an ass treads on the fingers of the boy that is hidden under the hen-coop, so that he cries out in pain. Pietro runs to the place, sees him, and apprehends the trick played on him by his wife, which nevertheless he finally condones, because he is not himself free from blame. As is custom among the ten storytellers, Dioneo tells the last and most bawdy tale of the day. This story is taken from Lucius Apuleius's 2nd-century The Golden Ass. Sixth day During the sixth day of storytelling, Elissa is queen of the brigata and chooses for the theme stories in which a character avoids attack or embarrassment through a clever remark. Many stories in the sixth day do not have previous versions. Boccaccio may have invented many of them himself. He certainly was clever enough to have created the situations and the retorts. First tale (VI, 1) A knight offers to carry Madonna Oretta a horseback with a story, but tells it so badly that she begs him to let her dismount. Filomena narrates this tale, which many see as revealing Boccaccio's opinion of what makes a good or bad storyteller, just as portions of Hamlet and A Midsummer Night's Dream contain Shakespeare's opinion of what makes a good or bad actor. Second tale (VI, 2) Cisti, a baker, by an apt speech gives Messer Geri Spina to know that he has by inadvertence asked that of him which he should not. Pampinea narrates. Third tale (VI, 3) Monna Nonna de' Pulci by a ready retort silences the scarce seemly jesting of the Bishop of Florence. Lauretta narrates. Fourth tale (VI, 4) Chichibio, cook to Currado Gianfigliazzi, owes his safety to a ready answer, whereby he converts Currado's wrath into laughter, and evades the evil fate with which Currado had threatened him. Neifile narrates. Fifth tale (VI, 5) Messer Forese da Rabatta, a knowledgeable jurist, and Master Giotto, a painter, make fun of each other's poor appearance while returning from Mugello. Panfilo narrates this tale. Sixth tale (VI, 6) Michele Scalza proves to certain young men that the Baronci are the best gentlemen in the world and the Maremma, and wins a supper. Fiammetta narrates. Seventh tale (VI, 7) Madonna Filippa, being found by her husband with her lover, is cited before the court, and by a ready and clever answer acquits herself, and brings about an alteration of the statute. Filostrato narrates this tale which modern readers with their ideas of gender equality can appreciate. Eighth tale (VI, 8) Fresco admonishes his niece not to look at herself in the glass, if it is, as she says, grievous to her to see nasty folk. Emilia narrates. Admonitions against the sin of vanity were common in the medieval era. Ninth tale (VI, 9) Guido Cavalcanti by a quip neatly rebukes certain Florentine gentlemen who had taken advantage of him. Elissa narrates. Tenth tale (VI, 10) Friar Cipolla promises to show certain country-folk a feather of the Angel Gabriel, in lieu of which he finds coals, which he claims are those with which Saint Lawrence was roasted. Dioneo narrates this story which mocks the worship of relics. The story originates in the Sanskrit collection of stories called Canthamanchari. This story—a classic from the collection—takes place in Certaldo, Boccaccio's hometown (and the location where he would later die). Friar Cipolla's name means "Brother Onion," and Certaldo was famous in that era for its onions. In the story one can sense a certain love on Boccaccio's part for the people of Certaldo, even while he is mocking them. Seventh day During the seventh day Dioneo serves as king of the brigata and sets the theme for the stories: tales in which wives play tricks on their husbands. First tale (VII, 1) Gianni Lotteringhi hears a knocking at his door at night: he awakens his wife, who persuades him that it is a werewolf, which they fall to exorcising with a prayer; whereupon the knocking ceases. Emilia tells the first tale of the day. In it Boccaccio states that he heard it from an old woman who claimed it was a true story and heard it as a child. Although we will never know if Boccaccio really did hear the story from an old woman or not (it is possible), the story is certainly not true. It resembles an earlier French fabliau by Pierre Anfons called "Le revenant". Also, the English description of the creature as a "werewolf" is improper. The Italian word, , describes a supernatural cat monkey creature or quite simply a ghost. Second tale (VII, 2) Her husband returning home, Peronella hides her lover in a barrel; which, being sold by her husband, she claims she had already sold to someone currently examining it from the inside to see if it is sound. The lover jumps out, and explains that the barrel is not clean enough and that it must be cleaned properly for the purchase to take place. The husband thus cleans it, his head inside the barrel; the wife too, sticks her head in there, instructing. Meanwhile the lover has his way with the wife from behind, and afterwards has the husband carry the barrel to his house. Filostrato narrates this tale, which Boccaccio certainly took from Apuleius's The Golden Ass, the same source as tale V, 10. Third tale (VII, 3) Friar Rinaldo lies with his godchild's mother: her husband finds him in the room with her; and they make him believe that he was curing his godson of worms by a charm. Elissa tells this tale, which has so many similar versions in French, Italian, and Latin, that it is impossible to identify one as a potential source for this one. The relationship between a child's godparent and biological parent was considered so sacred at the time that intercourse between them was considered incest. This belief is ridiculed by Boccaccio in a later tale (VII, 10). Fourth tale (VII, 4) Tofano one night locks his wife out of the house. Finding that she cannot convince him to let her in, she pretends to throw herself into a well, throwing a large stone inside. Tofano comes out of the house, and runs to the spot, and she goes into the house, locks him out, and hurls abuse at him from within. Lauretta is the narrator of this very old tale. The earliest form of it is found in the Sanskrit Śukasaptati (The Parrot's Seventy Tales), which was compiled in the 6th century AD. A later version from the 11th century is found in Disciplina Clericalis, which was written in Latin by Petrus Alphonsi, a Jewish convert to Christianity. The tale was very popular and appears in many vernacular languages of the era. Fifth tale (VII, 5) A jealous husband disguises himself as a priest, and hears his own wife's confession: she tells him that she loves a priest, who comes to her every night. The husband posts himself at the door to watch for the priest, and meanwhile the lady brings her lover in by the roof, and tarries with him. Fiammetta's tale most likely originates from a French fabliau or a possibly Provençal romance, both of which were recorded not too long before the Decameron was written. Sixth tale (VII, 6) Madonna Isabella has with her Leonetto, her accepted lover, when she is surprised by Messer Lambertuccio, by whom she is beloved: her husband coming home about the same time, she sends Messer Lambertuccio forth of the house drawn sword in hand, and the husband afterwards escorts Leonetto home. Pampinea narrates this version of a common medieval tale which originates from the Hitopadesha of India. Later versions pass the tale into Persian, French, Latin (in The Seven Wise Masters), and Hebrew. Seventh tale (VII, 7) Lodovico tells Madonna Beatrice the love that he has for her. She sends Egano, her husband, into a garden disguised as herself, and lies with Lodovico. Afterwards, being risen, Lodovico goes to the garden and cudgels Egano. Filomena's humorous tale probably derives from an earlier French fabliau. Eighth tale (VII, 8) A husband grows jealous of his wife, and discovers that she has warning of her lover's approach by a piece of pack-thread, which she ties to her great toe at nights. While he is pursuing her lover, she puts another woman in bed in her place. The husband, finding her there, beats her, and cuts off her hair. He then goes and calls his wife's brothers, who, holding his accusation to be false, subject him to a torrent of abuse. Neifile tells this tale. It comes originally from the Pantschatantra and later forms part of other tale collections in Sanskrit, Arabic, French, and Persian. Boccaccio probably used a French version of the tale. Ninth tale (VII, 9) Lydia, wife of Nicostratus, loves Pyrrhus, who to assure himself thereof, asks three things of her, all of which she does, and therewithal enjoys him in presence of Nicostratus, and makes Nicostratus believe that what he saw was not real. Panfilo narrates. Boccaccio combined two earlier folk tales into one to create this story. The test of fidelity is previously recorded in French (a fabliau) and Latin (Lidia, an elegiac comedy), but comes originally from India or Persia. The story of the pear tree, best known to English-speaking readers from The Canterbury Tales, also originates from Persia in the Bahar-Danush, in which the husband climbs a date tree instead of a pear tree. The story could have arrived in Europe through the One Thousand and One Nights, or perhaps the version in book VI of the Masnavi by Rumi. Tenth tale (VII, 10) Two Sienese men love a lady, one of them being her child's godfather: the godfather dies, having promised his comrade to return to him from the other world; which he does, and tells him what sort of life is led there. As usual, Dioneo narrates the last tale of the day. See the commentary for VII, 3 for information about the relation between a child's parent and godparent. Eighth day Lauretta reigns during the eighth day of storytelling. During this day the members of the group tell stories of tricks women play on men or that men play on women. First tale (VIII, 1) Gulfardo borrows moneys of Guasparruolo, which he has agreed to give Guasparruolo's wife, that he may lie with her. He gives them to her, and in her presence tells Guasparruolo that he has done so, and she acknowledges that it is true. Neifile narrates. This tale (and the next one) comes from a 13th-century French fabliau by Eustache d'Amiens. English speakers know it best from Chaucer's "The Shipman's Tale". Chaucer borrowed from the same fabliau as Boccaccio did. Second tale (VIII, 2) The priest of Varlungo lies with Monna Belcolore: he leaves with her his cloak by way of pledge, and receives from her a mortar. He returns the mortar, and demands of her the cloak that he had left in pledge, which the good lady returns him with a gibe. Panfilo tells this story, which can be considered a variation of VIII, 1. Third tale (VIII, 3) Calandrino, Bruno and Buffalmacco go in quest of the heliotrope (bloodstone) beside the Mugnone. Thinking to have found it, Calandrino gets him home laden with stones. His wife chides him: whereat he waxes wroth, beats her, and tells his comrades what they know better than he. Elissa narrates this tale, the first in which Bruno and Buffalmacco appear. The two were early Renaissance Italian painters. However, both are known far better for their love of practical jokes than for their artistic work. Boccaccio probably invented this tale himself, though, and used well known jokers as characters. Fourth tale (VIII, 4) The rector of Fiesole loves a widow lady, by whom he is not loved and, in attempting to lie with her, is tricked by the lady to have sex with her maid, with whom the lady's brothers cause him to be found by his Bishop. Emilia's tale originates from the fabliau "Le Prestre et Alison" by Guillaume Le Normand. Fifth tale (VIII, 5) Three young men pull down the breeches of a judge from the Marches, while he is administering justice on the bench. Filostrato narrates. Sixth tale (VIII, 6) Bruno and Buffalmacco steal a pig from Calandrino, and induce him to deduce its recovery by means of pills of ginger and Vernaccia wine. Of the said pills they give him two, one after the other, made of dog-ginger compounded with aloes; and it then appearing as if he had had the pig himself, they constrain him to buy them off, if he would not have them tell his wife. Filomena narrates. Just like Bruno and Buffalmacco, Calandrino was also in reality a 14th-century Italian Renaissance painter. However, Calandrino was known as a simpleton by his contemporaries. It is possible that this tale may be true and Boccaccio recorded it first. The test that Bruno and Buffalmacco submit Calandrino to was really a medieval lie detector test and the tale is consistent with what we know about the characters of the three painters. Seventh tale (VIII, 7) A scholar loves a widow lady, who, being enamoured of another, causes him to spend a winter's night awaiting her in the snow. He afterwards by a stratagem causes her to stand for a whole day in July, naked upon a tower, exposed to the flies, the gadflies, and the sun. Pampinea tells this story of revenge over spurned love, which has many common analogues in many languages in antiquity, the Middle Ages, the Renaissance, and early modern periods. Eighth tale (VIII, 8) Two men keep with one another: the one lies with the other's wife: the other, being aware of it, manages with the aid of his wife to have the one locked in a chest, upon which he then lies with the wife of him that is locked therein. Fiammetta narrates this tale. Like many of the eighth day it has a theme in common with many tales from the ancient and medieval era and it is not possible to point to one source that served as Boccaccio's inspiration. Ninth tale (VIII, 9) Bruno and Buffalmacco prevail upon Master Simone, a physician, to betake him by night to a certain place, there to be enrolled in a company that go the
assigned theme of the tales this first day, six deal with one person censuring another and four are satires of the Catholic Church. First tale (I, 1) This story is told by Panfilo. Ser Cepparello, commonly known as Ciapelletto, a notoriously wicked man, travels on business to Burgundy, a region he is unknown in, as a favor to Musciatto Franzesi. Once there, he soon falls terminally ill. The two Florentine brothers who were housing him during his stay bring a friar from a nearby convent to hear his confession and give him his last rites. Ciappelletto proceeds to tell the friar lies about his life that make him seem very pure, while pretending to cringe over venial sins. He is completely believed by the friar, who preaches a sermon on his life after he passes away. The townspeople who hear the sermon believe that he was a holy man and revere him as a saint long after Ciapelletto dies. This first tale ridicules the then-current practice of the Roman Catholic Church of canonization by the people. The earliest source of this story is found in chapter twenty-three of Saint Sulpicius Severus's biography of Saint Martin of Tours. The biography dates from around 400 AD. Second tale (I, 2) This story is told by Neifile. Abraham, a Jew of Paris, is the friend of Giannotto di Civignì, who for years has urged him to become a Christian. One day Abraham departs for Rome, telling Giannotto that he wants to see the leaders of the Church – the pope and the curia – to decide whether or not he wants to convert. Giannotto, knowing of the debauched and decadent ways of the Roman clergy, fears Abraham will never want to convert after witnessing the corruption of the Church. But when Abraham returns, he converts, concluding that if Christianity can still spread even when its hierarchy is so corrupt, it must be the true word of God. In this caustic anti-Catholic story, the Jew converts because he logically concludes that only a religion supported by God could prosper despite the corruption of its leadership. The earliest source of this tale is in Busone da Gubbio's "Avventuroso Ciciliano", written in Italian in 1311. This tale has also been told about Muslims, including Saladin. Third tale (I, 3) This story is told by Filomena. Saladin, a powerful sultan, finds that his treasury is exhausted. Melchizedek, a Jew, has money enough to cover the shortfall, but Saladin believes he is too greedy to lend it fairly. Saladin tries to trick Melchizedek into giving offense (and justifying the seizure of his wealth) by asking him whether Judaism, Christianity, or Islam is the true Word of God. Melchizedek evades the trap by comparing it to the story of a merchant who had a precious ring and three virtuous sons. Having promised the ring—and with it, his estate—to all three, the king had two equally precious copies made and gave one ring to each son. Thus it could not be determined who was heir to the estate. Likewise, it cannot be determined which faith is the truth. Saladin appreciates Melchizedek's wisdom and decides to be honest with him. In the end, Saladin gets his loan and repays it and Melchizedek gets Saladin's respect and gifts of praise for his intelligence. Unlike other Medieval and Renaissance authors, Boccaccio treats Jewish people with respect, as this story portrays the main character as wise and in a positive light. Boccaccio may have had contact with Jews while living in Naples as a young man. The oldest source is found in a French work by Stephen of Bourbon called The Seven Gifts of the Holy Spirit. However, a slightly younger (c. 1321) Italian story in Bosone da Gubbio's L'avventuroso siciliano was Boccaccio's probable source. This tale was especially popular in the Renaissance and can be found in many versions all over Europe. It is also referred to as "The Tale of the Three Rings" and "The Legend of the Three Rings" and, according to Carlo Ginzburg, was quoted in the heresy trial of the Italian miller Menocchio. Fourth tale (I, 4) Dioneo, who has acquired the reputation of the most bawdy of the storytellers, narrates this tale. A young monk seduces a young woman and is secretly observed by an elder abbot. However, he knows that he has been seen, he leaves her on pretense of finishing a task. He gives the key to his room to the abbot, who then goes to seduce the girl himself. The monk hid and watched all of this, and uses the knowledge to avoid punishment. The monk and the abbot quickly rush the woman out of the monastery, but often bring her back in. The earliest surviving source for this anti-clerical tale is found in Cento Novelle Antiche, an Italian compilation of short stories from the end of the 13th century. Boccaccio could have possibly also taken the tale from a French fabliau, "L'Evesque qui benit sa maitresse" ("The bishop who blesses his mistress"). Fifth tale (I, 5) Fiammetta tells this story. The Marquis of Montferrat, on his way to the Crusades, tells King Phillip of France of his happy marriage to the beautiful Marchioness. King Phillip is entranced with the Marquis' description of her, and makes an excuse to detour to Montferrat so he can seduce her. He sends a courier ahead to tell the Marchioness that he is arriving soon and would like to be hosted and dine in the estate. The Marchioness devises a plan to keep King Phillip from her. When he arrives, she throws a banquet for King Phillip, composed entirely of hens. King Phillip asks whether there are any roosters, and the Marchioness replies that there aren't, but hens and women are the same everywhere. King Phillip, shocked by her wit and unwillingness, finishes the meal and quickly returns to the Crusade. The story originates from The Thousand and One Arabian Nights. Sixth tale (I, 6) Emilia narrates yet another anti-clerical tale, the fourth of the day so far. A well-off man, becoming rather tipsy, rashly says that his wine is "good enough for Christ himself". The greedy inquisitor hears this and prosecutes him. After some time for attending to penances imposed upon him, he hears at a mass that "you shall receive an hundredfold and shall possess eternal life". He returns to the inquisitor and marks large amounts of "swill" being given to the poor. He commiserates with the inquisitor saying that if he receives 100 times as much in the afterlife, he would be drowned. This incenses the inquisitor, but also embarrasses him for his gluttony. Some commentators have identified the inquisitor as Pietro della Aquila, the inquisitor of Florence in 1345. Seventh tale (I, 7) Filostrato tells this tale. Bergamino, with a story of Primasso (probably Hugh Primas) and the Abbot of Cluny, finely censures a sudden excess of greed in Messer Cangrande della Scala. Cangrande I della Scala is best known as Dante's benefactor, whom he praises in the Paradiso section of the Divine Comedy, xvii, 68. Eighth tale (I, 8) Lauretta narrates this tale. Guglielmo Borsiere by a neat retort sharply censures greed in Messer Ermino de' Grimaldi. There is no known source for this tale. It also includes another Dante reference, this time to Inferno, xvi, 66. Dante's influence is everywhere seen in the Decameron, from its subtitle (a reference to Inferno, v) to its physical arrangement and careful attention to Medieval numerology. Also Boccaccio often tells tales about the lives of people whose souls Dante had met in his epic journey through the afterlife. Ninth tale (I, 9) Elissa narrates another tale of censure. The censure of a Gascon lady converts the King of Cyprus from a churlish to an honourable temper. Boccaccio took this story directly from Cento Novelle Antiche, in which the male character is also the King of Cyprus. Tenth tale (I, 10) Pampinea narrates the last tale of the day. Master Alberto da Bologna honorably puts to shame a lady who sought occasion to put him to shame in that he was in love with her. Second day Filomena reigns during the second day and she assigns a topic to each of the storytellers: Misadventures that suddenly end happily. First tale (II, 1) Martellino pretends to be a paralytic, and makes it appear as if he were cured by being placed upon the body of St. Arrigo. His trick is detected; he is beaten and arrested, and is in peril of hanging, but finally escapes. Neifile narrates this tale, which, like I, 1, ridicules the Catholic tradition of discerning the Saints. Although there is no known earlier source for this tale, the part where Martellino's friends are carrying him in on a cot references Mark 2:2 and Luke 5:19. Second tale (II, 2) Rinaldo d'Asti is robbed, arrives at Castle Guglielmo, and is entertained by a widow lady; his property is restored to him, the robbers caught and hanged, and he returns home safe and sound. This story seems to originate in the Panchatantra, a work originally composed in Sanskrit, and was already 1,500 years old by the time Boccaccio retold it. Filostrato tells this version of the tale. Third tale (II, 3) Three young men squander their substance and are reduced to poverty. Their nephew, returning home a desperate man, falls in love with a woman disguised as an abbot, whom he discovers to be the daughter of the King of England. She marries him, and he retrieves the losses and reestablishes the fortune of his uncles. Pampinea narrates this tale of which no earlier version is known. Fourth tale (II, 4) Landolfo Ruffolo is reduced to poverty, turns corsair, is captured by Genoese, is shipwrecked, escapes on a chest full of jewels, and, being cast ashore at Corfu, is hospitably entertained by a woman, and returns home wealthy. Lauretta narrates. Fifth tale (II, 5) Andreuccio da Perugia comes to Naples to buy horses, meets with three serious adventures in one night, comes safe out of them all, and returns home with a ruby. Fiammetta tells this story which is actually a combination of two earlier tales. The beginning of the tale is first recorded in about 1228 by Courtois d'Arrass in his "Boivin de Provins." The portion of Andreuccio being trapped in the tomb of the archbishop and how he escapes comes from the Ephesian Tale by Xenophon of Ephesus, which was written in about 150 AD. That portion of the tale is so memorable that it was still being told as a true story in the cities and countryside of Europe in the early 20th century. Sixth tale (II, 6) Madam Beritola loses two sons, is found with two goats on an island, goes thence to Lunigiana, where one of her sons takes service with her master, and lies with his daughter, for which he is put in prison. Sicily rebels against King Charles, the son is recognized by the mother, marries the master's daughter, and, his brother being discovered, is reinstated in great honor. Emilia tells this story. It resembles the story of Sir Isumbras, which dates from before 1320 and was very popular in medieval England. Seventh tale (II, 7) The Sultan of Babylon sends one of his daughters, Alatiel, overseas, designing to marry her to the King of Algarve. By diverse adventures she comes in the space of four years into the hands of nine men in varied places. At last she is restored to her father, whom she quits again in the guise of a virgin, and, as was at first intended, is married to the King of Algarve. This scandalous tale is told by Panfilo. There is no agreement on its origin, probably because of the very eclectic nature of the plot, which may have been pieced together from various sources by Boccaccio. Some suggest One Thousand and One Nights or the Ephesian Tale may have given some inspiration to the author for this tale, but not enough that either could definitely been called a source. Eighth tale (II, 8) The Count of Antwerp, laboring under a false accusation, goes into exile. He leaves his two children in different places in England, and takes service in Ireland. Returning to England an unknown man, he finds his son and daughter prosperous. He serves as a groom in the army of the King of France; his innocence is established, and he is restored to his former honors. Elissa narrates this story, which shares its theme of a woman's vengeance for being spurned with many ancient stories. However, a direct source may be the real-life story of Pierre de La Broce and Lady of Brabant. Dante writes about the soul of the former in Purgatorio, vi. A literary source may have been a Provençal romance written in 1318 by Arnaud Vidal de Castelnaudary called Guillaume de la Barre. However, the theme is so common that pinning down one main source is very difficult. Ninth tale (II, 9) Bernabò of Genoa, deceived by Ambrogiuolo, loses his money and commands his innocent wife to be put to death. She escapes, habits herself as a man, and serves the Sultan. She discovers the deceiver, and brings Bernabò to Alexandria, where the deceiver is punished. She then resumes the garb of a woman, and with her husband returns wealthy to Genoa. Filomena tells this story, which is best known to English readers through Shakespeare's Cymbeline. The oldest known version of this story is a French romance from the 13th century called Roman de la Violette ou de Gerard de Nevers by Gilbert de Montreuil. Tenth tale (II, 10) Paganino da Monaco carries off the wife of Messer Ricciardo di Chinzica, who, having learned where she is, goes to Paganino and in a friendly manner asks him to restore her. He consents, provided she be willing. She refuses to go back with her husband. Messer Ricciardo dies, and she marries Paganino. In the last tale of the second day Dioneo begins his pattern of telling the last tale of the day, which he will continue until the end of the Decameron. The moral of the story – that a young woman should not marry an old man – is common in late medieval vernacular literature. Third day Neifile presides as queen during the third day. In these stories a person either has painfully acquired something or has lost it and then regained it. First tale (III, 1) Masetto da Lamporecchio feigns to be mute, and obtains a gardener's place at a convent of women, who with one accord make haste to lie with him. Filostrato's tale of a man's devices that he employs to enjoy the physical company of a convent of nuns was also in Cento Novelle Antiche from the 13th century. Second tale (III, 2) A groom lies with the wife of King Agilulf, who learns the fact, keeps his own counsel, finds out the groom and shears him. The shorn shears all his fellows and so comes safe out of the scrape. Pampinea's clever tale originates in either the Panchatantra, a Sanskrit story from the 4th century AD, or the Histories of Herodotus. However, Boccaccio's version is unique in that the husband in the tale preserves both his honor and that of his wife, and emphasis on "keeping up appearances" that is distinct of the Renaissance merchant class, to which Boccaccio belonged. Third tale (III, 3) Under cloak of confession and a most spotless conscience, a lady, enamored of a young man, induces a dim-witted friar unwittingly to provide a means to the entire gratification of her passion. Filomena narrates this story. Fourth tale (III, 4) Dom Felice instructs Friar Puccio how to attain blessedness by doing a penance. Friar Puccio does the penance, and meanwhile Dom Felice has a good time with Friar Puccio's wife. Panfilo narrates. Fifth tale (III, 5) Zima gives a palfrey to Messer Francesco Vergellesi, who in return suffers him to speak with his wife. She keeping silence, he answers in her stead, and the sequel is in accordance with his answer. This tale is originally found in Hitopadesha, a Sanskrit collection of tales. Boccaccio, though, may have directly taken the tale from The Seven Wise Masters, which, although oriental in origin, was widely circulating in Latin at the time the Decameron was written. Elissa narrates. Sixth tale (III, 6) Ricciardo Minutolo loves the wife of Filippello Fighinolfi, and knowing her to be jealous, makes her believe that his own wife is to meet Filippello at a Turkish bath house on the ensuing day; whereby she is induced to go thither, where, thinking to have been with her husband, she discovers that she has tarried with Ricciardo. Fiammetta tells this tale, which like the previous one, was taken from The Seven Wise Masters. Seventh tale (III, 7) Tedaldo, being in disfavour with his lady, departs from Florence. He returns after a while in the guise of a pilgrim, speaks with his lady, and makes her sensible of her fault. Her husband, convicted of slaying him, he delivers from peril of death, reconciles him with his brothers, and thereafter discreetly enjoys his lady. Emilia narrates this tale, which has no known previous version. Eighth tale (III, 8) Ferondo, having taken a certain powder, is interred for dead; is disinterred by the abbot, who enjoys his wife; is put in prison and taught to believe that he is in purgatory; is then resuscitated, and rears as his own a boy begotten by the abbot upon his wife. Lauretta's tale of the elaborate ruses that an abbot undertakes to enjoy Ferondo's wife was probably taken by Boccaccio from a French fabliau by Jean de Boves called . Boccaccio not only capitalizes on the tale to poke fun at the clerics of his day, but also at the simple-mindedness of some of his countrymen. Ninth tale (III, 9) Gillette of Narbonne cures the King of France of a fistula, craves for spouse Bertrand de Roussillon, who marries her against his will, and hies him in despite to Florence, where, as he courts a young woman, Gillette lies with him in her stead, and has two sons by him; for which cause he afterwards takes her into favour and entreats her as his wife. Neifile narrates this tale, which was written first by the Sanskrit dramatist and poet Kālidāsa in his The Recognition of Śakuntalā. The time of Kālidāsa's life is uncertain, but some scholars think that he lived in the 5th century. Boccaccio may have taken the tale from an 11th-century French version. This tale is the basis for Shakespeare's play All's Well That Ends Well. Tenth tale (III, 10) Alibech, a non-Christian girl of Gafsa, turns hermit, and is taught by Rustico, a monk, how the Devil is put in hell. She is afterwards conveyed thence, and becomes the wife of Neerbale. Dioneo narrates what is by far the most obscene and bawdy tale in the Decameron. Alibech, a naive young woman, wanders into the desert in an attempt to become closer to God. She happens upon the monk Rustico, and he deflowers her under the pretense of teaching her how to better please God. Alibech becomes more enthusiastic about putting the Devil back into Hell than Rustico, almost to the point of his ruin. Meanwhile, her family and family home are incinerated, leaving her the only heir. Neerbale kidnaps her, much to Rustico's relief and Alibech's displeasure, and Alibech is made to marry Neerbale. The night before the wedding, she is questioned by other women as to how Alibech served God in the desert, and upon explaining to her ladies how the Devil is put back into Hell, is informed that Neerbale will surely know how to help her serve God once more. Because of its "graphic" nature, this tale has at times been translated incompletely, as in John Payne's translation, where Alibech's sexual awakening is left untranslated and is accompanied with this footnote: "The translators regret that the disuse into which magic has fallen, makes it impossible to render the technicalities of that mysterious art into tolerable English; they have therefore found it necessary to insert several passages in the original Italian." No known earlier versions of it exist. Fourth day Boccaccio begins this day with a defense of his work as it is thus far completed. Although he says that portions of the earlier days were circulating among the literate citizens of Tuscany while the work was in progress, this is doubtful. Instead, Boccaccio is probably just shooting down potential detractors. The reader must remember that vernacular fictional prose was not a respected genre in 14th century Italy and some of the criticisms Boccaccio combats in the introduction to the fourth day were common attitudes towards the genre. Others, however, were specific to the Decameron itself. One criticism of the latter type was that it was not healthy for a man of Boccaccio's age – approximately 38 – to associate with young ladies, to whom the work is supposedly written. To defend against this criticism, Boccaccio tells a story explaining how natural it is for a man to enjoy a woman's company. In this story, Filipo Balducci is a hermit living with his son on Mount Asinaio after the death of his wife and travels occasionally to Florence for supplies. One day his son – now eighteen and having never before left the mountain – accompanies him because Filipo is too infirm to make the journey alone. While there the son becomes fascinated with women, even though he had never seen one before and Filipo regrets ever bringing his son to Florence. This is commonly referred to as the 101st story of the Decameron. The story originates in the Ramayana, a Sanskrit epic from the 4th century BCE. The tale was quite common during the medieval era, appearing in Barlaam and Josaphat (written in the 8th century), an exemplum of Jacques de Vitry (13th century) and Cento Novelle Antiche (also 13th century), The Seven Wise Masters, and Italian collection of fables called Fiori di Virtù (14th century), Odo of Shirton's "De heremita iuvene" (12th century), and a French fabliau (13th century). The last two are the most probable sources for Boccaccio because in them the father refers to the women as "geese", whereas in the earlier versions he calls them "demons" who tempt the souls of men. Filostrato reigns during the fourth day, in which the storytellers tell tales of lovers whose relationship ends in disaster. This is the first day a male storyteller reigns. First tale (IV, 1) Tancredi, Prince of Salerno and father of Ghismonda, slays his daughter's lover, Guiscardo, and sends her his heart in a golden cup: Ghismonda, the daughter, pours upon it a poisonous distillation, which she drinks and dies. Fiammetta narrates this tale, whose earliest source is a French manuscript written by a man named Thomas. However, it is referred to in the early 12th century of Tristan and Iseult. Second tale (IV, 2) Friar Alberto deceives a woman into believing that the Angel Gabriel is in love with her. As an excuse to sleep with her, Friar Alberto tells her that Gabriel can enter his body. Afterward, for fear of her kinsmen, he flings himself out of her window and finds shelter in the house of a poor man. The next day the poor man leads him in the guise of a wild man into the piazza, where, being recognized, he is apprehended by his fellow monks and imprisoned. Pampinea tells the second tale of the day, which is a very ancient tale. Supposedly it comes from an episode in the life of Alexander the Great. Other notable previous recordings of it include Josephus's Jewish Antiquities, the Pantschantantra, and One Thousand and One Arabian Nights. Third tale (IV, 3) Three young men love three sisters, and flee with them to Crete. The eldest of the sisters slays her lover for jealousy. The second saves the life of the first by yielding herself to the Duke of Crete. Her lover slays her, and makes off with the first: the third sister and her lover are charged with the murder, are arrested and confess the crime. They escape death by bribing the guards, flee destitute to Rhodes, and there in destitution die. Lauretta narrates. Fourth tale (IV, 4) Gerbino, in breach of the plighted faith of his grandfather, King William, attacks a ship of the King of Tunis to rescue his daughter. She is killed by those aboard the ship, Gerbino slays them, and afterward he is beheaded. There is no known source for Elissa's tale. Fifth tale (IV, 5) Lisabetta's brothers slay her lover. He appears to her in a dream and shows her where he is buried. She disinters the head and sets it in a pot of basil, whereon she daily weeps a great while. Her brothers take the pot from her and she dies shortly after. Filomena tells this story, one of the most famous in the Decameron, and the basis of John Keats' narrative poem Isabella, or the Pot of Basil. Sixth tale (IV, 6) Andreuola loves Gabriotto: she tells him a dream that she has had; he tells her a dream of his own, and dies suddenly in her arms. While she and her maidservant are carrying his corpse to his house, they are taken by the Signory. She tells how the matter stands, is threatened with violence by the podestà, but will not brook it. Her father hears how she is bested; and, her innocence being established, causes her to be set at large; but she, being minded to tarry no longer in the world, becomes a nun. Panfilo, the first male storyteller of the day to narrate, tells this tale. Seventh tale (IV, 7) Simona loves Pasquino; they are together in a garden; Pasquino rubs a leaf of sage against his teeth, and dies; Simona is arrested, and, with intent to show the judge how Pasquino died, rubs one of the leaves of the same plant against her teeth, and likewise dies. Emilia narrates. Eighth tale (IV, 8) Girolamo loves Salvestra: yielding to his mother's prayers he goes to Paris; he returns to find Salvestra married; he enters her house by stealth, lays himself by her side, and dies; he is borne to the church, where Salvestra lays herself by his side, and dies. Neifile narrates. Ninth tale (IV, 9) Sieur Guillaume de Roussillon slays his wife's lover, Sieur Guillaume de Cabestaing, and gives her his heart to eat. When she finds out, she throws herself from a high window, dies, and is buried with her lover. Filostrato tells this story, which has so many similarities with tale IV, 1 that both tales could have shared sources. Tenth tale (IV, 10) The wife of a leech, deeming her lover, who has taken an opiate, to be dead, puts him in a chest, which, with him therein, two usurers carry off to their house. He comes to himself, and is taken for a thief; but, the lady's maid giving the Signory to understand that she had put him in the chest which the usurers stole, he escapes the gallows, and the usurers are fined for the theft of the chest. Dioneo, whose stories are exempt from being governed by the theme of each day, tells this tale of Buddhist origin. Fifth day During the fifth day Fiammetta, whose name means small flame, sets the theme of tales where lovers pass through disasters before having their love end in good fortune. First tale (V, 1) Cimon, by loving, waxes wise, wins his wife Iphigenia by capture on the high seas, and is imprisoned at Rhodes. He is freed by Lysimachus; and the two capture Cassandra and recapture Iphigenia in the hour of their marriage. They flee with their ladies to Crete, and having there married them, are brought back to their homes. Like the tale in the introduction to the fourth day, Panfilo's tale seems to derive from the story of Barlaam and Josaphat. Second tale (V, 2) Gostanza loves Martuccio Gomito and after hearing that he is dead, gives way to despair, and hides her alone aboard a boat, which is wafted by the wind to Susa. She finds him alive in Tunis, and makes herself known to him. Having gained high place in the king's favour by way of his council, he marries Gostanza and returns with her to Lipari. Emilia narrates this tale, one part of which (the motif of using extra fine bow strings) supposedly is based on a real event, according to a chronicle by Giovanni Villani. In Villani's story's Emperor Kassan of the Tartars thus defeated the Sultan of Egypt in 1299. Third tale (V, 3) Pietro Boccamazza runs away with Agnolella and encounters a gang of robbers. The girl takes refuge in the woods and is guided to a castle. Pietro is taken but escapes from the robbers. After some adventures, he arrives at the castle and marries Agnolella; they return to Rome. Elissa tells this tale. Fourth tale (V, 4) Ricciardo Manardi is found by Messer Lizio da Valbona after an affair with his daughter, whom he marries, and remains at peace with her father. Filostrato narrates this tale, which some claim bears a resemblance to "Lai du Laustic" by the famed late 12th-century poet Marie de France. However, the resemblance is not strong and the story may be of either Boccaccio's invention or may come from oral tradition. Fifth tale (V, 5) Guidotto da Cremona dies leaving a girl to Giacomino da Pavia. She has two lovers in Faenza, Giannole di Severino and Minghino di Mingole, who fight about her. She is discovered to be Giannole's sister, and is given to Minghino to marry. Neifile tells this story which has no previous literary recording. Sixth tale (V, 6) Gianni di Procida, being found with a damsel that he loves, and who had been given to King Frederick, is bound with her to a stake, so to be burned. He is recognized by Ruggieri dell'Oria, is freed, and marries her. Pampinea narrates this tale. Seventh tale (V, 7) Teodoro is sold to Messer Amerigo as a slave when still a child. He is christened and brought up together with Violente, the daughter of his master. The two fall in love and Violente eventually bears a boy. Threatened with death by her outraged father she names the father who is sentenced to the gallows. Amerigo orders his daughter to choose between knife or poison and the child to be killed. Traveling Armenian dignitaries recognize the condemned by a strawberry shaped birth mark. Thus his life is saved as well as Violente's in the last minute. The couple get the blessing of their father, marry and live a happy life until old age. Lauretta
joins with Christine to "add the finishing touches" to the city, including bringing a queen to rule the city. Lady Justice tells Christine of female saints who were praised for their martyrdom. At the close of this part, Christine makes another address to all women announcing the completion of the City of Ladies. She beseeches them to defend and protect the city and to follow their queen (the Virgin Mary). She also warns the women against the lies of slanderers, saying, "Drive back these treacherous liars who use nothing but tricks and honeyed words to steal from you that which you should keep safe above all else: your chastity and your glorious good name". Women discussed The following 37 women are discussed in Part III of the Book of the City of Ladies. The Virgin Mary The Virgin Mary's sisters and Mary Magdalene. Saint Catherine of Alexandria. Saint Margaret of Antioch. Saint Lucy. Blessed Martina. Saint Lucy (different than the Saint Lucy above) Saint Benedicta Saint Fausta Saints Cyprian and Justina Blessed Eulalia Saint Macra Saint Fida Blessed Marciana Saint Euphemia Blessed Theodosina Saint Barbara Saint Dorothy Saint Cecilia Saint Agnes of Rome Saint Agatha of Sicily Saint Christina of Bolsena Several female saints who were forced to watch their children being martyred: blessed Felicia, blessed Julitta, Saint Blandina Euphrosyne of Alexandria Blessed Anastasia Blessed Theodota Saint Natalia of Nicomedia Saint Afra Several ladies who served the Apostles: Drusiana, Susanna, Maximilla, Saint Ephigenia, Helena of Adiabene, Saint Plautilla, Saints Julian and Basilissa Boccaccio's influence Christine's main source for information was Giovanni Boccaccio's De mulieribus claris (On Famous Women), possibly in the French version, Des Cleres et Nobles Femmes. This text was a biographical treatise on ancient famous women. Christine also cited from Boccaccio's Decameron in the latter stages of The City of Ladies. The tales of Ghismonda and Lisabetta, for example, are quoted as coming from Boccaccio's Decameron. Boccaccio's influence can be seen in Christine's stance on female education. In the tale of Rhea Ilia, Boccaccio advocates for young women's right to choose a secular or religious life. He states that it is harmful to place young girls into convents while they are “ignorant, or young, or under coercion.” Boccaccio states that girls should be “well brought up from childhood in the parental home, taught honesty and praiseworthy behavior, and then, when they are grown and with their entire mind know what of their own free will” choose the life of monasticism. Boccaccio believes that young girls need to be taught about life and virtues before they are consecrated to God. While he does not say women should have a formal education, he is still advocating for women to have a say in their lives and the right to be well informed about their possible futures. Therefore, Boccaccio's belief in educating young girls about secular and religious life could have acted as a stepping stone for Christine's belief in female education. Boccaccio's outlook was however, according to Margaret King and Albert Rabil, "sexist in that he praised the traditional values of chastity, silence, and obedience in women, and furthermore depicting women in the public sphere as suffering as in form of punishment for transcending boundaries." Boccaccio's text is mainly used for Parts I and II of the book, while Part III is more reliant upon Jean de Vignay's Miroir historical (1333). This text is the French translation of the historical portions of Speculum Maius, an encyclopedia by Vincent of Beauvais that was begun after 1240. Themes The Book of the City of Ladies is an allegorical society in which the word "lady" is defined as a woman of noble spirit, instead of noble birth. The book, and therefore the city, contains women of past eras, ranging from pagans to ancient Jews to medieval Christian saints. The book includes discussion between Christine de Pizan and the three female Virtues which are sent to aid Christine build the city. These Virtues – Reason, Rectitude, and Justice – help Christine build the foundations and houses of the city, as well as pick the women who will reside in the city of ladies. Each woman chosen by the Virtues to live in the city acts as a positive example for other women to follow. These women are also examples of the positive influences women have had on society. Christine asks the virtues if women should be taught as men are and why some men think women should not be educated. Other questions that are explored are: the criminality of rape, the natural affinity in women to learn, and their talent for government. See also The Legend of Good Women (Chaucer) De Mulieribus Claris (Boccaccio) Sources Original sources De Pizan, Christine. The Book of the City of Ladies. 1405. Trans. Rosalind Brown-Grant. London: Penguin, 1999. Print. Boccaccio, Giovanni. De mulieribus claris. English & Latin. Famous women. Ed. by Virginia Brown. Cambridge: Harvard University Press, 2001. Pizan, Christine. A Medieval woman's mirror of honor: the treasury of the city of ladies. Trans. by Charity Cannon Willard, ed. by Madeleine Pelner Cosman. Tenafly: Bard Hall Press, 1989. Secondary sources Blumenfeld-Kosinski, Renate and Kevin Brownlee. The Selected Writings of Christine De Pizan: New Translations, Criticism. New York, Norton Critical Editions, 1997. Brabant, Margaret. Politics, gender, and genre: the political thought of Christine de Pizan. Boulder: Westview Press, 1992. Brown-Grant, Rosalind. Introduction. The Book of the City of Ladies by Christine Pizan. 1405. Trans. Rosalind Brown-Grant. London: Penguin, 1999. xvi-xxxv. Print. Fenster, Thelma. "‘Perdre son latin’: Christine de Pizan and Vernacular Humanism." Christine de Pizan and the Categories of Difference. Ed. Marilynn Desmond. Minneapolis: U of Minnesota P: 1998. 91-107. Print. Medieval Cultures 14. Forhan, Kate Langdon. The Political Theory of Chrisine Pizan. Burlington: Ashgate: 2002. Print. Women and Gender in the Early Mod. World. Gaunt, Simon. Gender and genre in medieval French literature. Cambridge: Cambridge University Press, 1995. King, Margaret, and Albert Rabil. Introduction. "Dialogue on the Infinity of Love." Tullia d'Aragona. 1547. Trans. Rinaldina Russell and Bruce Merry. Chicago: The University of Chicago, 1997. Miller, Paul Allen, Platter, Charles, and Gold, Barbara K. Sex and gender in medieval and Renaissance texts: the Latin tradition. Albany: State University of New York Press, 1997. Quilligan, Maureen. The allegory of female authority: Christine de Pizan's Cité des dames. Ithaca: Cornell University Press, 1991. References External links "An Educated Lady", Boston College Magazine The Boke Of The Cyte Of Ladyes on Early English Books Online Book of the City of Ladies, The Book of the City of Ladies, The Book of the City of Ladies, The
which is actually the book. As Pizan builds her city, she uses each famous woman as a building block for not only the walls and houses of the city, but also as building blocks for her thesis. Each woman added to the city adds to Pizan's argument towards women as valued participants in society. She also advocates in favour of education for women. Christine de Pizan also finished by 1405 The Treasure of the City of Ladies (Le tresor de la cité des dames de degré en degré, also known The Book of the Three Virtues), a manual of education, dedicated to Princess Margaret of Burgundy. This aims to educate women of all estates, the latter telling women who have husbands: "If she wants to act prudently and have the praise of both the world and her husband, she will be cheerful to him all the time". Her Book and Treasure are her two best-known works, along with the Ditie de Jehanne D'Arc. Summary Part I Part I opens with Christine reading from Matheolus's Lamentations, a work from the thirteenth century that addresses marriage wherein the author writes that women make men's lives miserable. Upon reading these words, Christine becomes upset and feels ashamed to be a woman: "This thought inspired such a great sense of disgust and sadness in me that I began to despise myself and the whole of my sex as an aberration in nature". The three Virtues then appear to Christine, and each lady tells Christine what her role will be in helping her build the City of Ladies. Lady Reason, a virtue developed by Christine for the purpose of her book, is the first to join Christine and helps her build the external walls of the city. She answers Christine's questions about why some men slander women, helping Christine to prepare the ground on which the city will be built. She tells Christine to "take the spade of [her] intelligence and dig deep to make a trench all around [the city] … [and Reason will] help to carry away the hods of earth on [her] shoulders." These "hods of earth" are the past beliefs Christine has held. Christine, in the beginning of the text, believed that women must truly be bad because she "could scarcely find a moral work by any author which didn't devote some chapter or paragraph to attacking the female sex. [Therefore she] had to accept [these authors] unfavourable opinion[s] of women since it was unlikely that so many learned men, who seemed to be endowed with such great intelligence and insight into all things, could possibly have lied on so many different occasions." Christine is not using reason to discover the merits of women. She believes all that she reads instead of putting her mind to listing all the great deeds women have accomplished. To help Christine see reason, Lady Reason comes and teaches Christine. She helps Christine dispel her own self-consciousness and the negative thoughts of past writers. By creating Lady Reason, Christine not only teaches her own allegorical self, but also her readers. She gives not only herself reason, but also gives readers, and women, reason to believe that women are not evil or useless creatures but instead have a significant place within society. Women discussed The following 36 women are discussed in Part I of the Book of the City of Ladies. Mary Magdalene Queen of Sheba Fredegund Blanche of Castile Jeanne d'Évreux Blanche of France Marie of Blois, Duchess of Anjou Semiramis Amazons: Thamiris, Menalippe, Hippolyta, Penthesilea, Synoppe, Lampheto, Marpesia, Orithyia (Amazon) Zenobia Artemisia II of Caria Lilia, mother of Theodoric Camilla Laodice of Cappadocia Cloelia Cornificia Faltonia Betitia Proba Sappho Manto Medea Circe Carmenta Minerva Ceres Isis Arachne Pamphile Thamaris Irene Iaia Sempronia Woman of Valor Gaia Cirilla (also known as Tanaquil) Dido Ops Lavinia Part II In Part II, Lady Rectitude says she will help Christine "construct the houses and buildings inside the walls of the City of Ladies" and fill it with inhabitants who are "valiant ladies of great renown". As they build, Lady Rectitude informs Christine with examples and "stories of pagan, Hebrew, and Christian ladies" who possessed the gift of prophecy, chastity, or devotion to their families and others. Christine and Lady Rectitude also discuss the institution of marriage, addressing Christine's questions regarding men's claims about the ill qualities women bring to marriage. Lady Rectitude corrects these misconceptions with examples of women who loved their husbands and acted virtuously, noting that those women who are evil toward their husbands are "like creatures who go totally against their nature". Lady Rectitude also refutes allegations that women are unchaste, inconstant, unfaithful, and mean by nature through her stories. This part closes with Christine addressing women and asking them to pray for her as she continues her work with Lady Justice to complete the city. Women discussed The following 92 women are discussed in Part II of the Book of the City of Ladies. Sibyls: Erythraean Sibyl, Cumaean Sibyl Deborah Elizabeth (biblical figure) Anna the Prophetess Queen of Sheba Cassandra Basina of Thuringia Carmenta Theodora (wife of Justinian I) Dripetrua Hypsipyle the virgin Claudine Roman Charity Griselda (folklore) Hypsicratea Triaria Artemisia I of Caria Argea Agrippina the Elder Julia (daughter of Julius Caesar) Aemilia Tertia Xanthippe Pompeia Paulina Sulpicia (wife of Lentulus Cruscellio) Lacedaemonian women who saved their husbands from execution Porcia Catonis Curia (wife of Quintus Lucretius) Cornelia Metella Andromache Stateira II Mary, mother of Jesus Stateira II Bithia Judith of the Book of Judith Esther The Rape of the Sabine Women Veturia Clotilde Catulla Saint Genevieve Hortensia (orator) Novella d'Andrea Susanna (Book of Daniel) Sarah Rebecca Ruth (biblical figure) Penelope Mariamne I Antonia Minor Sulpitia Lucretia Chiomara Hippo (Greek woman) Sicambrian women Verginia Claudia Octavia Claudia Antonia Athaliah Jezebel Brunhilda of Austrasia Florence of Rome Wife of Bernabo the Genovan Leaena
self Immune tolerance in pregnancy or gestational/maternal immune tolerance Low frustration tolerance, a concept in Rational Emotive Behavioral Therapy Pain tolerance, the maximum level of pain that a person is able to tolerate Shade tolerance, a plant's abilities to tolerate low light levels Disease tolerance or tolerance to infection - one of the mechanisms host organisms can use to fight against parasites, pathogens or herbivores that attack the host.frustration Physical sciences Engineering tolerance, permissible limit(s) of variation in an object Tolerance analysis, the study of accumulated variation in mechanical parts and assemblies Tolerance coning, a budget of all tolerances that affect a particular parameter Tolerance, a measure of multicollinearity in statistics Tolerance interval, a type of statistical probability Tolerance relation, a reflexive and symmetric binary relation in mathematics Tolerant sequence, in mathematical logic Other uses Paradox of tolerance, a paradox described by Karl Popper stating that if a society is tolerant without limit, its ability to
all tolerances that affect a particular parameter Tolerance, a measure of multicollinearity in statistics Tolerance interval, a type of statistical probability Tolerance relation, a reflexive and symmetric binary relation in mathematics Tolerant sequence, in mathematical logic Other uses Paradox of tolerance, a paradox described by Karl Popper stating that if a society is tolerant without limit, its ability to be tolerant is eventually seized or destroyed by the intolerant Tolerance Monument, an outdoor sculpture near Goldman Promenade in Jerusalem Tolerance (film), a 2000 Brazilian drama film
draw on author Thorne Smith's experience. After his wife, Sally, impregnates her husband, things take a decided turn for the worse as they separately try to deal with the object of the former wife's affections—a square-jawed philanderer by the name of Carl Bently. The scene in which Tim, trapped in his wife's body, exacts an icy revenge on the unfortunate interloper is one of the unforgettable moments of Thorne Smith's peculiar humor. Both a film (1940) and a short-lived 1979 television sitcom starring Sharon Gless and John Schuck (canceled after six episodes) were based on Turnabout, as to some extent was the last broadcast episode of Star Trek: The Original Series, "Turnabout Intruder". This novel is included with The Stray Lamb and Rain in the Doorway in The Thorne Smith 3-Decker. Lazy Bear Lane (1931). A children's book. The Bishop's Jaegers (1932). The depressed, indifferent heir of a vast coffee import fortune, Peter Van Dyke finds his life and high society engagement turned upside down when his secretary, Josephine Duval, determines to “rescue” him by ruining him morally. After an amusing scandal in a coat closet, he is cast adrift in a fog with a motley crew that includes a bishop of the Episcopal Church and a former nude model named Aspirin Liz. The enterprising party lands unceremoniously on the shores of a naturist resort, and the liberation of the coffee importer is set in motion. Smith, in one of his few comic novels devoid of any element of the supernatural, assumes the reader would know that "Jaegers" refers to a union suit. Rain in the Doorway (1933). A cuckold husband, Hector Owen, inadvertently becomes a partner in a big-city department store. The bulk of the action involves the inebriated adventures of Owen, his three partners (Mr. Horace Larkin, a man called Dinner, and Major Barney Britt-Britt), and a salesgirl from the pornographic books department, Miss Honor "Satin" Knightly. Of the three novels included in The Thorne Smith 3-Decker (see The Stray Lamb and Turnabout above) this is the most openly erotic, with many direct suggestions of sexual encounters, accompanied with cartoons of nude women cavorting with the protagonists, drawn by artist Herbert Roese. The Thorne Smith courtroom scene provides a climax, but the novel's biggest surprise isn't sprung until the final pages. Skin and Bones (1933). A photographer's freak accident in the darkroom produces a chemical concoction causing him and his dog to randomly switch back and forth between normal and X-ray (skeleton) versions of themselves. Drinking and cavorting ensues as he finds people able to see beyond his appearance and appreciate him for who he is, while inadvertently terrifying those who cannot. Unusually, his wife Lorna is an attractive personality. The Glorious Pool (1934). Perhaps the best example of Thorne Smith's acutely sharp social humor played out against a backdrop of the Volstead Act (Prohibition). Two unrepentant reprobates are celebrating the 25th anniversary of the seduction which made the stylish Rex Pebble into an adulterer and his companion, Spray Summers, into his hard-boiled mistress. While their exasperating and alcoholic Japanese houseboy, Nakashima, plays jujitsu with the English language, the two slip into a
to life: Mercury shows himself an expert pickpocket, while Neptune causes chaos in the fish market. Turnabout (1931) pits two modern married people into a battle of the sexes. Noticing the bickering and jealousy of a young man and wife, an Egyptian idol causes them to switch bodies. Tim Willows works in an advertising agency, and several of the scenes draw on author Thorne Smith's experience. After his wife, Sally, impregnates her husband, things take a decided turn for the worse as they separately try to deal with the object of the former wife's affections—a square-jawed philanderer by the name of Carl Bently. The scene in which Tim, trapped in his wife's body, exacts an icy revenge on the unfortunate interloper is one of the unforgettable moments of Thorne Smith's peculiar humor. Both a film (1940) and a short-lived 1979 television sitcom starring Sharon Gless and John Schuck (canceled after six episodes) were based on Turnabout, as to some extent was the last broadcast episode of Star Trek: The Original Series, "Turnabout Intruder". This novel is included with The Stray Lamb and Rain in the Doorway in The Thorne Smith 3-Decker. Lazy Bear Lane (1931). A children's book. The Bishop's Jaegers (1932). The depressed, indifferent heir of a vast coffee import fortune, Peter Van Dyke finds his life and high society engagement turned upside down when his secretary, Josephine Duval, determines to “rescue” him by ruining him morally. After an amusing scandal in a coat closet, he is cast adrift in a fog with a motley crew that includes a bishop of the Episcopal Church and a former nude model named Aspirin Liz. The enterprising party lands unceremoniously on the shores of a naturist resort, and the liberation of the coffee importer is set in motion. Smith, in one of his few comic novels devoid of any element of the supernatural, assumes the reader would know that "Jaegers" refers to a union suit. Rain in the Doorway (1933). A cuckold husband, Hector Owen, inadvertently becomes a partner in a big-city department store. The bulk of the action involves the inebriated adventures of Owen, his three partners (Mr. Horace Larkin, a man called Dinner, and Major Barney Britt-Britt), and a salesgirl from the pornographic books department, Miss Honor "Satin" Knightly. Of the three novels included in The Thorne Smith 3-Decker (see The Stray Lamb and Turnabout above) this is the most openly erotic, with many direct suggestions of sexual encounters, accompanied with cartoons of nude women cavorting with the protagonists, drawn by artist Herbert Roese. The Thorne Smith courtroom scene provides a climax, but the novel's biggest surprise isn't sprung until the final pages. Skin and Bones (1933). A photographer's freak accident in the darkroom produces a chemical concoction causing him and his dog to randomly switch back and forth between normal and X-ray (skeleton) versions of themselves. Drinking and cavorting ensues as he finds people able to see beyond his appearance and appreciate him for who he is, while inadvertently terrifying those who cannot. Unusually, his wife Lorna is an attractive personality. The Glorious Pool (1934). Perhaps the best example of Thorne Smith's acutely sharp
hypothesizes that this "sentinel" was left on the Moon as a "warning beacon" for possible intelligent and spacefaring species that might develop on Earth. Reception Algis Budrys found "The Sentinel" to be infuriating, saying that "one can raise a formidable reputation for profundity by repeating, over and over again, that the universe is wide and man is very small ... while our instruments show that the universe is wide, they are our instruments and we managed somehow to build them. There is no evidence whatsoever that Man is that goddamned small". Film The story was adapted and expanded upon in the 1968 film 2001: A Space Odyssey, made by filmmaker Stanley Kubrick. Kubrick and Clarke modified and fused the story with other ideas. Clarke expressed impatience with its common description as the story on which the novel and movie are based. He explained The film was nominated for four Oscars, including Best Original Screenplay at the Oscars in 1969. See also Encounter in the Dawn References External links "Sentinel of Eternity" at the Internet Archive Short stories by Arthur C. Clarke Space Odyssey 1951 short stories Fiction set in 1996 Short stories set on the Moon Works originally published in American magazines Works originally published in science fiction magazines Works originally published in
ancient aliens. The object is made of a polished mineral, is tetrahedral in shape, and is surrounded by a spherical forcefield. The narrator speculates at one point that the mysterious aliens who left this structure on the Moon may have used mechanisms belonging "to a technology that lies beyond our horizons, perhaps to the technology of para-physical forces." The narrator speculates that for millions of years (evidenced by dust buildup around its forcefield) the artifact has been transmitting signals into deep space, but it ceases to transmit when, sometime later, it is destroyed "with the savage might of atomic power". The narrator hypothesizes that this "sentinel" was left on the Moon as a "warning beacon" for possible intelligent and spacefaring species that might develop on Earth. Reception Algis Budrys found "The Sentinel" to be infuriating, saying that "one can raise a formidable reputation for profundity by repeating, over and over again, that the universe is wide and man is very small ... while our instruments show that the universe is wide, they are our instruments and we managed somehow to build them. There is no evidence whatsoever that Man is that goddamned small".
smaller than the one planned for Earth, and would reach from Mars to one of its moons, Deimos. After a few setbacks, including some fatalities, construction of the tower gets underway. Although the engineer's heart is failing, he rides up the tower to take food and oxygen to a group of stranded students and their professor. After overcoming serious difficulties he succeeds, then dies of a heart attack on the way back down. Themes The main theme of the novel is preceded by, and to some extent juxtaposed with, the story of the life and death of King Kashyapa I of Sri Lanka (fictionalized as King Kalidasa). It foreshadows the exploits of Vannevar Morgan in his determination to realize the space elevator. Other subplots include human colonization of the Solar system and the first contact with extraterrestrial intelligence. Clarke envisions a microscopically thin (in his demonstrator sample) but strong "hyperfilament" that makes the elevator possible. Although the hyperfilament is constructed from "continuous pseudo-one-dimensional diamond crystal", Clarke later expressed his belief that another type of carbon, Buckminsterfullerene, would play the role of hyperfilament in a real space elevator. The latest developments in carbon nanotube technology bring the orbital elevator closer to possible realisation. Setting The story is set in the fictional equatorial island country of Taprobane, which Clarke has described as "about ninety percent congruent with the island of Sri Lanka", south of its real-world location. The ruins of the palace at Yakkagala as described in the book very closely match the real-life ruins at Sigiriya in Sri Lanka. The mountain on which the space elevator is built is called Sri Kanda in the book, and bears a strong resemblance to the real mountain Sri Pada (Adam's Peak). Similarities with other works of Clarke In the middle of The Fountains of Paradise, an unmanned robotic spaceship of alien origin, called "Starglider" (from an origin world dubbed "Starholme") by Clarke, passes through the Solar system. This situation is similar to Rendezvous with Rama, though the ship exterior and its interactions with humans are very different. The first third of 3001: The Final Odyssey describes details of the interior of the ring habitat that encircles Earth, and is connected to Earth's surface with four space elevators. At the end of The Fountains of Paradise, this ring habitat is shown for the first time, though it has six space elevators rather than the four of 3001: Final Odyssey. At the end of the novel, Earth turns into an icy wasteland because the Sun has cooled. The same situation also occurs in the story "History Lesson". The alien shown near the end of The Fountains of Paradise is a somewhat more physical form
tower is to stretch from the Earth's equator to a satellite that is in geostationary orbit. Such a structure would greatly reduce the cost of sending people and supplies into space. The main story is framed by two other stories. The first one tells of King Kalidasa, living thousands of years before Morgan is born, who is constructing a 'pleasure garden' complete with functioning fountains, in a significant engineering effort for the time. The other story, taking place long after Morgan has died, deals with aliens making contact with Earth. Due to many technical issues, there are only two locations on Earth where the Orbital Tower can be built. One is in the middle of the Pacific Ocean, and the other is Sri Kanda (a thinly veiled reference to Adam's Peak in Sri Lanka). However, there is a Buddhist temple on the island, and Mahanayake Thero, the head of the order, refuses to give permission to begin construction. Hearing of the difficulties, a group of people living on Mars contacts Morgan and suggests that the tower be built there instead. It would be smaller than the one planned for Earth, and would reach from Mars to one of its moons, Deimos. After a few setbacks, including some fatalities, construction of the tower gets underway. Although the engineer's heart is failing, he rides up the tower to take food and oxygen to a group of stranded students and their professor. After overcoming serious difficulties he succeeds, then dies of a heart attack on the way back down. Themes The main theme of the novel is preceded by, and to some extent juxtaposed with, the story of the life and death of King Kashyapa I of Sri Lanka (fictionalized as King Kalidasa). It foreshadows the exploits of Vannevar Morgan in his determination to realize the space elevator. Other subplots include human colonization of the Solar system and the first contact with extraterrestrial intelligence. Clarke envisions a microscopically thin (in his demonstrator sample) but strong "hyperfilament" that makes the elevator possible. Although the hyperfilament is constructed from "continuous pseudo-one-dimensional diamond crystal", Clarke later expressed his belief that another type of carbon, Buckminsterfullerene, would play the role of hyperfilament in a real space elevator. The latest developments in carbon nanotube technology bring the orbital elevator closer to possible realisation. Setting The story is set in the fictional equatorial island country of Taprobane, which Clarke has described as "about ninety percent congruent with the island of Sri Lanka", south of its real-world location. The ruins of the palace at Yakkagala as described in the book very closely match the real-life ruins at Sigiriya in Sri Lanka. The mountain on which the space elevator
the infinitive. Northern and central dialects form the basis for the national language. Taglish (Englog) Taglish and Englog are names given to a mix of English and Tagalog. The amount of English vs. Tagalog varies from the occasional use of English loan words to changing language in mid-sentence. Such code-switching is prevalent throughout the Philippines and in various languages of the Philippines other than Tagalog. Code-mixing also entails the use of foreign words that are "Filipinized" by reforming them using Filipino rules, such as verb conjugations. Users typically use Filipino or English words, whichever comes to mind first or whichever is easier to use. City-dwellers are more likely to do this. The practice is common in television, radio, and print media as well. Advertisements from companies like Wells Fargo, Wal-Mart, Albertsons, McDonald's and Western Union have contained Taglish. Phonology Tagalog has 33 phonemes: 19 of them are consonants and 14 are vowels. Syllable structure is relatively simple, being maximally CrVC, where Cr only occurs in borrowed words such as trak "truck" or sombréro "hat". Vowels Tagalog has ten simple vowels, five long and five short, and four diphthongs. Before appearing in the area north of the Pasig river, Tagalog had three vowel qualities: , , and . This was later expanded to five with the introduction of words from central and northern Philippines, such as the Kapampangan, Pangasinan and Ilocano languages, as well as Spanish words. an open central unrounded vowel roughly similar to English "father"; in the middle of a word, a near-open central vowel similar to Received Pronunciation "cup"; or an open front unrounded vowel similar to Received Pronunciation or California English "hat" an open-mid front unrounded vowel similar to General American English "bed" a close front unrounded vowel similar to English "machine" a mid back rounded vowel similar to General American English "soul" or Philippine English "forty" a close back rounded vowel similar to English "flute" Nevertheless, simplification of pairs and is likely to take place, especially in some Tagalog as second language, remote location and working class registers. The four diphthongs are , , , and . Long vowels are not written apart from pedagogical texts, where an acute accent is used: á é í ó ú. The table above shows all the possible realizations for each of the five vowel sounds depending on the speaker's origin or proficiency. The five general vowels are in bold. Consonants Below is a chart of Tagalog consonants. All the stops are unaspirated. The velar nasal occurs in all positions including at the beginning of a word. Loanword variants using these phonemes are italicized inside the angle brackets. between vowels has a tendency to become as in loch, German Bach, whereas in the initial position it has a tendency to become , especially in the Manila dialect. Intervocalic and tend to become , as in Spanish agua, especially in the Manila dialect. and were once allophones, and they still vary grammatically, with initial becoming intervocalic in many words. A glottal stop that occurs in pausa (before a pause) is omitted when it is in the middle of a phrase, especially in the Metro Manila area. The vowel it follows is then lengthened. However, it is preserved in many other dialects. The phoneme is an alveolar rhotic that has a free variation between a trill, a flap and an approximant (). The phoneme may become a consonant cluster in between vowels such as sadyâ . Glottal stop is not indicated. Glottal stops are most likely to occur when: the word starts with a vowel, like aso (dog) the word includes a dash followed by a vowel, like mag-aral (study) the word has two vowels next to each other, like paano (how) the word starts with a prefix followed by a verb that starts with a vowel, like mag-aayos ([will] fix) Stress and final glottal stop Stress is a distinctive feature in Tagalog. Primary stress occurs on either the final or the penultimate syllable of a word. Vowel lengthening accompanies primary or secondary stress except when stress occurs at the end of a word. Tagalog words are often distinguished from one another by the position of the stress and/or the presence of a final glottal stop. In formal or academic settings, stress placement and the glottal stop are indicated by a diacritic (tuldík) above the final vowel. The penultimate primary stress position (malumay) is the default stress type and so is left unwritten except in dictionaries. Grammar Writing system Tagalog, like other Philippines languages today, is written using the Latin alphabet. Prior to the arrival of the Spanish in 1521 and the beginning of their colonization in 1565, Tagalog was written in an abugida—or alphasyllabary—called Baybayin. This system of writing gradually gave way to the use and propagation of the Latin alphabet as introduced by the Spanish. As the Spanish began to record and create grammars and dictionaries for the various languages of the Philippine archipelago, they adopted systems of writing closely following the orthographic customs of the Spanish language and were refined over the years. Until the first half of the 20th century, most Philippine languages were widely written in a variety of ways based on Spanish orthography. In the late 19th century, a number of educated Filipinos began proposing for revising the spelling system used for Tagalog at the time. In 1884, Filipino doctor and student of languages Trinidad Pardo de Tavera published his study on the ancient Tagalog script Contribucion para el Estudio de los Antiguos Alfabetos Filipinos and in 1887, published his essay El Sanscrito en la lengua Tagalog which made use of a new writing system developed by him. Meanwhile, Jose Rizal, inspired by Pardo de Tavera's 1884 work, also began developing a new system of orthography (unaware at first of Pardo de Tavera's own orthography). A major noticeable change in these proposed orthographies was the use of the letter ⟨k⟩ rather than ⟨c⟩ and ⟨q⟩ to represent the phoneme . In 1889, the new bilingual Spanish-Tagalog La España Oriental newspaper, of which Isabelo de los Reyes was an editor, began publishing using the new orthography stating in a footnote that it would "use the orthography recently introduced by ... learned Orientalis". This new orthography, while having its supporters, was also not initially accepted by several writers. Soon after the first issue of La España, Pascual H. Poblete's Revista Católica de Filipina began a series of articles attacking the new orthography and its proponents. A fellow writer, Pablo Tecson was also critical. Among the attacks was the use of the letters "k" and "w" as they were deemed to be of German origin and thus its proponents were deemed as "unpatriotic". The publishers of these two papers would eventually merge as La Lectura Popular in January 1890 and would eventually make use of both spelling systems in its articles. Pedro Laktaw, a schoolteacher, published the first Spanish-Tagalog dictionary using the new orthography in 1890. In April 1890, Jose Rizal authored an article Sobre la Nueva Ortografia de la Lengua Tagalog in the Madrid-based periodical La Solidaridad. In it, he addressed the criticisms of the new writing system by writers like Pobrete and Tecson and the simplicity, in his opinion, of the new orthography. Rizal described the orthography promoted by Pardo de Tavera as "more perfect" than what he himself had developed. The new orthography was however not broadly adopted initially and was used inconsistently in the bilingual periodicals of Manila until the early 20th century. The revolutionary society Kataás-taasan, Kagalang-galang Katipunan ng̃ mg̃á Anak ng̃ Bayan or Katipunan made use of the k-orthography and the letter k featured prominently on many of its flags and insignias. In 1937, Tagalog was selected to serve as basis for the country's national language. In 1940, the Balarílà ng Wikang Pambansâ () of grammarian Lope K. Santos introduced the Abakada alphabet. This alphabet consists of 20 letters and became the standard alphabet of the national language. The orthography as used by Tagalog would eventually influence and spread to the systems of writing used by other Philippine languages (which had been using variants of the Spanish-based system of writing). In 1987, the ABAKADA was dropped and in its place is the expanded Filipino alphabet. Baybayin Tagalog was written in an abugida (alphasyllabary) called Baybayin prior to the Spanish colonial period in the Philippines, in the 16th century. This particular writing system was composed of symbols representing three vowels and 14 consonants. Belonging to the Brahmic family of scripts, it shares similarities with the Old Kawi script of Java and is believed to be descended
to General American English "bed" a close front unrounded vowel similar to English "machine" a mid back rounded vowel similar to General American English "soul" or Philippine English "forty" a close back rounded vowel similar to English "flute" Nevertheless, simplification of pairs and is likely to take place, especially in some Tagalog as second language, remote location and working class registers. The four diphthongs are , , , and . Long vowels are not written apart from pedagogical texts, where an acute accent is used: á é í ó ú. The table above shows all the possible realizations for each of the five vowel sounds depending on the speaker's origin or proficiency. The five general vowels are in bold. Consonants Below is a chart of Tagalog consonants. All the stops are unaspirated. The velar nasal occurs in all positions including at the beginning of a word. Loanword variants using these phonemes are italicized inside the angle brackets. between vowels has a tendency to become as in loch, German Bach, whereas in the initial position it has a tendency to become , especially in the Manila dialect. Intervocalic and tend to become , as in Spanish agua, especially in the Manila dialect. and were once allophones, and they still vary grammatically, with initial becoming intervocalic in many words. A glottal stop that occurs in pausa (before a pause) is omitted when it is in the middle of a phrase, especially in the Metro Manila area. The vowel it follows is then lengthened. However, it is preserved in many other dialects. The phoneme is an alveolar rhotic that has a free variation between a trill, a flap and an approximant (). The phoneme may become a consonant cluster in between vowels such as sadyâ . Glottal stop is not indicated. Glottal stops are most likely to occur when: the word starts with a vowel, like aso (dog) the word includes a dash followed by a vowel, like mag-aral (study) the word has two vowels next to each other, like paano (how) the word starts with a prefix followed by a verb that starts with a vowel, like mag-aayos ([will] fix) Stress and final glottal stop Stress is a distinctive feature in Tagalog. Primary stress occurs on either the final or the penultimate syllable of a word. Vowel lengthening accompanies primary or secondary stress except when stress occurs at the end of a word. Tagalog words are often distinguished from one another by the position of the stress and/or the presence of a final glottal stop. In formal or academic settings, stress placement and the glottal stop are indicated by a diacritic (tuldík) above the final vowel. The penultimate primary stress position (malumay) is the default stress type and so is left unwritten except in dictionaries. Grammar Writing system Tagalog, like other Philippines languages today, is written using the Latin alphabet. Prior to the arrival of the Spanish in 1521 and the beginning of their colonization in 1565, Tagalog was written in an abugida—or alphasyllabary—called Baybayin. This system of writing gradually gave way to the use and propagation of the Latin alphabet as introduced by the Spanish. As the Spanish began to record and create grammars and dictionaries for the various languages of the Philippine archipelago, they adopted systems of writing closely following the orthographic customs of the Spanish language and were refined over the years. Until the first half of the 20th century, most Philippine languages were widely written in a variety of ways based on Spanish orthography. In the late 19th century, a number of educated Filipinos began proposing for revising the spelling system used for Tagalog at the time. In 1884, Filipino doctor and student of languages Trinidad Pardo de Tavera published his study on the ancient Tagalog script Contribucion para el Estudio de los Antiguos Alfabetos Filipinos and in 1887, published his essay El Sanscrito en la lengua Tagalog which made use of a new writing system developed by him. Meanwhile, Jose Rizal, inspired by Pardo de Tavera's 1884 work, also began developing a new system of orthography (unaware at first of Pardo de Tavera's own orthography). A major noticeable change in these proposed orthographies was the use of the letter ⟨k⟩ rather than ⟨c⟩ and ⟨q⟩ to represent the phoneme . In 1889, the new bilingual Spanish-Tagalog La España Oriental newspaper, of which Isabelo de los Reyes was an editor, began publishing using the new orthography stating in a footnote that it would "use the orthography recently introduced by ... learned Orientalis". This new orthography, while having its supporters, was also not initially accepted by several writers. Soon after the first issue of La España, Pascual H. Poblete's Revista Católica de Filipina began a series of articles attacking the new orthography and its proponents. A fellow writer, Pablo Tecson was also critical. Among the attacks was the use of the letters "k" and "w" as they were deemed to be of German origin and thus its proponents were deemed as "unpatriotic". The publishers of these two papers would eventually merge as La Lectura Popular in January 1890 and would eventually make use of both spelling systems in its articles. Pedro Laktaw, a schoolteacher, published the first Spanish-Tagalog dictionary using the new orthography in 1890. In April 1890, Jose Rizal authored an article Sobre la Nueva Ortografia de la Lengua Tagalog in the Madrid-based periodical La Solidaridad. In it, he addressed the criticisms of the new writing system by writers like Pobrete and Tecson and the simplicity, in his opinion, of the new orthography. Rizal described the orthography promoted by Pardo de Tavera as "more perfect" than what he himself had developed. The new orthography was however not broadly adopted initially and was used inconsistently in the bilingual periodicals of Manila until the early 20th century. The revolutionary society Kataás-taasan, Kagalang-galang Katipunan ng̃ mg̃á Anak ng̃ Bayan or Katipunan made use of the k-orthography and the letter k featured prominently on many of its flags and insignias. In 1937, Tagalog was selected to serve as basis for the country's national language. In 1940, the Balarílà ng Wikang Pambansâ () of grammarian Lope K. Santos introduced the Abakada alphabet. This alphabet consists of 20 letters and became the standard alphabet of the national language. The orthography as used by Tagalog would eventually influence and spread to the systems of writing used by other Philippine languages (which had been using variants of the Spanish-based system of writing). In 1987, the ABAKADA was dropped and in its place is the expanded Filipino alphabet. Baybayin Tagalog was written in an abugida (alphasyllabary) called Baybayin prior to the Spanish colonial period in the Philippines, in the 16th century. This particular writing system was composed of symbols representing three vowels and 14 consonants. Belonging to the Brahmic family of scripts, it shares similarities with the Old Kawi script of Java and is believed to be descended from the script used by the Bugis in Sulawesi. Although it enjoyed a relatively high level of literacy, Baybayin gradually fell into disuse in favor of the Latin alphabet taught by the Spaniards during their rule. There has been confusion of how to use Baybayin, which is actually an abugida, or an alphasyllabary, rather than an alphabet. Not every letter in the Latin alphabet is represented with one of those in the Baybayin alphasyllabary. Rather than letters being put together to make sounds as in Western languages, Baybayin uses symbols to represent syllables. A "kudlit" resembling an apostrophe is used above or below a symbol to change the vowel sound after its consonant. If the kudlit is used above, the vowel is an "E" or "I" sound. If the kudlit is used below, the vowel is an "O" or "U" sound. A special kudlit was later added by Spanish missionaries in which a cross placed below the symbol to get rid of the vowel sound all together, leaving a consonant. Previously, the consonant without a following vowel was simply left out (for example, bundok being rendered as budo), forcing the reader to use context when reading such words. Example: Latin alphabet Abecedario Until the first half of the 20th century, Tagalog was widely written in a variety of ways based on Spanish orthography consisting of 32
Reactor. This was originally started through an agreement between Richard Nixon and Leonid Brezhnev, but had been moving slowly since its first real meeting on 23 November 1978. During the Geneva Summit in November 1985, Reagan raised the issue with Mikhail Gorbachev and proposed reforming the organization. "... The two leaders emphasized the potential importance of the work aimed at utilizing controlled thermonuclear fusion for peaceful purposes and, in this connection, advocated the widest practicable development of international cooperation in obtaining this source of energy, which is essentially inexhaustible, for the benefit for all mankind." The next year, an agreement was signed between the US, Soviet Union, European Union and Japan, creating the International Thermonuclear Experimental Reactor organization. Design work began in 1988, and since that time the ITER reactor has been the primary tokamak design effort worldwide. Design Basic problem Positively charged ions and negatively charged electrons in a fusion plasma are at very high temperatures, and have correspondingly large velocities. In order to maintain the fusion process, particles from the hot plasma must be confined in the central region, or the plasma will rapidly cool. Magnetic confinement fusion devices exploit the fact that charged particles in a magnetic field experience a Lorentz force and follow helical paths along the field lines. The simplest magnetic confinement system is a solenoid. A plasma in a solenoid will spiral about the lines of field running down its center, preventing motion towards the sides. However, this does not prevent motion towards the ends. The obvious solution is to bend the solenoid around into a circle, forming a torus. However, it was demonstrated that such an arrangement is not uniform; for purely geometric reasons, the field on the outside edge of the torus is lower than on the inside edge. This asymmetry causes the electrons and ions to drift across the field, and eventually hit the walls of the torus. The solution is to shape the lines so they do not simply run around the torus, but twist around like the stripes on a barber pole or candycane. In such a field any single particle will find itself at the outside edge where it will drift one way, say up, and then as it follows its magnetic line around the torus it will find itself on the inside edge, where it will drift the other way. This cancellation is not perfect, but calculations showed it was enough to allow the fuel to remain in the reactor for a useful time. Tokamak solution The two first solutions to making a design with the required twist were the stellarator which did so through a mechanical arrangement, twisting the entire torus, and the z-pinch design which ran an electrical current through the plasma to create a second magnetic field to the same end. Both demonstrated improved confinement times compared to a simple torus, but both also demonstrated a variety of effects that caused the plasma to be lost from the reactors at rates that were not sustainable. The tokamak is essentially identical to the z-pinch concept in its physical layout. Its key innovation was the realization that the instabilities that were causing the pinch to lose its plasma could be controlled. The issue was how "twisty" the fields were; fields that caused the particles to transit inside and out more than once per orbit around the long axis torus were much more stable than devices that had less twist. This ratio of twists to orbits became known as the safety factor, denoted q. Previous devices operated at q about , while the tokamak operates at q >> 1. This increases stability by orders of magnitude. When the problem is considered even more closely, the need for a vertical (parallel to the axis of rotation) component of the magnetic field arises. The Lorentz force of the toroidal plasma current in the vertical field provides the inward force that holds the plasma torus in equilibrium. Other issues While the tokamak addresses the issue of plasma stability in a gross sense, plasmas are also subject to a number of dynamic instabilities. One of these, the kink instability, is strongly suppressed by the tokamak layout, a side-effect of the high safety factors of tokamaks. The lack of kinks allowed the tokamak to operate at much higher temperatures than previous machines, and this allowed a host of new phenomena to appear. One of these, the banana orbits, is caused by the wide range of particle energies in a tokamak – much of the fuel is hot but a certain percentage is much cooler. Due to the high twist of the fields in the tokamak, particles following their lines of force rapidly move towards the inner edge and then outer. As they move inward they are subject to increasing magnetic fields due to the smaller radius concentrating the field. The low-energy particles in the fuel will reflect off this increasing field and begin to travel backwards through the fuel, colliding with the higher energy nuclei and scattering them out of the plasma. This process causes fuel to be lost from the reactor, although this process is slow enough that a practical reactor is still well within reach. Breakeven, Q, and ignition One of the first goals for any controlled fusion device is to reach breakeven, the point where the energy being released by the fusion reactions is equal to the amount of energy being used to maintain the reaction. The ratio of output to input energy is denoted Q, and breakeven corresponds to a Q of 1. A Q of more than one is needed for the reactor to generate net energy, but for practical reasons, it is desirable for it to be much higher. Once breakeven is reached, further improvements in confinement generally lead to a rapidly increasing Q. That is because some of the energy being given off by the fusion reactions of the most common fusion fuel, a 50-50 mix of deuterium and tritium, is in the form of alpha particles. These can collide with the fuel nuclei in the plasma and heat it, reducing the amount of external heat needed. At some point, known as ignition, this internal self-heating is enough to keep the reaction going without any external heating, corresponding to an infinite Q. In the case of the tokamak, this self-heating process is maximized if the alpha particles remain in the fuel long enough to guarantee they will collide with the fuel. As the alphas are electrically charged, they are subject to the same fields that are confining the fuel plasma. The amount of time they spend in the fuel can be maximized by ensuring their orbit in the field remains within the plasma. It can be demonstrated that this occurs when the electrical current in the plasma is about 3 MA. Advanced tokamaks In the early 1970s, studies at Princeton into the use of high-power superconducting magnets in future tokamak designs examined the layout of the magnets. They noticed that the arrangement of the main toroidal coils meant that there was significantly more tension between the magnets on the inside of the curvature where they were closer together. Considering this, they noted that the tensional forces within the magnets would be evened out if they were shaped like a D, rather than an O. This became known as the "Princeton D-coil". This was not the first time this sort of arrangement had been considered, although for entirely different reasons. The safety factor varies across the axis of the machine; for purely geometrical reasons, it is always smaller at the inside edge of the plasma closest to the machine's center because the long axis is shorter there. That means that a machine with an average q = 2 might still be less than 1 in certain areas. In the 1970s, it was suggested that one way to counteract this and produce a design with a higher average q would be to shape the magnetic fields so that the plasma only filled the outer half of the torus, shaped like a D or C when viewed end-on, instead of the normal circular cross section. One of the first machines to incorporate a D-shaped plasma was the JET, which began its design work in 1973. This decision was made both for theoretical reasons as well as practical; because the force is larger on the inside edge of the torus, there is a large net force pressing inward on the entire reactor. The D-shape also had the advantage of reducing the net force, as well as making the supported inside edge flatter so it was easier to support. Code exploring the general layout noticed that a non-circular shape would slowly drift vertically, which led to the addition of an active feedback system to hold it in the center. Once JET had selected this layout, the General Atomics Doublet III team redesigned that machine into the D-IIID with a D-shaped cross-section, and it was selected for the Japanese JT-60 design as well. This layout has been largely universal since then. One problem seen in all fusion reactors is that the presence of heavier elements causes energy to be lost at an increased rate, cooling the plasma. During the very earliest development of fusion power, a solution to this problem was found, the divertor, essentially a large mass spectrometer that would cause the heavier elements to be flung out of the reactor. This was initially part of the stellarator designs, where it is easy to integrate into the magnetic windings. However, designing a divertor for a tokamak proved to be a very difficult design problem. Another problem seen in all fusion designs is the heat load that the plasma places on the wall of the confinement vessel. There are materials that can handle this load, but they are generally undesirable and expensive heavy metals. When such materials are sputtered in collisions with hot ions, their atoms mix with the fuel and rapidly cool it. A solution used on most tokamak designs is the limiter, a small ring of light metal that projected into the chamber so that the plasma would hit it before hitting the walls. This eroded the limiter and caused its atoms to mix with the fuel, but these lighter materials cause less disruption than the wall materials. When reactors moved to the D-shaped plasmas it was quickly noted that the escaping particle flux of the plasma could be shaped as well. Over time, this led to the idea of using the fields to create an internal divertor that flings the heavier elements out of the fuel, typically towards the bottom of the reactor. There, a pool of liquid lithium metal is used as a sort of limiter; the particles hit it and are rapidly cooled, remaining in the lithium. This internal pool is much easier to cool, due to its location, and although some lithium atoms are released into the plasma, its very low mass makes it a much smaller problem than even the lightest metals used previously. As machines began to explore this newly shaped plasma, they noticed that certain arrangements of the fields and plasma parameters would sometimes enter what is now known as the high-confinement mode, or H-mode, which operated stably at higher temperatures and pressures. Operating in the H-mode, which can also be seen in stellarators, is now a major design goal of the tokamak design. Finally, it was noted that when the plasma had a non-uniform density it would give rise to internal electrical currents. This is known as the bootstrap current. This allows a properly designed reactor to generate some of the internal current needed to twist the magnetic field lines without having to supply it from an external source. This has a number of advantages, and modern designs all attempt to generate as much of their total current through the bootstrap process as possible. By the early 1990s, the combination of these features and others collectively gave rise to the "advanced tokamak" concept. This forms the basis of modern research, including ITER. Plasma disruptions Tokamaks are subject to events known as "disruptions" that cause confinement to be lost in milliseconds. There are two primary mechanisms. In one, the "vertical displacement event" (VDE), the entire plasma moves vertically until it touches the upper or lower section of the vacuum chamber. In the other, the "major disruption", long wavelength, non-axisymmetric magnetohydrodynamical instabilities cause the plasma to be forced into non-symmetrical shapes, often squeezed into the top and bottom of the chamber. When the plasma touches the vessel walls it undergoes rapid cooling, or "thermal quenching". In the major disruption case, this is normally accompanied by a brief increase in plasma current as the plasma concentrates. Quenching ultimately causes the plasma confinement to break up. In the case of the major disruption the current drops again, the "current quench". The initial increase in current is not seen in the VDE, and the thermal and current quench occurs at the same time. In both cases, the thermal and electrical load of the plasma is rapidly deposited on the reactor vessel, which has to be able to handle these loads. ITER is designed to handle 2600 of these events over its lifetime. For modern high-energy devices, where plasma currents are on the order of 15 megaamperes in ITER, it is possible the brief increase in current during a major disruption will cross a critical threshold. This occurs when the current produces a force on the electrons that is higher than the frictional forces of the collisions between particles in the plasma. In this event, electrons can be rapidly accelerated to relativistic velocities, creating so-called "runaway electrons" in the relativistic runaway electron avalanche. These retain their energy even as the current quench is occurring on the bulk of the plasma. When confinement finally breaks down, these runaway electrons follow the path of least resistance and impact the side of the reactor. These can reach 12 megaamps of current deposited in a small area, well beyond the capabilities of any mechanical solution. In one famous case, the Tokamak de Fontenay aux Roses had a major disruption where the runaway electrons burned a hole through the vacuum chamber. The occurrence of major disruptions in running tokamaks has always been rather high, of the order of a few percent of the total numbers of the shots. In currently operated tokamaks, the damage is often large but rarely dramatic. In the ITER tokamak, it is expected that the occurrence of a limited number of major disruptions will definitively damage the chamber with no possibility to restore the device. The development of systems to counter the effects of runaway electrons is considered a must-have piece of technology for the operational level ITER. A large amplitude of the central current density can also result in internal disruptions, or sawteeth, which do not generally result in termination of the discharge. Plasma heating In an operating fusion reactor, part of the energy generated will serve to maintain the plasma temperature as fresh deuterium and tritium are introduced. However, in the startup of a reactor, either initially or after a temporary shutdown, the plasma will have to be heated to its operating temperature of greater than 10 keV (over 100 million degrees Celsius). In current tokamak (and other) magnetic fusion experiments, insufficient fusion energy is produced to maintain the plasma temperature, and constant external heating must be supplied. Chinese researchers set up the Experimental Advanced Superconducting Tokamak (EAST) in 2006 which is believed to sustain 100 million degree Celsius plasma (sun has 15 million degree Celsius temperature) which is required to initiate the fusion between hydrogen atoms, according to the latest test conducted in EAST (test conducted in November 2018). Ohmic heating ~ inductive mode Since the plasma is an electrical conductor, it is possible to heat the plasma by inducing a current through it; the induced current that provides most of the poloidal field is also a major source of initial heating. The heating caused by the induced current is called ohmic (or resistive) heating; it is the same kind of heating that occurs in an electric light bulb or in an electric heater. The heat generated depends on the resistance of the plasma and
create a field that was strong enough to confine the plasma as well, removing the need for the external magnets. At this point, the Soviet researchers had re-invented the pinch system being developed in the UK, although they had come to this design from a very different starting point. Once the idea of using the pinch effect for confinement had been proposed, a much simpler solution became evident. Instead of a large toroid, one could simply induce the current into a linear tube, which could cause the plasma within to collapse down into a filament. This had a huge advantage; the current in the plasma would heat it through normal resistive heating, but this would not heat the plasma to fusion temperatures. However, as the plasma collapsed, the adiabatic process would result in the temperature rising dramatically, more than enough for fusion. With this development, only Golovin and Natan Yavlinsky continued considering the more static toroidal arrangement. Instability On 4 July 1952, Nikolai Filippov's group measured neutrons being released from a linear pinch machine. Lev Artsimovich demanded that they check everything before concluding fusion had occurred, and during these checks, they found that the neutrons were not from fusion at all. This same linear arrangement had also occurred to researchers in the UK and US, and their machines showed the same behaviour. But the great secrecy surrounding the type of research meant that none of the groups were aware that others were also working on it, let alone having the identical problem. After much study, it was found that some of the released neutrons were produced by instabilities in the plasma. There were two common types of instability, the sausage that was seen primarily in linear machines, and the kink which was most common in the toroidal machines. Groups in all three countries began studying the formation of these instabilities and potential ways to address them. Important contributions to the field were made by Martin David Kruskal and Martin Schwarzschild in the US, and Shafranov in the USSR. One idea that came from these studies became known as the "stabilized pinch". This concept added additional magnets to the outside of the chamber, which created a field that would be present in the plasma before the pinch discharge. In most concepts, the external field was relatively weak, and because a plasma is diamagnetic, it penetrated only the outer areas of the plasma. When the pinch discharge occurred and the plasma quickly contracted, this field became "frozen in" to the resulting filament, creating a strong field in its outer layers. In the US, this was known as "giving the plasma a backbone." Sakharov revisited his original toroidal concepts and came to a slightly different conclusion about how to stabilize the plasma. The layout would be the same as the stabilized pinch concept, but the role of the two fields would be reversed. Instead of weak external fields providing stabilization and a strong pinch current responsible for confinement, in the new layout, the external magnets would be much more powerful in order to provide the majority of confinement, while the current would be much smaller and responsible for the stabilizing effect. Steps toward declassification In 1955, with the linear approaches still subject to instability, the first toroidal device was built in the USSR. TMP was a classic pinch machine, similar to models in the UK and US of the same era. The vacuum chamber was made of ceramic, and the spectra of the discharges showed silica, meaning the plasma was not perfectly confined by magnetic field and hitting the walls of the chamber. Two smaller machines followed, using copper shells. The conductive shells were intended to help stabilize the plasma, but were not completely successful in any of the machines that tried it. With progress apparently stalled, in 1955, Kurchatov called an All Union conference of Soviet researchers with the ultimate aim of opening up fusion research within the USSR. In April 1956, Kurchatov travelled to the UK as part of a widely publicized visit by Nikita Khrushchev and Nikolai Bulganin. He offered to give a talk at Atomic Energy Research Establishment, at the former RAF Harwell, where he shocked the hosts by presenting a detailed historical overview of the Soviet fusion efforts. He took time to note, in particular, the neutrons seen in early machines and warned that neutrons did not mean fusion. Unknown to Kurchatov, the British ZETA stabilized pinch machine was being built at the far end of the former runway. ZETA was, by far, the largest and most powerful fusion machine to date. Supported by experiments on earlier designs that had been modified to include stabilization, ZETA intended to produce low levels of fusion reactions. This was apparently a great success, and in January 1958, they announced the fusion had been achieved in ZETA based on the release of neutrons and measurements of the plasma temperature. Vitaly Shafranov and Stanislav Braginskii examined the news reports and attempted to figure out how it worked. One possibility they considered was the use of weak "frozen in" fields, but rejected this, believing the fields would not last long enough. They then concluded ZETA was essentially identical to the devices they had been studying, with strong external fields. First tokamaks By this time, Soviet researchers had decided to build a larger toroidal machine along the lines suggested by Sakharov. In particular, their design considered one important point found in Kruskal's and Shafranov's works; if the helical path of the particles made them circulate around the plasma's circumference more rapidly than they circulated the long axis of the torus, the kink instability would be strongly suppressed. Today this basic concept is known as the safety factor. The ratio of the number of times the particle orbits the major axis compared to the minor axis is denoted q, and the Kruskal-Shafranov Limit stated that the kink will be suppressed as long as q > 1. This path is controlled by the relative strengths of the external magnets compared to the field created by the internal current. To have q > 1, the external magnets must be much more powerful, or alternatively, the internal current has to be reduced. Following this criterion, design began on a new reactor, T-1, which today is known as the first real tokamak. T-1 used both stronger external magnets and a reduced current compared to stabilized pinch machines like ZETA. The success of the T-1 resulted in its recognition as the first working tokamak. For his work on "powerful impulse discharges in a gas, to obtain unusually high temperatures needed for thermonuclear processes", Yavlinskii was awarded the Lenin Prize and the Stalin Prize in 1958. Yavlinskii was already preparing the design of an even larger model, later built as T-3. With the apparently successful ZETA announcement, Yavlinskii's concept was viewed very favourably. Details of ZETA became public in a series of articles in Nature later in January. To Shafranov's surprise, the system did use the "frozen in" field concept. He remained sceptical, but a team at the Ioffe Institute in St. Petersberg began plans to build a similar machine known as Alpha. Only a few months later, in May, the ZETA team issued a release stating they had not achieved fusion, and that they had been misled by erroneous measures of the plasma temperature. T-1 began operation at the end of 1958. It demonstrated very high energy losses through radiation. This was traced to impurities in the plasma due to the vacuum system causing outgassing from the container materials. In order to explore solutions to this problem, another small device was constructed, T-2. This used an internal liner of corrugated metal that was baked at to cook off trapped gasses. Atoms for Peace and the doldrums As part of the second Atoms for Peace meeting in Geneva in September 1958, the Soviet delegation released many papers covering their fusion research. Among them was a set of initial results on their toroidal machines, which at that point had shown nothing of note. The "star" of the show was a large model of Spitzer's stellarator, which immediately caught the attention of the Soviets. In contrast to their designs, the stellarator produced the required twisted paths in the plasma without driving a current through it, using a series of magnets that could operate in the steady state rather than the pulses of the induction system. Kurchatov began asking Yavlinskii to change their T-3 design to a stellarator, but they convinced him that the current provided a useful second role in heating, something the stellarator lacked. At the time of the show, the stellarator had suffered a long string of minor problems that were just being solved. Solving these revealed that the diffusion rate of the plasma was much faster than theory predicted. Similar problems were seen in all the contemporary designs, for one reason or another. The stellarator, various pinch concepts and the magnetic mirror machines in both the US and USSR all demonstrated problems that limited their confinement times. From the first studies of controlled fusion, there was a problem lurking in the background. During the Manhattan Project, David Bohm had been part of the team working on isotopic separation of uranium. In the post-war era he continued working with plasmas in magnetic fields. Using basic theory, one would expect the plasma to diffuse across the lines of force at a rate inversely proportional to the square of the strength of the field, meaning that small increases in force would greatly improve confinement. But based on their experiments, Bohm developed an empirical formula, now known as Bohm diffusion, that suggested the rate was linear with the magnetic force, not its square. If Bohm's formula was correct, there was no hope one could build a fusion reactor based on magnetic confinement. To confine the plasma at the temperatures needed for fusion, the magnetic field would have to be orders of magnitude greater than any known magnet. Spitzer ascribed the difference between the Bohm and classical diffusion rates to turbulence in the plasma, and believed the steady fields of the stellarator would not suffer from this problem. Various experiments at that time suggested the Bohm rate did not apply, and that the classical formula was correct. But by the early 1960s, with all of the various designs leaking plasma at a prodigious rate, Spitzer himself concluded that the Bohm scaling was an inherent quality of plasmas, and that magnetic confinement would not work. The entire field descended into what became known as "the doldrums", a period of intense pessimism. Progress in the 1960s In contrast to the other designs, the experimental tokamaks appeared to be progressing well, so well that a minor theoretical problem was now a real concern. In the presence of gravity, there is a small pressure gradient in the plasma, formerly small enough to ignore but now becoming something that had to be addressed. This led to the addition of yet another set of magnets in 1962, which produced a vertical field that offset these effects. These were a success, and by the mid-1960s the machines began to show signs that they were beating the Bohm limit. At the 1965 Second International Atomic Energy Agency Conference on fusion at the UK's newly opened Culham Centre for Fusion Energy, Artsimovich reported that their systems were surpassing the Bohm limit by 10 times. Spitzer, reviewing the presentations, suggested that the Bohm limit may still apply; the results were within the range of experimental error of results seen on the stellarators, and the temperature measurements, based on the magnetic fields, were simply not trustworthy. The next major international fusion meeting was held in August 1968 in Novosibirsk. By this time two additional tokamak designs had been completed, TM-2 in 1965, and T-4 in 1968. Results from T-3 had continued to improve, and similar results were coming from early tests of the new reactors. At the meeting, the Soviet delegation announced that T-3 was producing electron temperatures of 1000 eV (equivalent to 10 million degrees Celsius) and that confinement time was at least 50 times the Bohm limit. These results were at least 10 times that of any other machine. If correct, they represented an enormous leap for the fusion community. Spitzer remained sceptical, noting that the temperature measurements were still based on the indirect calculations from the magnetic properties of the plasma. Many concluded they were due to an effect known as runaway electrons, and that the Soviets were measuring only those extremely energetic electrons and not the bulk temperature. The Soviets countered with several arguments suggesting the temperature they were measuring was Maxwellian, and the debate raged. Culham Five In the aftermath of ZETA, the UK teams began the development of new plasma diagnostic tools to provide more accurate measurements. Among these was the use of a laser to directly measure the temperature of the bulk electrons using Thomson scattering. This technique was well known and respected in the fusion community; Artsimovich had publicly called it "brilliant". Artsimovich invited Bas Pease, the head of Culham, to use their devices on the Soviet reactors. At the height of the cold war, in what is still considered a major political manoeuvre on Artsimovich's part, British physicists were allowed to visit the Kurchatov Institute, the heart of the Soviet nuclear bomb effort. The British team, nicknamed "The Culham Five", arrived late in 1968. After a lengthy installation and calibration process, the team measured the temperatures over a period of many experimental runs. Initial results were available by August 1969; the Soviets were correct, their results were accurate. The team phoned the results home to Culham, who then passed them along in a confidential phone call to Washington. The final results were published in Nature in November 1969. The results of this announcement have been described as a "veritable stampede" of tokamak construction around the world. One serious problem remained. Because the electrical current in the plasma was much lower and produced much less compression than a pinch machine, this meant the temperature of the plasma was limited to the resistive heating rate of the current. First proposed in 1950, Spitzer resistivity stated that the electrical resistance of a plasma was reduced as the temperature increased, meaning the heating rate of the plasma would slow as the devices improved and temperatures were pressed higher. Calculations demonstrated that the resulting maximum temperatures while staying within q > 1 would be limited to the low millions of degrees. Artsimovich had been quick to point this out in Novosibirsk, stating that future progress would require new heating methods to be developed. US turmoil One of the people attending the Novosibirsk meeting in 1968 was Amasa Stone Bishop, one of the leaders of the US fusion program. One of the few other devices to show clear evidence of beating the Bohm limit at that time was the multipole concept. Both Lawrence Livermore and the Princeton Plasma Physics Laboratory (PPPL), home of Spitzer's stellarator, were building variations on the multipole design. While moderately successful on their own, T-3 greatly outperformed either machine. Bishop was concerned that the multipoles were redundant and thought the US should consider a tokamak of its own. When he raised the issue at a December 1968 meeting, directors of the labs refused to consider it. Melvin B. Gottlieb of Princeton was exasperated, asking "Do you think that this committee can out-think the scientists?" With the major labs demanding they control their own research, one lab found itself left out. Oak Ridge had originally entered the fusion field with studies for reactor fueling systems, but branched out into a mirror program of their own. By the mid-1960s, their DCX designs were running out of ideas, offering nothing that the similar program at the more prestigious and politically powerful Livermore didn't. This made them highly receptive to new concepts. After a considerable internal debate, Herman Postma formed a small group in early 1969 to consider the tokamak. They came up with a new design, later christened Ormak, that had several novel features. Primary among them was the way the external field was created in a single large copper block, fed power from a large transformer below the torus. This was as opposed to traditional designs that used magnet windings on the outside. They felt the single block would produce a much more uniform field. It would also have the advantage of allowing the torus to have a smaller major radius, lacking the need to route cables through the donut hole, leading to a lower aspect ratio, which the Soviets had already suggested would produce better results. Tokamak race in the US In early 1969, Artsimovich visited MIT, where he was hounded by those interested in fusion. He finally agreed to give several lectures in April and then allowed lengthy question-and-answer sessions. As these went on, MIT itself grew interested in the tokamak, having previously stayed out of the fusion field for a variety of reasons. Bruno Coppi was at MIT at the time, and following the same concepts as Postma's team, came up with his own low-aspect-ratio concept, Alcator. Instead of Ormak's toroidal transformer, Alcator used traditional ring-shaped magnets but required them to be much smaller than existing designs. MIT's Francis Bitter Magnet Laboratory was the world leader in magnet design and they were confident they could build them. During 1969, two additional groups entered the field. At General Atomics, Tihiro Ohkawa had been developing multipole reactors, and submitted a concept based on these ideas. This was a tokamak that would have a non-circular plasma cross-section; the same math that suggested a lower aspect-ratio would improve performance also suggested that a C or D-shaped plasma would do the same. He called the new design Doublet. Meanwhile, a group at University of Texas at Austin was proposing a relatively simple tokamak to explore heating the plasma through deliberately induced turbulence, the Texas Turbulent Tokamak. When the members of the Atomic Energy Commissions' Fusion Steering Committee met again in June 1969, they had "tokamak proposals coming out of our ears." The only major lab working on a toroidal design that was not proposing a tokamak was Princeton, who refused to consider it in spite of their Model C stellarator being just about perfect for such a conversion. They continued to offer a long list of reasons why the Model C should not be converted. When these were questioned, a furious debate broke out about whether the Soviet results were reliable. Watching the debate take place, Gottlieb had a change of heart. There was no point moving forward with the tokamak if the Soviet electron temperature measurements were not accurate, so he formulated a plan to either prove or disprove their results. While swimming in the pool during the lunch break, he told Harold Furth his plan, to which Furth replied: "well, maybe you're right." After lunch, the various teams presented their designs, at which point Gottlieb presented his idea for a "stellarator-tokamak" based on the Model C. The Standing Committee noted that this system could be complete in six months, while Ormak would take a year. It was only a short time later that the confidential results from the Culham Five were released. When they met again in October, the Standing Committee released funding for all of these proposals. The Model C's new configuration, soon named Symmetrical Tokamak, intended to simply verify the Soviet results, while the others would explore ways to go well beyond T-3. Heating: US takes the lead Experiments on the Symmetric Tokamak began in May 1970, and by early the next year they had confirmed the Soviet results and then surpassed them. The stellarator was abandoned, and PPPL turned its considerable expertise to the problem of heating the plasma. Two concepts seemed to hold promise. PPPL proposed using magnetic compression, a pinch-like technique to compress a warm plasma to raise its temperature, but providing that compression through magnets rather than current. Oak Ridge suggested neutral beam injection, small particle accelerators that would shoot fuel atoms through the surrounding magnetic field where they would collide with the plasma and heat it. PPPL's Adiabatic Toroidal Compressor (ATC) began operation in May 1972, followed shortly thereafter by a neutral-beam equipped Ormak. Both demonstrated significant problems, but PPPL leapt past Oak Ridge by fitting beam injectors to ATC and provided clear evidence of successful heating in 1973. This success "scooped" Oak Ridge, who fell from favour within the Washington Steering Committee. By this time a much larger design based on beam heating was under construction, the Princeton Large Torus, or PLT. PLT was designed specifically to "give a clear indication whether the tokamak concept plus auxiliary heating can form a basis for a future fusion reactor". PLT was an enormous success, continually raising its internal temperature until it hit 60 million Celsius (8,000 eV, eight times T-3's record) in 1978. This is a key point in the development of the tokamak; fusion reactions become self-sustaining at temperatures between 50 and 100 million Celsius, PLT demonstrated that this was technically achievable. These experiments, especially PLT, put the US far in the lead in tokamak research. This is due largely to budget; a tokamak cost about $500,000 and the US annual fusion budget was around $25 million at that time. They could afford to explore all of the promising methods of heating, ultimately discovering neutral beams to be among the most effective. During this period, Robert Hirsch took over the Directorate of fusion development in the U.S. Atomic Energy Commission. Hirsch felt that the program could not be sustained at its current funding levels without demonstrating tangible results. He began to reformulate the entire program. What had once been a lab-led effort of mostly scientific exploration was now a Washington-led effort to build a working power-producing reactor. This was given a boost by the 1973 oil crisis, which led to greatly increased research into alternative energy systems. 1980s: great hope, great disappointment By the late-1970s, tokamaks had reached all the conditions needed for a practical fusion reactor; in 1978 PLT had demonstrated ignition temperatures, the next year the Soviet T-7 successfully used superconducting magnets for the first time, Doublet proved to be a success and led to almost all future designs adopting this "shaped plasma" approach. It appeared all that was needed to build a power-producing reactor was to put all of these design concepts into a single machine, one that would be capable of running with the radioactive tritium in its fuel mix. The race was on. During the 1970s, four major second-generation proposals were funded worldwide. The Soviets continued their development lineage with the T-15, while a pan-European effort was developing the Joint European Torus (JET) and Japan began the JT-60 effort (originally known as the "Breakeven Plasma Test Facility"). In the US, Hirsch began formulating plans for a similar design, skipping over proposals for another stepping-stone design directly to a tritium-burning one. This emerged as the Tokamak Fusion Test Reactor (TFTR), run directly from Washington and not linked to any specific lab. Originally favouring Oak Ridge as the host, Hirsch moved it to PPPL after others convinced him they would work the hardest on it because they had the most to lose. The excitement was so widespread that several commercial ventures to produce commercial tokamaks began around this time. Best known among these, in 1978, Bob Guccione, publisher of Penthouse Magazine, met Robert Bussard and became the world's biggest and most committed private investor in fusion technology, ultimately putting $20 million of his own money into Bussard's Compact Tokamak. Funding by the Riggs Bank led to this effort being known as the Riggatron. TFTR won the construction race and began operation in 1982, followed shortly by JET in 1983 and JT-60 in 1985. JET quickly took the lead in critical experiments, moving from test gases to deuterium and increasingly powerful "shots". But it soon became clear that none of the new systems were working as expected. A host of new instabilities appeared, along with a number of more practical problems that continued to interfere with their performance. On top of this, dangerous "excursions" of the plasma hitting with the walls of the reactor were evident in both TFTR and JET. Even when working perfectly, plasma confinement at fusion temperatures, the so-called "fusion triple product", continued to be far below what would be needed for a practical reactor design. Through the mid-1980s the reasons for many of these problems became clear, and various solutions were offered. However, these would significantly increase the size and complexity of the machines. A follow-on design incorporating these changes would be both enormous and vastly more expensive than either JET or TFTR. A new period of pessimism descended on the fusion field. ITER At the same time these experiments were demonstrating problems, much of the impetus for the US's massive funding disappeared; in 1986 Ronald Reagan declared the 1970s energy crisis was over, and funding for advanced energy sources had been slashed in the early 1980s. Some thought of an international reactor design had been ongoing since June 1973 under the name INTOR, for INternational TOkamak Reactor. This was originally started through an agreement between Richard Nixon and Leonid Brezhnev, but had been moving slowly since its first real meeting on 23 November 1978. During the Geneva Summit in November 1985, Reagan raised the issue with Mikhail Gorbachev and proposed reforming the organization. "... The two leaders emphasized the potential importance of the work aimed at utilizing controlled thermonuclear fusion for peaceful purposes and, in this connection, advocated the widest practicable development of international cooperation in obtaining this source of energy, which is essentially inexhaustible, for the benefit for all mankind." The next year, an agreement was signed between the US, Soviet Union, European Union and Japan, creating the International Thermonuclear Experimental Reactor organization. Design work began in 1988, and since that time the ITER reactor has been the primary tokamak design effort worldwide. Design Basic problem Positively charged ions and negatively charged electrons in a fusion plasma are at very high temperatures, and have correspondingly large velocities. In order to maintain the fusion process, particles from the hot plasma must be confined in the central region, or the plasma will rapidly cool. Magnetic confinement fusion devices exploit the fact that charged particles in a magnetic field experience a Lorentz force and follow helical paths along the field lines. The simplest magnetic confinement system is a solenoid. A plasma in a solenoid will spiral about the lines of field running down its center, preventing motion towards the sides. However, this does not prevent motion towards the ends. The obvious solution is to bend the solenoid around into a circle, forming a torus. However, it was demonstrated that such an arrangement is not uniform; for purely geometric reasons, the field on the outside edge of the torus is lower than on the inside edge. This asymmetry causes the electrons and ions to drift across the field, and eventually hit the walls of the torus. The solution is to shape the lines so they do not simply run around the torus, but twist around like the stripes on a barber pole or candycane. In such a field any single particle will find itself at the outside edge where it will drift one way, say up, and then as it follows its magnetic line around the torus it will find itself on the inside edge, where it will drift the other way. This cancellation is not perfect, but calculations showed it was enough to allow the fuel to remain in the reactor for a useful time. Tokamak solution The two first solutions to making a design with the required twist were the stellarator which did so through a mechanical arrangement, twisting the entire torus, and the z-pinch design which ran an electrical current through the plasma to create a second magnetic field to the same end. Both demonstrated improved confinement times compared to a simple torus, but both also demonstrated a variety of effects that caused the plasma to be lost from the reactors at rates that were not sustainable. The tokamak is essentially identical to the z-pinch concept in its physical layout. Its key innovation was the realization that the instabilities that were causing the pinch to lose its plasma could be controlled. The issue was how "twisty" the fields were; fields that caused the particles to transit inside and out more than once per orbit around the long axis torus were much more stable than devices that had less
the bearing, as well as the impeller. After some testing, super-precision bearings, lubricated by oil that was atomized and directed by a stream of gaseous nitrogen, were used. On the next run, the bearings worked satisfactorily but the stresses were too great for the brazed impeller and it flew apart. A new one was made by milling from a solid block of aluminum. The next two runs with the new pump were a great disappointment; the instruments showed no significant flow or pressure rise. The problem was traced to the exit diffuser of the pump, which was too small and insufficiently cooled during the cool-down cycle so that it limited the flow. This was corrected by adding vent holes in the pump housing; the vents were opened during cool down and closed when the pump was cold. With this fix, two additional runs were made in March 1949 and both were successful. Flow rate and pressure were found to be in approximate agreement with theoretical predictions. The maximum pressure was 26 atmospheres () and the flow was 0.25 kilogram per second. After 1949 The Space Shuttle main engine's turbopumps spun at over 30,000 rpm, delivering 150 lb (68 kg) of liquid hydrogen and 896 lb (406 kg) of liquid oxygen to the engine per second. The Electron Rocket's Rutherford became the first engine to use an electrically-driven turbopumps in flight in 2018. Centrifugal turbopumps Most turbopumps are centrifugal - the fluid enters the pump near the axis and the rotor accelerates the fluid to high speed. The fluid then passes through a diffuser which is a progressively enlarging pipe, which permits recovery of the dynamic pressure. The diffuser turns the high kinetic energy into high pressures (hundreds of bars is not uncommon), and if the outlet backpressure is not too high, high flow rates can be achieved. Axial turbopumps Axial turbopumps also exist. In this case the axle essentially has propellers attached to the shaft, and the fluid is forced by these parallel with the main axis of the pump. Generally, axial pumps tend to give much lower pressures than centrifugal pumps, and a few bars is not uncommon. They are, however, still useful – axial pumps are commonly used as "inducers" for centrifugal pumps, which raise the inlet pressure of the centrifugal pump enough to prevent excessive cavitation from occurring therein. Complexities of centrifugal turbopumps Turbopumps have a reputation for being extremely hard to design to get optimal performance. Whereas a well engineered and debugged pump can manage 70–90% efficiency, figures less than half that are not uncommon. Low efficiency may be acceptable in some applications, but in rocketry this is a severe problem. Turbopumps in rockets are important and problematic enough that launch vehicles using one have been caustically described as a "turbopump with a rocket attached"–up to 55% of the total cost
alternating rotating and static blades progressively raise the pressure of a fluid. Axial-flow pumps have small diameters but give relatively modest pressure increases. Although multiple compression stages are needed, axial flow pumps work well with low-density fluids. Centrifugal pumps are far more powerful for high-density fluids but require large diameters for low-density fluids. History Early development High-pressure pumps for larger missiles had been discussed by rocket pioneers such as Hermann Oberth. In mid-1935 Wernher von Braun initiated a fuel pump project at the southwest German firm Klein, Schanzlin & Becker that was experienced in building large fire-fighting pumps. The V-2 rocket design used hydrogen peroxide decomposed through a Walter steam generator to power the uncontrolled turbopump produced at the Heinkel plant at Jenbach, so V-2 turbopumps and combustion chamber were tested and matched to prevent the pump from overpressurizing the chamber. The first engine fired successfully in September, and on August 16, 1942, a trial rocket stopped in mid-air and crashed due to a failure in the turbopump. The first successful V-2 launch was on October 3, 1942. Development from 1947 to 1949 The principal engineer for turbopump development at Aerojet was George Bosco. During the second half of 1947, Bosco and his group learned about the pump work of others and made preliminary design studies. Aerojet representatives visited Ohio State University where Florant was working on hydrogen pumps, and consulted Dietrich Singelmann, a German pump expert at Wright Field. Bosco subsequently used Singelmann's data in designing Aerojet's first hydrogen pump. By mid-1948, Aerojet had selected centrifugal pumps for both liquid hydrogen and liquid oxygen. They obtained some German radial-vane pumps from the Navy and tested them during the second half of the year. By the end of 1948, Aerojet had designed, built, and tested a liquid hydrogen pump (15 cm diameter). Initially, it used ball bearings that were run clean and dry, because the low temperature made conventional lubrication impractical. The pump was first operated at low speeds to allow its parts to cool down to operating temperature. When temperature gauges showed that liquid hydrogen had reached the pump, an attempt was made to accelerate from 5000 to 35 000 revolutions per minute. The pump failed and examination of the pieces pointed to a failure of the bearing, as well as the impeller. After some testing, super-precision bearings, lubricated by oil that was atomized and directed by a stream of gaseous nitrogen, were used.
private parties had rights over the use of store space. Even though all the persons with ownership rights were losing money with the empty stores, and stores were in great demand, competing interests got in the way. Heller says that the rise of the "robber barons" in medieval Germany was the result of the tragedy of the anticommons. Nobles commonly attempted to collect tolls on stretches of the Rhine passing by or through their fiefs, building towers alongside the river and stretching iron chains to prevent boats from carrying cargo up and down the river without paying a fee. Repeated attempts by the Holy Roman Empire, including several over the centuries by the Emperor, to regulate toll collection on the Rhine failed. And it was not until the establishment of the "Rhine League" of the Emperor with certain nobles and clergy that the "Robber barons" control over the Rhine was crushed. River tolls on the Rhine, increasingly imposed by states rather than individual lords, remained a sticking point in relations and commerce in the Rhine basin until the establishment of the Central Commission for Navigation on the Rhine in 1815. Heller and Rebecca S. Eisenberg are academic law professors who believe that biological patents create a "tragedy of the anticommons", "in which
antipathy between the patent holders prevented their use. The government was forced to step in and create a patent pool during World War I. In his 1998 Harvard Law Review article, Michael Heller noted that there were a lot of open air kiosks but also a lot of empty stores in many Eastern European cities after the fall of Communism. Upon investigation, he concluded that it was difficult or even impossible for a startup retailer to negotiate successfully for the use of that space because many different agencies and private parties had rights over the use of store space. Even though all the persons with ownership rights were losing money with the empty stores, and stores were in great demand, competing interests got in the way. Heller says that the rise of the "robber barons" in medieval Germany was the result of the tragedy of the anticommons. Nobles commonly attempted to collect tolls on stretches of the Rhine passing by or through their fiefs, building towers alongside the river and stretching iron chains to prevent boats from carrying cargo up and down the river without paying a fee. Repeated attempts by the Holy Roman Empire, including several over the centuries by the Emperor, to regulate toll collection on the Rhine failed. And it was not until the establishment of the "Rhine League" of the Emperor with certain nobles and clergy that the "Robber barons" control over the Rhine was crushed. River tolls on the Rhine, increasingly imposed by states rather than individual lords, remained a sticking point in relations and commerce in the Rhine basin until the
themselves as Spiritual Feminists. As such, the term thealogy has also been used by feminists within mainstream monotheistic religions to describe in more detail the feminine aspect of a monotheistic deity or trinity, such as God/dess Herself, or the Heavenly Mother of the Latter Day Saint movement. In 2000, Melissa Raphael wrote the text Introducing Thealogy: Discourse on the Goddess for the series Introductions in Feminist Theology. Written for an academic audience, it purports to introduce the main elements of thealogy within the context of Goddess feminism. She situates thealogy as a discourse that can be engaged with by Goddess feminists—those who are feminist adherents of the Goddess who may have left their church, synagogue, or mosque—or those who may still belong to their originally established religion. In the book, Raphael compares and contrasts thealogy with the Goddess movement. In 2007, Paul Reid-Bowen wrote the text "Goddess as Nature: Towards a Philosophical Thealogy", which can be regarded as another systematic approach to thealogy, but which integrates philosophical discourse. In the past decade, other thealogians like Patricia 'Iolana and D'vorah Grenn have generated discourses that bridge thealogy with other academic disciplines. 'Iolana's Jungian thealogy bridges analytical psychology with thealogy, and Grenn's metaformic thealogy is a bridge between matriarchal studies and thealogy. Contemporary Thealogians include Carol P. Christ, Melissa Raphael, Asphodel Long, Beverly Clack, Charlotte Caron, Naomi Goldenberg, Paul Reid-Bowen, Rita Nakashima Brock, and Patricia 'Iolana. Criticisms At least one Christian theologian dismisses thealogy as the creation of a new deity made up by radical feminists. Paul Reid-Bowen and Chaone Mallory point out that essentialism is a problematic slippery slope when Goddess feminists argue that women are inherently better than men or inherently closer to the Goddess. In his book Goddess Unmasked: The Rise of Neopagan Feminist Spirituality, Philip G. Davis levies a number of criticisms against the Goddess movement, including logical fallacies, hypocrisies, and essentialism. Thealogy has also been criticized for its objection to empiricism and reason. In this critique, thealogy is seen as flawed by rejecting a purely empirical worldview for a purely relativistic one. Meanwhile, scholars like Harding and Haraway seek a middle ground of feminist empiricism. Art and culture Artist Edwina Sandys' 250-pound bronze statue of a bare-breasted female Crucifixion statue, Crista, was removed from the Cathedral of Saint John the Divine at the order of the Jesus Suffragan Bishop of the Episcopal Diocese of New York during Holy Week in 1984. The bishop accused the Cathedral Dean of "descrating our symbols" even though viewer reaction had been "overwhelmingly positive." In 2016, Sandy's Crista was reinstalled at the cathedral, on the altar, as the centerpiece of the "groundbreaking" The Christa Project: Manifesting Divine Bodies. The Bishop of the Episcopal Diocese of New York wrote an article for the cathedral's booklet stating, "In an evolving, growing, learning church, we may be ready to see ‘Christa’ not only as a work of art but as an object of devotion, over our altar, with all of the
mainstream monotheistic religions to describe in more detail the feminine aspect of a monotheistic deity or trinity, such as God/dess Herself, or the Heavenly Mother of the Latter Day Saint movement. In 2000, Melissa Raphael wrote the text Introducing Thealogy: Discourse on the Goddess for the series Introductions in Feminist Theology. Written for an academic audience, it purports to introduce the main elements of thealogy within the context of Goddess feminism. She situates thealogy as a discourse that can be engaged with by Goddess feminists—those who are feminist adherents of the Goddess who may have left their church, synagogue, or mosque—or those who may still belong to their originally established religion. In the book, Raphael compares and contrasts thealogy with the Goddess movement. In 2007, Paul Reid-Bowen wrote the text "Goddess as Nature: Towards a Philosophical Thealogy", which can be regarded as another systematic approach to thealogy, but which integrates philosophical discourse. In the past decade, other thealogians like Patricia 'Iolana and D'vorah Grenn have generated discourses that bridge thealogy with other academic disciplines. 'Iolana's Jungian thealogy bridges analytical psychology with thealogy, and Grenn's metaformic thealogy is a bridge between matriarchal studies and thealogy. Contemporary Thealogians include Carol P. Christ, Melissa Raphael, Asphodel Long, Beverly Clack, Charlotte Caron, Naomi Goldenberg, Paul Reid-Bowen, Rita Nakashima Brock, and Patricia 'Iolana. Criticisms At least one Christian theologian dismisses thealogy as the creation of a new deity made up by radical feminists. Paul Reid-Bowen and Chaone Mallory point out that essentialism is a problematic slippery slope when Goddess feminists argue that women are inherently better than men or inherently closer to the Goddess. In his book Goddess Unmasked: The Rise of Neopagan Feminist Spirituality, Philip G. Davis levies a number of criticisms against the Goddess movement, including logical fallacies, hypocrisies, and essentialism. Thealogy has also been criticized for its objection to empiricism and reason. In this critique, thealogy is seen as flawed by rejecting a purely empirical worldview for a purely relativistic one. Meanwhile, scholars like Harding and Haraway seek a middle ground of feminist empiricism. Art and culture Artist Edwina Sandys' 250-pound bronze statue of a bare-breasted female Crucifixion statue, Crista, was removed from the Cathedral of Saint John the Divine at the order of the Jesus Suffragan Bishop of the Episcopal Diocese of New York during Holy Week in 1984. The bishop accused the Cathedral Dean of "descrating our symbols" even though viewer reaction had been "overwhelmingly positive." In 2016, Sandy's Crista was reinstalled at the cathedral, on the altar, as the centerpiece of the "groundbreaking" The Christa Project: Manifesting Divine Bodies. The Bishop of the Episcopal Diocese of New York wrote an article for the cathedral's booklet stating, "In an evolving, growing, learning church, we may be ready to see ‘Christa’ not only as a work of art but as an object of devotion, over our altar, with all of the challenges that may come with that for many visitors to the cathedral, or indeed, perhaps for all of us." This exhibition of more than 50 contemporary works that "interpret — or reinterpret — the symbolism associated with the image of Jesus", in order to provide "an excellent vehicle for thinking about sacred incarnation, and one that reaches out to humans of all genders, races, religions and sexual orientations" included work by Fredericka Foster, Kiki Smith, Genesis Breyer P-Orridge and Eiko Otake. See also Devi (Hindu goddess) God and gender Goddess movement Goddess worship Matriarchal religion Matriarchy Mother goddess References Further reading Goldenberg, Naomi (1990) Returning Words to Flesh: Feminism, Psychoanalysis,
not very successful. Their low sides made them susceptible to swamping in high seas, and even to having their boiler fires extinguished by spray from their own torpedo explosions. Torpedo misfires (too early) and duds were common. In 1864, Union Navy Lieutenant William B. Cushing fitted a steam launch with a spar torpedo to attack the Confederate ironclad . Also the same year the Union launched , a purpose-built craft with a number of technical innovations including variable ballast for attack operations and an extensible and reloadable torpedo placement spar. Self-propelled torpedo A prototype self-propelled torpedo was created by a commission placed by Giovanni Luppis, an Austrian naval officer from Rijeka, then a port city of the Austro-Hungarian Empire, and Robert Whitehead, an English engineer who was the manager of a town factory. In 1864, Luppis presented Whitehead with the plans of the Salvacoste ("coastsaver"), a floating weapon driven by ropes from the land that had been dismissed by the naval authorities due to the impractical steering and propulsion mechanisms. Whitehead was unable to improve the machine substantially, since the clockwork motor, attached ropes, and surface attack mode all contributed to a slow and cumbersome weapon. However, he kept considering the problem after the contract had finished, and eventually developed a tubular device, designed to run underwater on its own, and powered by compressed air. The result was a submarine weapon, the Minenschiff ("mine ship"), the first modern self-propelled torpedo, officially presented to the Austrian Imperial Naval commission on December 21, 1866. The first trials were not successful as the weapon was unable to maintain a course on a steady depth. After much work, Whitehead introduced his "secret" in 1868 which overcame this. It was a mechanism consisting of a hydrostatic valve and pendulum that caused the torpedo's hydroplanes to be adjusted so as to maintain a preset depth. First torpedo boats During the mid-19th century, the ships of the line were superseded by large steam powered ships with heavy gun armament and heavy armour, called ironclads. Ultimately this line of development led to the dreadnought class of all-big-gun battleship, starting with . At the same time, the weight of armour slowed the battleships, and the huge guns needed to penetrate enemy armour fired at very slow rates. This allowed for the possibility of a small and fast ship that could attack the battleships, at a much lower cost. The introduction of the torpedo provided a weapon that could cripple, or even sink, any battleship. The first warship of any kind to carry self-propelled torpedoes was HMS Vesuvius of 1873. The first seagoing vessel designed to fire the self-propelled Whitehead torpedo was . The boat was built by John Thornycroft at Church Wharf in Chiswick for the Royal Navy. It entered service in 1876 and was armed with self-propelled Whitehead torpedoes. As originally built, Lightning had two drop collars to launch torpedoes; these were replaced in 1879 by a single torpedo tube in the bow. She carried also two reload torpedoes amidships. She was later renamed Torpedo Boat No. 1. The French Navy followed suit in 1878 with Torpilleur No 1, launched in 1878 though she had been ordered in 1875. Another early such ship was the Norwegian warship , ordered from Thornycroft shipbuilding company, England, in either 1872 or 1873, and built at Thornycroft's shipyard at Church Wharf in Chiswick on the River Thames. Managing a speed of , she was one of the fastest boats afloat when completed. The Norwegians initially planned to arm her with a spar torpedo, but this may never have been fitted. Rap was outfitted with launch racks for the new self-propelled Whitehead torpedoes in 1879. Use in combat In the late 19th century, many navies started to build torpedo boats in length, armed with up to three torpedo launchers and small guns. They were powered by steam engines and had a maximum speed of . They were relatively inexpensive and could be purchased in quantity, allowing mass attacks on fleets of larger ships. The loss of even a squadron of torpedo boats to enemy fire would be more than outweighed by the sinking of a capital ship. The Russo-Japanese War of 1904–1905 was the first great war of the 20th century. It was the first practical testing of the new steel battleships, cruisers, destroyers, submarines, and torpedo boats. During the war the Imperial Russian Navy in addition to their other warships, deployed 86 torpedo boats and launched 27 torpedoes (from all warships) in three major campaigns, scoring 5 hits. The Imperial Japanese Navy (IJN), like the Russians, often combined their torpedo boats (the smaller of which possessed only hull numbers, although the larger 1st class boats were named) with their torpedo boat destroyers (TBDs) (often simply referring to them as destroyers) and launched over 270 torpedoes (counting the opening engagement at Port Arthur naval base on 8 February 1904) during the war. The IJN deployed approximately 21 TBs during the conflict, and on 27 May 1905 the Japanese torpedo boat destroyers and TBs launched 16 torpedoes at the battleship , Admiral Zinovy Rozhestvensky's flagship at the battle of Tsushima. Admiral Tōgō Heihachirō, the IJN commander, had ordered his torpedo boats to finish off the enemy flagship, already gunned into a wreck, as he prepared to pursue the remnants of the Russian battle fleet. Of the 16 torpedoes launched by the TBDs and TBs at the Russian battleship, only four hit their mark, two of those hits were from torpedo boats #72 and #75. By evening, the battleship rolled over and sank to the bottom of the Tsushima Straits. By war's end, torpedoes launched from warships had sunk one battleship, two armored cruisers, and two destroyers. The remaining over 80 warships would be sunk by guns, mines, scuttling, or shipwreck. Torpedo boat destroyers The introduction of the torpedo boat resulted in a flurry of activity in navies around the world, as smaller, quicker-firing guns were added to existing ships to ward off the new threat. In the mid-1880s there were developed torpedo gunboats, the first vessel design for the explicit purpose of hunting and destroying torpedo boats. Essentially very small cruisers, torpedo gunboats were equipped with torpedo tubes and an adequate gun armament, intended for hunting down smaller enemy boats. The first example of this was , designed by Nathaniel Barnaby in 1885. The gunboat was armed with torpedoes and designed for hunting and destroying smaller torpedo boats. She was armed with a single 4-inch/25-pounder breech-loading gun, six 3-pounder QF guns and four torpedo tubes, arranged with two fixed tubes at the bow and a set of torpedo dropping carriages on either side. Four torpedo reloads were carried. A number of torpedo gunboat classes followed, including the , the , the and the – all built for the Royal Navy during the 1880s and the 1890s. In 1891, a Chilean torpedo gunboat managed to sink the ironclad with a torpedo at the battle of Caldera Bay during the Chilean Civil War of 1891. This marked a milestone in naval history, as it was the first time an ironclad warship had been sunk by a self-propelled torpedoes. In the late 1890s, torpedo boats had been made obsolete by their more successful contemporaries, the torpedo boat destroyers, which were much faster. The first ships to bear the formal designation "torpedo boat destroyer" (TBD) were the of two ships and of two ships of the Royal Navy, ordered from Yarrows in 1892 by Rear Admiral Jackie Fisher. These were basically enlarged torpedo boats, with speed equal to or surpassing the torpedo boats, but were armed with heavier guns that could attack them before they were able to close on the main fleet. and were both built by Thornycroft. They were armed with one 12-pounder gun and three 6-pounder guns, with one fixed 18-in torpedo tube in the bow plus two more torpedo tubes on a revolving mount behind the two funnels. Later the bow torpedo tube was removed and two more 6-pounder guns added instead. They produced from a pair of Thornycroft water-tube boilers, giving them a top speed of 27 knots, giving the range and speed to travel effectively with a battle fleet. After the Russo-Japanese War, these ships became known simply as destroyers. Destroyers became so much more useful, having better seaworthiness and greater capabilities than torpedo boats, that they eventually replaced most torpedo boats. However, the London Naval Treaty after World War I limited tonnage of warships, but placed no limits on
One strategy to counter the blockade saw the development of torpedo boats, small fast boats designed to attack the larger capital ships of the blockading fleet as a form of asymmetrical warfare. The class of torpedo boats were steam powered with a partially enclosed hull. They were not true submarines but were semi-submersible; when ballasted, only the smokestack and few inches of the hull were above the water line. CSS Midge was a David-class torpedo boat. CSS Squib and represented another class of torpedo boats that were also low built but had open decks and lacked the ballasting tanks found on the Davids. The Confederate torpedo boats were armed with spar torpedoes. This was a charge of powder in a waterproof case, mounted to the bow of the torpedo boat below the water line on a long spar. The torpedo boat attacked by ramming her intended target, which stuck the torpedo to the target ship by means of a barb on the front of the torpedo. The torpedo boat would back away to a safe distance and detonate the torpedo, usually by means of a long cord attached to a trigger. In general, the Confederate torpedo boats were not very successful. Their low sides made them susceptible to swamping in high seas, and even to having their boiler fires extinguished by spray from their own torpedo explosions. Torpedo misfires (too early) and duds were common. In 1864, Union Navy Lieutenant William B. Cushing fitted a steam launch with a spar torpedo to attack the Confederate ironclad . Also the same year the Union launched , a purpose-built craft with a number of technical innovations including variable ballast for attack operations and an extensible and reloadable torpedo placement spar. Self-propelled torpedo A prototype self-propelled torpedo was created by a commission placed by Giovanni Luppis, an Austrian naval officer from Rijeka, then a port city of the Austro-Hungarian Empire, and Robert Whitehead, an English engineer who was the manager of a town factory. In 1864, Luppis presented Whitehead with the plans of the Salvacoste ("coastsaver"), a floating weapon driven by ropes from the land that had been dismissed by the naval authorities due to the impractical steering and propulsion mechanisms. Whitehead was unable to improve the machine substantially, since the clockwork motor, attached ropes, and surface attack mode all contributed to a slow and cumbersome weapon. However, he kept considering the problem after the contract had finished, and eventually developed a tubular device, designed to run underwater on its own, and powered by compressed air. The result was a submarine weapon, the Minenschiff ("mine ship"), the first modern self-propelled torpedo, officially presented to the Austrian Imperial Naval commission on December 21, 1866. The first trials were not successful as the weapon was unable to maintain a course on a steady depth. After much work, Whitehead introduced his "secret" in 1868 which overcame this. It was a mechanism consisting of a hydrostatic valve and pendulum that caused the torpedo's hydroplanes to be adjusted so as to maintain a preset depth. First torpedo boats During the mid-19th century, the ships of the line were superseded by large steam powered ships with heavy gun armament and heavy armour, called ironclads. Ultimately this line of development led to the dreadnought class of all-big-gun battleship, starting with . At the same time, the weight of armour slowed the battleships, and the huge guns needed to penetrate enemy armour fired at very slow rates. This allowed for the possibility of a small and fast ship that could attack the battleships, at a much lower cost. The introduction of the torpedo provided a weapon that could cripple, or even sink, any battleship. The first warship of any kind to carry self-propelled torpedoes was HMS Vesuvius of 1873. The first seagoing vessel designed to fire the self-propelled Whitehead torpedo was . The boat was built by John Thornycroft at Church Wharf in Chiswick for the Royal Navy. It entered service in 1876 and was armed with self-propelled Whitehead torpedoes. As originally built, Lightning had two drop collars to launch torpedoes; these were replaced in 1879 by a single torpedo tube in the bow. She carried also two reload torpedoes amidships. She was later renamed Torpedo Boat No. 1. The French Navy followed suit in 1878 with Torpilleur No 1, launched in 1878 though she had been ordered in 1875. Another early such ship was the Norwegian warship , ordered from Thornycroft shipbuilding company, England, in either 1872 or 1873, and built at Thornycroft's shipyard at Church Wharf in Chiswick on the River Thames. Managing a speed of , she was one of the fastest boats afloat when completed. The Norwegians initially planned to arm her with a spar torpedo, but this may never have been fitted. Rap was outfitted with launch racks for the new self-propelled Whitehead torpedoes in 1879. Use in combat In the late 19th century, many navies started to build torpedo boats in length, armed with up to three torpedo launchers and small guns. They were powered by steam engines and had a maximum speed of . They were relatively inexpensive and could be purchased in quantity, allowing mass attacks on fleets of larger ships. The loss of even a squadron of torpedo boats to enemy fire would be more than outweighed by the sinking of a capital ship. The Russo-Japanese War of 1904–1905 was the first great war of the 20th century. It was the first practical testing of the new steel battleships, cruisers, destroyers, submarines, and torpedo boats. During the war the Imperial Russian Navy in addition to their other warships, deployed 86 torpedo boats and launched 27 torpedoes (from all warships) in three major campaigns, scoring 5 hits. The Imperial Japanese Navy (IJN), like the Russians, often combined their torpedo boats (the smaller of which possessed only hull numbers, although the larger 1st class boats were named) with their torpedo boat destroyers (TBDs) (often simply referring to them as destroyers) and launched over 270 torpedoes (counting the opening engagement at Port Arthur naval base on 8 February 1904) during the war. The IJN deployed approximately 21 TBs during the conflict, and on 27 May 1905 the Japanese torpedo boat destroyers and TBs launched 16 torpedoes at the battleship , Admiral Zinovy Rozhestvensky's flagship at the battle of Tsushima. Admiral Tōgō Heihachirō, the IJN commander, had ordered his torpedo boats to finish off the enemy flagship, already gunned into a wreck, as he prepared to pursue the remnants of the Russian battle fleet. Of the 16 torpedoes launched by the TBDs and TBs at the Russian battleship, only four hit their mark, two of those hits were from torpedo boats #72 and #75. By evening, the battleship rolled over and sank to the bottom of the Tsushima Straits. By war's end, torpedoes launched from warships had sunk one battleship, two armored cruisers, and two destroyers. The remaining over 80 warships would be sunk by guns, mines, scuttling, or shipwreck. Torpedo boat destroyers The introduction of the torpedo boat resulted in a flurry of activity in navies around the world, as smaller, quicker-firing guns were added to existing ships to ward off the new threat. In the mid-1880s there were developed torpedo gunboats, the first vessel design for the explicit purpose of hunting and destroying torpedo boats. Essentially very small cruisers, torpedo gunboats were equipped with torpedo tubes and an adequate gun armament, intended for hunting down smaller enemy boats. The first example of this was , designed by Nathaniel Barnaby in 1885. The gunboat was armed with torpedoes and designed for hunting and destroying smaller torpedo boats. She was armed with a single 4-inch/25-pounder breech-loading gun, six 3-pounder QF guns and four torpedo tubes, arranged with two fixed tubes at the bow and a set of torpedo dropping carriages on either side. Four torpedo reloads were carried. A number of torpedo gunboat classes followed, including the , the , the and the – all built for the Royal Navy during the 1880s and the 1890s. In 1891, a Chilean torpedo gunboat managed to sink the ironclad with a torpedo at the battle of Caldera Bay during the Chilean Civil War of 1891. This marked a milestone in naval history, as it was the first time an ironclad warship had been sunk by a self-propelled torpedoes. In the late 1890s, torpedo boats had been made obsolete by their more successful contemporaries, the torpedo boat destroyers, which were much faster. The first ships to bear the formal designation "torpedo boat destroyer" (TBD) were the of two ships and of two ships of the Royal Navy, ordered from Yarrows in 1892 by Rear Admiral Jackie Fisher. These were basically enlarged torpedo boats, with speed equal to or surpassing the torpedo boats, but were armed with heavier guns that could attack them before they were able to close on the main fleet. and were both built by Thornycroft. They were armed with one 12-pounder gun and three 6-pounder guns, with one fixed 18-in torpedo tube in the bow plus two more torpedo tubes on a revolving mount behind the two funnels. Later the bow torpedo tube was removed and two more 6-pounder guns added instead. They produced from a pair of Thornycroft water-tube boilers, giving them a top speed of 27 knots, giving the range and speed to travel effectively with a battle fleet. After the Russo-Japanese War, these ships became known simply as destroyers. Destroyers became so much more useful, having better seaworthiness and greater capabilities than torpedo boats, that they eventually replaced most torpedo boats. However, the London Naval Treaty after World War I limited tonnage of warships,
courtier depends greatly on his reception by the audience from the first impression. This partly explains why the group considers the courtier's dress so vital to his success. Castiglione's characters opine about how their courtier can impress his audience and win its approval. Similar to the Classical Roman rhetoricians Cicero and Quintilian, Castiglione stresses the importance of delivery while speaking. In Book I, the Count states that when the courtier speaks he must have a “sonorous, clear, sweet and well sounding” voice that is neither too effeminate nor too rough and be “tempered by a calm face and with a play of the eyes that shall give an effect of grace.” (Castiglione 1.33) This grace, or grazia, becomes an important element in the courtier's appearance to the audience. Edoardo Saccone states in his analysis of Castiglione, “grazia consists of, or rather is obtained through, sprezzatura.” According to the Count, sprezzatura is the most important, rhetorical device the courtier needs. Peter Burke describes sprezzatura in The Book of the Courtier as “nonchalance”, “careful negligence”, and “effortless and ease.” The ideal courtier is someone who “conceals art, and presents what is done and said as if it was done without effort and virtually without thought.” (31). The Count advocates the courtier engage in sprezzatura, or this “certain nonchalance”, in all the activities he participates in, especially speech. In Book I, he states, "Accordingly we may affirm that to be true art which does not appear to be art; nor to anything must we give greater care than to conceal art, for if it is discovered, it quite destroys our credit and brings us into small esteem." (Castiglione 1.26) The Count reasons that by obscuring his knowledge of letters, the courtier gives the appearance that his “orations were composed very simply” as if they sprang up from “nature and truth [rather] than from study and art.” (1.26). This much more natural appearance, even though it is not natural by any means, is more advantageous to the courtier. The Count contends that if the courtier wants to attain grazia and be esteemed excellent, it would be in his best interest to have this appearance of nonchalance. By failing to employ sprezzatura, he destroys his opportunity for grace. By applying sprezzatura to his speech and everything else he does, the courtier appears to have grazia and impresses his audience, thereby achieving excellence and perfection. (Saccone 16). Another feature of rhetoric which Castiglione discusses is the role of written language and style. Castiglione declined to imitate Boccaccio and write in Tuscan Italian, as was customary at the
form of excess rather than a desirable trait. Castiglione states that had he followed Tuscan usage in his book, his description of sprezzatura would appear hypocritical, in that his effort would be seen as lacking in nonchalance (Courtier 71). Federico responds to the Count's assessment of the use of spoken language by posing the question as to what is the best language in which to write rhetoric. The Count's response basically states that the language does not matter, but rather the style, authority, and grace of the work matters most (Courtier 71). Robert J. Graham, a Renaissance literary scholar, notes that “questions of whose language is privileged at any given historical moment are deeply implicated in matters of personal, social and cultural significance”, which he states is the primary reason for Castiglione's usage of the native vernacular. This also illustrates the Count's response on the relativity of language in Latin. With the role of language set, Castiglione begins to describe the style and authority in which the courtier must write in order to become successful. The Count explains, "it is right that greater pains would be taken to make what is written more polished and correct…they should be chosen from the most beautiful of those employed in speech" (Courtier 71). This is where the style of which the courtier writes encourages the persuasiveness or successfulness of a speech. The success of a written speech, in contrast to the spoken speech, hinges on the notion that "we are willing to tolerate a great deal of improper and even careless usage" in oral rhetoric than written rhetoric. The Count explains that along with proper word usage, an ideal courtier must have a proper sense of style and flow to their words. These words must be factual yet entertaining as the Count states, “then, it is necessary to arrange what is to be said or written in its logical order, and after that to express it well in words that, if I am not mistaken, should be appropriate, carefully chosen, clear and well formed, but above all that are still in popular use" (Courtier 77). This form of emphasis on language is noted by Graham as; "Although the Count is aware that more traditional aspects of the orator (appearance, gestures, voice, etc.)…all this will be futile and of little consequence if the ideas conveyed by these words themselves are not witty or elegant to the requirements of the situation” (Graham 49). See also Sprezzatura References The Book of the Courtier (1959), translated by Charles S. Singleton, generally considered the best translation. Available in a number of editions including: Doubleday (1959) and Norton Critical Edition (2002). The Book of the Courtier (1561), English translation by Thomas Hoby as edited by Walter Raleigh for David Nutt, Publisher, London, 1900. From the University of Oregon. Burke, Peter. The Fortunes of the Courtier: The European Reception of Castiglione's Cortegiano. Penn State University Press, 1995. Cavallo, Jo-Ann. "Joking Matters: Politics and Dissimulation in Castiglione's Book of the Courtier." Renaissance Quarterly, Vol. 53, No. 2 (Summer, 2000), pp. 402–424 Graham, Robert J. Composing Ourselves in Style: The Aesthetics of Literacy in The Courtier. Journal of Aesthetic Education. University of Illinois Press. 1990. Muchembled, Robert. "Manners, Courts, and Civility". In Ruggiero, Guido, editor, A Companion to the Worlds of the Renaissance (Wiley-Blackwell, 2006), pp. 156–173. Richards, Jennifer Richards. "Assumed Simplicity and the Critique of Nobility: Or, How Castiglione Read Cicero" Renaissance Quarterly 54: 2 (Summer 2001), 463. Woodhouse, John Robert. Baldesar Castiglione: A reassessment of The Courtier (Writers of Italy series) University of Edinburgh Press: 1978 Notes 1528 books Italian literature Renaissance literature
reached and returns an ICMP Destination Unreachable message if UDP packets are being used or an ICMP Echo Reply message if ICMP Echo messages are being used. The timestamp values returned for each router along the path are the delay (latency) values, typically measured in milliseconds for each packet. The sender expects a reply within a specified number of seconds. If a packet is not acknowledged within the expected interval, an asterisk is displayed. The Internet Protocol does not require packets to take the same route towards a particular destination, thus hosts listed might be hosts that other packets have traversed. If the host at hop #N does not reply, the hop is skipped in the output. If a network has a firewall and operates both Windows and Unix-like systems, more than one protocol must be enabled inbound through the firewall for traceroute to work and receive replies. Some traceroute implementations use TCP packets, such as tcptraceroute and layer four traceroute (lft). PathPing is a utility introduced with Windows NT that combines ping and traceroute functionality. MTR is an enhanced version of ICMP traceroute available for Unix-like and Windows systems. The various implementations of traceroute all rely on ICMP Time Exceeded (type 11) packets being sent to the source. On Linux, tracepath is a utility similar to traceroute, with the primary difference of not requiring superuser privileges. Cisco's implementation of traceroute also uses a sequence of UDP datagrams, each with incrementing TTL values, to an invalid port number at the remote host; by default, UDP port 33434 is used. An extended version of this command (known as the extended traceroute command) can change the destination port number used by the UDP probe messages. Usage Most implementations include at least options to specify the number of queries to send per hop, time to wait for a response, the hop limit and port to use. Invoking traceroute with no specified options displays the list of available options, while man traceroute presents more details, including the displayed error flags. An example on Linux: $ traceroute -w 3 -q 1 -m 16 example.com traceroute to example.com (93.184.216.34), 16 hops max, 60 byte packets 1 * 2 * ... 15 * 16 * In the example above, selected options are to wait for three seconds (instead of five), send out only one query to each hop (instead of three), limit the maximum number of hops to 16 before giving up (instead of 30), with example.com as the final host. Traceroute can be used to help identify incorrect routing table
used by the UDP probe messages. Usage Most implementations include at least options to specify the number of queries to send per hop, time to wait for a response, the hop limit and port to use. Invoking traceroute with no specified options displays the list of available options, while man traceroute presents more details, including the displayed error flags. An example on Linux: $ traceroute -w 3 -q 1 -m 16 example.com traceroute to example.com (93.184.216.34), 16 hops max, 60 byte packets 1 * 2 * ... 15 * 16 * In the example above, selected options are to wait for three seconds (instead of five), send out only one query to each hop (instead of three), limit the maximum number of hops to 16 before giving up (instead of 30), with example.com as the final host. Traceroute can be used to help identify incorrect routing table definitions or firewalls that may be blocking ICMP traffic, A correct traceroute response does not guarantee connectivity for applications as a firewall may permit ICMP packets but not permit packets of other protocols. Traceroute is also used by penetration testers to gather information about network infrastructure and IP address ranges around a given host. It can also be used when downloading data, and if there are multiple mirrors available for the same piece of data, each mirror can be traced to get an idea of which mirror would be the fastest to use. Origins The traceroute manual page states that the original traceroute program was written by Van Jacobson in 1987 from a suggestion by Steve Deering, with particularly cogent suggestions or fixes from C. Philip Wood, Tim Seaver and Ken Adelman. The author of the ping program, Mike Muuss, states on his website that traceroute was written using kernel ICMP support that he had earlier coded to enable
used are seconds. An older common TTL value for DNS was 86400 seconds, which is 24 hours. A TTL value of 86400 would mean that, if a DNS record was changed on the authoritative nameserver, DNS servers around the world could still be showing the old value from their cache for up to 24 hours after the last update by client. Newer DNS methods that are part of a disaster recovery (DR) system may have some records deliberately set extremely low on TTL. For example, a 300-second TTL would help key records expire in 5 minutes to help ensure these records are flushed quickly worldwide. This gives administrators the ability to edit and update records in a timely manner. TTL values are "per record" and setting this value on specific records is sometimes honored automatically by all standard DNS systems worldwide. However, a problem persists in that some caching DNS nameservers set their own TTLs regardless of the authoritative records, thus it cannot be guaranteed that all downstream DNS servers have the new records after the TTL has expired. HTTP Time to live may also be expressed as the date and time on which a record expires. The Expires: header in HTTP responses, the Cache-Control: max-age header field in both requests and responses and the expires field in HTTP cookies express time-to-live in this way. See also Hop (telecommunications) Ping (networking utility) traceroute References External links Default IP packets Time To Live (TTL) values Gnutella TTL and Hops header values used for preventing loops and
limit is a mechanism which limits the lifespan or lifetime of data in a computer or network. TTL may be implemented as a counter or timestamp attached to or embedded in the data. Once the prescribed event count or timespan has elapsed, data is discarded or revalidated. In computer networking, TTL prevents a data packet from circulating indefinitely. In computing applications, TTL is commonly used to improve the performance and manage the caching of data. Description The original DARPA Internet Protocol's RFC document describes TTL as: IP packets Under the Internet Protocol, TTL is an 8-bit field. In the IPv4 header, TTL is the 9th octet of 20. In the IPv6 header, it is the 8th octet of 40. The maximum TTL value is 255, the maximum value of a single octet. A recommended initial value is 64. The time-to-live value can be thought of as an upper bound on the time that an IP datagram can exist in an Internet system. The TTL field is set by the sender of the datagram, and reduced by every router on the route to its destination. If the TTL field reaches zero before the datagram arrives at its destination, then the datagram is discarded and an Internet Control Message Protocol (ICMP) error datagram (11 - Time Exceeded) is sent back to the sender. The purpose of the TTL field is to avoid a situation in which an undeliverable datagram keeps circulating on an Internet system, and such a system eventually becoming swamped by such "immortals". In theory, under IPv4, time to live is measured in seconds, although every host that passes the datagram must reduce the TTL by at least one unit. In practice, the TTL field is reduced by one on every hop. To reflect this practice, the field is renamed hop limit in IPv6. DNS records TTLs also occur in the Domain Name System (DNS), where they are set by an authoritative name server for a particular resource record. When a caching (recursive) nameserver queries the authoritative