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for the 2019 Eurovision Song Contest (the first Israeli-hosted Eurovision held outside of Jerusalem). Opera and classical music performances are held daily in Tel Aviv, with many of the world's leading classical conductors and soloists performing on Tel Aviv stages over the years. The Tel Aviv Cinematheque screens art movies, premieres of short and full-length Israeli films, and hosts a variety of film festivals, among them the Festival of Animation, Comics and Caricatures, "Icon" Science Fiction and Fantasy Festival, the Student Film Festival, the Jazz, Film and Videotape Festival and Salute to Israeli Cinema. The city has several multiplex cinemas. Tourism and recreation Tel Aviv receives about 2.5 million international visitors annually, the fifth-most-visited city in the Middle East & Africa. In 2010, Knight Frank'''s world city survey ranked it 34th globally. Tel Aviv has been named the third "hottest city for 2011" (behind only New York City and Tangier) by Lonely Planet, third-best in the Middle East and Africa by Travel + Leisure magazine (behind only Cape Town and Jerusalem), and the ninth-best beach city in the world by National Geographic. Tel Aviv is consistently ranked as one of the top LGBT destinations in the world. The city has also been ranked as one of the top 10 oceanfront cities. Tel Aviv is known as "the city that never sleeps" and a "party capital" due to its thriving nightlife, young atmosphere and famous 24-hour culture. Tel Aviv has branches of some of the world's leading hotels, including the Crowne Plaza, Sheraton, Dan, Isrotel and Hilton. It is home to many museums, architectural and cultural sites, with city tours available in different languages. Apart from bus tours, architectural tours, Segway tours, and walking tours are also popular. Tel Aviv has 44 hotels with more than 6,500 rooms. The beaches of Tel Aviv and the city's promenade play a major role in the city's cultural and touristic scene, often ranked as some of the best beaches in the world. Hayarkon Park is the most visited urban park in Israel, with 16 million visitors annually. Other parks within city limits include Charles Clore Park, Independence Park, Meir Park and Dubnow Park. About 19% of the city land are green spaces. Nightlife Tel Aviv is an international hub of highly active and diverse nightlife with bars, dance bars and nightclubs staying open well past midnight. The largest area for nightclubs is the Tel Aviv port, where the city's large, commercial clubs and bars draw big crowds of young clubbers from both Tel Aviv and neighboring cities. The South of Tel Aviv is known for the popular Haoman 17 club, as well as for being the city's main hub of alternative clubbing, with underground venues including established clubs like the Block Club, Comfort 13 and Paradise Garage, as well as various warehouse and loft party venues. The Allenby/Rothschild area is another popular nightlife hub, featuring such clubs as the Pasaz, Radio EPGB and the Penguin. In 2013, Absolut Vodka introduced a specially designed bottle dedicated to Tel Aviv as part of its international cities series. Fashion Tel Aviv has become an international center of fashion and design. It has been called the "next hot destination" for fashion. Israeli designers, such as swimwear company Gottex show their collections at leading fashion shows, including New York's Bryant Park fashion show. In 2011, Tel Aviv hosted its first Fashion Week since the 1980s, with Italian designer Roberto Cavalli as a guest of honor. LGBT culture Named "the best gay city in the world" by American Airlines, Tel Aviv is one of the most popular destinations for LGBT tourists internationally, with a large LGBT community. American journalist David Kaufman has described the city as a place "packed with the kind of 'we're here, we're queer' vibe more typically found in Sydney and San Francisco. The city hosts its well-known pride parade, the biggest in Asia, attracting over 200,000 people yearly. In January 2008, Tel Aviv's municipality established the city's LGBT Community centre, providing all of the municipal and cultural services to the LGBT community under one roof. In December 2008, Tel Aviv began putting together a team of gay athletes for the 2009 World Outgames in Copenhagen. In addition, Tel Aviv hosts an annual LGBT film festival, known as TLVFest. Tel Aviv's LGBT community is the subject of Eytan Fox's 2006 film The Bubble. Cuisine Tel Aviv is famous for its wide variety of world-class restaurants, offering traditional Israeli dishes as well as international fare. More than 100 sushi restaurants, the third highest concentration in the world, do business in the city. In Tel Aviv there are some dessert specialties, the most known is the Halva ice cream traditionally topped with date syrup and pistachios Museums Israel has the highest number of museums per capita of any country, with three of the largest located in Tel Aviv. Among these are the Eretz Israel Museum, known for its collection of archaeology and history exhibits dealing with the Land of Israel, and the Tel Aviv Museum of Art. Housed on the campus of Tel Aviv University is Beit Hatfutsot, a museum of the international Jewish diaspora that tells the story of Jewish prosperity and persecution throughout the centuries of exile. Batey Haosef Museum specializes in Israel Defense Forces military history. The Palmach Museum near Tel Aviv University offers a multimedia experience of the history of the Palmach. Right next to Charles Clore Park is a museum of the Irgun. The Israel Trade Fairs & Convention Center, located in the northern part of the city, hosts more than 60 major events annually. Many offbeat museums and galleries operate in the southern areas, including the Tel Aviv Raw Art contemporary art gallery. Sports Maccabi Tel Aviv Sports Club was founded in 1906 and competes in more than 10 sport fields. Its basketball team, Maccabi Tel Aviv Basketball Club, is a world-known professional team, that holds 54 Israeli titles, has won 45 editions of the Israel cup, and has six European Championships, and its football team Maccabi Tel Aviv Football Club has won 23 Israeli league titles and has won 24 State Cups, seven Toto Cups and two Asian Club Championships. Yael Arad, an athlete in Maccabi's judo club, won a silver medal in the 1992 Olympic Games. Hapoel Tel Aviv Sports Club, founded in 1923, comprises more than 11 sports clubs, including Hapoel Tel Aviv Football Club (13 championships, 16 State Cups, one Toto Cup and once Asian champions) which plays in Bloomfield Stadium, and Hapoel Tel Aviv Basketball Club. Bnei Yehuda Tel Aviv (once Israeli champion, twice State Cup winners and twice Toto Cup winner) is the Israeli football team that represents a neighborhood, the Hatikva Quarter in Tel Aviv, and not a city. Beitar Tel Aviv Bat Yam formerly played in the top division, the club now playing in Liga Leumit and also represents the city Bat Yam. Maccabi Jaffa formerly played in the top division, the club now playing in Liga Alef and represents the Jaffa. Shimshon Tel Aviv formerly played in the top division, the club now playing in Liga Alef. There are more Tel Aviv football teams: Hapoel Kfar Shalem, F.C. Bnei Jaffa Ortodoxim, Beitar Ezra, Beitar Jaffa, Elitzur Jaffa Tel Aviv, F.C. Roei Heshbon Tel Aviv, Gadna Tel Aviv Yehuda, Hapoel Kiryat Shalom, Hapoel Neve Golan and Hapoel Ramat Yisrael. The city has a number of football stadiums, the largest of which is Bloomfield Stadium, which contains 29,400 seats used by Hapoel Tel Aviv, Maccabi Tel Aviv and Bnei Yehuda. Another stadium in the city is the Hatikva Neighborhood Stadium. Menora Mivtachim Arena is a large multi-purpose sports indoor arena, The arena is home to the Maccabi Tel Aviv, and the Drive in Arena, a multi-purpose hall that serves as the home ground of the Hapoel Tel Aviv. National Sport Center Tel Aviv (also Hadar Yosef Sports Center) is a compound of stadiums and sports facilities. It also houses the Olympic Committee of Israel and the National Athletics Stadium with the Israeli Athletic Association. Two rowing clubs operate in Tel Aviv. The Tel Aviv Rowing Club, established in 1935 on the banks of the Yarkon River, is the largest rowing club in Israel. Meanwhile, the beaches of Tel Aviv provide a vibrant Matkot (beach paddleball) scene. Tel Aviv Lightning represent Tel Aviv in the Israel Baseball League. Tel Aviv also has an annual half marathon, run in 2008 by 10,000 athletes with runners coming from around the world. In 2009, the Tel Aviv Marathon was revived after a fifteen-year hiatus, and is run annually since, attracting a field of over 18,000 runners. Tel Aviv is also ranked to be 10th best to-skateboarding city by Transworld Skateboarding. Media The three largest newspaper companies in Israel: Yedioth Ahronoth, Maariv and Haaretz are all based within the city limits. Several radio stations cover the Tel Aviv area, including the city-based Radio Tel Aviv. The two major Israeli television networks, Keshet Media Group and Reshet, are based in the city, as well as two of the most popular radio stations in Israel: Galatz and Galgalatz, which are both based in Jaffa. Studios of the international news channel i24news is located at Jaffa Port Customs House. An English language radio station, TLV1, is based at Kikar Hamedina. Environment and urban restoration Tel Aviv is ranked as the greenest city in Israel. Since 2008, city lights are turned off annually in support of Earth Hour. In February 2009, the municipality launched a water saving campaign, including competition granting free parking for a year to the household that is found to have consumed the least water per person. In the early 21st century, Tel Aviv's municipality transformed a derelict power station into a public park, now named "Gan HaHashmal" ("Electricity Park"), paving the way for eco-friendly and environmentally conscious designs. In October 2008, Martin Weyl turned an old garbage dump near Ben Gurion International Airport, called Hiriya, into an attraction by building an arc of plastic bottles. The site, which was renamed Ariel Sharon Park to honor Israel's former prime minister, will serve as the centerpiece in what is to become a urban wilderness on the outskirts of Tel Aviv, designed by German landscape architect, Peter Latz. At the end of the 20th century, the city began restoring historical neighborhoods such as Neve Tzedek and many buildings from the 1920s and 1930s. Since 2007, the city hosts its well-known, annual Open House Tel Aviv weekend, which offers the general public free entrance to the city's famous landmarks, private houses and public buildings. In 2010, the design of the renovated Tel Aviv Port (Nemal Tel Aviv) won the award for outstanding landscape architecture at the European Biennial for Landscape Architecture in Barcelona. In 2014, the Sarona Market Complex opened, following an 8-year renovation project of Sarona colony. Transportation Tel Aviv is a major transportation hub, served by a comprehensive public transport network, with many major routes of the national transportation network running through the city. Bus and taxi As with the rest of Israel, bus transport is the most common form of public transport and is very widely used. The Tel Aviv Central Bus Station is located in the southern part of the city. The main bus network in Tel Aviv metropolitan area operated by Dan Bus Company, Metropoline and Kavim. the Egged Bus Cooperative, Israels's largest bus company, provides intercity transportation. The city is also served by local and inter-city share taxis. Many local and inter-city bus routes also have sherut taxis that follow the same route and display the same route number in their window. Fares are standardised within the region and are comparable to or less expensive than bus fares. Unlike other forms of public transport, these taxis also operate on Fridays and Saturdays (the Jewish sabbath "Shabbat"). Private taxis are white with a yellow sign on top. Fares are standardised and metered, but may be negotiated ahead of time with the driver. Rail The Tel Aviv Central railway station is the main railway station of the city, and the busiest station in Israel. The city has three additional railway stations along the Ayalon Highway: Tel Aviv University, HaShalom (adjacent to Azrieli Center) and HaHagana (near the Tel Aviv Central Bus Station), Tel Aviv Mercaz. It is estimated that over a million passengers travel by rail to Tel Aviv monthly. The trains do not run on Saturday and the principal Jewish festivals (Rosh Hashana (2 days), Yom Kippur, Sukkot, Simkhat Torah, Pessach (Passover) first and fifth days and Shavuot (Pentecost)). Jaffa Railway Station was the first railway station in the Middle East. It served as the terminus for the Jaffa–Jerusalem railway. The station opened in 1891 and closed in 1948. In 2005–2009, the station was restored and converted into an entertainment and leisure venue marketed as "HaTachana", Hebrew for "the station" (see homepage here:). Light rail Tel Aviv Light Rail is a planned mass transit system for the Tel Aviv metropolitan area, As of 2021, three LRT lines are under construction. Work on the Red Line, the first in the project, started on September 21, 2011, following years of preparatory works, and is expected to be completed in late 2022 after numerous delays. Construction of the Purple Line started in December 2018; work on the Green Line was set to begin in January 2019. Metro Tel Aviv Metro is a proposed subway system for the Tel Aviv Metropolitan Area. It will augment the Tel Aviv Light Rail and Israel Railways suburban lines and 3 underground metro lines to form a rapid transit transportation solution for the city. Construction is expected to start in 2025, with the first public opening in 2032. Roads The main highway leading to and within the city is the Ayalon Highway (Highway 20), which runs in the eastern side of the city from north to south along the Ayalon River riverbed. Driving south on Ayalon gives access to Highway 4 leading to Ashdod, Highway 1, leading to Ben Gurion International Airport and Jerusalem and Highway 431 leading to Jerusalem, Modiin, Rehovot and the Highway 6 Trans-Israel Highway. Driving north on Ayalon gives access to the Highway 2 coastal road leading to Netanya, Hadera and Haifa. Within the city, main routes include Kaplan Street, Allenby Street, Ibn Gabirol Street, Dizengoff Street, Rothschild Boulevard, and in Jaffa the main route is Jerusalem Boulevard. Namir Road connects the city to Highway 2, Israel's main north–south highway, and Begin/Jabotinsky Road, which provides access from the east through Ramat Gan, Bnei Brak and Petah Tikva. Tel Aviv, accommodating about 500,000 commuter cars daily, suffers from increasing congestion. In 2007, the Sadan Report recommended the introduction of a congestion charge similar to that of London in Tel Aviv as well as other Israeli cities. Under this plan, road users traveling into the city would pay a fixed fee. Air The main airport serving Greater Tel Aviv is Ben Gurion International Airport. Located in the neighbouring city of Lod, it handled over 20 million passengers in 2017. Ben Gurion is the main hub of El Al, Arkia, Israir Airlines and Sun D'Or. The airport is southeast of Tel Aviv, on Highway 1 between Tel Aviv and Jerusalem. Sde Dov (IATA: SDV), in northwestern Tel Aviv, is a domestic airport and was closed in 2019 in favor of real-estate development. All services to Sde Dov will be transferred to Ben Gurion Airport. Cycling Tel Aviv Municipality encourages the use of bicycles in the city. Plans called for expansion of the paths to by 2009. By 2020, the city had 140 kilometres of bicycle paths with plans to reach 300 km by 2025. In April 2011, Tel Aviv municipality launched Tel-O-Fun, a bicycle sharing system, in which 150 stations of bicycles for rent were installed within the city limits. Health care Tel Aviv is home to Tel Aviv Sourasky Medical Center, the third-largest hospital complex in Israel. It contains Ichilov Hospital, the Ida Sourasky Rehabilitation Center, Lis Maternity and Women's Hospital, and Dana-Dwek Children's Hospital. The city also contains Assuta Medical Center, a private hospital which offers surgical and diagnostic services in all fields of medicine and has an IVF clinic. Foreign relations The municipality of Tel Aviv signed agreements with many cities worldwide. Future The population of Tel Aviv is expected to be about 535,000 in 2030. Notable people In alphabetical order by surname; stage names are treated as single names: Ron Arad (born 1951), architect and industrial designer Miri Ben-Ari (born 1978), "The Hip Hop Violinist" Borgore (born 1987), dubstep producer and DJ Dana International (born 1969), musician and singer Noam Dar (born 1993), professional wrestler Oded Fehr (born 1970), actor Uri Geller (born 1946), illusionist Esti Ginzburg (born 1990), model and actress Ofra Haza (1957–2000), singer Erez Komarovsky (born 1962), chef, baker, educator, and author Yair Lapid (born 1963), politician T. J. Leaf (born 1997), professional basketball player Tzipi Livni (born 1958), politician Shlomit Malka (born 1993), model Benjamin Netanyahu (born 1949), politician Ido Pariente (born 1978), mixed martial artist fighter and trainer Itzhak Perlman (born 1945), musician and conductor Sasha Roiz (born 1973), actor Daniel Samohin (born 1998), figure skater Hamutal Shabtai, novelist Denis Shapovalov (born 1999), Canadian tennis player Orli Shoshan (born 1974), Star Wars film actress Subliminal (born 1979), rapper and record producer Ayelet Zurer (born 1969), actress Explanatory notes References General bibliography Michael Turner, Catherine Weill-Rochant, Geneviève Blondiau, Silvina Sosnovsky, Philippe Brandeis, Sur les traces du modernisme, Tel-Aviv-Haïfa-Jérusalem, CIVA (ed.), Bruxelles 2004. Catherine Weill-Rochant, L'Atlas de Tel-Aviv 1908–2008, Paris, CNRS Editions, 2008. (Historical maps and photos, French, soon in Hebrew and English) Catherine Weill-Rochant, Bauhaus " – Architektur in Tel-Aviv, L'architecture " Bauhaus " à Tel- Aviv, Rita Gans (éd.), Zürich, Yad Yearim, 2008. Catherine Weill-Rochant, "The Tel-Aviv School: a constrained rationalism", DOCOMOMO journal (Documentation and conservation of buildings, sites and neighbourhoods of the modern movement), April 2009.
the Iraqi attacks, mostly from suffocation and heart attacks, while approximately 230 Israelis were injured. Extensive property damage was also caused, and some 4,000 Israelis were left homeless. It was feared that Iraq would fire missiles filled with nerve agents or sarin. As a result, the Israeli government issued gas masks to its citizens. When the first Iraqi missiles hit Israel, some people injected themselves with an antidote for nerve gas. The inhabitants of the southeastern suburb of HaTikva erected an angel-monument as a sign of their gratitude that "it was through a great miracle, that many people were preserved from being killed by a direct hit of a Scud rocket." Since the First Intifada, Tel Aviv has suffered from Palestinian political violence. The first suicide attack in Tel Aviv occurred on 19 October 1994, on the Line 5 bus, when a bomber killed 22 civilians and injured 50 as part of a Hamas suicide campaign. On 6 March 1996, another Hamas suicide bomber killed 13 people (12 civilians and 1 soldier), many of them children, in the Dizengoff Center suicide bombing. Three women were killed by a Hamas terrorist in the Café Apropo bombing on 27 March 1997. One of the deadliest attacks occurred on 1 June 2001, during the Second Intifada, when a suicide bomber exploded at the entrance to the Dolphinarium discothèque, killing 21, mostly teenagers, and injuring 132. Another Hamas suicide bomber killed six civilians and injured 70 in the Allenby Street bus bombing. Twenty-three civilians were killed and over 100 injured in the Tel Aviv central bus station massacre. Al-Aqsa Martyrs Brigades claimed responsibility for the attack. In the Mike's Place suicide bombing, an attack on a bar by a British Muslim suicide bomber resulted in the deaths of three civilians and wounded over 50. Hamas and Al Aqsa Martyrs Brigades claimed joint responsibility. An Islamic Jihad bomber killed five and wounded over 50 on 25 February 2005 Stage Club bombing. The most recent suicide attack in the city occurred on 17 April 2006, when 11 people were killed and at least 70 wounded in a suicide bombing near the old central bus station. Another attack took place on 29 August 2011 in which a Palestinian attacker stole an Israeli taxi cab and rammed it into a police checkpoint guarding the popular Haoman 17 nightclub in Tel Aviv which was filled with 2,000 Israeli teenagers. After crashing, the assailant went on a stabbing spree, injuring eight people. Due to an Israel Border Police roadblock at the entrance and immediate response of the Border Police team during the subsequent stabbings, a much larger and fatal mass-casualty incident was avoided. On 21 November 2012, during Operation Pillar of Defense, the Tel Aviv area was targeted by rockets, and air raid sirens were sounded in the city for the first time since the Gulf War. All of the rockets either missed populated areas or were shot down by an Iron Dome rocket defense battery stationed near the city. During the operation, a bomb blast on a bus wounded at least 28 civilians, three seriously. This was described as a terrorist attack by Israel, Russia, and the United States and was condemned by the United Nations, United States, United Kingdom, France and Russia, whilst Hamas spokesman Sami Abu Zuhri declared that the organisation "blesses" the attack. More than 300 rockets were fired towards the Tel Aviv Metropolitan area in the 2021 Israel–Palestine crisis. Geography Tel Aviv is located around on the Israeli Mediterranean coastline, in central Israel, the historic land bridge between Europe, Asia and Africa. Immediately north of the ancient port of Jaffa, Tel Aviv lies on land that used to be sand dunes and as such has relatively poor soil fertility. The land has been flattened and has no important gradients; its most notable geographical features are bluffs above the Mediterranean coastline and the Yarkon River mouth. Because of the expansion of Tel Aviv and the Gush Dan region, absolute borders between Tel Aviv and Jaffa and between the city's neighborhoods do not exist. The city is located northwest of Jerusalem and south of the city of Haifa. Neighboring cities and towns include Herzliya to the north, Ramat HaSharon to the northeast, Petah Tikva, Bnei Brak, Ramat Gan and Giv'atayim to the east, Holon to the southeast, and Bat Yam to the south. The city is economically stratified between the north and south. Southern Tel Aviv is considered less affluent than northern Tel Aviv with the exception of Neve Tzedek and northern and north-western Jaffa. Central Tel Aviv is home to Azrieli Center and the important financial and commerce district along Ayalon Highway. The northern side of Tel Aviv is home to Tel Aviv University, Hayarkon Park, and upscale residential neighborhoods such as Ramat Aviv and Afeka. Climate Tel Aviv has a Mediterranean climate (Köppen climate classification: Csa), and enjoys plenty of sunshine throughout the year. Most precipitation falls in the form of rain between the months of October and April, with intervening dry summers. The average annual temperature is , and the average sea temperature is during the winter, and during the summer. The city averages of precipitation annually. Summers in Tel Aviv last about five months, from June to October. August, the warmest month, averages a high of , and a low of . The high relative humidity due to the location of the city by the Mediterranean Sea, in a combination with the high temperatures, creates a thermal discomfort during the summer. Summer low temperatures in Tel Aviv seldom drop below . Winters are mild and wet, with most of the annual precipitation falling within the months of December, January and February as intense rainfall and thunderstorms. In January, the coolest month, the average maximum temperature is , the minimum temperature averages . During the coldest days of winter, temperatures may vary between and . Both freezing temperatures and snowfall are extremely rare in the city. Autumns and springs are characterized by sharp temperature changes, with heat waves that might be created due to hot and dry air masses that arrive from the nearby deserts. During heatwaves in autumn and springs, temperatures usually climb up to and even up to , accompanied with exceptionally low humidity. An average day during autumn and spring has a high of to , and a low of to . The highest recorded temperature in Tel Aviv was on 17 May 1916, and the lowest is on 7 February 1950, during a cold wave that brought the only recorded snowfall in Tel Aviv. Local government Tel Aviv is governed by a 31-member city council elected for a five-year term in direct proportional elections. All Israeli citizens over the age of 18 with at least one year of residence in Tel Aviv are eligible to vote in municipal elections. The municipality is responsible for social services, community programs, public infrastructure, urban planning, tourism and other local affairs. The Tel Aviv City Hall is located at Rabin Square. Ron Huldai has been mayor of Tel Aviv since 1998. Huldai was reelected for a fifth term in the 2018 municipal elections, defeating former deputy Asaf Zamir, founder of the Ha'Ir party. Huldai's has become the longest-serving mayor of the city, exceeding Shlomo Lahat 19-year term, and will be term-limited from running for a sixth term. The shortest-serving was David Bloch, in office for two years, 1925–27. Politically, Tel Aviv is known to be a stronghold for the left, in both local and national issues. The left wing vote is especially prevalent in the city's mostly affluent central and northern neighborhoods, though not the case for its working-class southeastern neighborhoods which tend to vote for right wing parties in national elections. Outside the kibbutzim, Meretz receives more votes in Tel Aviv than in any other city in Israel. List of Mayors of Tel Aviv Mandatory Palestine (1920–1948) State of Israel (1948–present) City council Following the 2013 municipal elections, Meretz gained an unprecedented 6 seats on the council. However, having been reelected as mayor, Huldai and the Tel Aviv 1 list lead the coalition, which controls 29 of 31 seats. Education In 2006, 51,359 children attended school in Tel Aviv, of whom 8,977 were in municipal kindergartens, 23,573 in municipal elementary schools, and 18,809 in high schools. Sixty-four percent of students in the city are entitled to matriculation, more than 5 percent higher than the national average. About 4,000 children are in first grade at schools in the city, and population growth is expected to raise this number to 6,000. As a result, 20 additional kindergarten classes were opened in 2008–09 in the city. A new elementary school is planned north of Sde Dov as well as a new high school in northern Tel Aviv. The first Hebrew high school, called Herzliya Hebrew Gymnasium, was established in Jaffa in 1905 and moved to Tel Aviv after its founding in 1909, where a new campus on Herzl Street was constructed for it. Tel Aviv University, the largest university in Israel, is known internationally for its physics, computer science, chemistry and linguistics departments. Together with Bar-Ilan University in neighboring Ramat Gan, the student population numbers over 50,000, including a sizeable international community. Its campus is located in the neighborhood of Ramat Aviv. Tel Aviv also has several colleges. The Herzliya Hebrew Gymnasium moved from Jaffa to old Tel Aviv in 1909 and moved to Jabotinsky Street in the early 1960s. Other notable schools in Tel Aviv include Shevah Mofet, the second Hebrew school in the city, Ironi Alef High School for Arts and Alliance. Demographics Tel Aviv has a population of spread over a land area of , yielding a population density of 7,606 people per square km (19,699 per square mile). According to the Israel Central Bureau of Statistics (CBS), Tel Aviv's population is growing at an annual rate of 0.5 percent. Jews of all backgrounds form 91.8 percent of the population, Muslims and Arab Christians make up 4.2 percent, and the remainder belong to other groups (including various Christian and Asian communities). As Tel Aviv is a multicultural city, many languages are spoken in addition to Hebrew. According to some estimates, about 50,000 unregistered African and Asian foreign workers live in the city. Compared with Westernised cities, crime in Tel Aviv is relatively low. According to Tel Aviv-Yafo Municipality, the average income in the city, which has an Unemployment Rate of 4.6%, is 20% above the national average. The city's education standards are above the national average: of its 12th-grade students, 64.4 percent are eligible for matriculation certificates. The age profile is relatively even, with 22.2 percent aged under 20, 18.5 percent aged 20–29, 24 percent aged 30–44, 16.2 percent aged between 45 and 59, and 19.1 percent older than 60. Tel Aviv's population reached a peak in the early 1960s at around 390,000, falling to 317,000 in the late 1980s as high property prices forced families out and deterred young couples from moving in. Since the 1990s, population has steadily grown. Today, the city's population is young and growing. In 2006, 22,000 people moved to the city, while only 18,500 left, and many of the new families had young children. The population is expected to reach 450,000 by 2025; meanwhile, the average age of residents fell from 35.8 in 1983 to 34 in 2008. The population over age 65 stands at 14.6 percent compared with 19% in 1983. Religion Tel Aviv has 544 active synagogues, including historic buildings such as the Great Synagogue, established in the 1930s. In 2008, a center for secular Jewish studies and a secular yeshiva opened in the city. Tensions between religious and secular Jews before the 2006 gay pride parade ended in vandalism of a synagogue. The number of churches has grown to accommodate the religious needs of diplomats and foreign workers. The population was 93% Jewish, 1% Muslim, and 1% Christian. The remaining 5 percent were not classified by religion. Israel Meir Lau is Chief Rabbi of the city. Tel Aviv is an ethnically diverse city. The Jewish population, which forms the majority group in Tel Aviv, consists of the descendants of immigrants from all parts of the world, including Ashkenazi Jews from Europe, North America, South America, Australia and South Africa, as well as Sephardic and Mizrahi Jews from Southern Europe, North Africa, India, Central Asia, West Asia, and the Arabian Peninsula. There are also a sizable number of Ethiopian Jews and their descendants living in Tel Aviv. In addition to Muslim and Arab Christian minorities in the city, several hundred Armenian Christians who reside in the city are concentrated mainly in Jaffa and some Christians from the former Soviet Union who immigrated to Israel with Jewish spouses and relatives. In recent years, Tel Aviv has received many non-Jewish migrants from Asia and Africa, students, foreign workers (documented and undocumented) and refugees. There are many economic migrants and refugees from African countries, primarily Eritrea and Sudan, located in the southern part of the city. Neighborhoods Tel Aviv is divided into nine districts that have formed naturally over the city's short history. The oldest of these is Jaffa, the ancient port city out of which Tel Aviv grew. This area is traditionally made up demographically of a greater percentage of Arabs, but recent gentrification is replacing them with a young professional and artist population. Similar processes are occurring in nearby Neve Tzedek, the original Jewish neighborhood outside of Jaffa. Ramat Aviv, a district in the northern part of the city that is largely made up of luxury apartments and includes Tel Aviv University, is currently undergoing extensive expansion and is set to absorb the beachfront property of Sde Dov Airport after its decommissioning. The area known as HaKirya is the Israel Defense Forces (IDF) headquarters and a large military base. Moreover, in the past few years, Rothschild Boulevard which is located in Neve Tzedek has become an attraction for tourists, businesses and startups. It features a wide, tree-lined central strip with pedestrian and bike lanes. Historically, there was a demographic split between the Ashkenazi northern side of the city, including the district of Ramat Aviv, and the southern, more Sephardi and Mizrahi neighborhoods including Neve Tzedek and Florentin. Since the 1980s, major restoration and gentrification projects have been implemented in southern Tel Aviv. Baruch Yoscovitz, city planner for Tel Aviv beginning in 2001, reworked old British plans for the Florentin neighborhood from the 1920s, adding green areas, pedestrian malls, and housing. The municipality invested two million shekels in the project. The goal was to make Florentin the Soho of Tel Aviv, and attract artists and young professionals to the neighborhood. Indeed, street artists, such as Dede, installation artists such as Sigalit Landau, and many others made the upbeat neighborhood their home base. Florentin is now known as a hip, "cool" place to be in Tel Aviv with coffeehouses, markets, bars, galleries and parties. Cityscape Architecture Tel Aviv is home to different architectural styles that represent influential periods in its history. The early architecture of Tel Aviv consisted largely of European-style single-storey houses with red-tiled roofs. Neve Tzedek, the first neighbourhood to be built outside of Jaffa, is characterised by two-storey sandstone buildings. By the 1920s, a new eclectic Orientalist style came into vogue, combining European architecture with Eastern features such as arches, domes and ornamental tiles. Municipal construction followed the "garden city" master plan drawn up by Patrick Geddes. Two- and three-storey buildings were interspersed with boulevards and public parks. Various architectural styles, such as Art Deco, classical and modernist also exist in Tel Aviv. International Style and Bauhaus Bauhaus architecture was introduced in the 1920s and 1930s by German Jewish architects who settled in Palestine after the rise of the Nazis. Tel Aviv's White City, around the city center, contains more than 5,000 Modernist-style buildings inspired by the Bauhaus school and Le Corbusier. Construction of these buildings, later declared protected landmarks and, collectively, a UNESCO World Heritage Site, continued until the 1950s in the area around Rothschild Boulevard. Some 3,000 buildings were created in this style between 1931 and 1939 alone. In the 1960s, this architectural style gave way to office towers and a chain of waterfront hotels and commercial skyscrapers. Some of the city's Modernist buildings were neglected to the point of ruin. Before legislation to preserve this landmark architecture, many of the old buildings were demolished. Efforts are under way to refurbish Bauhaus buildings and restore them to their original condition. High-rise construction and towers The Shalom Meir Tower, Israel's first skyscraper, was built in Tel Aviv in 1965 and remained the country's tallest building until 1999. At the time of its construction, the building rivaled Europe's tallest buildings in height, and was the tallest in the Middle East. In the mid-1990s, the construction of skyscrapers began throughout the entire city, altering its skyline. Before that, Tel Aviv had had a generally low-rise skyline. However, the towers were not concentrated in certain areas, and were scattered at random locations throughout the city, creating a disjointed skyline. New neighborhoods, such as Park Tzameret, have been constructed to house apartment towers such as Yoo Tel Aviv towers, designed by Philippe Starck. Other districts, such as Sarona, have been developed with office towers. Other recent additions to Tel Aviv's skyline include the 1 Rothschild Tower and First International Bank Tower. As Tel Aviv celebrated its centennial in 2009, the city attracted a number of architects and developers, including I. M. Pei, Donald Trump, and Richard Meier. American journalist David Kaufman reported in New York magazine that since Tel Aviv "was named a UNESCO World Heritage site, gorgeous historic buildings from the Ottoman and Bauhaus era have been repurposed as fabulous hotels, eateries, boutiques, and design museums." In November 2009, Haaretz reported that Tel Aviv had 59 skyscrapers more than 100 meters tall. Currently, dozens of skyscrapers have been approved or are under construction throughout the city, and many more are planned. The tallest building approved is the Egged Tower, which would become Israel's tallest building upon completion. According to current plans, the tower is planned to have 80 floors, rise to a height of 270 meters, and will have a 50-meter spire. In 2010, the Tel Aviv Municipality's Planning and Construction Committee launched a new master plan for the city for 2025. It decided not to allow the construction of any additional skyscrapers in the city center, while at the same time greatly increasing the construction of skyscrapers in the east. The ban extends to an area between the coast and Ibn Gabirol Street, and also between the Yarkon River and Eilat Street. It did not extend to towers already under construction or approved. One final proposed skyscraper project was approved, while dozens of others had to be scrapped. Any new buildings there will usually not be allowed to rise above six and a half stories. However, hotel towers along almost the entire beachfront will be allowed to rise up to 25 stories. According to the plan, large numbers of skyscrapers and high-rise buildings at least 18 stories tall would be built in the entire area between Ibn Gabirol Street and the eastern city limits, as part of the master plan's goal of doubling the city's office space to cement Tel Aviv as the business capital of Israel. Under the plan, "forests" of corporate skyscrapers will line both sides of the Ayalon Highway. Further south, skyscrapers rising up to 40 stories will be built along the old Ottoman railway between Neve Tzedek and Florentine, with the first such tower there being the Neve Tzedek Tower. Along nearby Shlavim Street, passing between Jaffa and south Tel Aviv, office buildings up to 25 stories will line both sides of the street, which will be widened to accommodate traffic from the city's southern entrance to the center. In November 2012, it was announced that to encourage investment in the city's architecture, residential towers throughout Tel Aviv would be extended in height. Buildings in Jaffa and the southern and eastern districts may have two and a half stories added, while those on Ibn Gabirol Street might be extended by seven and a half stories. Economy Tel Aviv has been ranked as the twenty-fifth most important financial center in the world. As it was built on sand dunes in an area unsuitable for farming, it instead developed as a hub of business and scientific research. In 1926, the country's first shopping arcade, Passage Pensak, was built there. By 1936, as tens of thousands of middle class immigrants arrived from Europe, Tel Aviv was already the largest city in Palestine. A small port was built at the Yarkon estuary, and many cafes, clubs and cinemas opened. Herzl Street became a commercial thoroughfare at this time. Economic activities account for 17 percent of the GDP. In 2011, Tel Aviv had an unemployment rate of 4.4 percent. The city has been described as a "flourishing technological center" by Newsweek and a "miniature Los Angeles" by The Economist. In 1998, the city was described by Newsweek as one of the 10 most technologically influential cities in the world. Since then, high-tech industry in the Tel Aviv area has continued to develop. The Tel Aviv metropolitan area (including satellite cities such as Herzliya and Petah Tikva) is Israel's center of high-tech, sometimes referred to as Silicon Wadi. Tel Aviv is home to the Tel Aviv Stock Exchange (TASE), Israel's only stock exchange, which has reached record heights since the 1990s. The Tel Aviv Stock exchange has also gained attention for its resilience and ability to recover from war and disasters. For example, the Tel Aviv Stock Exchange was higher on the last day of both the 2006 Lebanon war and the 2009 Operation in Gaza than on the first day of fighting Many international venture-capital firms, scientific research institutes and high-tech companies are headquartered in the city. Industries in Tel Aviv include chemical processing, textile plants and food manufacturers. In 2016, the Globalization and World Cities Study Group and Network (GaWC) at Loughborough University reissued an inventory of world cities based on their level of advanced producer services. Tel Aviv was ranked as an alpha- world city. The Kiryat Atidim high tech zone opened in 1972 and the city has become a major world high tech hub. In December 2012, the city was ranked second on a list of top places to found a high tech startup company, just behind Silicon Valley. In 2013, Tel Aviv had more than 700 startup companies and research and development centers, and was ranked the second-most innovative city in the world, behind Medellín and ahead of New York City. According to Forbes, nine of its fifteen Israeli-born billionaires live in Israel; four live in Tel Aviv and its suburbs. The cost of living in Israel is high, with Tel Aviv being its most expensive city to live in. In 2021, Tel Aviv became the worlds most expensive city to live in, according to the Economist Intelligence Unit. Shopping malls in Tel Aviv include Dizengoff Center, Ramat Aviv Mall and Azrieli Shopping Mall and markets such as Carmel Market, Ha'Tikva Market, and Bezalel Market. Culture and contemporary life Entertainment and performing arts Tel Aviv is a major center of culture and entertainment. Eighteen of Israel's 35 major centers for the performing arts are located in the city, including five of the country's nine large theatres, where 55% of all performances in the country and 75 percent of all attendance occurs. The Tel Aviv Performing Arts Center is home of the Israeli Opera, where Plácido Domingo was house tenor between 1962 and 1965, and the Cameri Theatre. With 2,482 seats, the Heichal HaTarbut is the city's largest theatre and home to the Israel Philharmonic Orchestra. Habima Theatre, Israel's national theatre, was closed down for renovations in early 2008, and reopened in November 2011 after major remodeling. Enav Cultural Center is one of the newer additions to the cultural scene. Other theatres in Tel Aviv are the Gesher Theatre and Beit Lessin Theater; Tzavta and Tmuna are smaller theatres that host musical performances and fringe productions. In Jaffa, the Simta and Notzar theatres specialize in fringe as well. Tel Aviv is home to the Batsheva Dance Company, a world-famous contemporary dance troupe. The Israeli Ballet is also based in Tel Aviv. Tel Aviv's center for modern and classical dance is the Suzanne Dellal Center for Dance and Theatre in Neve Tzedek. The city often hosts international musicians at venues such as Yarkon Park, Expo Tel Aviv, the Barby Club, the Zappa Club and Live Park Rishon Lezion just south of Tel Aviv. After Israel's victory in 2018, Tel Aviv was named host city for the 2019 Eurovision Song Contest (the first Israeli-hosted Eurovision held outside of Jerusalem). Opera and classical music performances are held daily in Tel Aviv, with many of the world's leading classical conductors and soloists performing on Tel Aviv stages over the years. The Tel Aviv Cinematheque screens art movies, premieres of short and full-length Israeli films, and hosts a variety of film festivals, among them the Festival of Animation, Comics and Caricatures, "Icon" Science Fiction and Fantasy Festival, the Student Film Festival, the Jazz, Film and Videotape Festival and Salute to Israeli Cinema. The city has several multiplex cinemas. Tourism and recreation Tel Aviv receives about 2.5 million international visitors annually, the fifth-most-visited city in the Middle East & Africa. In 2010, Knight Frank'''s world city survey ranked it 34th globally. Tel Aviv has been named the third "hottest city for 2011" (behind only New York City and Tangier) by Lonely Planet, third-best in the Middle East and Africa by Travel + Leisure magazine (behind only Cape Town and Jerusalem), and the ninth-best beach city in the world by National Geographic. Tel Aviv is consistently ranked as one of the top LGBT destinations in the world. The city has also been ranked as one of the top 10 oceanfront cities. Tel Aviv is known as "the city that never sleeps" and a "party capital" due to its thriving nightlife, young atmosphere and famous 24-hour culture. Tel Aviv has branches of some of the world's leading hotels, including the Crowne Plaza, Sheraton, Dan, Isrotel and Hilton. It is home to many museums, architectural and cultural sites, with city tours available in different languages. Apart from bus tours, architectural tours, Segway tours, and walking tours are also popular. Tel Aviv has 44 hotels with more than 6,500 rooms. The beaches of Tel Aviv and the city's promenade play a major role in the city's cultural and touristic scene, often ranked as some of the best beaches in the world. Hayarkon Park is the most visited urban park in Israel, with 16 million visitors annually. Other parks within city limits include Charles Clore Park, Independence Park, Meir Park and Dubnow Park. About 19% of the city land are green spaces. Nightlife Tel Aviv is an international hub of highly active and diverse nightlife with bars, dance bars and nightclubs staying open well past midnight. The largest area for nightclubs is the Tel Aviv port, where the city's large, commercial clubs and bars draw big crowds of young clubbers from both Tel Aviv and neighboring cities. The South of Tel Aviv is known for the popular Haoman 17 club, as well as for being the city's main hub of alternative clubbing, with underground venues including established clubs like the Block Club, Comfort 13 and Paradise Garage, as well as various warehouse and loft party venues. The Allenby/Rothschild area is another popular nightlife hub, featuring such clubs as the Pasaz, Radio EPGB and the Penguin. In 2013, Absolut Vodka introduced a specially designed bottle dedicated to Tel Aviv as part of its international cities series. Fashion Tel Aviv has become an international center of fashion and design. It has been called the "next hot destination" for fashion. Israeli designers, such as swimwear company Gottex show their collections at leading fashion shows, including New York's Bryant Park fashion show. In 2011, Tel Aviv hosted its first Fashion Week since the 1980s, with Italian designer Roberto Cavalli as a guest of honor. LGBT culture Named "the best gay city in the world" by American Airlines, Tel Aviv is one of the most popular destinations for LGBT tourists internationally, with a large LGBT community. American journalist David Kaufman has described the city as a place "packed with the kind of 'we're here, we're queer' vibe more typically found in Sydney and San Francisco. The city hosts its well-known pride parade, the biggest in Asia, attracting over 200,000 people yearly. In January 2008, Tel Aviv's municipality established the city's LGBT Community centre, providing all of the municipal and cultural services to the LGBT community under one roof. In December 2008, Tel Aviv began putting together a team of gay athletes for the 2009 World Outgames in Copenhagen. In addition, Tel Aviv hosts an annual LGBT film festival, known as TLVFest. Tel Aviv's LGBT community is the subject of Eytan Fox's 2006 film The Bubble. Cuisine Tel Aviv is famous for its wide variety of world-class restaurants, offering traditional Israeli dishes as well as international fare. More than 100 sushi restaurants, the third highest concentration in the world, do business in the city. In Tel Aviv there are some dessert specialties, the most known is the Halva ice cream traditionally topped with date syrup and pistachios Museums Israel has the highest number of museums per capita of any country, with three of the largest located in Tel Aviv. Among these are the Eretz Israel Museum, known for its collection of archaeology and history exhibits dealing with the Land of Israel, and the Tel Aviv Museum of Art. Housed on the campus of Tel Aviv University is Beit Hatfutsot, a museum of the international Jewish diaspora that tells the story of Jewish prosperity and persecution throughout the centuries of exile. Batey Haosef Museum specializes in Israel Defense Forces military history. The Palmach Museum near Tel Aviv University offers a multimedia experience of the history of the Palmach. Right next to Charles Clore Park is a museum of the Irgun. The Israel Trade Fairs & Convention Center, located in the northern part of the city, hosts more than 60 major events annually. Many offbeat museums and galleries operate in the southern areas, including the Tel Aviv Raw Art contemporary art gallery. Sports Maccabi Tel Aviv Sports Club was founded in 1906 and competes in more than 10 sport fields. Its basketball team, Maccabi Tel Aviv Basketball Club, is a world-known professional team, that holds 54 Israeli titles, has won 45 editions of the Israel cup, and has six European Championships, and its football team Maccabi Tel Aviv Football Club has won 23 Israeli league titles and has won 24 State Cups, seven Toto Cups and two Asian Club Championships. Yael Arad, an athlete in Maccabi's judo club, won a silver medal in the 1992 Olympic Games. Hapoel Tel Aviv Sports Club, founded in 1923, comprises more than 11 sports clubs, including Hapoel Tel Aviv Football Club (13 championships, 16 State Cups, one Toto Cup and once Asian champions) which plays in Bloomfield Stadium, and Hapoel Tel Aviv Basketball Club. Bnei Yehuda Tel Aviv (once Israeli champion, twice State Cup winners and twice Toto Cup winner) is the Israeli football team that represents a neighborhood, the Hatikva Quarter in Tel Aviv, and not a city. Beitar Tel Aviv Bat Yam formerly played in the top division, the club now playing in Liga Leumit and also represents the city Bat Yam. Maccabi Jaffa formerly played in the top division, the club now playing in Liga Alef and represents the Jaffa. Shimshon Tel Aviv formerly played in the top division, the club now playing in Liga Alef. There are more Tel Aviv football teams: Hapoel Kfar Shalem, F.C. Bnei Jaffa Ortodoxim, Beitar Ezra, Beitar Jaffa, Elitzur Jaffa Tel Aviv, F.C. Roei Heshbon Tel Aviv, Gadna Tel Aviv Yehuda, Hapoel Kiryat Shalom, Hapoel Neve Golan and Hapoel Ramat Yisrael. The city has a number of football stadiums, the largest of which is Bloomfield Stadium, which contains 29,400 seats used by Hapoel Tel Aviv, Maccabi Tel Aviv and Bnei Yehuda. Another stadium in the city is the Hatikva Neighborhood Stadium. Menora Mivtachim Arena is a large multi-purpose sports indoor arena, The arena is home to the Maccabi Tel Aviv, and the Drive in Arena,
caves when he followed them one time to find out where they got the Glow Honey from. The Glow Buzzers are rendered digitally in the new series. The Iron Chicken: a "bird" made of scrap metal (modelled from Meccano), which lives in an orbiting nest made of metallic junk. (The pieces were found around the Smallfilms studio.) The Iron Chick: The Iron Chicken's chick, who appeared in two episodes of series 2, and in the 2015 series. Sky Moos: large, flying, blue cow-like creatures that appear in several episodes. They are always hungry, which can come in handy. The Singing Flowers: A pair of singing flowers introduced in the 2015 series who are friends of Tiny Clanger. Visitors Other characters appeared in only one or two episodes each: Hoots: small horn-like creatures with three legs, speaking like trumpets. A Spaceman: an astronaut who arrives to collect rock samples. Upon landing, the Clangers observe his movements and discover that he is digging up rocks. Small Clanger peeks out of a hole and takes the wicker basket he is (rather humorously) placing the collected rocks in. The astronaut turns to find his basket gone and begins to look for it, searching the surface until he lifts the lid off one of the holes only to find Tiny Clanger within. This clearly scares the astronaut, who proceeds to run away, and falls straight down one of the holes into the planet where he then falls into a soup well. After the Clangers retrieve him and clean him up, he appears to be still in shock, as he then begins to run around again in panic, at which point he accidentally runs himself into orbit around their planet. Small Clanger retrieves him with a fishing rod and a magnet. Lunar Rover: The rover appeared when the Clangers were building a structure on the surface and one of them noticed an incoming object. They all dived below for safety, and on impact the rover destroyed the structure they were building, much to the Clangers' annoyance. They all observed the rover, staying just out of its sight. When it began to dig - and seemingly eat - some of the surface, Major Clanger intervened and stopped it. It then turned to face him and they attempted to shake hands, at which point the Rover's "nose" came off in Major Clanger's hand. He tries to return it, but the Rover drives off, finds a suitable bit of ground, then launches itself back into space. Major Clanger exclaims that it is "Marvellous". Eggbots: A group of egg-shaped, nesting doll-like robots who make sounds based on the solfège scale (each smaller Eggbot emitting a successive musical note). Metal Caterpillar: A metallic caterpillar who hatched from a metal egg which Small Clanger found in space. It ate anything that was metal, until it wove a cocoon and became a moth. Wols: Metallic colorful owls, who fly by spinning. The Iron Chicken had to look after three baby Wols whilst their parent was away The Tin Bird: Visited the Clangers' planet during an episode of the 2017 series, looking for a place to build a nest. Music and sound effects One of the most noted aspects was the use of sound effects, with a score composed by Vernon Elliott under instructions from Postgate. Although the episodes were scripted, most of the music used in the two series was written in translation by Postgate in the form of "musical sketches" or graphs that he drew for Elliott, who converted the drawings into a musical score. The music was then recorded by the two, along with other musicians – dubbed the Clangers Ensemble – in a village hall, where they would often leave the windows open, leading to the sounds of birds outside being heard on some recordings. Much of the score was performed on Elliott's bassoon, and also included harp, clarinet, glockenspiel and bells. The distinctive whistles made by the Clangers, performed on swanee whistles, have become as identifiable as the characters themselves, much imitated by viewers. The series creators have said that the Clangers, living in vacuum, did not communicate by sound, but rather by a type of nuclear magnetic resonance, which was translated to audible whistles for the human audience. These whistles followed the rhythm and intonation of a script in English. The action was also narrated by a voice-over from Postgate. However, when the series was shown without narration to a group of overseas students, many of them felt that the Clangers were speaking their particular language. Postgate recounted: "When the BBC got the script, [they] rang me up and said "At the beginning of episode three, where the doors get stuck, Major Clanger says 'sod it, the bloody thing’s stuck again'. Well, darling, you can’t say that on Children’s television, you know, I mean you just can’t". I said "It’s not going to be said, it’s going to be whistled", but [they] just said "But people will know!” I said no, that if they had nice minds, they’d think "Oh dear, the silly thing’s not working properly". If you watch the episode, the one where the rocket goes up and shoots down the Iron Chicken, Major Clanger kicks the door to make it work and his first words are "Sod it, the bloody thing’s stuck again". Years later, when the merchandising took off, the Golden Bear company wanted a Clanger and a Clanger phrase for it to make when you squeezed it, they got "Sod it, the bloody thing’s stuck again"! " John Du Prez, who wrote some of the music for Monty Python (another show Michael Palin was in) composed the score for the 2015 series. Episode listing 1969 series Series 1 (1969–1970) The first series was transmitted on BBC1 at 5:55pm, except for the episode Chicken which went out at 5:50pm because there was a Children in Need appeal at 6:00pm. Series 2 (1971–1972) The second series episodes were also transmitted weekly on BBC1, but in a wide variety of differing timeslots. Episodes 1 and 2 were seen at 4:50pm; episodes 3, 5 and 6 at 5:05pm; episodes 4 and 8 at 5:00pm; episode 7 at 4:40pm; episode 9 at 5:30pm; and episodes 10, 11, 12 and 13 (which followed episode 9 after a gap of more than a year) at 4:00pm. Specials The first of these was an election special, produced in 1974, entitled "Vote for Froglet". Inspired by what Postgate referred to as the "Winter of Discontent" (a phrase from Shakespeare's play Richard III, usually employed to refer to the winter of 1978–79, but Postgate was referring to the miners' strike in the winter of 1973-74), and inspired partly by his recollections of post-war Germany, it was broadcast on the night of the October 1974 General Election. The narrator explains the democratic process, and demonstrates it by asking the Clangers to vote between the Soup Dragon and a Froglet. The Soup Dragon wins the election on a policy of "No Soup for Froglets", but the Clangers are dissatisfied with the result. This special was believed to be a lost episode for many years, but it was released in full for free by the British Film Institute to coincide with the 2017 UK General Election. Episode listing 2015 series Series 3 (2015–2016) Episodes 1–26 were first broadcast at 5:30pm, Episodes 27–52 at 6:00pm on CBeebies. Following the March 2015 special, a full series was commissioned for the summer of that year. The series was narrated by Michael Palin, and co-produced by Smallfilms with the involvement of Peter Firmin and Oliver Postgate's son, Dan. The series was directed by Chris Tichborne and Mole Hill, with music composed by John Du Prez. 52 11-minute episodes were commissioned. The voices of the Iron Chicken, the Soup Dragon, and the Baby Soup Dragon were by Dan Postgate. The first episode of the new series aired on 15 June 2015. It turned out to be a massive hit for CBeebies. The BBC News Entertainment and Arts magazine revealed that 65% of the episode's viewing audience of 484,000 were adults, and that it was CBeebies' most watched programme of 2015 up to that date. The rating was more than double the previous record, set by an episode of Alphablocks, Numberjacks, Waybuloo, Fimbles, Charlie and Lola, Teletubbies, The Lingo Show and The Octonauts that year, as well as other CBeebies favourites since the station's launch in 2002, although an episode of Numberjacks peaked at over 1 million back in 2009. According to the 7 June 2015 issue of Parade magazine, actor William Shatner has been chosen to be the American narrator for the series when it begins airing on the cable network Sprout. Series 4 (2017) A second series of the revival, and the fourth series overall, started on 11 September 2017. Series 5 (2019) A third series of the revival, and the fifth series overall was broadcast on CBeebies in 2019. Specials Reception Although not quite as popular as Bagpuss (which in 1999 was voted in a British television poll the best children's television programme ever made), since the death of Postgate in December 2008 interest has been revived in his work, which is considered to have had a notable influence on British culture throughout the 1960s, 1970s and 1980s. In 2007, Postgate and Firmin were jointly presented with the Action for Children's Arts J. M. Barrie Award "for a lifetime's achievement in delighting children". Legacy The Soup Dragons, a Scottish alternative rock band of the late 1980s and early 1990s, took their name from the Clangers character. In the 1972 Doctor Who serial "The Sea Devils", The Master is seen to be watching the episode "The Rock Collector". He states that they are fascinating creatures and even mimics their language. He is told that they are just television characters. The Master rolls his eyes; he was obviously joking and knows full well they are puppets. A Clanger (as a glove-puppet rather than a stop-motion puppet) appears as a member of the "Puppet Government" in The Goodies TV episode "The Goodies Rule – O.K.?". From the block's start until its discontinuation, the UK's Nick Jr. Classics block aired Clangers episodes specifically for parents who remembered the show. Tiny Clanger (also as a glove-puppet) appeared on Sprout's Sunny Side Up Show in honour of the U.S. premiere of Clangers. Other countries The series was not widely broadcast outside the UK in the 1970s, mainly because it did not require additional money from sales abroad to finance its production.
he then falls into a soup well. After the Clangers retrieve him and clean him up, he appears to be still in shock, as he then begins to run around again in panic, at which point he accidentally runs himself into orbit around their planet. Small Clanger retrieves him with a fishing rod and a magnet. Lunar Rover: The rover appeared when the Clangers were building a structure on the surface and one of them noticed an incoming object. They all dived below for safety, and on impact the rover destroyed the structure they were building, much to the Clangers' annoyance. They all observed the rover, staying just out of its sight. When it began to dig - and seemingly eat - some of the surface, Major Clanger intervened and stopped it. It then turned to face him and they attempted to shake hands, at which point the Rover's "nose" came off in Major Clanger's hand. He tries to return it, but the Rover drives off, finds a suitable bit of ground, then launches itself back into space. Major Clanger exclaims that it is "Marvellous". Eggbots: A group of egg-shaped, nesting doll-like robots who make sounds based on the solfège scale (each smaller Eggbot emitting a successive musical note). Metal Caterpillar: A metallic caterpillar who hatched from a metal egg which Small Clanger found in space. It ate anything that was metal, until it wove a cocoon and became a moth. Wols: Metallic colorful owls, who fly by spinning. The Iron Chicken had to look after three baby Wols whilst their parent was away The Tin Bird: Visited the Clangers' planet during an episode of the 2017 series, looking for a place to build a nest. Music and sound effects One of the most noted aspects was the use of sound effects, with a score composed by Vernon Elliott under instructions from Postgate. Although the episodes were scripted, most of the music used in the two series was written in translation by Postgate in the form of "musical sketches" or graphs that he drew for Elliott, who converted the drawings into a musical score. The music was then recorded by the two, along with other musicians – dubbed the Clangers Ensemble – in a village hall, where they would often leave the windows open, leading to the sounds of birds outside being heard on some recordings. Much of the score was performed on Elliott's bassoon, and also included harp, clarinet, glockenspiel and bells. The distinctive whistles made by the Clangers, performed on swanee whistles, have become as identifiable as the characters themselves, much imitated by viewers. The series creators have said that the Clangers, living in vacuum, did not communicate by sound, but rather by a type of nuclear magnetic resonance, which was translated to audible whistles for the human audience. These whistles followed the rhythm and intonation of a script in English. The action was also narrated by a voice-over from Postgate. However, when the series was shown without narration to a group of overseas students, many of them felt that the Clangers were speaking their particular language. Postgate recounted: "When the BBC got the script, [they] rang me up and said "At the beginning of episode three, where the doors get stuck, Major Clanger says 'sod it, the bloody thing’s stuck again'. Well, darling, you can’t say that on Children’s television, you know, I mean you just can’t". I said "It’s not going to be said, it’s going to be whistled", but [they] just said "But people will know!” I said no, that if they had nice minds, they’d think "Oh dear, the silly thing’s not working properly". If you watch the episode, the one where the rocket goes up and shoots down the Iron Chicken, Major Clanger kicks the door to make it work and his first words are "Sod it, the bloody thing’s stuck again". Years later, when the merchandising took off, the Golden Bear company wanted a Clanger and a Clanger phrase for it to make when you squeezed it, they got "Sod it, the bloody thing’s stuck again"! " John Du Prez, who wrote some of the music for Monty Python (another show Michael Palin was in) composed the score for the 2015 series. Episode listing 1969 series Series 1 (1969–1970) The first series was transmitted on BBC1 at 5:55pm, except for the episode Chicken which went out at 5:50pm because there was a Children in Need appeal at 6:00pm. Series 2 (1971–1972) The second series episodes were also transmitted weekly on BBC1, but in a wide variety of differing timeslots. Episodes 1 and 2 were seen at 4:50pm; episodes 3, 5 and 6 at 5:05pm; episodes 4 and 8 at 5:00pm; episode 7 at 4:40pm; episode 9 at 5:30pm; and episodes 10, 11, 12 and 13 (which followed episode 9 after a gap of more than a year) at 4:00pm. Specials The first of these was an election special, produced in 1974, entitled "Vote for Froglet". Inspired by what Postgate referred to as the "Winter of Discontent" (a phrase from Shakespeare's play Richard III, usually employed to refer to the winter of 1978–79, but Postgate was referring to the miners' strike in the winter of 1973-74), and inspired partly by his recollections of post-war Germany, it was broadcast on the night of the October 1974 General Election. The narrator explains the democratic process, and demonstrates it by asking the Clangers to vote between the Soup Dragon and a Froglet. The Soup Dragon wins the election on a policy of "No Soup for Froglets", but the Clangers are dissatisfied with the result. This special was believed to be a lost episode for many years, but it was released in full for free by the British Film Institute to coincide with the 2017 UK General Election. Episode listing 2015 series Series 3 (2015–2016) Episodes 1–26 were first broadcast at 5:30pm, Episodes 27–52 at 6:00pm on CBeebies. Following the March 2015 special, a full series was commissioned for the summer of that year. The series was narrated by Michael Palin, and co-produced by Smallfilms with the involvement of Peter Firmin and Oliver Postgate's son, Dan. The series was directed by Chris Tichborne and Mole Hill, with music composed by John Du Prez. 52 11-minute episodes were commissioned. The voices of the Iron Chicken, the Soup Dragon, and the Baby Soup Dragon were by Dan Postgate. The first episode of the new series aired on 15 June 2015. It turned out to be a massive hit for CBeebies. The BBC News Entertainment and Arts magazine revealed that 65% of the episode's viewing audience of 484,000 were adults, and that it was CBeebies' most watched programme of 2015 up to that date. The rating was more than double the previous record, set by an episode of Alphablocks, Numberjacks, Waybuloo, Fimbles, Charlie and Lola, Teletubbies, The Lingo Show and The Octonauts that year, as well as other CBeebies favourites since the station's launch in 2002, although an episode of Numberjacks peaked at over 1 million back in 2009. According to the 7 June 2015 issue of Parade magazine, actor William Shatner has been chosen to be the American narrator for the series when it begins airing on the cable network Sprout. Series 4 (2017) A second series of the revival, and the fourth series overall, started on 11 September 2017. Series 5 (2019) A third series of the revival, and the fifth series overall was broadcast on CBeebies in 2019. Specials Reception Although not quite as popular as Bagpuss (which in 1999 was voted in a British television poll the best children's television programme ever made), since the death of Postgate in December 2008 interest has been revived in his work, which is considered to have had a notable influence on British culture throughout the 1960s, 1970s and 1980s. In 2007, Postgate and Firmin were jointly presented with the Action for Children's Arts J. M. Barrie Award "for a lifetime's achievement in delighting children". Legacy The Soup Dragons, a Scottish alternative rock band of the late 1980s and early 1990s, took their name from the Clangers character. In the 1972 Doctor Who serial "The Sea Devils", The Master is seen to be watching the episode "The Rock Collector". He states that they are fascinating creatures and even mimics their language. He is told that they are just television characters. The Master rolls his eyes; he was obviously joking and knows full well they are puppets. A Clanger (as a glove-puppet rather than a stop-motion puppet) appears as a member of the "Puppet Government" in The Goodies TV episode "The Goodies Rule – O.K.?". From the block's start until its discontinuation, the UK's Nick Jr. Classics block aired Clangers episodes specifically for parents who remembered the show. Tiny Clanger (also as a glove-puppet) appeared on Sprout's Sunny Side Up Show in honour of the U.S. premiere of Clangers. Other countries The series was not widely broadcast outside the UK in the 1970s, mainly because it did not require additional money from sales abroad to finance its production. However the Norwegian Broadcasting Corporation showed the series in 1970 and 1982, entitled Romlingane. It was narrated by Ingebrigt Davik, a popular author of children's books. It was shown on Swedish Television in the late 1960s and 1970s, entitled Rymdlarna. The first 13 episodes were also shown on Czechoslovak Television in August 1972, entitled Rámusíci as a part of the children's evening program slot Večerníček. The revived version in 2015 has received funding from Sprout, a subsidiary of NBCUniversal, and has been pre-sold to other foreign broadcasters including the Australian Broadcasting Corporation. The American transmissions are narrated by William Shatner. As from 2018, it is also broadcast on the Belgian channel Ketnet. Soundtrack album In 2001, a selection of the music and sound effects was compiled by Jonny Trunk from 128 musical cues held by Postgate, who contributed act one, "The Iron Chicken and the Music Trees", of A Clangers Opera, with libretto that he had compiled. Track listing Intro Music and Dialogue from "Episode One" The Start Of "Music" From "Visiting Friends" "Clangers running around the planet!" From "Fishing" From "Treasure" "Some Musical Sequences" From "Goods" (when the machine in the episode "Goods" went into continuous production of plastic objects) "An End Title" "Tiny Clangers Radio Hat" "Some of Oliver's Special Clangers Effects including the Froglets" From "The Rock Collector" From "Glowhoney" From "Teapot" From "Cloud" From "The Seed" From "The Bags" From "Blow Fruit" From "The Pipe Organ" From "The Music of the Spheres" "A short, silent interval" "A Clangers Opera, Act One" "The Iron Chicken and the Music Trees" (compiled by Oliver Postgate) Home media In the early 1990s, three VHS cassettes of the Clangers
two series, The Voyage of the Jerle Shannara and High Druid of Shannara and finished a third, Genesis of Shannara, a trilogy bridging his Word and Void and Shannara series. The sixth book in the Landover series, A Princess of Landover, was released in August 2009. Returning to Shannara, a duology, Legends of Shannara, taking place after the events of Genesis of Shannara, was written next. The first book, entitled Bearers of the Black Staff, was released in August 2010 and the second, The Measure of the Magic, was released in August 2011. He next completed a trilogy entitled The Dark Legacy of Shannara. The three books are; Wards of Faerie (Feb 2013), Bloodfire Quest (June 2013), and Witch Wraith (Dec 2013). He followed this with the trilogy Defenders of Shannara, which include The High Druid's Blade (July 2014), The Darkling Child (June 2015), and The Sorcerer's Daughter (May 24, 2016). According to his website, he is currently working on the final and concluding tetralogy of the Shannara series known as The Fall of Shannara. The first book in the tetralogy is The Black Elfstone and was released on June 13, 2017. The second book in the series is The Skaar Invasion released on June 19, 2018. The third book in the series is The Stiehl Assassin published on May 28, 2019. The fourth and final book in the tetralogy is The Last Druid, published on October 20, 2020. A television series based on the Shannara works, entitled The Shannara Chronicles, began showing on MTV in January 2016. The show starts with the second book of the original series, Elfstones, as there are strong female roles which did not appear in the first book. The second season aired in 2017 on Spike TV. On January 16, 2018, it was announced that the series had been cancelled after two seasons. Producers later announced that the series is being shopped to other networks. Terry has written a number of other books, based on movies, science fiction and his own life. Novels include Hook, based on the movie of the same name, first published November 24, 1991 and republished in 1998. Star Wars Episode I: The Phantom Menace was published April 21, 1999 with four differing dust jacket covers. His own writing life is reflected in two stories, Sometimes the Magic Works: Lessons from a Writing Life,
Stiehl Assassin published on May 28, 2019. The fourth and final book in the tetralogy is The Last Druid, published on October 20, 2020. A television series based on the Shannara works, entitled The Shannara Chronicles, began showing on MTV in January 2016. The show starts with the second book of the original series, Elfstones, as there are strong female roles which did not appear in the first book. The second season aired in 2017 on Spike TV. On January 16, 2018, it was announced that the series had been cancelled after two seasons. Producers later announced that the series is being shopped to other networks. Terry has written a number of other books, based on movies, science fiction and his own life. Novels include Hook, based on the movie of the same name, first published November 24, 1991 and republished in 1998. Star Wars Episode I: The Phantom Menace was published April 21, 1999 with four differing dust jacket covers. His own writing life is reflected in two stories, Sometimes the Magic Works: Lessons from a Writing Life, published February 3, 2004, and Why I Write About Elves published in 2005. A science fiction book, Street Freaks, was released on October 2, 2018. Terry has written a number of e-book short stories which are published in a book titled Small Magic with his other short stories. Personal life Brooks resides in Seattle, Washington, with his wife, Judine. Novels versus short stories After writing "Indomitable", a short story constituting an epilogue to The Wishsong of Shannara, Terry Brooks declared: Bibliography References External links Reddit AMA 1944 births Living people American fantasy writers 20th-century American novelists 21st-century American novelists Writers of books about writing fiction Hamilton College (New York) alumni World Fantasy Award-winning writers Writers from Seattle People from Sterling, Illinois Shannara Washington and Lee University School of Law alumni American male novelists Inkpot Award winners Novelists from Washington
heavy trucks. In the US, they are defined as weighing between . For the UK and the EU the weight is between . Local delivery and public service (dump trucks, garbage trucks and fire-fighting trucks) are normally around this size. Heavy Heavy trucks are the largest on-road trucks, Class 8. These include vocational applications such as heavy dump trucks, concrete pump trucks, and refuse hauling, as well as ubiquitous long-haul 4x2 and 6×4 tractor units. Road damage and wear increase very rapidly with the axle weight. The number of steering axles and the suspension type also influence the amount of the road wear. In many countries with good roads a six-axle truck may have a maximum weight of or more. Off-road Off-road trucks include standard, extra heavy-duty highway-legal trucks, typically outfitted with off-road features such as a front driving axle and special tires for applications such as logging and construction, and purpose-built off-road vehicles unconstrained by weight limits, such as the Liebherr T 282B mining truck. Maximum sizes by country Australia has complex regulations over weight and length, including axle spacing, type of axle/axle group, rear overhang, kingpin to rear of trailer, drawbar length, ground clearance, as well as height and width laws. These limits are some of the highest in the world, a B-double can weigh and be long, and road trains used in the outback can weigh and be long. The European Union also has complex regulations. The number and spacing of axles, steering, single or dual tires, and suspension type all affect maximum weights. Length of a truck, of a trailer, from axle to hitch point, kingpin to rear of trailer, and turning radius are all regulated. In additions, there are special rules for carrying containers, and countries can set their own rules for local traffic. The United States Federal Bridge Law deals with the relation between the gross weight of the truck, the number of axles, the weight on and the spacing between the axles that the truck can have on the Interstate highway system. Each State determines the maximum permissible vehicle, combination, and axle weight on state and local roads. Uniquely, the State of Michigan has a gross vehicle weight limit of , which is twice the U.S. federal limit. A measure to change the law was defeated in the Michigan Senate in 2019. Design Almost all trucks share a common construction: they are made of a chassis, a cab, an area for placing cargo or equipment, axles, suspension and roadwheels, an engine and a drivetrain. Pneumatic, hydraulic, water, and electrical systems may also be present. Many also tow one or more trailers or semi-trailers. Cab The "cab" is an enclosed space where the driver is seated. A "sleeper" is a compartment attached to or integral with the cab where the driver can rest while not driving, sometimes seen in semi-trailer trucks. There are several cab configurations: "Cab over engine" (COE) or "flat nose"; where the driver is seated above the front axle and the engine. This design is almost ubiquitous in Europe, where overall truck lengths are strictly regulated, and is widely used in the rest of the world. They were common in North American heavy-duty trucks but lost prominence when permitted length was extended in the early 1980s. Nevertheless, this design is still popular in North America among medium- and light-duty trucks. To reach the engine, the whole cab tilts forward, earning this design the name of "tilt-cab". This type of cab is especially suited to the delivery conditions in Europe where many roads require the short turning radius afforded by the shorter wheelbase of the cab over engine layout. The COE design was invented by Viktor Schreckengost. "Conventional" cabs seated the driver behind the engine, as in most passenger cars or pickup trucks. Many new cabs are very streamlined, with a sloped hood (bonnet) and other features to lower drag. Conventional cabs are the most common in North America, Australia, and China, and are known in the UK as "American cabs" and in the Netherlands as "torpedo cabs". "Cab beside engine" designs are used for terminal tractors at shipping yards and for other specialist vehicles carrying long loads such as pipes. This type is often made by replacing the passenger side of a cab-over truck with an extended section of the load bed. A further step from this is the side loading forklift that can be described as a specially fabricated vehicle with the same properties as a truck of this type, in addition to the ability to pick up its own load. Engines and motors Most small trucks such as sport utility vehicles (SUVs), vans or pickups, and even light medium-duty trucks in North America, China, and Russia use gasoline engines (petrol engines), but many diesel engined models are now being produced. Most of the heavier trucks use four-stroke diesel engines with a turbocharger and intercooler. Huge off-highway trucks use locomotive-type engines such as a V12 Detroit Diesel two stroke engine. A large proportion of refuse trucks in the United States employ CNG (compressed natural gas) engines for their low fuel cost and reduced carbon emissions. A significant proportion of North American manufactured trucks use an engine built by the last remaining major independent engine manufacturer (Cummins) but most global OEMs such as Volvo Trucks and Daimler AG promote their own "captive" engines. In the European Union, all new truck engines must comply with Euro VI emission regulations. several alternative technologies are competing to displace the use of diesel engines in heavy trucks. CNG engines are widely used in the US refuse industry and in concrete mixers, among other short-range vocations, but range limitations have prevented their broader uptake in freight hauling applications. Heavy electric trucks and hydrogen-powered trucks are new to the market in 2021, but major freight haulers are interested. Although cars will be first the phase-out of fossil fuel vehicles includes trucks. According to The Economist magazine "Electric lorries will probably run on hydrogen, not batteries, which are too expensive." Other researchers say that once faster chargers are available batteries will become competitive against diesel for all, except perhaps the heaviest, trucks. Drivetrain Small trucks use the same type of transmissions as almost all cars, having either an automatic transmission or a manual transmission with synchromesh (synchronizers). Bigger trucks often use manual transmissions without synchronizers, saving bulk and weight, although synchromesh transmissions are used in larger trucks as well. Transmissions without synchronizers, known as "crash boxes", require double-clutching for each shift, (which can lead to repetitive motion injuries), or a technique known colloquially as "floating", a method of changing gears which doesn't use the clutch, except for starts and stops, due to the physical effort of double-clutching, especially with non-power-assisted clutches, faster shifts, and less clutch wear. Double-clutching allows the driver to control the engine and transmission revolutions to synchronize so that a smooth shift can be made; for example, when upshifting, the accelerator pedal is released and the clutch pedal is depressed while the gear lever is moved into neutral, the clutch pedal is then released and quickly pushed down again while the gear lever is moved to the next higher gear. Finally, the clutch pedal is released and the accelerator pedal pushed down to obtain the required engine speed. Although this is a relatively fast movement, perhaps a second or so while the transmission is in neutral, it allows the engine speed to drop and synchronize engine and transmission revolutions relative to the road speed. Downshifting is performed in a similar fashion, except the engine speed is now required to increase (while the transmission is in neutral) just the right amount in order to achieve the synchronization for a smooth, non-collision gear change. "Skip changing" is also widely used; in principle, the operation is the same as double-clutching, but it requires neutral be held slightly longer than a single-gear change. Common North American setups include 9, 10, 13, 15, and 18 speeds. Automatic and automated manual transmissions for heavy trucks are becoming more and more common, due to advances both in transmission and engine power. In Europe, 8, 10, 12, and 16 gears are common on larger trucks with a manual transmission, while conventional automatic or automated manual transmissions would have anything from 5 to 12 gears. Almost all heavy truck transmissions are of the "range and split" (double H shift pattern) type, where range change and so‑called half gears or splits are air operated and always preselected before the main gear selection. Frame A truck frame consists of two parallel boxed (tubular) or C‑shaped rails, or beams, held together by crossmembers. These frames are referred to as ladder frames due to their resemblance to a ladder if tipped on end. The rails consist of a tall vertical section (two if boxed) and two shorter horizontal flanges. The height of the vertical section provides opposition to vertical flex when weight is applied to the top of the frame (beam resistance). Though typically flat the whole length on heavy-duty trucks, the rails may sometimes be tapered or arched for clearance around the engine or over the axles. The holes in rails are used either for mounting vehicle components and running wires and hoses or measuring and adjusting the orientation of the rails at the factory or repair shop. The frame is usually made of steel, but can be made (whole or in part) of aluminum for a lighter weight. A tow bar may be found attached at one or both ends, but heavy tractors almost always make use of a fifth wheel hitch. Body types Box trucks ("tilts" in the UK) have walls and a roof, making an enclosed load space. The rear has doors for unloading; a side door is sometimes fitted. Chassis cab trucks have a fully-enclosed cab at the front, with bare chassis frame-rails behind, suitable for subsequent permanent attachment of a specialized payload, like a fire-truck or ambulance body. Concrete mixers have a rotating drum on an inclined axis, rotating in one direction to mix, and in the other to discharge the concrete down chutes. Because of the weight and power requirements of the drum body and rough construction sites, mixers have to be very heavy duty. Dump trucks ("tippers" in the UK) transport loose material such as sand, gravel, or dirt for construction. A typical dump truck has an open-box bed, which is hinged at the rear and lifts at the front, allowing the material in the bed to be unloaded ("dumped") on the ground behind the truck. Flatbed trucks have an entirely flat, level platform body. This allows for quick and easy loading but has no protection for the load. Hanging or removable sides are sometimes fitted. Refrigerator trucks have insulated panels as walls and a roof and floor, used for transporting fresh and frozen cargo such as ice cream, food, vegetables, and prescription drugs. They are mostly equipped with double-wing rear doors, but a side door is sometimes fitted. Refuse trucks have a specialized body for collecting and, often, compacting trash collected from municipal, commercial, and industrial sites. This application has the widest use of the cab-over configuration in North America, to provide better maneuverability in tight situations. They are also among the most severe-duty and highest GVWR trucks on public roads. Semi-tractors ("artics" in the UK) have a fifth wheel for towing a semi-trailer instead of a body. Tank trucks ("tankers" in the UK) are designed to carry liquids or gases. They usually have a cylindrical tank lying horizontally on the chassis. Many variants exist due to the wide variety of liquids and gases that can be transported. Wreckers ("recovery lorries" in the UK) are used to recover and/or tow disabled vehicles. They are normally equipped with a boom with a cable; wheel/chassis lifts are becoming common on newer trucks. Sales and sales issues Manufacturers Truck market worldwide Driving In many countries, driving a truck requires a special driving license. The requirements and limitations vary with each different jurisdiction. Australia In Australia, a truck driver's license is required for any motor vehicle with a Gross Vehicle Mass (GVM) exceeding . The
vocations, but range limitations have prevented their broader uptake in freight hauling applications. Heavy electric trucks and hydrogen-powered trucks are new to the market in 2021, but major freight haulers are interested. Although cars will be first the phase-out of fossil fuel vehicles includes trucks. According to The Economist magazine "Electric lorries will probably run on hydrogen, not batteries, which are too expensive." Other researchers say that once faster chargers are available batteries will become competitive against diesel for all, except perhaps the heaviest, trucks. Drivetrain Small trucks use the same type of transmissions as almost all cars, having either an automatic transmission or a manual transmission with synchromesh (synchronizers). Bigger trucks often use manual transmissions without synchronizers, saving bulk and weight, although synchromesh transmissions are used in larger trucks as well. Transmissions without synchronizers, known as "crash boxes", require double-clutching for each shift, (which can lead to repetitive motion injuries), or a technique known colloquially as "floating", a method of changing gears which doesn't use the clutch, except for starts and stops, due to the physical effort of double-clutching, especially with non-power-assisted clutches, faster shifts, and less clutch wear. Double-clutching allows the driver to control the engine and transmission revolutions to synchronize so that a smooth shift can be made; for example, when upshifting, the accelerator pedal is released and the clutch pedal is depressed while the gear lever is moved into neutral, the clutch pedal is then released and quickly pushed down again while the gear lever is moved to the next higher gear. Finally, the clutch pedal is released and the accelerator pedal pushed down to obtain the required engine speed. Although this is a relatively fast movement, perhaps a second or so while the transmission is in neutral, it allows the engine speed to drop and synchronize engine and transmission revolutions relative to the road speed. Downshifting is performed in a similar fashion, except the engine speed is now required to increase (while the transmission is in neutral) just the right amount in order to achieve the synchronization for a smooth, non-collision gear change. "Skip changing" is also widely used; in principle, the operation is the same as double-clutching, but it requires neutral be held slightly longer than a single-gear change. Common North American setups include 9, 10, 13, 15, and 18 speeds. Automatic and automated manual transmissions for heavy trucks are becoming more and more common, due to advances both in transmission and engine power. In Europe, 8, 10, 12, and 16 gears are common on larger trucks with a manual transmission, while conventional automatic or automated manual transmissions would have anything from 5 to 12 gears. Almost all heavy truck transmissions are of the "range and split" (double H shift pattern) type, where range change and so‑called half gears or splits are air operated and always preselected before the main gear selection. Frame A truck frame consists of two parallel boxed (tubular) or C‑shaped rails, or beams, held together by crossmembers. These frames are referred to as ladder frames due to their resemblance to a ladder if tipped on end. The rails consist of a tall vertical section (two if boxed) and two shorter horizontal flanges. The height of the vertical section provides opposition to vertical flex when weight is applied to the top of the frame (beam resistance). Though typically flat the whole length on heavy-duty trucks, the rails may sometimes be tapered or arched for clearance around the engine or over the axles. The holes in rails are used either for mounting vehicle components and running wires and hoses or measuring and adjusting the orientation of the rails at the factory or repair shop. The frame is usually made of steel, but can be made (whole or in part) of aluminum for a lighter weight. A tow bar may be found attached at one or both ends, but heavy tractors almost always make use of a fifth wheel hitch. Body types Box trucks ("tilts" in the UK) have walls and a roof, making an enclosed load space. The rear has doors for unloading; a side door is sometimes fitted. Chassis cab trucks have a fully-enclosed cab at the front, with bare chassis frame-rails behind, suitable for subsequent permanent attachment of a specialized payload, like a fire-truck or ambulance body. Concrete mixers have a rotating drum on an inclined axis, rotating in one direction to mix, and in the other to discharge the concrete down chutes. Because of the weight and power requirements of the drum body and rough construction sites, mixers have to be very heavy duty. Dump trucks ("tippers" in the UK) transport loose material such as sand, gravel, or dirt for construction. A typical dump truck has an open-box bed, which is hinged at the rear and lifts at the front, allowing the material in the bed to be unloaded ("dumped") on the ground behind the truck. Flatbed trucks have an entirely flat, level platform body. This allows for quick and easy loading but has no protection for the load. Hanging or removable sides are sometimes fitted. Refrigerator trucks have insulated panels as walls and a roof and floor, used for transporting fresh and frozen cargo such as ice cream, food, vegetables, and prescription drugs. They are mostly equipped with double-wing rear doors, but a side door is sometimes fitted. Refuse trucks have a specialized body for collecting and, often, compacting trash collected from municipal, commercial, and industrial sites. This application has the widest use of the cab-over configuration in North America, to provide better maneuverability in tight situations. They are also among the most severe-duty and highest GVWR trucks on public roads. Semi-tractors ("artics" in the UK) have a fifth wheel for towing a semi-trailer instead of a body. Tank trucks ("tankers" in the UK) are designed to carry liquids or gases. They usually have a cylindrical tank lying horizontally on the chassis. Many variants exist due to the wide variety of liquids and gases that can be transported. Wreckers ("recovery lorries" in the UK) are used to recover and/or tow disabled vehicles. They are normally equipped with a boom with a cable; wheel/chassis lifts are becoming common on newer trucks. Sales and sales issues Manufacturers Truck market worldwide Driving In many countries, driving a truck requires a special driving license. The requirements and limitations vary with each different jurisdiction. Australia In Australia, a truck driver's license is required for any motor vehicle with a Gross Vehicle Mass (GVM) exceeding . The motor vehicles classes are further expanded as: Combination HC: Heavy Combination, a typical prime mover plus semi-trailer combination. MC: Multi Combination, e.g., B Doubles/road trains Rigid LR: Light rigid: a rigid vehicle with a GVM of more than but not more than . Any towed trailer must not weigh more than GVM. MR: Medium rigid: a rigid vehicle with 2 axles and a GVM of more than . Any towed trailer must not weigh more than GVM. Also includes vehicles in class LR. HR: Heavy Rigid: a rigid vehicle with three or more axles and a GVM of more than . Any towed trailer must not weigh more than GVM. Also includes articulated buses and vehicles in class MR. Heavy vehicle transmission There is also a heavy vehicle transmission condition for a license class HC, HR, or MC test passed in a vehicle fitted with an automatic or synchromesh transmission; a driver's license will be restricted to vehicles of that class fitted with a synchromesh or automatic transmission. To have the condition removed, a person needs to pass a practical driving test in a vehicle with non-synchromesh transmission (constant mesh or crash box). Europe Driving licensing has been harmonized throughout the European Union and the EEA (and practically all European non-member states), so that common rules apply within Europe (see European driving licence). As an overview, to drive a vehicle weighing more than for commercial purposes requires a specialist license (the type varies depending on the use of the vehicle and number of seats). For licenses first acquired after 1997, that weight was reduced to , not including trailers. Since 2013, the C1 license category allows driving vehicles over 3.5 and up to 7.5 tonnes. The C license category allows driving vehicles over 3.5 tonnes with a trailer up to 750 kg, and the CE category allows driving category C vehicles with a trailer over 750 kg. South Africa To drive any vehicle with a GVM exceeding , a code C1 drivers license is required. Furthermore, if the vehicle exceeds a code C license becomes necessary. To drive any vehicle in South Africa towing a trailer with a GVM more than , further restrictions apply and the driver must possess a license suitable for the GVM of the total combination as well as an articulated endorsement. This is indicated with the letter "E" prefixing the license code. In addition, any vehicle designed to carry goods or passengers may only be driven by a driver possessing a Public Driver's Permit, (or PrDP) of the applicable type. This is an additional license that is added to the DL card of the operator and subject to annual renewal unlike the five-year renewal period of a normal license. The requirements for obtaining the different classes are below. "G": Required for the transport of general goods, requires a criminal record check and a fee on issuing and renewal. "P": Required for the transport of paying passengers, requires a more stringent criminal record check, additionally the driver must be over the age of 21 at time of issue. A G class PrDP will be issued at the same time. "D": Required for the transport of dangerous materials, requires all of the same checks as class P., and in addition the driver must be over 25 at time of issue. United States In the United States, a commercial driver's license is required to drive any type of commercial vehicle weighing or more. The federal government regulates how many hours a driver may be on the clock, how much rest and sleep time is required (e.g., 11 hours driving/14 hours on-duty followed by 10 hours off, with a maximum of 70 hours/8 days or 60 hours/7 days, 34 hours restart ) Violations are often subject to significant penalties. Instruments to track each driver's hours must sometimes be fitted. In 2006, the US trucking industry employed 1.8 million drivers of heavy trucks. There is a shortage of willing trained long distance truck drivers. Part of the reason for this is the economic fallout from deregulation of the trucking industry. Michael H. Belzer, associate professor, in the economics department at Wayne State University and co-author of Sweatshops on Wheels: Winners and Losers in Trucking Deregulation, argues that low pay, bad working conditions and unsafe conditions have been a direct result
The necklace is called a shitoki if it has a medallion. They are made with large glass beads the Ainu obtained through trading with Chinese merchants. The Ainu also obtained glass beads secretly made by the Matsumae Clan. The shitoki medallion often represents the white-tailed sea eagles that the Ainu hunt.
Ainu obtained through trading with Chinese merchants. The Ainu also obtained glass beads secretly made by the Matsumae Clan. The shitoki medallion often represents the white-tailed sea eagles that the Ainu
of Sicca, active shortly after AD 300, maintains that the Christian message had arrived in India and among the Persians, Medians, and Parthians (along with the Seres). Possible travel into Indonesia According to Kurt E. Koch, Thomas the Apostle possibly traveled into Indonesia via India with Indian traders. Paraguayan legend Ancient oral tradition retained by the Guaraní tribes of Paraguay claims that the Apostle Thomas was in Paraguay and preached to them. Almost 150 years prior to Dobrizhoffer's arrival in Paraguay, another Jesuit Missionary, F.J. Antonio Ruiz de Montoya recollected the same oral traditions from the Paraguayan tribes. He wrote: The sole recorded research done about the subject was during José Gaspar Rodríguez de Francia's reign after the Independence of Paraguay. This is mentioned by Franz Wisner von Morgenstern, an Austro-Hungarian engineer who served in the Paraguayan armies prior and during the Paraguayan War. According to Von Morgenstern, some Paraguayan miners while working nearby some hills at the Caaguazú Department found some stones with ancient letters carved in them. Dictator Francia sent his finest experts to inspect those stones, and they concluded that the letters carved in those stones were Hebrew-like symbols, but they couldn't translate them nor figure out the exact date when those letters were carved. No further recorded investigations exists, and according to Wisner, people believed that the letters were made by Thomas the Apostle, following the tradition. Relics Mylapore Traditional accounts say that the Apostle Thomas preached not only in Kerala but also in other parts of Southern India – and a few relics are still kept at San Thome Basilica in Mylapore neighborhood in the central part of the city of Chennai in India. Marco Polo, the Venetian traveller and author of Description of the World, popularly known as Il Milione, is reputed to have visited Southern India in 1288 and 1292. The first date has been rejected as he was in China at the time, but the second date is generally accepted. Edessa According to tradition, in AD 232, the greater portion of relics of the Apostle Thomas are said to have been sent by an Indian king and brought from Mylapore to the city of Edessa, Mesopotamia, on which occasion his Syriac Acts were written. The Indian king is named as "Mazdai" in Syriac sources, "Misdeos" and "Misdeus" in Greek and Latin sources respectively, which has been connected to the "Bazdeo" on the Kushan coinage of Vasudeva I, the transition between "M" and "B" being a current one in Classical sources for Indian names. The martyrologist Rabban Sliba dedicated a special day to both the Indian king, his family, and St Thomas: In the 4th century, the martyrium erected over his burial place brought pilgrims to Edessa. In the 380s, Egeria described her visit in a letter she sent to her community of nuns at home (Itineraria Egeriae): We arrived at Edessa in the Name of Christ our God, and, on our arrival, we straightway repaired to the church and memorial of saint Thomas. There, according to custom, prayers were made and the other things that were customary in the holy places were done; we read also some things concerning saint Thomas himself. The church there is very great, very beautiful and of new construction, well worthy to be the house of God, and as there was much that I desired to see, it was necessary for me to make a three days' stay there. According to Theodoret of Cyrrhus, the bones of Saint Thomas were transferred by Cyrus I, Bishop of Edessa, from the martyrium outside of Edessa to a church in the south-west corner of the city on 22 August 394. In 441, the Magister militum per Orientem Anatolius donated a silver coffin to hold the relics. In AD 522, Cosmas Indicopleustes (called the Alexandrian) visited the Malabar Coast. He is the first traveller who mentions Syrian Christians in Malabar, in his book Christian Topography. He mentions that in the town of "Kalliana" (Quilon or Kollam) there was a bishop who had been consecrated in Persia. In 1144, the city was conquered by the Zengids and the shrine destroyed. Chios and Ortona The reputed relics of Saint Thomas remained at Edessa until they were translated to Chios in 1258. Some portion of the relics were later transported to the West, and now rest in the Cathedral of St. Thomas the Apostle in Ortona, Italy. However, the skull of Thomas is said to be at Monastery of Saint John the Theologian on the Greek island of Patmos. Ortona's three galleys reached the island of Chios in 1258, led by General Leone Acciaiuoli. Chios was considered the island where Thomas, after his death in India, had been buried. A portion fought around the Peloponnese and the Aegean islands, the other in the sea lapping at the then Syrian coast. The three galleys of Ortona moved on the second front of the war and reached the island of Chios. The tale is provided by Giambattista De Lectis, physician and writer of the 16th century of Ortona. After the looting, the navarca Ortona Leone went to pray in the main church of the island of Chios and was drawn to a chapel adorned and resplendent with lights. An elderly priest, through an interpreter informed him that in that oratory was venerated the Body of Saint Thomas the Apostle. Leone, filled with an unusual sweetness, gathered in deep prayer. At that moment a light hand twice invited him to come closer. The navarca Leone reached out and took a bone from the largest hole of the tombstone, on which were carved the Greek letters and a halo depicted a bishop from the waist up. He was the confirmation of what he had said the old priest and that you are indeed in the presence of the Apostle's body. He went back on the galley and planned the theft for the next night, along with fellow Ruggiero Grogno. They lifted the heavy gravestone and watched the underlying relics. The wrapped in snow-white cloths them laid in a wooden box (stored at Ortona to the looting of 1566) and brought them aboard the galley. Leone, then, along with other comrades, he returned again in the church, took the tombstone and took her away. Just the Chinardo admiral was aware of the precious cargo moved all the sailors of the Muslim faith on other ships and ordered him to take the route to Ortona. He landed at the port of Ortona 6 September 1258. According to the story of De Lectis, he was informed the abbot Jacopo responsible for Ortona Church, which predispose full provision for hospitality felt and shared by all the people. Since then the body of the apostle and the gravestone are preserved in the crypt of the Basilica. In 1259 a parchment written in Bari by the court under John Peacock contracts, the presence of five witnesses, preserved in Ortona at the Diocesan Library, confirming the veracity of that event, reported, as mentioned, by Giambattista De Lectis, physician and writer Ortona of the 16th century. The relics resisted both the Saracen looting of 1566, and the destruction of the Nazis in the battle of Ortona fought in late December 1943. The basilica was blown up because the belfry was considered a lookout point by the allies, coming by sea from San Vito Chietino. The relics, together with the treasure of Saint Thomas, were intended by the Germans to be sold, but the monks entombed them inside the bell tower, the only surviving part of the semi-ruined church. The tombstone of Thomas, brought to Ortona from Chios along with the relics of the Apostle, is currently preserved in the crypt of St Thomas Basilica, behind the altar. The urn containing the bones instead is placed under the altar. It is the cover of a fake coffin, fairly widespread burial form in the early Christian world, as the top of a tomb of less expensive material. The plaque has an inscription and a bas-relief that refer, in many respects, to the Syro-Mesopotamian. Tombstone Thomas the Apostle on inclusion can be read, in Greek characters uncial, the expression 'osios thomas, that Saint Thomas. It can be dated from the point of view palaeographic and lexical to the 3rd–5th century, a time when the term osios is still used as a synonym of aghios in that holy is he that is in the grace of God and is inserted in the church: the two vocabulary, therefore, indicate the Christians. In the particular case of Saint Thomas' plaque, then, the word osios can easily be the translation of the word Syriac mar (Lord), attributed in the ancient world, but also to the present day, is a saint to be a bishop. Iraq The finger bones of Saint Thomas were discovered during restoration work at the Church of Saint Thomas in Mosul, Iraq in 1964, and were housed there until the Fall of Mosul, after which the relics were transferred to the Monastery of Saint Matthew on 17 June 2014. Succession As per the tradition of Saint Thomas Christians St.Thomas the Apostle established his throne in India and ordained Mar Keppa who was a chera prince as his successor. Historical references A number of early Christian writings written during the centuries immediately following the first Ecumenical Council of 325 mention Thomas' mission. The Transitus Mariae describes each of the apostles purportedly being temporarily transported to heaven during the Assumption of Mary. Acts of Thomas The main source is the apocryphal Acts of Thomas, sometimes called by its full name The Acts of Judas Thomas, written circa 180–230 AD/CE, These are generally regarded by various Christian religions as apocryphal, or even heretical. The two centuries that lapsed between the life of the apostle and the recording of this work cast doubt on their authenticity. The king, Misdeus (or Mizdeos), was infuriated when Thomas converted the queen Tertia, the king's son Juzanes, sister-in-law princess Mygdonia and her friend Markia. Misdeus led Thomas outside the city and ordered four soldiers to take him to the nearby hill, where the soldiers speared Thomas and killed him. After Thomas' death, Syphorus was elected the first presbyter of Mazdai by the surviving converts, while Juzanes was the first deacon. (The names Misdeus, Tertia, Juzanes, Syphorus, Markia and Mygdonia (c.f. Mygdonia, a province of Mesopotamia) may suggest Greek descent or cultural influences. Greek traders had long visited Muziris. Greek kingdoms in northern India and Bactria, founded by Alexander the Great, were vassals of the Indo-Parthians. Doctrine of the Apostles The Doctrine of the Apostles as reflected in attests that Thomas had written Christian doctrine from India. Origen Christian philosopher Origen taught with great acclaim in Alexandria and then in Caesarea. He is the first known writer to record the casting of lots by the Apostles. Origen's original work has been lost, but his statement about Parthia falling to Thomas has been preserved by Eusebius. "Origen, in the third chapter of his Commentary on Genesis, says that, according to tradition, Thomas's allotted field of labour was Parthia". Eusebius Quoting Origen, Eusebius of Caesarea says: "When the holy Apostles and disciples of our Saviour were scattered over all the world, Thomas, so the tradition has it, obtained as his portion Parthia…" "Judas, who is also called Thomas" has a role in the legend of king Abgar of Edessa (Urfa), for having sent Thaddaeus to preach in Edessa after the Ascension Ephrem the Syrian also recounts this legend.) Ephrem the Syrian Many devotional hymns composed by Ephrem the Syrian bear witness to the Edessan Church's strong conviction concerning Thomas's Indian Apostolate. There the devil speaks of Thomas as "the Apostle I slew in India". Also, "The merchant brought the bones" to Edessa. Gregory of Nazianzus Gregory of Nazianzus was born AD 330, consecrated a bishop by his friend Basil of Caesarea; in 372, his father, the Bishop of Nazianzus, induced him to share his charge. In 379, the people of Constantinople called him to be their bishop. By the Eastern Orthodox Church, he is emphatically called "the Theologian". "What? were not the Apostles strangers amidst the many nations and countries over which they spread themselves? … Peter indeed may have belonged to Judea, but what had Paul in common with the gentiles, Luke with Achaia, Andrew with Epirus, John with Ephesus, Thomas with India, Mark with Italy?" Ambrose of Milan Ambrose of Milan was thoroughly acquainted with the Greek and Latin Classics and had a good deal of information on India and Indians. He speaks of the Gymnosophists of India, the Indian Ocean, the river Ganges etc., a number of times. "This admitted of the Apostles being sent without delay according to the saying of our Lord Jesus… Even those Kingdoms which were shut out by rugged mountains became accessible to them, as India to Thomas, Persia to Matthew..." Gregory of
south-west corner of the city on 22 August 394. In 441, the Magister militum per Orientem Anatolius donated a silver coffin to hold the relics. In AD 522, Cosmas Indicopleustes (called the Alexandrian) visited the Malabar Coast. He is the first traveller who mentions Syrian Christians in Malabar, in his book Christian Topography. He mentions that in the town of "Kalliana" (Quilon or Kollam) there was a bishop who had been consecrated in Persia. In 1144, the city was conquered by the Zengids and the shrine destroyed. Chios and Ortona The reputed relics of Saint Thomas remained at Edessa until they were translated to Chios in 1258. Some portion of the relics were later transported to the West, and now rest in the Cathedral of St. Thomas the Apostle in Ortona, Italy. However, the skull of Thomas is said to be at Monastery of Saint John the Theologian on the Greek island of Patmos. Ortona's three galleys reached the island of Chios in 1258, led by General Leone Acciaiuoli. Chios was considered the island where Thomas, after his death in India, had been buried. A portion fought around the Peloponnese and the Aegean islands, the other in the sea lapping at the then Syrian coast. The three galleys of Ortona moved on the second front of the war and reached the island of Chios. The tale is provided by Giambattista De Lectis, physician and writer of the 16th century of Ortona. After the looting, the navarca Ortona Leone went to pray in the main church of the island of Chios and was drawn to a chapel adorned and resplendent with lights. An elderly priest, through an interpreter informed him that in that oratory was venerated the Body of Saint Thomas the Apostle. Leone, filled with an unusual sweetness, gathered in deep prayer. At that moment a light hand twice invited him to come closer. The navarca Leone reached out and took a bone from the largest hole of the tombstone, on which were carved the Greek letters and a halo depicted a bishop from the waist up. He was the confirmation of what he had said the old priest and that you are indeed in the presence of the Apostle's body. He went back on the galley and planned the theft for the next night, along with fellow Ruggiero Grogno. They lifted the heavy gravestone and watched the underlying relics. The wrapped in snow-white cloths them laid in a wooden box (stored at Ortona to the looting of 1566) and brought them aboard the galley. Leone, then, along with other comrades, he returned again in the church, took the tombstone and took her away. Just the Chinardo admiral was aware of the precious cargo moved all the sailors of the Muslim faith on other ships and ordered him to take the route to Ortona. He landed at the port of Ortona 6 September 1258. According to the story of De Lectis, he was informed the abbot Jacopo responsible for Ortona Church, which predispose full provision for hospitality felt and shared by all the people. Since then the body of the apostle and the gravestone are preserved in the crypt of the Basilica. In 1259 a parchment written in Bari by the court under John Peacock contracts, the presence of five witnesses, preserved in Ortona at the Diocesan Library, confirming the veracity of that event, reported, as mentioned, by Giambattista De Lectis, physician and writer Ortona of the 16th century. The relics resisted both the Saracen looting of 1566, and the destruction of the Nazis in the battle of Ortona fought in late December 1943. The basilica was blown up because the belfry was considered a lookout point by the allies, coming by sea from San Vito Chietino. The relics, together with the treasure of Saint Thomas, were intended by the Germans to be sold, but the monks entombed them inside the bell tower, the only surviving part of the semi-ruined church. The tombstone of Thomas, brought to Ortona from Chios along with the relics of the Apostle, is currently preserved in the crypt of St Thomas Basilica, behind the altar. The urn containing the bones instead is placed under the altar. It is the cover of a fake coffin, fairly widespread burial form in the early Christian world, as the top of a tomb of less expensive material. The plaque has an inscription and a bas-relief that refer, in many respects, to the Syro-Mesopotamian. Tombstone Thomas the Apostle on inclusion can be read, in Greek characters uncial, the expression 'osios thomas, that Saint Thomas. It can be dated from the point of view palaeographic and lexical to the 3rd–5th century, a time when the term osios is still used as a synonym of aghios in that holy is he that is in the grace of God and is inserted in the church: the two vocabulary, therefore, indicate the Christians. In the particular case of Saint Thomas' plaque, then, the word osios can easily be the translation of the word Syriac mar (Lord), attributed in the ancient world, but also to the present day, is a saint to be a bishop. Iraq The finger bones of Saint Thomas were discovered during restoration work at the Church of Saint Thomas in Mosul, Iraq in 1964, and were housed there until the Fall of Mosul, after which the relics were transferred to the Monastery of Saint Matthew on 17 June 2014. Succession As per the tradition of Saint Thomas Christians St.Thomas the Apostle established his throne in India and ordained Mar Keppa who was a chera prince as his successor. Historical references A number of early Christian writings written during the centuries immediately following the first Ecumenical Council of 325 mention Thomas' mission. The Transitus Mariae describes each of the apostles purportedly being temporarily transported to heaven during the Assumption of Mary. Acts of Thomas The main source is the apocryphal Acts of Thomas, sometimes called by its full name The Acts of Judas Thomas, written circa 180–230 AD/CE, These are generally regarded by various Christian religions as apocryphal, or even heretical. The two centuries that lapsed between the life of the apostle and the recording of this work cast doubt on their authenticity. The king, Misdeus (or Mizdeos), was infuriated when Thomas converted the queen Tertia, the king's son Juzanes, sister-in-law princess Mygdonia and her friend Markia. Misdeus led Thomas outside the city and ordered four soldiers to take him to the nearby hill, where the soldiers speared Thomas and killed him. After Thomas' death, Syphorus was elected the first presbyter of Mazdai by the surviving converts, while Juzanes was the first deacon. (The names Misdeus, Tertia, Juzanes, Syphorus, Markia and Mygdonia (c.f. Mygdonia, a province of Mesopotamia) may suggest Greek descent or cultural influences. Greek traders had long visited Muziris. Greek kingdoms in northern India and Bactria, founded by Alexander the Great, were vassals of the Indo-Parthians. Doctrine of the Apostles The Doctrine of the Apostles as reflected in attests that Thomas had written Christian doctrine from India. Origen Christian philosopher Origen taught with great acclaim in Alexandria and then in Caesarea. He is the first known writer to record the casting of lots by the Apostles. Origen's original work has been lost, but his statement about Parthia falling to Thomas has been preserved by Eusebius. "Origen, in the third chapter of his Commentary on Genesis, says that, according to tradition, Thomas's allotted field of labour was Parthia". Eusebius Quoting Origen, Eusebius of Caesarea says: "When the holy Apostles and disciples of our Saviour were scattered over all the world, Thomas, so the tradition has it, obtained as his portion Parthia…" "Judas, who is also called Thomas" has a role in the legend of king Abgar of Edessa (Urfa), for having sent Thaddaeus to preach in Edessa after the Ascension Ephrem the Syrian also recounts this legend.) Ephrem the Syrian Many devotional hymns composed by Ephrem the Syrian bear witness to the Edessan Church's strong conviction concerning Thomas's Indian Apostolate. There the devil speaks of Thomas as "the Apostle I slew in India". Also, "The merchant brought the bones" to Edessa. Gregory of Nazianzus Gregory of Nazianzus was born AD 330, consecrated a bishop by his friend Basil of Caesarea; in 372, his father, the Bishop of Nazianzus, induced him to share his charge. In 379, the people of Constantinople called him to be their bishop. By the Eastern Orthodox Church, he is emphatically called "the Theologian". "What? were not the Apostles strangers amidst the many nations and countries over which they spread themselves? … Peter indeed may have belonged to Judea, but what had Paul in common with the gentiles, Luke with Achaia, Andrew with Epirus, John with Ephesus, Thomas with India, Mark with Italy?" Ambrose of Milan Ambrose of Milan was thoroughly acquainted with the Greek and Latin Classics and had a good deal of information on India and Indians. He speaks of the Gymnosophists of India, the Indian Ocean, the river Ganges etc., a number of times. "This admitted of the Apostles being sent without delay according to the saying of our Lord Jesus… Even those Kingdoms which were shut out by rugged mountains became accessible to them, as India to Thomas, Persia to Matthew..." Gregory of Tours The testimony of Gregory of Tours (died 594): "Thomas the Apostle, according to the narrative of his martyrdom is stated to have suffered in India. His holy remains (corpus), after a long interval of time, were removed to the city of Edessa in Syria and there interred. In that part of India where they first rested, stand a monastery and a church of striking dimensions, elaborately adorned and designed. This Theodore, who had been to the place, narrated to us." Writings In the first two centuries of the Christian era, a number of writings were circulated. It is unclear now why Thomas was seen as an authority for doctrine, although this belief is documented in Gnostic groups as early as the Pistis Sophia. In that Gnostic work, Mary Magdalene (one of the disciples) says: An early, non-Gnostic tradition may lie behind this statement, which also emphasizes the primacy of the Gospel of Matthew in its Aramaic form, over the other canonical three. Besides the Acts of Thomas there was a widely circulated Infancy Gospel of Thomas probably written in the later 2nd century, and probably also in Syria, which relates the miraculous events and prodigies of Jesus' boyhood. This is the document which tells for the first time the familiar legend of the twelve sparrows which Jesus, at the age of five, fashioned from clay on the Sabbath day, which took wing and flew away. The earliest manuscript of this work is a 6th-century one in Syriac. This gospel was first referred to by Irenaeus; Ron Cameron notes: "In his citation, Irenaeus first quotes a non-canonical story that circulated about the childhood of Jesus and then goes directly on to quote a passage from the infancy narrative of the Gospel of Luke. Since the Infancy Gospel of Thomas records both of these stories, in relative close proximity to one another, it is possible that the apocryphal writing cited by Irenaeus is, in fact, what is now known as the Infancy Gospel of Thomas. Because of the complexities of the manuscript tradition, however, there is no certainty as to when the
"[My father] was the kind of person where, if something goes wrong, they kick you. It was a great lesson in my life—how he'd lull you in, make you feel safe and then, bang! For me, it was like, 'There's something wrong with this guy. Don't trust him. Be careful around him.'" Cruise spent part of his childhood in Canada. When his father took a job as a defense consultant with the Canadian Armed Forces, his family moved in late 1971 to Beacon Hill, Ottawa. He attended the new Robert Hopkins Public School for his fourth and fifth grade education. He first became involved in drama in fourth grade, under the tutelage of drama teacher George Steinburg. He and six other boys put on an improvised play to music called IT at the Carleton Elementary School drama festival. Drama organizer Val Wright, who was in the audience, later said that "the movement and improvisation were excellent ... it was a classic ensemble piece". In sixth grade, Cruise went to Henry Munro Middle School in Ottawa. That year, his mother left his father, taking Cruise and his sisters back to the United States. In 1978, she married Jack South. Cruise's father died of cancer in 1984. Cruise briefly took a Catholic Church scholarship and attended the St. Francis Seminary in Cincinnati, Ohio; he aspired to become a Franciscan priest before being expelled from the seminary for drinking and becoming interested in acting. In total, he attended 15 schools in 14 years. In his senior year of high school, he played football for the varsity team as a linebacker, but was cut from the squad after getting caught drinking beer before a game. He went on to star in the school's production of Guys and Dolls. In 1980, he graduated from Glen Ridge High School in Glen Ridge, New Jersey. Career Acting At age 18, with the blessing of his mother and stepfather, Cruise moved to New York City to pursue an acting career. After working as a busboy in New York, he went to Los Angeles to try out for television roles. He signed with CAA and began acting in films. He first appeared in a bit part in the 1981 film Endless Love, followed by a major supporting role as a crazed military academy student in Taps later that year. In 1983, Cruise was part of the ensemble cast of The Outsiders. That same year he appeared in All the Right Moves and Risky Business, which has been described as "A Generation X classic, and a career maker for Tom Cruise". He also played the male lead in the Ridley Scott film Legend, released in 1985. By 1986's Top Gun, his status as a superstar had been cemented. Cruise followed up Top Gun with The Color of Money, which came out the same year, and which paired him with Paul Newman. 1988 saw him star in Cocktail, which earned him a nomination for the Razzie Award for Worst Actor. Later that year he starred with Dustin Hoffman in Rain Man, which won the Academy Award for Best Film and Cruise the Kansas City Film Critics Circle Award for Best Supporting Actor. Cruise portrayed real-life paralyzed Vietnam War veteran Ron Kovic in 1989's Born on the Fourth of July, which earned him a Golden Globe Award for Best Actor - Motion Picture Drama, the Chicago Film Critics Association Award for Best Actor, the People's Choice Award for Favorite Motion Picture Actor, a nomination for BAFTA Award for Best Actor in a Leading Role, and Cruise's first Best Actor Academy Award nomination. Cruise's next films were Days of Thunder (1990) and Far and Away (1992), both of which co-starred then-wife Nicole Kidman as his love interest, followed by the legal thriller The Firm, which was a critical and commercial success. In 1994, Cruise starred along with Brad Pitt, Antonio Banderas and Christian Slater in Neil Jordan's Interview with the Vampire, a gothic drama/horror film that was based on Anne Rice's best-selling novel. The film was well-received, although Rice was initially quite outspoken in her criticism of Cruise having been cast in the film, as Julian Sands was her first choice. Upon seeing the film, however, she paid $7,740 for a two-page ad in Daily Variety praising his performance and apologizing for her previous doubts about him. In 1996, Cruise appeared as superspy Ethan Hunt in the reboot of Mission: Impossible, which he produced. It was a box office success, although it received criticism regarding the Jim Phelps character being a villain despite being a protagonist of the original television series. In 1996, he took on the title role in Jerry Maguire, for which he earned a Golden Globe and his second nomination for an Academy Award. In 1999, Cruise costarred with Kidman in the erotic Stanley Kubrick film Eyes Wide Shut, and took a rare supporting role, as a motivational speaker, Frank T.J. Mackey, in Magnolia, for which he received another Golden Globe and nomination for an Academy Award. In 2000, Cruise returned as Ethan Hunt in the second installment of the Mission Impossible films, Mission: Impossible 2. The film was helmed by Hong Kong director John Woo and branded with his gun fu style, and continued the series' blockbuster success at the box office, taking in almost $547M in worldwide figures. Like its predecessor, it was the highest-grossing film of the year, and had a mixed critical reception. Cruise received an MTV Movie Award for Best Male Performance for this film. His next five films were major critical and commercial successes. The following year Cruise starred in the romantic thriller Vanilla Sky (2001) with Cameron Diaz and Penélope Cruz. In 2002, Cruise starred in the dystopian science fiction action film Minority Report which was directed by Steven Spielberg and based on the science fiction short story by Philip K. Dick. In 2003, he starred in Edward Zwick's period action drama The Last Samurai, for which he received a Golden Globe nomination for best actor. In 2004, Cruise received critical acclaim for his performance as Vincent in Collateral, directed by Michael Mann. In 2005, Cruise worked again with Steven Spielberg in War of the Worlds, a loose adaptation of the H. G. Wells novel of the same name, which became the fourth highest-grossing film of the year with US$591.4 million worldwide. Also in 2005, he won the People's Choice Award for Favorite Male Movie Star and the MTV Generation Award. Cruise was nominated for seven Saturn Awards between 2002 and 2009, winning once. Nine of the ten films he starred in during the decade made over $100 million at the box office. In 2006, he returned to his role as Ethan Hunt in the third installment of the Mission Impossible film series, Mission: Impossible III. The film was more positively received by critics than the previous films in the series, and grossed nearly $400 million at the box office. In 2007, Cruise took a rare supporting role for the second time in Lions for Lambs, which was a commercial disappointment. This was followed by an unrecognizable appearance as "Les Grossman" in the 2008 comedy Tropic Thunder with Ben Stiller, Jack Black, and Robert Downey Jr. This performance earned Cruise a Golden Globe nomination. Cruise played the central role in the historical thriller Valkyrie released on December 25, 2008, to box office success. In March 2010, Cruise completed filming the action-comedy Knight and Day, in which he re-teamed with former costar Cameron Diaz; the film was released on June 23, 2010. On February 9, 2010, Cruise confirmed that he would star in Mission: Impossible – Ghost Protocol, the fourth installment in the Mission: Impossible series. The film was released in December 2011 to high critical acclaim and box office success. Unadjusted for ticket price inflation, it was Cruise's biggest commercial success to that date. On May 6, 2011, Cruise was awarded a humanitarian award from the Simon Wiesenthal Center and its Museum of Tolerance for his work as a dedicated philanthropist. In mid-2011, Cruise started shooting the movie Rock of Ages, in which he played the character Stacee Jaxx. The film was released in June 2012. Cruise starred as Jack Reacher in the film adaptation of British author Lee Child's 2005 novel One Shot. The film was released on December 21, 2012. It met with positive reviews from critics and was a box office success grossing $217 million worldwide. In 2013, he starred in the science fiction film Oblivion based on director Joseph Kosinski's graphic novel of the same name. The film met with mixed reviews and grossed $286 million worldwide. It also starred Morgan Freeman and Olga Kurylenko. In 2014, Cruise starred in the science fiction-action film Edge of Tomorrow, which received positive reviews and grossed over $370 million. In 2015, Cruise returned as Ethan Hunt in the fifth installment of the Mission: Impossible series, Mission: Impossible – Rogue Nation, which he also produced. Returning cast members included Simon Pegg as Benji and Jeremy Renner as William Brandt, with Christopher McQuarrie as director. The film earned high critical acclaim and was a commercial success. Cruise starred in the 2017 reboot of Boris Karloff's 1932 horror movie The Mummy. The new film, also titled The Mummy received negative reviews and flopped at the box office. In 2018, Cruise again reprised Ethan Hunt, in the sixth film in his franchise, Mission: Impossible – Fallout. The film was more positively received by critics than the previous films in the series, and grossed over $791 million at the box office. Unadjusted for ticket price inflation, it is Cruise's biggest commercial success to date. In May 2020, it was reported that Cruise would be starring and
box office, taking in almost $547M in worldwide figures. Like its predecessor, it was the highest-grossing film of the year, and had a mixed critical reception. Cruise received an MTV Movie Award for Best Male Performance for this film. His next five films were major critical and commercial successes. The following year Cruise starred in the romantic thriller Vanilla Sky (2001) with Cameron Diaz and Penélope Cruz. In 2002, Cruise starred in the dystopian science fiction action film Minority Report which was directed by Steven Spielberg and based on the science fiction short story by Philip K. Dick. In 2003, he starred in Edward Zwick's period action drama The Last Samurai, for which he received a Golden Globe nomination for best actor. In 2004, Cruise received critical acclaim for his performance as Vincent in Collateral, directed by Michael Mann. In 2005, Cruise worked again with Steven Spielberg in War of the Worlds, a loose adaptation of the H. G. Wells novel of the same name, which became the fourth highest-grossing film of the year with US$591.4 million worldwide. Also in 2005, he won the People's Choice Award for Favorite Male Movie Star and the MTV Generation Award. Cruise was nominated for seven Saturn Awards between 2002 and 2009, winning once. Nine of the ten films he starred in during the decade made over $100 million at the box office. In 2006, he returned to his role as Ethan Hunt in the third installment of the Mission Impossible film series, Mission: Impossible III. The film was more positively received by critics than the previous films in the series, and grossed nearly $400 million at the box office. In 2007, Cruise took a rare supporting role for the second time in Lions for Lambs, which was a commercial disappointment. This was followed by an unrecognizable appearance as "Les Grossman" in the 2008 comedy Tropic Thunder with Ben Stiller, Jack Black, and Robert Downey Jr. This performance earned Cruise a Golden Globe nomination. Cruise played the central role in the historical thriller Valkyrie released on December 25, 2008, to box office success. In March 2010, Cruise completed filming the action-comedy Knight and Day, in which he re-teamed with former costar Cameron Diaz; the film was released on June 23, 2010. On February 9, 2010, Cruise confirmed that he would star in Mission: Impossible – Ghost Protocol, the fourth installment in the Mission: Impossible series. The film was released in December 2011 to high critical acclaim and box office success. Unadjusted for ticket price inflation, it was Cruise's biggest commercial success to that date. On May 6, 2011, Cruise was awarded a humanitarian award from the Simon Wiesenthal Center and its Museum of Tolerance for his work as a dedicated philanthropist. In mid-2011, Cruise started shooting the movie Rock of Ages, in which he played the character Stacee Jaxx. The film was released in June 2012. Cruise starred as Jack Reacher in the film adaptation of British author Lee Child's 2005 novel One Shot. The film was released on December 21, 2012. It met with positive reviews from critics and was a box office success grossing $217 million worldwide. In 2013, he starred in the science fiction film Oblivion based on director Joseph Kosinski's graphic novel of the same name. The film met with mixed reviews and grossed $286 million worldwide. It also starred Morgan Freeman and Olga Kurylenko. In 2014, Cruise starred in the science fiction-action film Edge of Tomorrow, which received positive reviews and grossed over $370 million. In 2015, Cruise returned as Ethan Hunt in the fifth installment of the Mission: Impossible series, Mission: Impossible – Rogue Nation, which he also produced. Returning cast members included Simon Pegg as Benji and Jeremy Renner as William Brandt, with Christopher McQuarrie as director. The film earned high critical acclaim and was a commercial success. Cruise starred in the 2017 reboot of Boris Karloff's 1932 horror movie The Mummy. The new film, also titled The Mummy received negative reviews and flopped at the box office. In 2018, Cruise again reprised Ethan Hunt, in the sixth film in his franchise, Mission: Impossible – Fallout. The film was more positively received by critics than the previous films in the series, and grossed over $791 million at the box office. Unadjusted for ticket price inflation, it is Cruise's biggest commercial success to date. In May 2020, it was reported that Cruise would be starring and producing a movie shot in outer space. Doug Liman would be directing, writing, and co-producing. Both will fly to the International Space Station as part of a future Axiom Space mission in a SpaceX Dragon 2 spacecraft. In May 2021, Cruise protested against the Hollywood Foreign Press Association (HFPA) by returning all three of his Golden Globe Awards in light of controversy surrounding the HFPA, particularly its lack of diversity, specifically no black members, and ethical questions related to financial benefits to some of its members. Producing Cruise partnered with his former talent agent Paula Wagner to form Cruise/Wagner Productions in 1993, and the company has since co-produced several of Cruise's films, the first being Mission: Impossible in 1996 which was also Cruise's first project as a producer. Cruise is noted as having negotiated some of the most lucrative film deals in Hollywood, and was described in 2005 by Hollywood economist Edward Jay Epstein as "one of the most powerful – and richest – forces in Hollywood." Epstein argues that Cruise is one of the few producers (the others being George Lucas, Steven Spielberg and Jerry Bruckheimer) who are regarded as able to guarantee the success of a billion-dollar film franchise. Epstein also contends that the public obsession with Cruise's tabloid controversies obscures full appreciation of Cruise's exceptional commercial prowess. Cruise/Wagner Productions, Cruise's film production company, is said to be developing a screenplay based on Erik Larson's New York Times bestseller The Devil in the White City about a real-life serial killer, H. H. Holmes, at Chicago's World's Columbian Exposition. Kathryn Bigelow is attached to the project to produce and helm. Meanwhile, Leonardo DiCaprio's production company, Appian Way, is also developing a film about Holmes and the World's Fair, in which DiCaprio will star. Cruise has produced several films in which he appeared. He produced Mission: Impossible, Without Limits, Mission: Impossible 2, The Others, Vanilla Sky and many others. Break with Paramount On August 22, 2006, Paramount Pictures announced it was ending its 14-year relationship with Cruise. In the Wall Street Journal, chairman of Viacom (Paramount's parent company) Sumner Redstone cited the economic damage to Cruise's value as an actor and producer from his controversial public behavior and views. Cruise/Wagner Productions responded that Paramount's announcement was a face-saving move after the production company had successfully sought alternative financing from private equity firms. Industry analysts such as Edward Jay Epstein commented that the real reason for the split was most likely Paramount's discontent over Cruise/Wagner's exceptionally large share of DVD sales from the Mission: Impossible franchise. Management of United Artists In November 2006, Cruise and Paula Wagner announced that they had taken over the film studio United Artists. Cruise acts as a producer and star in films for United Artists, while Wagner serves as UA's chief executive. Production began in 2007 of Valkyrie, a thriller based on the July 20, 1944, assassination attempt against Adolf Hitler. The film was acquired in March 2007 by United Artists. On March 21, 2007, Cruise signed to play Claus von Stauffenberg, the protagonist. This project marked the second production to be greenlighted since Cruise and Wagner took control of United Artists. The first was its inaugural film, Lions for Lambs, directed by Robert Redford and starring Redford, Meryl Streep and Cruise. Lambs was released on November 9, 2007, opening to unimpressive box office revenue and critical reception. In August 2008, Wagner stepped down from her position at United Artists; she retains her stake in UA, which combined with Cruise's share amounts to 30 percent of the studio. Personal life Relationships and wealth Cruise splits his time between homes in Beverly Hills, California; Clearwater, Florida; Dulwich, London; and East Grinstead, West Sussex. He had several relationships with women in the early-to-mid-1980s, including Rebecca De Mornay, Patti Scialfa, and Cher. Cruise married
material. Vieuphoria was released on DVD in 2002, as was the soundtrack album Earphoria, previously released solely to radio stations in 1994. Billy Corgan and Jimmy Chamberlin reunited in 2001 as members of Corgan's next project, the short-lived supergroup Zwan. The group's only album, Mary Star of the Sea, was released in 2003. After cancelling a few festival appearances, Corgan announced the demise of the band in 2003. During 2001 Corgan also toured as part of New Order and provided vocals on their comeback album Get Ready. In October 2004 Corgan released his first book, Blinking with Fists, a collection of poetry. In June 2005, he released a solo album, TheFutureEmbrace, which he described as "(picking) up the thread of the as-yet-unfinished work of the Smashing Pumpkins". Despite this, it was greeted with generally mixed reviews and lackluster sales. Only one single, "Walking Shade", was released in support of the album. In addition to drumming with Zwan, Jimmy Chamberlin also formed an alternative rock/jazz fusion project band called Jimmy Chamberlin Complex. The group released an album in 2005 titled Life Begins Again. Corgan provided guest vocals on the track "Lokicat". James Iha served as a guitarist in A Perfect Circle, appearing on their Thirteenth Step club tour and 2004 album, eMOTIVe. He has also been involved with other acts such as Chino Moreno's Team Sleep and Vanessa and the O's. He continues to work with Scratchie Records, his own record label, as well. D'arcy Wretzky has, aside from one radio interview in 2009, not made any public statements or appearances nor given any interviews since leaving the band in 1999. On January 25, 2000, she was arrested after she allegedly purchased three bags of cocaine, but after successfully completing a court-ordered drug education program, the charges were dropped. Corgan insisted during this period that the band would not reform, although when Zwan broke up he announced, "I think my heart was in Smashing Pumpkins […] I think it was naive of me to think that I could find something that would mean as much to me." Corgan said in 2005, "I never wanted to leave the Smashing Pumpkins. That was never the plan." On February 17, 2004, Corgan posted a message on his personal blog calling Wretzky a "mean-spirited drug addict" and blaming Iha for the breakup of the Smashing Pumpkins. On June 3, 2004, he added that "the depth of my hurt [from Iha] is only matched with the depth of my gratitude". Iha responded to Corgan's claims in 2005, saying, "No, I didn't break up the band. The only person who could have done that is Billy." Reformation and Zeitgeist: 2005–2008 On June 21, 2005, the day of the release of his first solo album TheFutureEmbrace, Corgan took out full-page advertisements in the Chicago Tribune and Chicago Sun-Times to announce that he planned to reunite the band. "For a year now", Corgan wrote, "I have walked around with a secret, a secret I chose to keep. But now I want you to be among the first to know that I have made plans to renew and revive the Smashing Pumpkins. I want my band back, and my songs, and my dreams". Corgan and Chamberlin were verified as participants in the reunion, but there was question as to whether other former members of the band would participate. In April 2007 Iha and Auf der Maur separately confirmed that they were not taking part in the reunion. Chamberlin would later state that Iha and Wretzky "didn't want to be a part of" the reunion. The Smashing Pumpkins performed live for the first time since 2000 on May 22, 2007, in Paris, France. There, the band unveiled new touring members: guitarist Jeff Schroeder, bassist Ginger Reyes, and keyboardist Lisa Harriton. That same month, "Tarantula" was released as the first single from the band's forthcoming album. On July 7, the band performed at the Live Earth concert in New Jersey. The band's new album, Zeitgeist, was released that same month on Reprise Records, entering the Billboard charts at number two and selling 145,000 copies in its first week. Zeitgeist received mixed reviews, with much of the criticism targeted at the absence of half of the original lineup. The album divided the Pumpkins' fanbase. Corgan would later admit, "I know a lot of our fans are puzzled by Zeitgeist. I think they wanted this massive, grandiose work, but you don't just roll out of bed after seven years without a functioning band and go back to doing that". Corgan and Chamberlin continued to record as a duo, releasing the four-song EP American Gothic in January 2008 and the singles "Superchrist" and "G.L.O.W." later that year. That November, the group released the DVD If All Goes Wrong, which chronicled the group's 2007 concert residences in Asheville, North Carolina and San Francisco, California. In late 2008, the band commenced on a controversy-riddled 20th Anniversary Tour. Around this time, Corgan said the group will make no more full-length records in order to focus exclusively on singles, explaining, "The listening patterns have changed, so why are we killing ourselves to do albums, to create balance, and do the arty track to set up the single? It's done." Teargarden and Oceania: 2009–2013 In March 2009 Corgan announced on the band's website that Chamberlin had left the group and would be replaced. Chamberlin subsequently stated that his departure from the band is "a positive move forward for me. I can no longer commit all of my energy into something that I don't fully possess." Chamberlin stressed that the split was amicable, commenting, "I am glad [Corgan] has chosen to continue under the name. It is his right." Chamberlin soon formed the band Skysaw, which has released an album and toured in support of Minus the Bear. In July 2009 Billy Corgan formed a new group called Spirits in the Sky, initially as a tribute band to Sky Saxon of the Seeds, who had recently died. The following month Corgan confirmed on the band's website that 19-year-old Spirits in the Sky drummer Mike Byrne had replaced Chamberlin and that the pair was working on new Pumpkins recordings. The group announced plans to release a 44-track concept album, Teargarden by Kaleidyscope, for free over the Internet one track at a time. The first track, "A Song for a Son", was released in December 2009 to moderate press acclaim. In March 2010 Ginger Reyes officially left the band, prompting an open call for auditions for a new bassist. In May, Nicole Fiorentino announced she had joined the band as bass player, and would be working on Teargarden by Kaleidyscope. The new lineup went on a world tour through to the end of 2010. One of the first shows with the new lineup was a concert to benefit Matthew Leone, bassist for the rock band Madina Lake, at the Metro on July 27, 2010. In late 2010 all four members contributed to the sessions for the third volume of Teargarden. On April 26, 2011, Corgan announced that the Smashing Pumpkins would be releasing a new album titled Oceania, which he labeled as "an album within an album" in regards to the Teargarden by Kaleidyscope project, in the fall. As with the previous recording sessions, all four band members contributed to the project. Also, the entire album catalog was to be remastered and reissued with bonus tracks, starting with Gish and Siamese Dream in November 2011. The pre-Gish demos, Pisces Iscariot, and Mellon Collie and the Infinite Sadness were released in 2012, with The Aeroplane Flies High released the following year. Adore was released in 2014, and Machina/The Machines of God and the yet commercially unreleased Machina II/Friends and Enemies of Modern Music are expected to be combined, remixed, and released in the same year. The band did a thirteen-city US tour in October 2011 followed by a European tour in November and December. Oceania was released on June 19, 2012, and received generally positive reviews. The album debuted at No. 4 on the Billboard 200 and at No. 1 on the Billboard Independent. The album spawned two singles, "The Celestials" and "Panopticon". The band proceeded to tour in support of the album, including a US tour involving playing the album in its entirety. By September 2012, Corgan stated that the band had already begun work on their next album. However, despite this, the band concentrated on touring, playing at Glastonbury Festival, Dour Festival and the Barclays Center, where they recorded Oceania: Live in NYC, which was released on September 24, 2013. Monuments to an Elegy: 2014–2016 On March 25, 2014, Corgan announced he had signed a new record deal with BMG, for two new albums, titled Monuments to an Elegy and Day for Night, respectively. In June, it was revealed that Mike Byrne was no longer in the band, to be replaced by Tommy Lee of Mötley Crüe on the new album, and Fiorentino would not be recording on the album either. Monuments to an Elegy was released on December 5, 2014, to generally positive reviews. The band toured in support of the album starting on November 26, with Rage Against the Machine's Brad Wilk filling in on drums and the Killers' Mark Stoermer filling in on bass. The follow-up proposed album Day For Night was cited for delayed late 2015 or early 2016 release. Later in 2015 Corgan announced that the band would embark on a co-headlining tour of North America with Marilyn Manson, "The End Times Tour", across July and August 2015. Prior to the co-headlining dates, the band performed a series of acoustic shows with drum machines and tapes for percussion. When the time came for the co-headlining tour, plans for a drummer fell through and Corgan recruited Chamberlin to reunite for the shows. On February 1, 2016, it was announced that the band would continue their In Plainsong acoustic tour with Jimmy Chamberlin on drums and were planning to head "straight to the studio after the dates to record a brand new album inspired by the sounds explored in the new acoustic setting". On February 25, 2016, Corgan posted a video from a Los Angeles studio on the band's Facebook account, giving an update on the writing process for the new songs for the upcoming album to be released after the In Plainsong tour. The tour began in Portland, Oregon, on March 22, 2016. Iha and Chamberlin's return; Shiny and Oh So Bright and Cyr: 2018–present On his birthday on March 26, 2016, original guitarist James Iha joined Billy Corgan, Jimmy Chamberlin, and Jeff Schroeder on stage unannounced at the Ace Hotel in downtown Los Angeles. He performed a few songs, including "Mayonaise", "Soma" and "Whir" marking his first appearance with the Smashing Pumpkins in 16 years. Iha also played at the second of the two Smashing Pumpkins shows at the Ace Hotel the following day, which was Easter Sunday. Iha joined the Pumpkins for a third time at their concert of April 14 at the Civic Opera House in Chicago. In July, Corgan began hinting of the possibility of reuniting the band original lineup, of himself, Iha, Wretzky, and Chamberlin, and in August, he stated he had begun reaching out to the original lineup about the feasibility of a reunion, including speaking to Wretzky for the first time in sixteen years. Despite the comments, Corgan would spend much of 2017 working on solo material – recording and releasing the solo album Ogilala and beginning work on another solo album for 2018. In June 2017 Chamberlin also mentioned the possibility of a reunion tour in 2018. In January 2018 Corgan shared a photo of himself, Iha, and Chamberlin together in recording studio. In February 2018 Corgan announced that he was working with music producer Rick Rubin on a future Smashing Pumpkins album, that there were currently 26 songs he was actively working on, and that "the guitar feels once again like the preferred weapon of choice." Soon afterwards, Corgan shared a photo of sound equipment with Iha's name on a label, as well as announcing recording was finished on the album. On February 15, 2018, the band officially announced that founding members Iha and Chamberlin were back in the band. They embarked on the Shiny And Oh So Bright Tour starting in July, with a focus on performing material from their first five studio albums. and sold over 350,000 tickets and sold out arenas including The Forum, United Center, and Madison Square Garden. Original bassist D'arcy Wretzky claimed she had been offered a contract to rejoin the band but Corgan rescinded the offer soon after. Corgan released a statement denying the claims, stating "Ms. Wretzky has repeatedly been invited out to play with the group, participate in demo sessions, or at the
their second album, 1993's Siamese Dream. The group built its audience with extensive touring and their 1995 follow-up, the double album Mellon Collie and the Infinite Sadness, debuted at number one on the Billboard 200 album chart. With 30 million albums sold worldwide, the Smashing Pumpkins were one of the most commercially successful and critically acclaimed bands of the 1990s. However, internal fighting, drug use, and diminishing record sales led to a 2000 break-up. In 2006, Corgan and Chamberlin reconvened to record a new Smashing Pumpkins album, Zeitgeist. After touring throughout 2007 and 2008 with a lineup including new guitarist Jeff Schroeder, Chamberlin left the band in early 2009. Later that year, Corgan began a new recording series with a rotating lineup of musicians entitled Teargarden by Kaleidyscope, which encompassed the release of stand-alone singles, compilation EP releases, and two full albums that also fell under the project's scope—Oceania in 2012 and Monuments to an Elegy in 2014. Chamberlin and Iha officially rejoined the band in February 2018. The reunited lineup released the album Shiny and Oh So Bright, Vol. 1 / LP: No Past. No Future. No Sun. in November 2018 and Cyr in November 2020. History Early years: 1988–1991 After the breakup of his gothic rock band The Marked, singer and guitarist Billy Corgan left St. Petersburg, Florida, to return to his native city of Chicago, where he took a job in a record store and formed the idea of a new band to be called the Smashing Pumpkins. While working there, he met guitarist James Iha. Adorning themselves with paisley and other psychedelic trappings, the two began writing songs together (with the aid of a drum machine) that were heavily influenced by the Cure and New Order. The duo performed live for the first time on July 9, 1988 at the Polish bar Chicago 21. This performance included only Corgan on bass and Iha on guitar with a drum machine. Shortly thereafter, Corgan met D'arcy Wretzky after a show by the Dan Reed Network where they argued the merits of the band. After finding out Wretzky played bass guitar, Corgan recruited her into the lineup, and the trio played a show at the Avalon Nightclub. After this show, Cabaret Metro owner Joe Shanahan agreed to book the band on the condition that they replace the drum machine with a live drummer. Jazz drummer Jimmy Chamberlin was recommended by a friend of Corgan's. Chamberlin knew little of alternative music and immediately changed the sound of the nascent band. As Corgan recalled of the period, "We were completely into the sad-rock, Cure kind of thing. It took about two or three practices before I realized that the power in his playing was something that enabled us to rock harder than we could ever have imagined." On October 5, 1988, the complete band took the stage for the first time at the Cabaret Metro. In 1989, the Smashing Pumpkins made their first appearance on record with the compilation album Light Into Dark, which featured several Chicago alternative bands. The group released its first single, "I Am One", in 1990 on local Chicago label Limited Potential. The single sold out and they released a follow-up, "Tristessa", on Sub Pop, after which they signed to Caroline Records. The band recorded their 1991 debut studio album Gish with producer Butch Vig at his Smart Studios in Madison, Wisconsin for $20,000. In order to gain the consistency he desired, Corgan often played all instruments excluding drums, which created tension in the band. The music fused heavy metal guitars, psychedelia, and dream pop, garnering them comparisons to Jane's Addiction. Gish became a minor success, with the single "Rhinoceros" receiving some airplay on modern rock radio. After releasing the Lull EP in October 1991 on Caroline Records, the band formally signed with Virgin Records, which was affiliated with Caroline. The band supported the album with a tour that included opening for bands such as the Red Hot Chili Peppers, Jane's Addiction, and Guns N' Roses. During the tour, Iha and Wretzky went through a messy breakup, Chamberlin became addicted to narcotics and alcohol, and Corgan entered a deep depression, writing some songs for the upcoming album in the parking garage where he lived at the time. Mainstream breakout and Siamese Dream: 1992–1994 With the breakthrough of alternative rock into the American mainstream due to the popularity of grunge bands such as Nirvana and Pearl Jam, the Smashing Pumpkins were poised for major commercial success. At this time, the Smashing Pumpkins were routinely lumped in with the grunge movement, with Corgan protesting, "We've graduated now from 'the next Jane's Addiction' to 'the next Nirvana', now we're 'the next Pearl Jam'." Amid this environment of intense internal pressure for the band to break through to widespread popularity, the band relocated to Marietta, Georgia in late 1992 to begin work on their second album, with Butch Vig returning as producer. The decision to record so far away from their hometown was motivated partly by the band's desire to avoid friends and distractions during the recording, but largely as a desperate attempt to cut Chamberlin off from his known drug connections. The recording environment for Siamese Dream was quickly marred by discord within the band. As was the case with Gish, Corgan and Vig decided that Corgan should play nearly all of the guitar and bass parts on the album, contributing to an air of resentment. The contemporary music press began to portray Corgan as a tyrant. Corgan's depression, meanwhile, had deepened to the point where he contemplated suicide, and he compensated by practically living in the studio. Meanwhile, Chamberlin quickly managed to find new connections and was often absent without any contact for days at a time. In all, it took over four months to complete the record, with the budget exceeding $250,000. Despite all the problems in its recording, Siamese Dream debuted at number ten on the Billboard 200 chart, and sold over four million copies in the U.S. alone. Alongside the band's mounting mainstream recognition, the band's reputation as careerists among their former peers in the independent music community was worsened. Indie rock band Pavement's 1994 song "Range Life" directly mocks the band in its lyrics, although Stephen Malkmus, lead singer of Pavement, has stated, "I never dissed their music. I just dissed their status." Former Hüsker Dü frontman Bob Mould called them "the grunge Monkees", and fellow Chicago musician/producer Steve Albini wrote a scathing letter in response to an article praising the band, derisively comparing them to REO Speedwagon ("by, of and for the mainstream") and concluding their ultimate insignificance. The opening track and lead single of Siamese Dream, "Cherub Rock", directly addresses Corgan's feud with the "indie-world". In 1994 Virgin released the B-sides/rarities compilation Pisces Iscariot which charted higher than Siamese Dream by reaching number four on the Billboard 200. Also released was a VHS cassette titled Vieuphoria featuring a mix of live performances and behind-the-scenes footage. Following relentless touring to support the recordings, including headline slots on the 1994 Lollapalooza tour and at Reading Festival in 1995, the band took time off to write the follow-up album. Mellon Collie and the Infinite Sadness: 1995–1997 During 1995, Corgan wrote about 56 songs, following which the band went into the studio with producers Flood and Alan Moulder to work on what Corgan described as "The Wall for Generation X", and which became Mellon Collie and the Infinite Sadness, a double album of twenty-eight songs, lasting over two hours (the vinyl version of the album contained three records, two extra songs, and an alternate track listing). The songs were intended to hang together conceptually as a symbol of the cycle of life and death. Praised by Time as "the group's most ambitious and accomplished work yet", Mellon Collie debuted at number one on the Billboard 200 in October 1995. Even more successful than Siamese Dream, it was certified ten times platinum in the United States and became the best-selling double album of the decade. It also garnered seven 1997 Grammy Award nominations, including Album of the Year. The band won only the Best Hard Rock Performance award, for the album's lead single "Bullet with Butterfly Wings". The album spawned five singles—"Bullet with Butterfly Wings", "1979", "Zero", "Tonight, Tonight" which Corgan stated was inspired by the Cheap Trick song "I'll Be with You Tonight", and "Thirty-Three"—of which the first three were certified gold and all but "Zero" entered the Top 40. Many of the songs that did not make it onto Mellon Collie were released as B-sides to the singles, and were later compiled in The Aeroplane Flies High box set. The set was originally limited to 200,000 copies, but more were produced to meet demand. In 1996 the Pumpkins undertook an extended world tour in support of Mellon Collie. Corgan's look during this period—a shaved head, a long sleeve black shirt with the word "Zero" printed on it, and silver pants—became iconic. That year, the band also made a guest appearance in an episode of The Simpsons, "Homerpalooza". With considerable video rotation on MTV, major industry awards, and "Zero" shirts selling in many malls, the Pumpkins were considered one of the most popular bands of the time. In May, the Smashing Pumpkins played a gig at the Point Theatre in Dublin, Ireland. Despite the band's repeated requests for moshing to stop, a seventeen-year-old fan named Bernadette O'Brien was crushed to death. The concert ended early and the following night's performance in Belfast was cancelled out of respect for her. However, while Corgan maintained that moshing's "time [had] come and gone", the band would continue to request open-floor concerts throughout the rest of the tour. The band suffered a personal tragedy on the night of July 11, 1996, when touring keyboardist Jonathan Melvoin and Chamberlin overdosed on heroin in a hotel room in New York City. Melvoin died, and Chamberlin was arrested for drug possession. A few days later, the band announced that Chamberlin had been fired as a result of the incident. The Pumpkins chose to finish the tour, and hired drummer Matt Walker and keyboardist Dennis Flemion. Corgan later said the decision to continue touring was the worst decision the band had ever made, damaging both their music and their reputation. Chamberlin admitted in a 1994 Rolling Stone cover story that in the past he'd "gotten high in every city in this country and probably half the cities in Europe." But in recent years, he had reportedly been clean. On July 17, the Pumpkins issued a statement in which they said, "For nine years we have battled with Jimmy's struggles with the insidious disease of drug and alcohol addiction. It has nearly destroyed everything we are and stand for. … We wish [him] the best we have to offer". Meanwhile, the band had given interviews since the release of Mellon Collie stating that it would be the last conventional Pumpkins record, and that rock was becoming stale. James Iha said at the end of 1996, "The future is in electronic music. It really seems boring just to play rock music." Adore, Machina, and breakup: 1998–2000 After the release of Mellon Collie, the Pumpkins contributed many songs to various compilations. Released in early 1997, the song "Eye", which appeared on the soundtrack to David Lynch's Lost Highway, relied almost exclusively on electronic instruments and signaled a drastic shift from the Pumpkins' previous musical styles. At the time, Corgan stated his "idea [was] to reconfigure the focus and get away from the classic guitars-bass-drum rock format." Later that year, the group contributed "The End Is the Beginning Is the End" to the soundtrack for the film Batman & Robin. With Matt Walker on drums, the song featured a heavy sound similar to "Bullet with Butterfly Wings" while still having strong electronic influences. The song later won the 1998 Grammy for Best Hard Rock Performance. Though Corgan announced that the song represented the sound people could expect from the band in the future, the band's next album would feature few guitar-driven songs. Recorded following the death of Corgan's mother and his divorce, 1998's Adore represented a significant change of style from the Pumpkins' previous guitar-based rock, veering into electronica. The record, cut with assistance from drum machines and studio drummers including Matt Walker, was infused with a darker aesthetic than much of the band's earlier work. The group also modified its public image, shedding its alternative rock look for a more subdued appearance. Although Adore received favorable reviews and was nominated for Best Alternative Performance at the Grammy Awards, the album had only sold about 830,000 copies in the United States by the end of the year. The album nonetheless debuted at number 2 on the Billboard 200 and sold three times
Economy Club, where John Cazenove tended to be his ally against Ricardo and Mill. He was elected in the beginning of 1824 as one of the ten royal associates of the Royal Society of Literature. He was also one of the first fellows of the Statistical Society, founded in March 1834. In 1827 he gave evidence to a committee of the House of Commons on emigration. In 1827, he published Definitions in Political Economy The first chapter put forth "Rules for the Definition and Application of Terms in Political Economy". In chapter 10, the penultimate chapter, he presented 60 numbered paragraphs putting forth terms and their definitions that he proposed should be used in discussing political economy following those rules. This collection of terms and definitions is remarkable for two reasons: first, Malthus was the first economist to explicitly organize, define, and publish his terms as a coherent glossary of defined terms; and second, his definitions were for the most part well-formed definitional statements. Between these chapters, he criticized several contemporary economists—Jean-Baptiste Say, David Ricardo, James Mill, John Ramsay McCulloch, and Samuel Bailey—for sloppiness in choosing, attaching meaning to, and using their technical terms. McCulloch was the editor of The Scotsman of Edinburgh and replied cuttingly in a review printed on the front page of his newspaper in March 1827. He implied that Malthus wanted to dictate terms and theories to other economists. McCulloch clearly felt his ox gored, and his review of Definitions is largely a bitter defence of his own Principles of Political Economy, and his counter-attack "does little credit to his reputation", being largely "personal derogation" of Malthus. The purpose of Malthus's Definitions was terminological clarity, and Malthus discussed appropriate terms, their definitions, and their use by himself and his contemporaries. This motivation of Malthus's work was disregarded by McCulloch, who responded that there was nothing to be gained "by carping at definitions, and quibbling about the meaning to be attached to" words. Given that statement, it is not surprising that McCulloch's review failed to address the rules of chapter 1 and did not discuss the definitions of chapter 10; he also barely mentioned Malthus's critiques of other writers. In spite of this and in the wake of McCulloch's scathing review, the reputation of Malthus as economist dropped away for the rest of his life. On the other hand, Malthus did have supporters, including Thomas Chalmers, some of the Oriel Noetics, Richard Jones and William Whewell from Cambridge. Malthus died suddenly of heart disease on 23 December 1834 at his father-in-law's house. He was buried in Bath Abbey. His portrait, and descriptions by contemporaries, present him as tall and good-looking, but with a cleft lip and palate. The cleft palate affected his speech: such birth defects had occurred before amongst his relatives. Family On 13 March 1804, Malthus married Harriet, daughter of John Eckersall of Claverton House, near Bath. They had a son and two daughters. His first born Henry became vicar of Effingham, Surrey in 1835 and of Donnington, Sussex in 1837; he married Sofia Otter (1807–1889), daughter of Bishop William Otter and died in August 1882, aged 76. His middle child Emily died in 1885, outliving her parents and siblings. The youngest Lucille died unmarried and childless in 1825, months before her 18th birthday. An Essay on the Principle of Population Malthus argued in his Essay (1798) that population growth generally expanded in times and in regions of plenty until the size of the population relative to the primary resources caused distress: Malthus argued that two types of checks hold population within resource limits: positive checks, which raise the death rate; and preventive ones, which lower the birth rate. The positive checks include hunger, disease and war; the preventive checks: birth control, postponement of marriage and celibacy. The rapid increase in the global population of the past century exemplifies Malthus's predicted population patterns; it also appears to describe socio-demographic dynamics of complex pre-industrial societies. These findings are the basis for neo-Malthusian modern mathematical models of long-term historical dynamics. Malthus wrote that in a period of resource abundance, a population could double in 25 years. However, the margin of abundance could not be sustained as population grew, leading to checks on population growth: In later editions of his essay, Malthus clarified his view that if society relied on human misery to limit population growth, then sources of misery (e.g., hunger, disease, and war) would inevitably afflict society, as would volatile economic cycles. On the other hand, "preventive checks" to population that limited birthrates, such as later marriages, could ensure a higher standard of living for all, while also increasing economic stability. Regarding possibilities for freeing man from these limits, Malthus argued against a variety of imaginable solutions, such as the notion that agricultural improvements could expand without limit. Of the relationship between population and economics, Malthus wrote that when the population of laborers grows faster than the production of food, real wages fall because the growing population causes the cost of living (i.e., the cost of food) to go up. Difficulties of raising a family eventually reduce the rate of population growth, until the falling population again leads to higher real wages. In the second and subsequent editions Malthus put more emphasis on moral restraint as the best means of easing the poverty of the lower classes." Editions and versions 1798: An Essay on the Principle of Population, as it affects the future improvement of society with remarks on the speculations of Mr. Godwin, M. Condorcet, and other writers.. Anonymously published. 1803: Second and much enlarged edition: An Essay on the Principle of Population; or, a view of its past and present effects on human happiness; with an enquiry into our prospects respecting the future removal or mitigation of the evils which it occasions. Authorship acknowledged. 1806, 1807, 1816 and 1826: editions 3–6, with relatively minor changes from the second edition. 1823: Malthus contributed the article on Population to the supplement of the Encyclopædia Britannica. 1830: Malthus had a long extract from the 1823 article reprinted as A summary view of the Principle of Population. Other works 1800: The present high price of provisions In this work, his first published pamphlet, Malthus argues against the notion prevailing in his locale that the greed of intermediaries caused the high price of provisions. Instead, Malthus says that the high price stems from the Poor Laws, which "increase the parish allowances in proportion to the price of corn." Thus, given a limited supply, the Poor Laws force up the price of daily necessities. However, he concludes by saying that in time of scarcity such Poor Laws, by raising the price of corn more evenly, actually produce a beneficial effect. 1814: Observations on the effects of the Corn Laws Although government in Britain had regulated the prices of grain, the Corn Laws originated in 1815. At the end of the Napoleonic Wars that year, Parliament passed legislation banning the importation of foreign corn into Britain until domestic corn cost 80 shillings per quarter. The high price caused the cost of food to increase and caused distress among the working classes in the towns. It led to serious rioting in London and to the Peterloo Massacre in Manchester in 1819. In this pamphlet, printed during the parliamentary discussion, Malthus tentatively supported the free-traders. He argued that given the increasing cost of growing British corn, advantages accrued from supplementing it from cheaper foreign sources. 1820: Principles of political economy In 1820 Malthus published Principles of Political Economy. (A second edition was posthumously published in 1836.) Malthus intended this work to rival Ricardo's Principles (1817). It, and his 1827 Definitions in political economy, defended Sismondi's views on "general glut" rather than Say's Law, which in effect states "there can be no general glut". Other publications 1807. A letter to Samuel Whitbread, Esq. M.P. on his proposed Bill for the Amendment of the Poor Laws. Johnson and Hatchard, London. 1808. Spence on Commerce. Edinburgh Review 11, January, 429–448. 1808. Newneham and others on the state of Ireland. Edinburgh Review 12, July, 336–355. 1809. Newneham on the state of Ireland, Edinburgh Review 14 April, 151–170. 1811. Depreciation of paper currency. Edinburgh Review 17, February, 340–372. 1812. Pamphlets on the bullion question. Edinburgh Review 18, August, 448–470. 1813. A letter to the Rt. Hon. Lord Grenville. Johnson, London. 1817. Statement respecting the East-India College. Murray, London. 1821. Godwin on Malthus. Edinburgh Review 35, July, 362–377. 1823. The Measure of Value, stated and illustrated 1823. Tooke – On high and low prices. Quarterly Review, 29 (57), April, 214–239. 1824. Political economy. Quarterly Review 30 (60), January, 297–334. 1829. On the measure of the conditions necessary to the supply of commodities. Transactions of the Royal Society of Literature of the United Kingdom. 1, 171–180. John Murray, London. 1829. On the meaning which is most usually and most correctly attached to the term Value of a Commodity. Transactions of the Royal Society of Literature of the United Kingdom. 2, 74–81. John Murray. Reception and influence Malthus developed the theory of demand-supply mismatches that he called gluts. Discounted at the time, this theory foreshadowed later work by an admirer, John Maynard Keynes. The vast bulk of continuing commentary on Malthus, however, extends and expands on the "Malthusian controversy" of the early 19th century. In Ireland where (writing to Ricardo in 1817) Malthus proposed that "to give full effect to the natural resources of the country a great part of the population should be swept from the soil", a comparatively early contribution was Observations on the population and resources of Ireland (1821) by the polymath and physician Whitely Stokes. Finding fault in Malthus's calculations and juxtapositions--"the possible increase of man in America" measured against "the probable increase in [food] production in Great Britain"—and insisting upon the advantages mankind derives from "improved industry, improved conveyance, improvements in morals, government and religion", Stokes argued that Ireland's difficulty lay not in her "numbers", but in indifferent government. In popular culture Ebenezer Scrooge from A Christmas Carol by Charles Dickens represents the perceived ideas of Malthus, famously illustrated by his explanation as to why he refuses to donate to the poor and destitute: "If they would rather die they had better do it, and decrease the surplus population". In general, Dickens had some Malthusian concerns (evident in Oliver Twist, Hard Times and other novels), and he concentrated his attacks on Utilitarianism and many of its proponents, like Jeremy Bentham, whom he thought of, along with Malthus, as unjust and inhumane. In Brave New World by Aldous Huxley, a dystopian novel set in a World State which controls reproduction, women wear the "Malthusian belt," containing "the regulation supply of contraceptives." In the musical Urinetown, written by Greg Kotis and Mark Hollmann, the characters live in a society in which a fee must be paid in order to urinate, for a drought has made water incredibly scarce. A revolution starts with a "pee for free" agenda. At the end of the show, the revolution wins but the characters end up dying because water was not being conserved, unlike when the 'pee fee' was in place. The penultimate line is "Hail Malthus!" In the film Avengers: Infinity War, the main villain called Thanos appears to be motivated by Malthusian views about population growth, and commits universal mass genocide known as The Blip. In Xenoblade Chronicles 2, one of the games antagonists, Amalthus, is inspired by Malthus. Epitaph The epitaph of Malthus in Bath Abbey reads [with commas inserted for clarity]: Sacred to the memory of the Rev THOMAS ROBERT MALTHUS, long known to the lettered world by his admirable writings on the social branches of political economy, particularly by his essay on population. One of the best men and truest philosophers of any age or country, raised by native dignity of mind above the misrepresentation of the ignorant and the
Difficulties of raising a family eventually reduce the rate of population growth, until the falling population again leads to higher real wages. In the second and subsequent editions Malthus put more emphasis on moral restraint as the best means of easing the poverty of the lower classes." Editions and versions 1798: An Essay on the Principle of Population, as it affects the future improvement of society with remarks on the speculations of Mr. Godwin, M. Condorcet, and other writers.. Anonymously published. 1803: Second and much enlarged edition: An Essay on the Principle of Population; or, a view of its past and present effects on human happiness; with an enquiry into our prospects respecting the future removal or mitigation of the evils which it occasions. Authorship acknowledged. 1806, 1807, 1816 and 1826: editions 3–6, with relatively minor changes from the second edition. 1823: Malthus contributed the article on Population to the supplement of the Encyclopædia Britannica. 1830: Malthus had a long extract from the 1823 article reprinted as A summary view of the Principle of Population. Other works 1800: The present high price of provisions In this work, his first published pamphlet, Malthus argues against the notion prevailing in his locale that the greed of intermediaries caused the high price of provisions. Instead, Malthus says that the high price stems from the Poor Laws, which "increase the parish allowances in proportion to the price of corn." Thus, given a limited supply, the Poor Laws force up the price of daily necessities. However, he concludes by saying that in time of scarcity such Poor Laws, by raising the price of corn more evenly, actually produce a beneficial effect. 1814: Observations on the effects of the Corn Laws Although government in Britain had regulated the prices of grain, the Corn Laws originated in 1815. At the end of the Napoleonic Wars that year, Parliament passed legislation banning the importation of foreign corn into Britain until domestic corn cost 80 shillings per quarter. The high price caused the cost of food to increase and caused distress among the working classes in the towns. It led to serious rioting in London and to the Peterloo Massacre in Manchester in 1819. In this pamphlet, printed during the parliamentary discussion, Malthus tentatively supported the free-traders. He argued that given the increasing cost of growing British corn, advantages accrued from supplementing it from cheaper foreign sources. 1820: Principles of political economy In 1820 Malthus published Principles of Political Economy. (A second edition was posthumously published in 1836.) Malthus intended this work to rival Ricardo's Principles (1817). It, and his 1827 Definitions in political economy, defended Sismondi's views on "general glut" rather than Say's Law, which in effect states "there can be no general glut". Other publications 1807. A letter to Samuel Whitbread, Esq. M.P. on his proposed Bill for the Amendment of the Poor Laws. Johnson and Hatchard, London. 1808. Spence on Commerce. Edinburgh Review 11, January, 429–448. 1808. Newneham and others on the state of Ireland. Edinburgh Review 12, July, 336–355. 1809. Newneham on the state of Ireland, Edinburgh Review 14 April, 151–170. 1811. Depreciation of paper currency. Edinburgh Review 17, February, 340–372. 1812. Pamphlets on the bullion question. Edinburgh Review 18, August, 448–470. 1813. A letter to the Rt. Hon. Lord Grenville. Johnson, London. 1817. Statement respecting the East-India College. Murray, London. 1821. Godwin on Malthus. Edinburgh Review 35, July, 362–377. 1823. The Measure of Value, stated and illustrated 1823. Tooke – On high and low prices. Quarterly Review, 29 (57), April, 214–239. 1824. Political economy. Quarterly Review 30 (60), January, 297–334. 1829. On the measure of the conditions necessary to the supply of commodities. Transactions of the Royal Society of Literature of the United Kingdom. 1, 171–180. John Murray, London. 1829. On the meaning which is most usually and most correctly attached to the term Value of a Commodity. Transactions of the Royal Society of Literature of the United Kingdom. 2, 74–81. John Murray. Reception and influence Malthus developed the theory of demand-supply mismatches that he called gluts. Discounted at the time, this theory foreshadowed later work by an admirer, John Maynard Keynes. The vast bulk of continuing commentary on Malthus, however, extends and expands on the "Malthusian controversy" of the early 19th century. In Ireland where (writing to Ricardo in 1817) Malthus proposed that "to give full effect to the natural resources of the country a great part of the population should be swept from the soil", a comparatively early contribution was Observations on the population and resources of Ireland (1821) by the polymath and physician Whitely Stokes. Finding fault in Malthus's calculations and juxtapositions--"the possible increase of man in America" measured against "the probable increase in [food] production in Great Britain"—and insisting upon the advantages mankind derives from "improved industry, improved conveyance, improvements in morals, government and religion", Stokes argued that Ireland's difficulty lay not in her "numbers", but in indifferent government. In popular culture Ebenezer Scrooge from A Christmas Carol by Charles Dickens represents the perceived ideas of Malthus, famously illustrated by his explanation as to why he refuses to donate to the poor and destitute: "If they would rather die they had better do it, and decrease the surplus population". In general, Dickens had some Malthusian concerns (evident in Oliver Twist, Hard Times and other novels), and he concentrated his attacks on Utilitarianism and many of its proponents, like Jeremy Bentham, whom he thought of, along with Malthus, as unjust and inhumane. In Brave New World by Aldous Huxley, a dystopian novel set in a World State which controls reproduction, women wear the "Malthusian belt," containing "the regulation supply of contraceptives." In the musical Urinetown, written by Greg Kotis and Mark Hollmann, the characters live in a society in which a fee must be paid in order to urinate, for a drought has made water incredibly scarce. A revolution starts with a "pee for free" agenda. At the end of the show, the revolution wins but the characters end up dying because water was not being conserved, unlike when the 'pee fee' was in place. The penultimate line is "Hail Malthus!" In the film Avengers: Infinity War, the main villain called Thanos appears to be motivated by Malthusian views about population growth, and commits universal mass genocide known as The Blip. In Xenoblade Chronicles 2, one of the games antagonists, Amalthus, is inspired by Malthus. Epitaph The epitaph of Malthus in Bath Abbey reads [with commas inserted for clarity]: Sacred to the memory of the Rev THOMAS ROBERT MALTHUS, long known to the lettered world by his admirable writings on the social branches of political economy, particularly by his essay on population. One of the best men and truest philosophers of any age or country, raised by native dignity of mind above the misrepresentation of the ignorant and the neglect of the great, he lived a serene and happy life devoted to the pursuit and communication of truth, supported by a calm but firm conviction of the usefulness of his labours, content with the approbation of the wise and good. His writings will be a lasting monument of the extent and correctness of his understanding. The spotless integrity of his principles, the equity and candour of his nature, his sweetness of temper, urbanity of manners and tenderness of heart, his benevolence and his piety are still dearer recollections of his family and friends. Born 14 February 1766 – Died 29 December 1834. See also Cornucopianism, a counter-Malthusian school of thought Exponential growth Food race, a related idea from Daniel Quinn The Limits to Growth, from the Club of Rome Hong Liangji, China's Malthus Human overpopulation Malthusian equilibrium Malthusian growth model Malthusian trap Malthusianism National Security Study Memorandum 200 Observations Concerning the Increase of Mankind, Peopling of Countries, etc. World population Notes References Dupâquier, J. 2001. Malthus, Thomas Robert (1766–1834).
represents . With a raised stem, formen, it represents . With a raised stem and a doubled bow, ampa, it represents generally but possibly (depending upon the language). With a short stem and double bow, , it represents . With short stem and single bow, vala, it represents , or if that has the phonological behaviour of a sonorant (as e.g. in Quenya). In some languages such as Quenya, which do not contain any voiced fricatives other than "v", the raised stem + doubled bow row is used for the very common nasal+stop sequences (nt, mp, nk, nqu). In such cases, the "w" sign in the previous paragraph is used for "v". In the mode of Beleriand, found on the door to Moria, the bottom tyellë is used for nasals (e.g., vala is used for ) and the fifth tyellë for doubled nasals ( for ). Irregularly formed letters There are additional letters that do not have regular shapes. They may represent, e.g., , , and . Their use varies considerably from mode to mode. Some aficionados have added more letters not found in Tolkien's writings for use in their modes. Tehtar A tehta (Quenya "marking") is a diacritic placed above or below the tengwa. They can represent vowels, consonant doubling, or nasal sound. As Tolkien explained in Appendix E of The Lord of the Rings, the tehtar for vowels resemble Latin diacritics: circumflex (î) , acute (í) , dot (i) , left curl (ı̔) , and right curl (ı̓) . Long vowels, excepting , may be indicated by doubling the signs. Some languages from which is absent or in which compared to it appears sparsely, such as the Black Speech, use left curl for ; other languages swap the signs for and . A vowel occurring alone is drawn on the vowel carrier, which resembles dotless i (ı) for a short vowel or dotless j (ȷ) for a long vowel. Modes Just as with any alphabetic writing system, every specific language written in tengwar requires a specific orthography, depending on the phonology of that language. These tengwar orthographies are usually called modes. Some modes follow pronunciation, while others follow traditional orthography. Some modes map the basic consonants to , , and (classical mode in chart at right), while others use them to represent , , and (general mode at right). The other main difference is in the fourth tyellë below, where those letters with raised stems and doubled bows can be either voiced fricatives, as in Sindarin (general mode at right), or nasalized stops, as in Quenya (classical mode). Ómatehtar In some modes, called ómatehtar (or vowel tehtar) modes, the vowels are represented with diacritics called tehtar (Quenya for 'signs'; corresponding singular: tehta, 'sign'). These ómatehtar modes can be loosely considered abjads rather than true alphabets. In some ómatehtar modes, the consonant signs feature an inherent vowel. These ómatehtar modes can be considered alphasyllabaries. Ómatehtar modes can vary in that the vowel stroke can be placed either on top of the consonant preceding it, as in Quenya, or on the consonant following, as in Sindarin, English, and the notorious Black Speech inscription on the One Ring. Full writing In the full writing modes, the consonants and the vowels are represented by Tengwar. Only one such mode is well known. It is called the "mode of Beleriand" and one can read it on the Doors of Durin. Modes for other languages Since the publication of the first official description of the Tengwar at the end of The Lord of the Rings, others have created modes for other languages such as English, Spanish, German, Swedish, French, Finnish, Italian, Hungarian and Welsh. Modes have also been devised for other constructed languages; Esperanto and Lojban. Tolkien had used multiple modes for English, including full writing and ómatehtar alphabetic modes, phonetic full modes and phonetic ómatehtar modes known from documents published after his death. Encoding schemes Legacy encoding The contemporary de facto standard in the tengwar user community maps the tengwar characters onto the ISO 8859-1 character encoding following the example of the tengwar typefaces by Dan Smith. This implies a major flaw: If no corresponding tengwar font is installed, a string of nonsense characters appears. Since there are not enough places in ISO 8859-1's 191 codepoints for all the signs used in tengwar orthography, certain signs are included in a "tengwar A" font which also maps its characters on ISO 8859-1, overlapping with the first font. For each tengwar diacritic, there are four different codepoints that are used depending on the width of the character which bears it. Other tengwar typefaces with this encoding include Johan Winge's Tengwar Annatar, Måns Björkman's Tengwar Parmaitë, Enrique Mombello's Tengwar Élfica or Michal Nowakowski's Tengwar Formal (note that most of these differ in details). The following sample shows the first article of the Universal Declaration of Human Rights written in English, according to the traditional English orthography. It should look similar to the picture at the top of the page, but if no tengwar font is installed, it will appear as a jumble of characters because the corresponding ISO 8859-1 characters will appear instead. j#¸ 9t&5# w`Vb%_ 6EO w6Y5 e7`V`V 2{( zèVj# 5% 2x%51T`Û 2{( 7v%1+- 4hR 7EO 2{$yYO2 y4% 7]F85^ 2{( z5^8I`B5$I( 2{( dyYj2 zE1 1yY6E2_ 5^( 5#4^(7 5% `C 8q7T1T W w74^(692^H -- Note: Some browsers may not display these characters properly. Unicode A proposal has been made by Michael Everson to include the tengwar in the Unicode standard. The codepoints are subject to change; the range to U+160FF in the SMP is tentatively allocated for tengwar according to the current Unicode roadmap. ConScript Unicode Registry Tengwar are currently included in the unofficial ConScript Unicode Registry (CSUR), which assigns codepoints in the Private Use Area. Tengwar are mapped to the range U+E000 to U+E07F; see External links. The following Unicode sample (which repeats the one above) is meaningful when viewed under a typeface supporting tengwar glyphs in the area defined in the ConScript tengwar proposal. ⸬ ⸬ Some typefaces that support this proposal are Everson Mono, Tengwar Telcontar, Constructium, Tengwar Formal Unicode, and FreeMonoTengwar (James Kass's Code2000 and Code2001 use an older, incompatible version of the proposal). The eight “Aux” variant fonts of Kurinto (Kurinto Text Aux, Book Aux, Sans Aux, etc.) also support Tengwar. In popular culture Tengwar has been used in Tolkien fandom since the publication of The Lord of the Rings in the 1950s. Tengwar script appears in a bound volume in the Within Temptation music video for "Stand My Ground" (2004), though it appears to be a random selection of letters, with a Tehta vowel appearing about every five words or so. Many tengwar are also repeated for no apparent reason. Another instance of this stylistic use of tengwar is
loosely considered abjads rather than true alphabets. In some ómatehtar modes, the consonant signs feature an inherent vowel. These ómatehtar modes can be considered alphasyllabaries. Ómatehtar modes can vary in that the vowel stroke can be placed either on top of the consonant preceding it, as in Quenya, or on the consonant following, as in Sindarin, English, and the notorious Black Speech inscription on the One Ring. Full writing In the full writing modes, the consonants and the vowels are represented by Tengwar. Only one such mode is well known. It is called the "mode of Beleriand" and one can read it on the Doors of Durin. Modes for other languages Since the publication of the first official description of the Tengwar at the end of The Lord of the Rings, others have created modes for other languages such as English, Spanish, German, Swedish, French, Finnish, Italian, Hungarian and Welsh. Modes have also been devised for other constructed languages; Esperanto and Lojban. Tolkien had used multiple modes for English, including full writing and ómatehtar alphabetic modes, phonetic full modes and phonetic ómatehtar modes known from documents published after his death. Encoding schemes Legacy encoding The contemporary de facto standard in the tengwar user community maps the tengwar characters onto the ISO 8859-1 character encoding following the example of the tengwar typefaces by Dan Smith. This implies a major flaw: If no corresponding tengwar font is installed, a string of nonsense characters appears. Since there are not enough places in ISO 8859-1's 191 codepoints for all the signs used in tengwar orthography, certain signs are included in a "tengwar A" font which also maps its characters on ISO 8859-1, overlapping with the first font. For each tengwar diacritic, there are four different codepoints that are used depending on the width of the character which bears it. Other tengwar typefaces with this encoding include Johan Winge's Tengwar Annatar, Måns Björkman's Tengwar Parmaitë, Enrique Mombello's Tengwar Élfica or Michal Nowakowski's Tengwar Formal (note that most of these differ in details). The following sample shows the first article of the Universal Declaration of Human Rights written in English, according to the traditional English orthography. It should look similar to the picture at the top of the page, but if no tengwar font is installed, it will appear as a jumble of characters because the corresponding ISO 8859-1 characters will appear instead. j#¸ 9t&5# w`Vb%_ 6EO w6Y5 e7`V`V 2{( zèVj# 5% 2x%51T`Û 2{( 7v%1+- 4hR 7EO 2{$yYO2 y4% 7]F85^ 2{( z5^8I`B5$I( 2{( dyYj2 zE1 1yY6E2_ 5^( 5#4^(7 5% `C 8q7T1T W w74^(692^H -- Note: Some browsers may not display these characters properly. Unicode A proposal has been made by Michael Everson to include the tengwar in the Unicode standard. The codepoints are subject to change; the range to U+160FF in the SMP is tentatively allocated for tengwar according to the current Unicode roadmap. ConScript Unicode Registry Tengwar are currently included in the unofficial ConScript Unicode Registry (CSUR), which assigns codepoints in the Private Use Area. Tengwar are mapped to the range U+E000 to U+E07F; see External links. The following Unicode sample (which repeats the one above) is meaningful when viewed under a typeface supporting tengwar glyphs in the area defined in the ConScript tengwar proposal. ⸬ ⸬ Some typefaces that support this proposal are Everson Mono, Tengwar Telcontar, Constructium, Tengwar Formal Unicode, and FreeMonoTengwar (James Kass's Code2000 and Code2001 use an older, incompatible version of the proposal). The eight “Aux” variant fonts of Kurinto (Kurinto Text Aux, Book Aux, Sans Aux, etc.) also support Tengwar. In popular culture Tengwar has been used in Tolkien fandom since the publication of The Lord of the Rings in the 1950s. Tengwar script appears in a bound volume in the Within Temptation music video for "Stand My Ground" (2004), though it appears to be a random selection of letters, with a Tehta vowel appearing about every five words or so. Many tengwar are also repeated for no apparent reason. Another instance of this stylistic use of tengwar is the computer game Atlantis: The Lost Tales (1997); again the tengwar are used meaninglessly. Tengwar is also used in Alone in the Dark, a comic book, as a typeface describing an arcane language. With the exception of John Rhys-Davies, the actors playing the Fellowship of the Ring in The Lord of the Rings film trilogy have tattoos of the English word nine written in Quenya-mode tengwar. Footballers such as Sergio Agüero and Fernando Torres have tattoos with their first name in Tengwar on their forearms. See also Sarati Cirth A Elbereth Gilthoniel Elvish languages (Middle-earth) Namárië Georgian scripts References Sources For a list of linguistic material by Tolkien published in the journals Parma Eldalamberon and Vinyar Tengwar, see Elvish
200, making it Amos's seventh album to do so. Abnormally Attracted to Sin, admitted Amos, is a "personal album", not a conceptual one, with the album exploring themes of power, boundaries, and the subjective view of sin. Continuing her distribution deal with Universal Republic, Amos released Midwinter Graces, her first seasonal album, in November of the same year. The album features reworked versions of traditional carols, as well as original songs written by Amos. During her contract with the label, Amos recorded vocals for two songs for David Byrne's collaboration album with Fatboy Slim, titled Here Lies Love, which was released in April 2010. In July of the same year, the DVD Tori Amos- Live from the Artists Den was released exclusively through Barnes & Noble. After a brief tour from June to September 2010, Amos released a live album From Russia With Love in December the same year, recorded in Moscow on September 3, 2010. The limited edition set included a signature edition Lomography Diana F+ camera, along with two lenses, a roll of film and one of five photographs taken of Amos during her time in Moscow. The set was released exclusively through her website and only 2000 copies were produced. 2011–2015: Night of Hunters, Gold Dust, and Unrepentant Geraldines In September 2011, Amos released her first classical-style music album, Night of Hunters, featuring variations on a theme to pay tribute to composers such as Bach, Chopin, Debussy, Granados, Satie and Schubert, on the Deutsche Grammophon label, a division of Universal Music Group. Amos recorded the album with several musicians, including the Apollon Musagète string quartet. To mark the 20th anniversary of her debut album, Little Earthquakes (1992), Amos released an album of songs from her back catalogue re-worked and re-recorded with the Metropole Orchestra. The album, titled Gold Dust, was released in October 2012 through Deutsche Grammophon. On May 1, 2012, Amos announced the formation of her own record label, Transmission Galactic, which she intends to use to develop new artists. In 2013, Amos collaborated with the Bullitts on the track "Wait Until Tomorrow" from their debut album, They Die by Dawn & Other Short Stories. She also stated in an interview that a new album and tour would materialize in 2014 and that it would be a "return to contemporary music". September 2013 saw the launch of Amos's musical project adaptation of George MacDonald's The Light Princess, along with book writer Samuel Adamson and Marianne Elliott. It premiered at London's Royal National Theatre and ended in February 2014. The Light Princess and its lead actress, Rosalie Craig, were nominated for Best Musical and Best Musical Performance respectively at the Evening Standard Award. Craig won the Best Musical Performance category. Amos's 14th studio album, Unrepentant Geraldines, was released on May 13, 2014, via Mercury Classics/Universal Music Classics in the US. Its first single, "Trouble's Lament", was released on March 28. The album was supported by the Unrepentant Geraldines Tour which began May 5, 2014, in Cork and continued across Europe, Africa, North America, and Australia, ending in Brisbane on November 21, 2014. In Sydney, Amos performed two orchestral concerts, reminiscent of the Gold Dust Orchestral Tour, with the Sydney Symphony Orchestra at the Sydney Opera House. According to a press release, Unrepentant Geraldines was a "return to her core identity as a creator of contemporary songs of exquisite beauty following a series of more classically-inspired and innovative musical projects of the last four years. [It is] both one further step in the artistic evolution of one of the most successful and influential artists of her generation, and a return to the inspiring and personal music that Amos is known for all around the world." The 2-CD set The Light Princess (Original Cast Recording) was released on October 9, 2015 via Universal/Mercury Classics. Apart from the original cast performances, the recording also includes two songs from the musical ("Highness in the Sky" and "Darkest Hour') performed by Amos. 2016–present: Native Invader, Christmastide and Ocean to Ocean On November 18, 2016, Amos released a deluxe version of the album Boys for Pele to commemorate the 20th anniversary of the original release. This follows the deluxe re-releases of her first two albums in 2015. On September 8, 2017, Amos released Native Invader, accompanied by a world tour. During the summer of 2017, Amos launched three songs from the album: "Cloud Riders", "Up the Creek" and "Reindeer King", the latter featuring string arrangements by John Philip Shenale. Produced by Amos, the album explores topics like American politics and environmental issues, mixed with mythological elements and first-person narrations. The initial inspiration for the album came from a trip that Amos took to the Great Smoky Mountains (Tennessee-North Carolina), home of her alleged Native American ancestors; however, two events deeply influenced the final record: in November 2016, Donald Trump was elected President of the United States of America; two months later, in January 2017, Amos's mother, Mary Ellen, suffered a stroke that left her unable to speak. Shocked by both events, Amos spent the first half of 2017 writing and recording the songs that would eventually form Native Invader. The album, released on September 8, 2017, has been presented in two formats: standard and deluxe. The standard version includes 13 songs, while the deluxe edition adds two extra songs to the tracklist: "Upside Down 2" and "Russia". Native Invader has been well received by most music critics upon release. The album obtained a score of 76 out of 100 on the review aggregator website Metacritic, based on 17 reviews, indicating "generally favorable reviews". On November 9, 2020, Amos announced the release of a holiday-themed EP entitled Christmastide on December 4, digitally and on limited-edition vinyl. The EP consists of four original songs and features her first work with bandmates Matt Chamberlain and Jon Evans since 2009. Amos recorded the EP remotely due to the impact of the COVID-19 pandemic. On September 20, 2021, Amos announced her sixteenth studio album, Ocean to Ocean, which was released on October 29. The album was written and recorded in Cornwall during lockdown as a result of the COVID-19 pandemic and explores "a universal story of going to rock bottom and renewing yourself all over again". Amos will embark on a European tour in support of the album in 2022. Matt Chamberlain and Jon Evans will again feature on drums and bass guitar respectively, their first collaboration with Amos on an album since 2009's Midwinter Graces. In print Released in conjunction with The Beekeeper, Amos co-authored an autobiography with rock music journalist Ann Powers titled Piece by Piece (2005). The book's subject is Amos's interest in mythology and religion, exploring her songwriting process, rise to fame, and her relationship with Atlantic Records. Image Comics released Comic Book Tattoo (2008), a collection of comic stories, each based on or inspired by songs recorded by Amos. Editor Rantz Hoseley worked with Amos to gather 80 different artists for the book, including Pia Guerra, David Mack, and Leah Moore. Additionally, Amos and her music have been the subject of numerous official and unofficial books, as well as academic critique, including Tori Amos: Lyrics (2001) and an earlier biography, Tori Amos: All These Years (1996). Tori Amos: In the Studio (2011) by Jake Brown features an in-depth look at Amos's career, discography and recording process. Amos released her second memoir called Resistance: A Songwriter’s Story of Hope, Change, and Courage on 5 May 2020. Personal life Amos married English sound engineer Mark Hawley on February 22, 1998. Their daughter was born in 2000. The family divides their time between Sewall's Point in Florida, US, and Bude, Cornwall in the UK. Amos' mother, Mary Ellen, died on May 11, 2019. Early in her professional career, Amos befriended author Neil Gaiman, who became a fan after she referred to him in the song "Tear in Your Hand" and also in print interviews. Although created before the two met, the character Delirium from Gaiman's The Sandman series is inspired by Amos; Gaiman has stated that they "steal shamelessly from each other". She wrote the foreword to his collection Death: The High Cost of Living; he in turn wrote the introduction to Comic Book Tattoo. Gaiman is godfather to her daughter and a poem written for her birth, Blueberry Girl, was published as a children's book of the same name in 2009. In 2019, Amos performed the British standard "A Nightingale Sang in Berkeley Square" over the closing credits of Gaiman's TV series Good Omens, based on the novel of the same name written by Gaiman and Terry Pratchett. Activism In June 1994, the Rape, Abuse & Incest National Network (RAINN), a toll-free help line in the US connecting callers with their local rape crisis center, was founded. Amos, who was raped at knifepoint when she was 22, answered the ceremonial first call to launch the hotline. She was the first national spokesperson for the organization and has continued to be closely associated with RAINN. On August 18, 2013, a concert in honor of her 50th birthday was held, an event which raised money for RAINN. On August 22, 2020, Amos appeared on a panel called Artistry & Activism at the diversity and inclusion digital global conference CARLA. Discography Studio albums Little Earthquakes (1992) Under the Pink (1994) Boys for Pele (1996) From the Choirgirl Hotel (1998) To Venus and Back (1999) Strange Little Girls (2001) Scarlet's Walk (2002) The Beekeeper (2005) American
evolution of one of the most successful and influential artists of her generation, and a return to the inspiring and personal music that Amos is known for all around the world." The 2-CD set The Light Princess (Original Cast Recording) was released on October 9, 2015 via Universal/Mercury Classics. Apart from the original cast performances, the recording also includes two songs from the musical ("Highness in the Sky" and "Darkest Hour') performed by Amos. 2016–present: Native Invader, Christmastide and Ocean to Ocean On November 18, 2016, Amos released a deluxe version of the album Boys for Pele to commemorate the 20th anniversary of the original release. This follows the deluxe re-releases of her first two albums in 2015. On September 8, 2017, Amos released Native Invader, accompanied by a world tour. During the summer of 2017, Amos launched three songs from the album: "Cloud Riders", "Up the Creek" and "Reindeer King", the latter featuring string arrangements by John Philip Shenale. Produced by Amos, the album explores topics like American politics and environmental issues, mixed with mythological elements and first-person narrations. The initial inspiration for the album came from a trip that Amos took to the Great Smoky Mountains (Tennessee-North Carolina), home of her alleged Native American ancestors; however, two events deeply influenced the final record: in November 2016, Donald Trump was elected President of the United States of America; two months later, in January 2017, Amos's mother, Mary Ellen, suffered a stroke that left her unable to speak. Shocked by both events, Amos spent the first half of 2017 writing and recording the songs that would eventually form Native Invader. The album, released on September 8, 2017, has been presented in two formats: standard and deluxe. The standard version includes 13 songs, while the deluxe edition adds two extra songs to the tracklist: "Upside Down 2" and "Russia". Native Invader has been well received by most music critics upon release. The album obtained a score of 76 out of 100 on the review aggregator website Metacritic, based on 17 reviews, indicating "generally favorable reviews". On November 9, 2020, Amos announced the release of a holiday-themed EP entitled Christmastide on December 4, digitally and on limited-edition vinyl. The EP consists of four original songs and features her first work with bandmates Matt Chamberlain and Jon Evans since 2009. Amos recorded the EP remotely due to the impact of the COVID-19 pandemic. On September 20, 2021, Amos announced her sixteenth studio album, Ocean to Ocean, which was released on October 29. The album was written and recorded in Cornwall during lockdown as a result of the COVID-19 pandemic and explores "a universal story of going to rock bottom and renewing yourself all over again". Amos will embark on a European tour in support of the album in 2022. Matt Chamberlain and Jon Evans will again feature on drums and bass guitar respectively, their first collaboration with Amos on an album since 2009's Midwinter Graces. In print Released in conjunction with The Beekeeper, Amos co-authored an autobiography with rock music journalist Ann Powers titled Piece by Piece (2005). The book's subject is Amos's interest in mythology and religion, exploring her songwriting process, rise to fame, and her relationship with Atlantic Records. Image Comics released Comic Book Tattoo (2008), a collection of comic stories, each based on or inspired by songs recorded by Amos. Editor Rantz Hoseley worked with Amos to gather 80 different artists for the book, including Pia Guerra, David Mack, and Leah Moore. Additionally, Amos and her music have been the subject of numerous official and unofficial books, as well as academic critique, including Tori Amos: Lyrics (2001) and an earlier biography, Tori Amos: All These Years (1996). Tori Amos: In the Studio (2011) by Jake Brown features an in-depth look at Amos's career, discography and recording process. Amos released her second memoir called Resistance: A Songwriter’s Story of Hope, Change, and Courage on 5 May 2020. Personal life Amos married English sound engineer Mark Hawley on February 22, 1998. Their daughter was born in 2000. The family divides their time between Sewall's Point in Florida, US, and Bude, Cornwall in the UK. Amos' mother, Mary Ellen, died on May 11, 2019. Early in her professional career, Amos befriended author Neil Gaiman, who became a fan after she referred to him in the song "Tear in Your Hand" and also in print interviews. Although created before the two met, the character Delirium from Gaiman's The Sandman series is inspired by Amos; Gaiman has stated that they "steal shamelessly from each other". She wrote the foreword to his collection Death: The High Cost of Living; he in turn wrote the introduction to Comic Book Tattoo. Gaiman is godfather to her daughter and a poem written for her birth, Blueberry Girl, was published as a children's book of the same name in 2009. In 2019, Amos performed the British standard "A Nightingale Sang in Berkeley Square" over the closing credits of Gaiman's TV series Good Omens, based on the novel of the same name written by Gaiman and Terry Pratchett. Activism In June 1994, the Rape, Abuse & Incest National Network (RAINN), a toll-free help line in the US connecting callers with their local rape crisis center, was founded. Amos, who was raped at knifepoint when she was 22, answered the ceremonial first call to launch the hotline. She was the first national spokesperson for the organization and has continued to be closely associated with RAINN. On August 18, 2013, a concert in honor of her 50th birthday was held, an event which raised money for RAINN. On August 22, 2020, Amos appeared on a panel called Artistry & Activism at the diversity and inclusion digital global conference CARLA. Discography Studio albums Little Earthquakes (1992) Under the Pink (1994) Boys for Pele (1996) From the Choirgirl Hotel (1998) To Venus and Back (1999) Strange Little Girls (2001) Scarlet's Walk (2002) The Beekeeper (2005) American Doll Posse (2007) Abnormally Attracted to Sin (2009) Midwinter Graces (2009) Night of Hunters (2011) Gold Dust (2012) Unrepentant Geraldines (2014) Native Invader (2017) Ocean to Ocean (2021) Tours Amos, who has been performing in bars and clubs from as early as 1976 and under her professional name as early as 1991 has performed more than 1,000 shows since her first world tour in 1992. In 2003, Amos was voted fifth best touring act by the readers of Rolling Stone magazine. Her concerts are notable for their changing set lists from night to night. Little Earthquakes Tour Amos's first world tour began on January 29, 1992 in London and ended on November 30, 1992 in Auckland. She performed solo with a Yamaha CP-70 unless the venue was able to provide a piano. The tour included 142 concerts around the globe. Under the Pink Tour Amos's second world tour began on February 24, 1994 in Newcastle upon Tyne and ended on December 13, 1994 in Perth, Western Australia. Amos performed solo each night on her iconic Bösendorfer piano, and on a prepared piano during "Bells for Her". The tour included 181 concerts. Dew Drop Inn Tour The third world tour began on February 23, 1996 in Ipswich, England, and ended on November 11, 1996 in Boulder. Amos performed each night on piano, harpsichord, and harmonium, with Steve Caton on guitar on some songs. The tour included 187 concerts. Plugged '98 Tour Amos's first band tour. Amos, on piano and Kurzweil keyboard, was joined by Steve Caton on guitar, Matt Chamberlain on drums, and Jon Evans on bass. The tour began on April 18, 1998 in Fort Lauderdale and ended on December 3, 1998 in East Lansing, Michigan, including 137 concerts. 5 ½ Weeks Tour / To Dallas and Back Amos's fifth tour was North America–only. The first part of the tour was co-headlining with Alanis Morissette and featured the same band and equipment line-up as in 1998. Amos and the band continued for eight shows before Amos embarked on a series of solo shows. The tour began on August 18, 1999 in Fort Lauderdale, Florida and ended on December 9, 1999 in Denver, including 46 concerts. Strange Little Tour This tour was Amos's first since becoming a mother in 2000 and her first tour fully solo since 1994 (Steve Caton was present on some songs in 1996). It saw Amos perform on piano, Rhodes piano, and Wurlitzer electric piano, and though the tour was in support of her covers album, the set lists were not strictly covers-oriented. Having brought her one-year-old daughter on the road with her, this tour was also one of Amos's shortest ventures, lasting just three months. It began on August 30, 2001 in London and ended on December 17, 2001 in Milan, including 55 concerts. On Scarlet's Walk / Lottapianos Tour Amos's seventh tour saw her reunited with Matt Chamberlain and Jon Evans, but not Steve Caton. The first part of the tour, which featured Amos on piano, Kurzweil, Rhodes, and Wurlitzer, was six months long and Amos went out again in the summer of 2003 for a tour with Ben Folds opening. The tour began on November 7, 2002 in Tampa and ended on September 4, 2003 in West Palm Beach, featuring 124 concerts. The final show of the tour was filmed and released as part of a DVD/CD set titled Welcome to Sunny Florida (the set also included a studio EP titled Scarlet's Hidden Treasures, an extension of the Scarlet's Walk album). Original Sinsuality Tour / Summer of Sin This tour began on April 1, 2005 in Clearwater, Florida, with Amos on piano, two Hammond B-3 organs, and Rhodes. The tour also encompassed Australia for the first time since 1994. Amos announced at a concert on this tour that she would never stop touring but would scale down the tours. Amos returned to the road in August and September for the Summer of Sin North America leg, ending on September 17, 2005 in Los Angeles. The tour featured "Tori's Piano Bar", where fans could nominate cover songs on Amos's website which she would then choose from to play in a special section of each show. One of the songs chosen was the Kylie Minogue hit "Can't Get You Out of My Head", which Amos dedicated to her the day after Minogue's breast cancer was announced to the public. Other songs performed by Amos include The Doors' "People are Strange", Depeche Mode's "Personal Jesus", Joni Mitchell's "The Circle Game", Madonna's "Live to Tell" and "Like a Prayer", Björk's "Hyperballad", Led Zeppelin's "When the Levee Breaks" (which she debuted in Austin, Texas, just after the events of Hurricane Katrina), Kate Bush's "And Dream of Sheep" and Crowded House's "Don't Dream It's Over", dedicating it to drummer Paul Hester who had died a week before. The entire concert tour featured 82 concerts, and six full-length concerts were released as The Original Bootlegs. American Doll Posse World Tour This was Amos's first tour with a full band since her 1999 Five and a Half Weeks Tour, accompanied by long-time bandmates Jon Evans and Matt Chamberlain, with guitarist Dan Phelps rounding out Amos's new band. Amos's equipment included her piano, a Hammond B-3 organ, and two Yamaha S90 ES keyboards. The tour kicked off with its European leg in Rome, Italy on May 28, 2007, which lasted through July, concluding in Israel; the Australian leg took place during September; the North American leg lasted from October to December 16, 2007, when the tour concluded in Los Angeles. Amos opened each show dressed as one of the four non-Tori personae from the album, then Amos would emerge as herself to perform for the remaining two-thirds of the show. The entire concert tour featured 93 concerts, and 27 full-length concerts of the North American tour were released as official bootlegs in the Legs and Boots series. Sinful Attraction Tour For her tenth tour, Amos returned to the trio format of her 2002 and 2003 tours with bassist Jon Evans and drummer Matt Chamberlain while expanding her lineup of keyboards by adding three M-Audio MIDI controllers to her ensemble of her piano, a Hammond B-3 organ, and a Yamaha S90 ES keyboard. The North American and European band tour began on July 10, 2009 in Seattle, Washington and ended in Warsaw on October 10, 2009. A solo leg through Australia began in Melbourne on November 12, 2009 and ended in Brisbane on November 24, 2009. The entire tour featured 63 concerts. Night of Hunters tour Amos's eleventh tour was her first with a string quartet, Apollon Musagète, (Amos's equipment includes her piano and a Yamaha S90 ES keyboard) and her first time touring in South Africa. It kicked off on September 28, 2011 in Finland, Helsinki Ice Hall and ended on December 22, 2011 in Dallas, Texas. Gold Dust Orchestral Tour Amos began her 2012 tour in Rotterdam on October 1. Unrepentant Geraldines Tour Amos began her 2014 world tour on May 5, 2014 in Cork, Ireland, and concluded it in Brisbane, Australia on November 21, after playing 73 concerts. Native Invader Tour Amos's 2017 tour in support of the Native Invader album kicked off on September 6, 2017, with a series of European shows in Cork, Ireland, moving on to North America in October. Ocean to Ocean Tour Amos is to embark on a European tour in the spring of 2022 in support of her upcoming sixteenth studio album, Ocean to Ocean, beginning in Berlin, Germany and ending in Dublin, Ireland. Awards and nominations {| class="wikitable sortable plainrowheaders" |- ! scope="col" | Award ! scope="col" | Year ! scope="col" | Nominee(s) ! scope="col" | Category ! scope="col" | Result ! scope="col" class="unsortable"| |- ! scope="row" rowspan=3|Brit Awards | rowspan=2|1993 | rowspan=3|Herself | International Breakthrough Act | | rowspan=2| |- | International Solo Artist | |- | 1995 | International Female Solo Artist | | |- ! scope="row"|Critics' Choice Documentary Awards | 2016 | "Flicker" | Best Song in a Documentary | | |- !scope="row"|ECHO Awards | 1995 | Herself | Best International Female | | |- ! scope="row"|ECHO Klassik Awards | rowspan=1|2012 | Night of Hunters | The Klassik-ohne-Grenzen Prize | | |- ! scope="row" rowspan=4|GAFFA Awards | 2000 | rowspan=3|Herself | rowspan=2|Best Foreign Female Act | | rowspan=2| |- | 2003 | |- | rowspan=2|2022 | Best Foreign Solo Act | | |- | Ocean to Ocean | Best Foreign Album | |- ! scope="row"|George Peabody Medal | 2019 | Herself | Outstanding Contributions to Music | | |- ! scope="row"|Glamour Awards | 1998 | Herself | Woman of the Year | | |- ! scope="row" rowspan=8|Grammy Awards | 1995 | Under the Pink | rowspan=3|Best Alternative Music Album | | rowspan=8| |- | 1997 | Boys for Pele | |- | rowspan=2|1999 | From the Choirgirl Hotel | |- | "Raspberry Swirl" | rowspan=2|Best Female Rock Vocal Performance | |- | rowspan=2|2000 | "Bliss" | |- | To Venus and Back | rowspan=2|Best Alternative Music Album | |- | rowspan=2|2002 | Strange Little Girls | |- | "Strange Little Girl" | Best Female Rock Vocal Performance | |- ! scope="row"|Hollywood Music in Media Awards | 2016 | "Flicker" | Best Original Song in a Documentary | | |- ! scope="row"|Hungarian Music Awards | 2010 | Abnormally Attracted to Sin | Best Foreign Alternative Album | | |- ! scope="row"|MTV Europe Music Awards | 1994 | Herself | Best Female | | |- ! scope="row" rowspan=4|MTV Video Music Awards | rowspan=4|1992 | rowspan=4|"Silent All These Years" | Best Female Video | |rowspan=4| |- | Best New Artist in a Video | |- | Breakthrough Video | |- | Best Cinematography in a Video | |- ! scope="row"|NME Awards | 2016 | Under the Pink | Best Reissue | | |- ! scope="row"|North Carolina Music Hall of Fame | 2012 | Herself | Inducted | | |- !scope="row" rowspan=5|Pollstar Concert Industry Awards | rowspan=2|1993 | rowspan=2|Little Earthquakes Tour | Best New Rock Artist | | rowspan=2| |- | Club Tour Of The Year | |- | 1995 | Under the Pink Tour | rowspan=3|Small Hall Tour Of The Year | | |- | 1997 | Dew Drop Inn Tour | | |- | 1999 | 5 ½ Weeks Tour | | |- ! scope="row"|Q Awards | 1992 | Herself | Best New Act | | |- ! scope="row" rowspan=2|WhatsOnStage Awards | rowspan=2|2014 | rowspan=2|The Light Princess | Best New Musical | | rowspan=2| |- | Best London Newcomer of the Year | |- !scope="row"|Žebřík Music Awards | 2001 | Herself | Best International Female | | 1999: Spin Readers' Poll Awards (Won) On May 21, 2020, Amos was invited to and gave special remarks at her alma mater Johns Hopkins University's 2020 Commencement ceremony. Other notable guest speakers during the virtual ceremony included Reddit co-founder and commencement speaker Alexis Ohanian; philanthropist and former New York City Mayor Michael Bloomberg; Anthony Fauci, director of the National Institute of Allergy and Infectious Diseases and a leading member of the White House Coronavirus Task Force; and senior class president Pavan Patel. Film appearances Tori appears as a wedding singer in the film Mona Lisa Smile. References Citations
sequences, each with a different strength of interaction. For example, although the consensus binding site for the TATA-binding protein (TBP) is TATAAAA, the TBP transcription factor can also bind similar sequences such as TATATAT or TATATAA. Because transcription factors can bind a set of related sequences and these sequences tend to be short, potential transcription factor binding sites can occur by chance if the DNA sequence is long enough. It is unlikely, however, that a transcription factor will bind all compatible sequences in the genome of the cell. Other constraints, such as DNA accessibility in the cell or availability of cofactors may also help dictate where a transcription factor will actually bind. Thus, given the genome sequence, it is still difficult to predict where a transcription factor will actually bind in a living cell. Additional recognition specificity, however, may be obtained through the use of more than one DNA-binding domain (for example tandem DBDs in the same transcription factor or through dimerization of two transcription factors) that bind to two or more adjacent sequences of DNA. Clinical significance Transcription factors are of clinical significance for at least two reasons: (1) mutations can be associated with specific diseases, and (2) they can be targets of medications. Disorders Due to their important roles in development, intercellular signaling, and cell cycle, some human diseases have been associated with mutations in transcription factors. Many transcription factors are either tumor suppressors or oncogenes, and, thus, mutations or aberrant regulation of them is associated with cancer. Three groups of transcription factors are known to be important in human cancer: (1) the NF-kappaB and AP-1 families, (2) the STAT family and (3) the steroid receptors. Below are a few of the better-studied examples: Potential drug targets Approximately 10% of currently prescribed drugs directly target the nuclear receptor class of transcription factors. Examples include tamoxifen and bicalutamide for the treatment of breast and prostate cancer, respectively, and various types of anti-inflammatory and anabolic steroids. In addition, transcription factors are often indirectly modulated by drugs through signaling cascades. It might be possible to directly target other less-explored transcription factors such as NF-κB with drugs. Transcription factors outside the nuclear receptor family are thought to be more difficult to target with small molecule therapeutics since it is not clear that they are "drugable" but progress has been made on Pax2 and the notch pathway. Role in evolution Gene duplications have played a crucial role in the evolution of species. This applies particularly to transcription factors. Once they occur as duplicates, accumulated mutations encoding for one copy can take place without negatively affecting the regulation of downstream targets. However, changes of the DNA binding specificities of the single-copy LEAFY transcription factor, which occurs in most land plants, have recently been elucidated. In that respect, a single-copy transcription factor can undergo a change of specificity through a promiscuous intermediate without losing function. Similar mechanisms have been proposed in the context of all alternative phylogenetic hypotheses, and the role of transcription factors in the evolution of all species. Role in biocontrol activity The transcription factors have a role in resistance activity which important for successful biocontrol activity. The resistant to oxidative stress and alkaline pH sensing were contributed from the transcription factor Yap1 and Rim101 of the Papiliotrema terrestris LS28 as molecular tools revealed an understanding of the genetic mechanisms underlying the biocontrol activity which will supports disease management programs based on biological and integrated control. Analysis There are different technologies available to analyze transcription factors. On the genomic level, DNA-sequencing and database research are commonly used. The protein version of the transcription factor is detectable by using specific antibodies. The sample is detected on a western blot. By using electrophoretic mobility shift assay (EMSA), the activation profile of transcription factors can be detected. A multiplex approach for activation profiling is a TF chip system where several different transcription factors can be detected in parallel. The most commonly used method for identifying transcription factor binding sites is chromatin immunoprecipitation (ChIP). This technique relies on chemical fixation of chromatin with formaldehyde, followed by co-precipitation of DNA and the transcription factor of interest using an antibody that specifically targets that protein. The DNA sequences can then be identified by microarray or high-throughput sequencing (ChIP-seq) to determine transcription factor binding sites. If no antibody is available for the protein of interest, DamID may be a convenient alternative. Classes As described in more detail below, transcription factors may be classified by their (1) mechanism of action, (2) regulatory function, or (3) sequence homology (and hence structural similarity) in their DNA-binding domains. Mechanistic There are two mechanistic classes of transcription factors: General transcription factors are involved in the formation of a preinitiation complex. The most common are abbreviated as TFIIA, TFIIB, TFIID, TFIIE, TFIIF, and TFIIH. They are ubiquitous and interact with the core promoter region surrounding the transcription start site(s) of all class II genes. Upstream transcription factors are proteins that bind somewhere upstream of the initiation site to stimulate or repress transcription. These are roughly synonymous with specific transcription factors, because they vary considerably depending on what recognition sequences are present in the proximity of the gene. Functional Transcription factors have been classified according to their regulatory function: I. constitutively active – present in all cells at all times – general transcription factors, Sp1, NF1, CCAAT II. conditionally active – requires activation II.A developmental (cell specific) – expression is tightly controlled, but, once expressed, require no additional activation – GATA, HNF, PIT-1, MyoD, Myf5, Hox, Winged Helix II.B signal-dependent – requires external signal for activation II.B.1 extracellular ligand (endocrine or paracrine)-dependent – nuclear receptors II.B.2 intracellular ligand (autocrine)-dependent - activated by small intracellular molecules – SREBP, p53, orphan nuclear receptors II.B.3 cell membrane receptor-dependent – second messenger signaling cascades resulting in the phosphorylation of the transcription factor II.B.3.a resident nuclear factors – reside in the nucleus regardless of activation state – CREB, AP-1, Mef2 II.B.3.b latent cytoplasmic factors – inactive form reside in the cytoplasm, but, when activated, are translocated into the nucleus – STAT, R-SMAD, NF-κB, Notch, TUBBY, NFAT Structural Transcription factors are often classified based on the sequence similarity and hence the tertiary structure of their DNA-binding domains: 1 Superclass: Basic Domains 1.1 Class: Leucine zipper factors (bZIP) 1.1.1 Family: AP-1(-like) components; includes (c-Fos/c-Jun) 1.1.2 Family: CREB 1.1.3 Family: C/EBP-like factors 1.1.4 Family: bZIP / PAR 1.1.5 Family: Plant G-box binding factors 1.1.6 Family: ZIP only 1.2 Class: Helix-loop-helix factors (bHLH) 1.2.1 Family: Ubiquitous (class A) factors 1.2.2 Family: Myogenic transcription factors (MyoD) 1.2.3 Family: Achaete-Scute 1.2.4 Family: Tal/Twist/Atonal/Hen 1.3 Class: Helix-loop-helix / leucine zipper factors (bHLH-ZIP) 1.3.1 Family: Ubiquitous bHLH-ZIP factors; includes USF (USF1, USF2); SREBP (SREBP) 1.3.2 Family: Cell-cycle controlling factors; includes c-Myc 1.4 Class: NF-1 1.4.1 Family: NF-1 (A, B, C, X) 1.5 Class: RF-X 1.5.1 Family: RF-X (1, 2, 3, 4, 5, ANK) 1.6 Class: bHSH 2 Superclass: Zinc-coordinating DNA-binding domains 2.1 Class: Cys4 zinc finger of nuclear receptor type 2.1.1 Family: Steroid hormone receptors 2.1.2 Family: Thyroid hormone receptor-like factors 2.2 Class: diverse Cys4 zinc fingers 2.2.1 Family: GATA-Factors 2.3 Class: Cys2His2 zinc finger domain 2.3.1 Family: Ubiquitous factors, includes TFIIIA, Sp1 2.3.2 Family: Developmental / cell cycle regulators; includes Krüppel 2.3.4 Family: Large factors with NF-6B-like binding properties 2.4 Class: Cys6 cysteine-zinc cluster 2.5 Class: Zinc fingers of alternating composition 3 Superclass: Helix-turn-helix 3.1 Class: Homeo domain 3.1.1 Family: Homeo domain only; includes Ubx 3.1.2 Family: POU domain factors; includes Oct 3.1.3 Family: Homeo domain with LIM region 3.1.4 Family: homeo domain plus zinc finger motifs 3.2 Class: Paired box 3.2.1 Family: Paired plus homeo domain 3.2.2 Family: Paired domain only 3.3 Class: Fork head / winged helix 3.3.1 Family: Developmental regulators; includes forkhead 3.3.2 Family: Tissue-specific regulators 3.3.3 Family: Cell-cycle controlling factors 3.3.0 Family: Other regulators 3.4 Class: Heat Shock Factors 3.4.1 Family: HSF 3.5 Class: Tryptophan clusters 3.5.1 Family: Myb 3.5.2 Family: Ets-type 3.5.3 Family: Interferon regulatory factors 3.6 Class: TEA ( transcriptional enhancer factor) domain 3.6.1 Family: TEA (TEAD1, TEAD2, TEAD3, TEAD4) 4 Superclass: beta-Scaffold Factors with Minor Groove Contacts 4.1 Class: RHR (Rel homology region) 4.1.1 Family: Rel/ankyrin; NF-kappaB 4.1.2 Family: ankyrin only 4.1.3 Family: NFAT (Nuclear Factor of Activated T-cells) (NFATC1, NFATC2, NFATC3) 4.2 Class: STAT 4.2.1 Family: STAT 4.3 Class: p53 4.3.1 Family: p53 4.4 Class: MADS box 4.4.1 Family: Regulators of differentiation; includes (Mef2) 4.4.2 Family: Responders to external signals, SRF (serum response factor) () 4.4.3 Family: Metabolic regulators (ARG80) 4.5 Class: beta-Barrel alpha-helix transcription factors 4.6 Class: TATA binding proteins 4.6.1 Family: TBP 4.7 Class: HMG-box 4.7.1 Family: SOX genes, SRY
519 transcription factors were evaluated. Of these, 169 transcription factors (33%) did not have CpG dinucleotides in their binding sites, and 33 transcription factors (6%) could bind to a CpG-containing motif but did not display a preference for a binding site with either a methylated or unmethylated CpG. There were 117 transcription factors (23%) that were inhibited from binding to their binding sequence if it contained a methylated CpG site, 175 transcription factors (34%) that had enhanced binding if their binding sequence had a methylated CpG site, and 25 transcription factors (5%) were either inhibited or had enhanced binding depending on where in the binding sequence the methylated CpG was located. TET enzymes do not specifically bind to methylcytosine except when recruited (see DNA demethylation). Multiple transcription factors important in cell differentiation and lineage specification, including NANOG, SALL4A, WT1, EBF1, PU.1, and E2A, have been shown to recruit TET enzymes to specific genomic loci (primarily enhancers) to act on methylcytosine (mC) and convert it to hydroxymethylcytosine hmC (and in most cases marking them for subsequent complete demethylation to cytosine). TET-mediated conversion of mC to hmC appears to disrupt the binding of 5mC-binding proteins including MECP2 and MBD (Methyl-CpG-binding domain) proteins, facilitating nucleosome remodeling and the binding of transcription factors, thereby activating transcription of those genes. EGR1 is an important transcription factor in memory formation. It has an essential role in brain neuron epigenetic reprogramming. The transcription factor EGR1 recruits the TET1 protein that initiates a pathway of DNA demethylation. EGR1, together with TET1, is employed in programming the distribution of methylation sites on brain DNA during brain development and in learning (see Epigenetics in learning and memory). Structure Transcription factors are modular in structure and contain the following domains: DNA-binding domain (DBD), which attaches to specific sequences of DNA (enhancer or promoter. Necessary component for all vectors. Used to drive transcription of the vector's transgene promoter sequences) adjacent to regulated genes. DNA sequences that bind transcription factors are often referred to as response elements. Activation domain (AD), which contains binding sites for other proteins such as transcription coregulators. These binding sites are frequently referred to as activation functions (AFs), Transactivation domain (TAD) or Trans-activating domain TAD but not mix with topologically associating domain TAD. An optional signal-sensing domain (SSD) (e.g., a ligand-binding domain), which senses external signals and, in response, transmits these signals to the rest of the transcription complex, resulting in up- or down-regulation of gene expression. Also, the DBD and signal-sensing domains may reside on separate proteins that associate within the transcription complex to regulate gene expression. DNA-binding domain The portion (domain) of the transcription factor that binds DNA is called its DNA-binding domain. Below is a partial list of some of the major families of DNA-binding domains/transcription factors: Response elements The DNA sequence that a transcription factor binds to is called a transcription factor-binding site or response element. Transcription factors interact with their binding sites using a combination of electrostatic (of which hydrogen bonds are a special case) and Van der Waals forces. Due to the nature of these chemical interactions, most transcription factors bind DNA in a sequence specific manner. However, not all bases in the transcription factor-binding site may actually interact with the transcription factor. In addition, some of these interactions may be weaker than others. Thus, transcription factors do not bind just one sequence but are capable of binding a subset of closely related sequences, each with a different strength of interaction. For example, although the consensus binding site for the TATA-binding protein (TBP) is TATAAAA, the TBP transcription factor can also bind similar sequences such as TATATAT or TATATAA. Because transcription factors can bind a set of related sequences and these sequences tend to be short, potential transcription factor binding sites can occur by chance if the DNA sequence is long enough. It is unlikely, however, that a transcription factor will bind all compatible sequences in the genome of the cell. Other constraints, such as DNA accessibility in the cell or availability of cofactors may also help dictate where a transcription factor will actually bind. Thus, given the genome sequence, it is still difficult to predict where a transcription factor will actually bind in a living cell. Additional recognition specificity, however, may be obtained through the use of more than one DNA-binding domain (for example tandem DBDs in the same transcription factor or through dimerization of two transcription factors) that bind to two or more adjacent sequences of DNA. Clinical significance Transcription factors are of clinical significance for at least two reasons: (1) mutations can be associated with specific diseases, and (2) they can be targets of medications. Disorders Due to their important roles in development, intercellular signaling, and cell cycle, some human diseases have been associated with mutations in transcription factors. Many transcription factors are either tumor suppressors or oncogenes, and, thus, mutations or aberrant regulation of them is associated with cancer. Three groups of transcription factors are known to be important in human cancer: (1) the NF-kappaB and AP-1 families, (2) the STAT family and (3) the steroid receptors. Below are a few of the better-studied examples: Potential drug targets Approximately 10% of currently prescribed drugs directly target the nuclear receptor class of transcription factors. Examples include tamoxifen and bicalutamide for the treatment of breast and prostate cancer, respectively, and various types of anti-inflammatory and anabolic steroids. In addition, transcription factors are often indirectly modulated by drugs through signaling cascades. It might be possible to directly target other less-explored transcription factors such as NF-κB with drugs. Transcription factors outside the nuclear receptor family are thought to be more difficult to target with small molecule therapeutics since it is not clear that they are "drugable" but progress has been made on Pax2 and the notch pathway. Role in evolution Gene duplications have played a crucial role in the evolution of species. This applies particularly to transcription factors. Once they occur as duplicates, accumulated mutations encoding for one copy can take place without negatively affecting the regulation of downstream targets. However, changes of the DNA binding specificities of the single-copy LEAFY transcription factor, which occurs in most land plants, have recently been elucidated. In that respect, a single-copy transcription factor can undergo a change of specificity through a promiscuous intermediate without losing function. Similar mechanisms have been proposed in the context of all alternative phylogenetic hypotheses, and the role of transcription factors in the evolution of all species. Role in biocontrol activity The transcription factors have a role in resistance activity which important for successful biocontrol activity. The resistant to oxidative stress and alkaline pH sensing were contributed from the transcription factor Yap1 and Rim101 of the Papiliotrema terrestris LS28 as molecular tools revealed an understanding of the genetic mechanisms underlying the biocontrol activity which will supports disease management programs based on biological and integrated control. Analysis There are different technologies available to analyze transcription factors. On the genomic level, DNA-sequencing and database research are commonly used. The protein version of the transcription factor is detectable by using specific antibodies. The sample is detected on a western blot. By using electrophoretic mobility shift assay (EMSA), the activation profile of transcription factors can be detected. A multiplex approach for activation profiling is a TF chip system where several different transcription factors can be detected in parallel. The most commonly used method for identifying transcription factor binding sites is chromatin immunoprecipitation (ChIP). This technique relies on chemical fixation of chromatin with formaldehyde, followed by co-precipitation of DNA and the transcription factor of interest using an antibody that specifically targets that protein. The DNA sequences can then be identified by microarray or high-throughput sequencing (ChIP-seq) to determine transcription factor binding sites. If no antibody is available for the protein of interest, DamID may be a convenient alternative. Classes As described in more detail below, transcription factors may be classified by their (1) mechanism of action, (2) regulatory function, or (3) sequence homology (and hence structural similarity) in their DNA-binding domains. Mechanistic There are two mechanistic classes of transcription factors: General transcription factors are involved in the formation of a preinitiation complex. The most common are abbreviated as TFIIA, TFIIB, TFIID, TFIIE, TFIIF, and TFIIH. They are ubiquitous and interact with the core promoter region surrounding the transcription start site(s) of all class II genes. Upstream transcription factors are proteins that bind somewhere upstream of the initiation site to stimulate or repress transcription. These are roughly synonymous with specific transcription factors, because they vary considerably depending on what recognition sequences are present in the proximity of the gene. Functional Transcription factors have been classified according to their regulatory function: I. constitutively active – present in all cells at all times – general transcription factors, Sp1, NF1, CCAAT II. conditionally active – requires activation II.A developmental (cell specific) – expression is
In her youth, she was a promising handball player in her country, playing for a club in the second tier of the Norwegian league system. She has four children with her former husband Anders Hattestad. They divorced in 2017. Competition record *All results with the old model javelin unless noted. References External links 1966 births Living people Olympic athletes of Norway Athletes (track and field) at the 1984 Summer Olympics Athletes (track and field) at the 1988 Summer Olympics Athletes (track and field) at the 1992 Summer Olympics Athletes (track and field) at the 1996 Summer Olympics Athletes (track and field) at the 2000 Summer Olympics Olympic gold medalists for Norway Olympic bronze medalists for Norway People from Lørenskog Norwegian female javelin throwers World Athletics Championships athletes
she competed in the European Championships for seniors. By the beginning of the 1990s, Hattestad was one of the best female javelin throwers in the world. In 1993, she won her first major international title, the World Championships in Stuttgart as well as the IAAF Golden Four. To that, she added the 1994 European title. At the 1996 Atlanta Olympic Games, she won the bronze medal. The following year, she regained the World Championships. At the 1999 World Championships, she lost the title again, finishing third, but in 2000 she won the only title missing in her career with a gold medal at the Olympic Games in Sydney. Personal life In her youth, she was a promising handball player
through opioid receptors, unlike the inactive natural enantiomer (−)-thebaine. While thebaine is not used therapeutically, it is the main alkaloid extracted from Papaver bracteatum (Iranian opium / Persian poppy) and can be converted industrially into a variety of compounds, including hydrocodone, hydromorphone, oxycodone, oxymorphone, nalbuphine, naloxone, naltrexone, buprenorphine, butorphanol and etorphine. Thebaine is controlled under international law, is listed as a Class A drug under the Misuse of Drugs Act 1971 in the United Kingdom, is controlled as an analog of a Schedule II drug per the Analog Act in the United States, and is controlled with its derivatives and salts, as a Schedule I substance of the Controlled Drugs and Substances Act in Canada. The 2013 US Drug Enforcement Administration (DEA) aggregate manufacturing quota for thebaine (ACSCN 9333) was unchanged from the previous year at
can be converted industrially into a variety of compounds, including hydrocodone, hydromorphone, oxycodone, oxymorphone, nalbuphine, naloxone, naltrexone, buprenorphine, butorphanol and etorphine. Thebaine is controlled under international law, is listed as a Class A drug under the Misuse of Drugs Act 1971 in the United Kingdom, is controlled as an analog of a Schedule II drug per the Analog Act in the United States, and is controlled with its derivatives and salts, as a Schedule I substance of the Controlled Drugs and Substances Act in Canada. The 2013 US Drug Enforcement Administration (DEA) aggregate manufacturing quota for thebaine (ACSCN 9333) was unchanged from the previous year at 145 metric tons. This alkaloid is biosynthetically related to salutaridine, oripavine, morphine and reticuline. In 2012 there was an amounted 146,000 kilograms of thebaine
of divine or intermediary spirits. Christian theosophy arose in Germany in the 16th century. Inspired to a considerable extent by the works of Paracelsus (1493–1541). The term had not yet reached a settled meaning, however, as the mid-16th century Theosophia by Johannes Arboreus provided a lengthy exposition that included no mention of esotericism. Historical development In the 17th and 18th centuries, Christian theosophy and Pietism arose in response to the orthodoxy of the Lutheran Reformation. The work of the 17th-century German Christian mystic Jakob Böhme (1575–1624) strongly contributed to spread the use of the word "theosophy", even though Böhme rarely used the word in his writings. It is on account of the title of some of his works, but these titles appear to have been chosen more by the editors than by Böhme himself. Moreover, Böhme gave the word "theosophy" a limited meaning, making it clear that he was not conflating nature with God. Böhme's work has been described as being "foundational" for Christian theosophy. There were relatively few theosophers in the 17th century, but many of them were prolific. Outside of Germany, there were also theosophers from Holland, England, and France. This group is represented by Jan Baptist van Helmont (1618–1699), Robert Fludd (1574–1637), John Pordage (1608–1681), Jane Leade (1623–1704), Henry More (1614–1687), Pierre Poiret (1646–1719), and Antoinette Bourignon (1616–1680). Theosophers of this period often inquired into nature using a method of interpretation founded upon a specific myth or revelation, applying active imagination in order to draw forth symbolic meanings and further their pursuit of knowledge toward a complete understanding of these mysteries. In Athanasius Kircher's Oedipus Aegyptiacus (1652), Kircher assigned the word theosophy to the metaphysics adhered to in ancient Egypt, and to Neo-Platonism, and thus he gave once again the word one of its most generally accepted meanings, that of divine metaphysics. In the 18th century, the word theosophy came into more widespread use among some philosophers. However, the term "theosophy" was still "practically absent" throughout the entire eighteenth century in dictionaries and encyclopedias, where it only appeared more and more frequently beginning in the second half of the nineteenth century. Theosophers themselves used the word theosophy sparingly, at least up until the middle of the nineteenth century. Johann Jakob Brucker (1696–1770) included a long chapter on theosophy in his monumental work (1741). He included theosophers alongside other currents in esotericism in what was then a standard reference in the history of philosophy. By the 18th century, the word theosophy was often used in conjunction with panosophy. The term theosophy is more properly reserved for the reverse process of contemplating the divine in order to discover the content of the concrete universe. In England, Robert Hindmarsh, a printer with a Methodist background, formed a "Theosophical Society" in 1783, for translating, printing and distributing the writings of Swedenborg. This society was renamed in 1785 as "The British Society for the Propagation of the Doctrines of the New Church", consisting of Swedenborgian based beliefs. In France, Denis Diderot gave the word more attention than other encyclopedias of this period by including an article on it in his Encyclopédie, published during the French Enlightenment. The
Christian theosophy. The term theosophy was used as a synonym for theology as early as the 3rd century CE. The 13th-century work Summa philosophiae attributed to Robert Grosseteste made a distinction between theosophers and theologians. In the Summa, theosophers were described as authors only inspired by the holy books, while theologians like Pseudo-Dionysius the Areopagite and Origen were described as those whose task was to explain theosophy. Therefore, the terms denoted the opposite of the present-day meaning. During the Renaissance, use of the term diverged to refer to gnostic knowledge that offers the individual enlightenment and salvation through a knowledge of the bonds that are believed to unite her or him to the world of divine or intermediary spirits. Christian theosophy arose in Germany in the 16th century. Inspired to a considerable extent by the works of Paracelsus (1493–1541). The term had not yet reached a settled meaning, however, as the mid-16th century Theosophia by Johannes Arboreus provided a lengthy exposition that included no mention of esotericism. Historical development In the 17th and 18th centuries, Christian theosophy and Pietism arose in response to the orthodoxy of the Lutheran Reformation. The work of the 17th-century German Christian mystic Jakob Böhme (1575–1624) strongly contributed to spread the use of the word "theosophy", even though Böhme rarely used the word in his writings. It is on account of the title of some of his works, but these titles appear to have been chosen more by the editors than by Böhme himself. Moreover, Böhme gave the word "theosophy" a limited meaning, making it clear that he was not conflating nature with God. Böhme's work has been described as being "foundational" for Christian theosophy. There were relatively few theosophers in the 17th century, but many of them were prolific. Outside of Germany, there were also theosophers from Holland, England, and France. This group is represented by Jan Baptist van Helmont (1618–1699), Robert Fludd (1574–1637), John Pordage (1608–1681), Jane Leade (1623–1704), Henry More (1614–1687), Pierre Poiret (1646–1719), and Antoinette Bourignon (1616–1680). Theosophers of this period often inquired into nature using a method of interpretation founded upon a specific myth or revelation, applying active imagination in order to draw forth symbolic meanings and further their pursuit of knowledge toward a complete understanding of these mysteries. In Athanasius Kircher's Oedipus Aegyptiacus (1652), Kircher assigned the word theosophy to the metaphysics adhered to in ancient Egypt, and to Neo-Platonism, and thus he gave once again the word one of its most generally accepted meanings, that of divine metaphysics. In the 18th century, the word theosophy came into more widespread use among some philosophers. However, the term "theosophy" was still "practically absent" throughout the entire eighteenth century in dictionaries and encyclopedias, where it only appeared more and more frequently beginning in the second half of the nineteenth century. Theosophers themselves used the word theosophy sparingly, at least up until the middle of the nineteenth century. Johann Jakob Brucker (1696–1770) included a long chapter on theosophy in his monumental work (1741). He included theosophers alongside other currents in esotericism in what was then a standard reference in the history of philosophy. By the 18th century, the
Collection Tower Hamlets College, in London, England Transport Holding Company, a British Government owned company of the 1960s Science Temperate herbaceous clade, a monophyletic clade of legumes Tetrahydrochrysene, an estrogenic and antiestrogenic compound Thermohaline circulation, an ocean current Thorium(IV) carbide (ThC) Total hydrocarbon content, a measure of the fraction of hydrocarbons in a fluid, measured using a flame ionization detector Other uses Tuyamuyun Hydro Complex, a system of interconnected reservoirs and a series of canals on the lower
Temperate herbaceous clade, a monophyletic clade of legumes Tetrahydrochrysene, an estrogenic and antiestrogenic compound Thermohaline circulation, an ocean current Thorium(IV) carbide (ThC) Total hydrocarbon content, a measure of the fraction of hydrocarbons in a fluid, measured using a flame ionization detector Other uses Tuyamuyun Hydro Complex, a system of interconnected reservoirs and a series of canals on the lower Amu Darya River, bordering Turkmenistan and Uzbekistan
is "going in the same direction" as the curve, and is thus the best straight-line approximation to the curve at that point. The tangent line to a point on a differentiable curve can also be thought of as a tangent line approximation, the graph of the affine function that best approximates the original function at the given point. Similarly, the tangent plane to a surface at a given point is the plane that "just touches" the surface at that point. The concept of a tangent is one of the most fundamental notions in differential geometry and has been extensively generalized; . The word "tangent" comes from the Latin , "to touch". History Euclid makes several references to the tangent ( ephaptoménē) to a circle in book III of the Elements (c. 300 BC). In Apollonius' work Conics (c. 225 BC) he defines a tangent as being a line such that no other straight line could fall between it and the curve. Archimedes (c. 287 – c. 212 BC) found the tangent to an Archimedean spiral by considering the path of a point moving along the curve. In the 1630s Fermat developed the technique of adequality to calculate tangents and other problems in analysis and used this to calculate tangents to the parabola. The technique of adequality is similar to taking the difference between and and dividing by a power of . Independently Descartes used his method of normals based on the observation that the radius of a circle is always normal to the circle itself. These methods led to the development of differential calculus in the 17th century. Many people contributed. Roberval discovered a general method of drawing tangents, by considering a curve as described by a moving point whose motion is the resultant of several simpler motions. René-François de Sluse and Johannes Hudde found algebraic algorithms for finding tangents. Further developments included those of John Wallis and Isaac Barrow, leading to the theory of Isaac Newton and Gottfried Leibniz. An 1828 definition of a tangent was "a right line which touches a curve, but which when produced, does not cut it". This old definition prevents inflection points from having any tangent. It has been dismissed and the modern definitions are equivalent to those of Leibniz, who defined the tangent line as the line through a pair of infinitely close points on the curve. Tangent line to a curve The intuitive notion that a tangent line "touches" a curve can be made more explicit by considering the sequence of straight lines (secant lines) passing through two points, A and B, those that lie on the function curve. The tangent at A is the limit when point B approximates or tends to A. The existence and uniqueness of the tangent line depends on a certain type of mathematical smoothness, known as "differentiability." For example, if two circular arcs meet at a sharp point (a vertex) then there is no uniquely defined tangent at the vertex because the limit of the progression of secant lines depends on the direction in which "point B" approaches the vertex. At most points, the tangent touches the curve without crossing it (though it may, when continued, cross the curve at other places away from the point of tangent). A point where the tangent (at this point) crosses the curve is called an inflection point. Circles, parabolas, hyperbolas and ellipses do not have any inflection point, but more complicated curves do have, like the graph of a cubic function, which has exactly one inflection point, or a sinusoid, which has two inflection points per each period of the sine. Conversely, it may happen that the curve lies entirely on one side of a straight line passing through a point on it, and yet this straight line is not a tangent line. This is the case, for example, for a line passing through the vertex of a triangle and not intersecting it otherwise—where the tangent line does not exist for the reasons explained above. In convex geometry, such lines are called
the difference quotients for the function f. This limit is the derivative of the function f at x = a, denoted f ′(a). Using derivatives, the equation of the tangent line can be stated as follows: Calculus provides rules for computing the derivatives of functions that are given by formulas, such as the power function, trigonometric functions, exponential function, logarithm, and their various combinations. Thus, equations of the tangents to graphs of all these functions, as well as many others, can be found by the methods of calculus. How the method can fail Calculus also demonstrates that there are functions and points on their graphs for which the limit determining the slope of the tangent line does not exist. For these points the function f is non-differentiable. There are two possible reasons for the method of finding the tangents based on the limits and derivatives to fail: either the geometric tangent exists, but it is a vertical line, which cannot be given in the point-slope form since it does not have a slope, or the graph exhibits one of three behaviors that precludes a geometric tangent. The graph y = x1/3 illustrates the first possibility: here the difference quotient at a = 0 is equal to h1/3/h = h−2/3, which becomes very large as h approaches 0. This curve has a tangent line at the origin that is vertical. The graph y = x2/3 illustrates another possibility: this graph has a cusp at the origin. This means that, when h approaches 0, the difference quotient at a = 0 approaches plus or minus infinity depending on the sign of x. Thus both branches of the curve are near to the half vertical line for which y=0, but none is near to the negative part of this line. Basically, there is no tangent at the origin in this case, but in some context one may consider this line as a tangent, and even, in algebraic geometry, as a double tangent. The graph y = |x| of the absolute value function consists of two straight lines with different slopes joined at the origin. As a point q approaches the origin from the right, the secant line always has slope 1. As a point q approaches the origin from the left, the secant line always has slope −1. Therefore, there is no unique tangent to the graph at the origin. Having two different (but finite) slopes is called a corner. Finally, since differentiability implies continuity, the contrapositive states discontinuity implies non-differentiability. Any such jump or point discontinuity will have no tangent line. This includes cases where one slope approaches positive infinity while the other approaches negative infinity, leading to an infinite jump discontinuity Equations When the curve is given by y = f(x) then the slope of the tangent is so by the point–slope formula the equation of the tangent line at (X, Y) is where (x, y) are the coordinates of any point on the tangent line, and where the derivative is evaluated at . When the curve is given by y = f(x), the tangent line's equation can also be found by using polynomial division to divide by ; if the remainder is denoted by , then the equation of the tangent line is given by When the equation of the curve is given in the form f(x, y) = 0 then the value of the slope can be found by implicit differentiation, giving The equation of the tangent line at a point (X,Y) such that f(X,Y) = 0 is then This equation remains true if but (in this case the slope of the tangent is infinite). If the tangent line is not defined and the point (X,Y) is said to be singular. For algebraic curves, computations may be simplified somewhat by converting to homogeneous coordinates. Specifically, let the homogeneous equation of the curve be g(x, y, z) = 0 where g is a homogeneous function of degree n. Then, if (X, Y, Z) lies on the curve, Euler's theorem implies It follows that the homogeneous equation of the tangent line is The equation of the tangent line in Cartesian coordinates can be found by setting z=1 in this equation. To apply this to algebraic curves, write f(x, y) as where each ur is the sum of all terms of degree r. The homogeneous equation of the curve is then Applying the equation above and setting z=1 produces as the equation of the tangent line. The equation in this form is often simpler to use in practice since no further simplification is needed after it is applied. If the curve is given parametrically by then the slope of the tangent is giving the equation for the tangent line at as If the tangent line is not defined. However, it may occur that the tangent line exists and may be computed from an implicit equation of the curve. Normal line to a curve The line perpendicular to the tangent line to a curve at the point of tangency is called the normal line to the curve at that point. The slopes of perpendicular lines have product −1, so if the equation of the curve is y = f(x) then slope of the normal line is and it follows that the equation of the normal line at (X, Y) is Similarly, if the equation of the curve has the form f(x, y) = 0 then the equation of the normal line is given by If the curve is given parametrically by then the equation of the normal line is Angle between curves The angle between two curves at a point where they intersect is defined as the angle between their tangent lines at that point. More specifically, two curves are said to be tangent at a point if they have the same tangent at a point, and orthogonal if their tangent lines are orthogonal. Multiple tangents at a point The formulas above fail when the point is a singular point. In this case there may be two or more branches of the curve that pass through the point, each branch having its own tangent line. When the point is the origin, the equations of these lines can be found for algebraic curves by factoring the equation formed by eliminating all but the lowest degree terms from the original equation. Since any point can be made the origin by a change of variables (or by translating the curve) this gives a method for finding the tangent lines at any singular point. For example, the equation of the limaçon trisectrix shown to the right is Expanding this and eliminating all but terms of degree 2 gives which, when factored, becomes So these are the equations of the two tangent lines through the origin. When the curve is not self-crossing, the tangent at a reference point may still not be uniquely defined because the curve is not differentiable at that point although it is differentiable elsewhere. In this case the left and right derivatives are defined as the limits of the derivative as the point at which it is evaluated approaches the reference point from respectively the left (lower values) or the right (higher values). For example, the curve y = |x | is not differentiable at x = 0: its left and right derivatives have respective slopes −1 and 1; the tangents at that point with those slopes are called the left and right tangents. Sometimes the slopes of the left and right tangent lines are equal, so the tangent lines coincide. This is true, for example, for the curve y = x 2/3, for which both the left and right derivatives at x = 0 are infinite; both the left and right tangent lines have equation x = 0. Tangent circles Two circles of non-equal radius, both in the same plane, are said to be tangent to each other if they meet at only one point. Equivalently, two circles, with radii of ri and centers at (xi, yi), for i = 1, 2 are said to be tangent to each
of the Union right and rear. The results were far better than even Jackson could have hoped. Fitzhugh Lee found the entire right side of the Federal lines in the middle of open field, guarded merely by two guns that faced westward, as well as the supplies and rear encampments. The men were eating and playing games in carefree fashion, completely unaware that an entire Confederate corps was less than a mile away. What happened next is given in Fitzhugh Lee's own words: Jackson immediately returned to his corps and arranged his divisions into a line of battle to charge directly into the oblivious Federal right. The Confederates marched silently until they were merely several hundred feet from the Union position, then released a bloodthirsty cry and full charge. Many of the Federal soldiers were captured without a shot fired, the rest were driven into a full rout. Jackson pursued relentlessly back toward the center of the Federal line until dusk. Darkness ended the assault. As Jackson and his staff were returning to camp on May 2, sentries of the 18th North Carolina Infantry Regiment mistook the group for a Union cavalry force. The sentries shouted "Halt, who goes there?", but fired before evaluating the reply. Frantic shouts by Jackson's staff identifying the party were replied to by Major John D. Barry with the retort, "It's a damned Yankee trick! Fire!" A second volley was fired in response. Jackson was hit by three bullets: two in the left arm and one in the right hand. Several of Jackson's men and many horses were killed in the attack. Incoming artillery rounds and darkness led to confusion, and Jackson was dropped from his stretcher while being evacuated. Hunter McGuire amputated Jackson's left arm, and Jackson was moved to Fairfield plantation at Guinea Station. Thomas Chandler, the owner, offered the use of his home for Jackson's treatment, but Jackson suggested using Chandler's plantation office building instead. Death Lee wrote to Jackson after learning of his injuries, stating: "Could I have directed events, I would have chosen for the good of the country to be disabled in your stead." Jackson died of complications from pneumonia on May 10, 1863, eight days after he was shot. Dr. McGuire wrote an account of Jackson's final hours and last words: Jackson's fatal bullet was withdrawn, examined, and found to be 67 caliber (0.67 inches, 17 mm), a type in service with the Confederate forces. Union troops in the area were using 58 caliber balls. This was one of the first instances of forensic ballistics identification derived from a firearm projectile. His body was moved to the Governor's Mansion in Richmond for the public to mourn, and he was then moved to be buried in Oak Grove Cemetery, Lexington, Virginia. The arm that was amputated on May 2 was buried separately by Jackson's chaplain (Beverly Tucker Lacy), at the J. Horace Lacy house, "Ellwood", (now preserved at the Fredericksburg National Battlefield) in the Wilderness of Orange County, near the field hospital. Upon hearing of Jackson's death, Robert E. Lee mourned the loss of both a friend and a trusted commander. As Jackson lay dying, Lee sent a message through Chaplain Lacy, saying: "Give General Jackson my affectionate regards, and say to him: he has lost his left arm but I my right." The night Lee learned of Jackson's death, he told his cook: "William, I have lost my right arm", and, "I'm bleeding at the heart." Harper's Weekly reported Jackson's death on May 23, 1863, as follows: Personal life Jackson's sometimes unusual command style and personality traits, combined with his frequent success in battle, contribute to his legacy as one of the greatest generals of the Civil War. He was martial and stern in attitude and profoundly religious, a deacon in the Presbyterian Church. One of his many nicknames was "Old Blue Lights," a term applied to a military man whose evangelical zeal burned with the intensity of the blue light used for night-time display. Physical ailments Jackson held a lifelong belief that one of his arms was longer than the other, and thus usually held the "longer" arm up to equalize his circulation. He was described as a "champion sleeper", and occasionally even fell asleep with food in his mouth. Jackson suffered a number of ailments, for which he sought relief via contemporary practices of his day including hydrotherapy, popular in America at that time, visiting establishments at Oswego, New York (1850) and Round Hill, Massachusetts (1860) although with little evidence of success. Jackson also suffered a significant hearing loss in both of his ears as a result of his prior service in the U.S. Army as an artillery officer. A recurring story concerns Jackson's love of lemons, which he allegedly gnawed whole to alleviate symptoms of dyspepsia (indigestion). General Richard Taylor, son of President Zachary Taylor, wrote a passage in his war memoirs about Jackson eating lemons: "Where Jackson got his lemons 'no fellow could find out,' but he was rarely without one." However, recent research by his biographer, James I. Robertson, Jr., has found that none of Jackson's contemporaries, including members of his staff, his friends, or his wife, recorded any unusual obsessions with lemons. Jackson thought of a lemon as a "rare treat ... enjoyed greatly whenever it could be obtained from the enemy's camp". Jackson was fond of all fruits, particularly peaches, "but he enjoyed with relish lemons, oranges, watermelons, apples, grapes, berries, or whatever was available". Religion Jackson's religion has often been discussed. His biographer, Robert Lewis Dabney, suggested that "It was the fear of God which made him so fearless of all else." Jackson himself had said, "My religious belief teaches me to feel as safe in battle as in bed." Stephen W. Sears states that "Jackson was fanatical in his Presbyterian faith, and it energized his military thought and character. Theology was the only subject he genuinely enjoyed discussing. His dispatches invariably credited an ever-kind Providence." According to Sears, "this fanatical religiosity had drawbacks. It warped Jackson's judgment of men, leading to poor appointments; it was said he preferred good Presbyterians to good soldiers." James I. Robertson, Jr. suggests that Jackson was "a Christian soldier in every sense of the word". According to Robertson, Jackson "thought of the war as a religious crusade", and "viewed himself as an Old Testament warrior—like David or Joshua—who went into battle to slay the Philistines". Jackson encouraged the Confederate States Army revival that occurred in 1863, although it was probably more of a grass-roots movement than a top-down revival. Jackson strictly observed the Sunday Sabbath. James I. Robertson, Jr. notes that "no place existed in his Sunday schedule for labor, newspapers, or secular conversation". Command style In command, Jackson was extremely secretive about his plans and extremely meticulous about military discipline. This secretive nature did not stand him in good stead with his subordinates, who were often not aware of his overall operational intentions until the last minute, and who complained of being left out of key decisions. Robert E. Lee could trust Jackson with deliberately undetailed orders that conveyed Lee's overall objectives, what modern doctrine calls the "end state". This was because Jackson had a talent for understanding Lee's sometimes unstated goals, and Lee trusted Jackson with the ability to take whatever actions were necessary to implement his end state requirements. Few of Lee's subsequent corps commanders had this ability. At Gettysburg, this resulted in lost opportunities. With a defeated and disorganized Union Army trying to regroup on high ground near town and vulnerable, Lee sent one of his new corps commanders, Richard S. Ewell, discretionary orders that the heights (Cemetery Hill and Culp's Hill) be taken "if practicable". Without Jackson's intuitive grasp of Lee's orders or the instinct to take advantage of sudden tactical opportunities, Ewell chose not to attempt the assault, and this failure is considered by historians to be the greatest missed opportunity of the battle. Horsemanship Jackson had a poor reputation as a horseman. One of his soldiers, Georgia volunteer William Andrews, wrote that Jackson was "a very ordinary looking man of medium size, his uniform badly soiled as though it had seen hard service. He wore a cap pulled down nearly to his nose and was riding a rawboned horse that did not look much like a charger, unless it would be on hay or clover. He certainly made a poor figure on a horseback, with his stirrup leather six inches too short, putting his knees nearly level with his horse's back, and his heels turned out with his toes sticking behind his horse's foreshoulder. A sorry description of our most famous general, but a correct one." His horse was named "Little Sorrel" (also known as "Old Sorrel"), a small chestnut gelding which was a captured Union horse from a Connecticut farm. He rode Little Sorrel throughout the war, and was riding him when he was shot at Chancellorsville. Little Sorrel died at age 36 and is buried near a statue of Jackson on the parade grounds of VMI. (His mounted hide is on display in the VMI Museum.) Mourning his death After the war, Jackson's wife and young daughter Julia moved from Lexington to North Carolina. Mary Anna Jackson wrote two books about her husband's life, including some of his letters. She never remarried, and was known as the "Widow of the Confederacy", living until 1915. His daughter Julia married, and bore children, but she died of typhoid fever at the age of 26 years. Legacy Many theorists through the years have postulated that if Jackson had lived, Lee might have prevailed at Gettysburg. Certainly Jackson's discipline and tactical sense were sorely missed. General George Patton of World War II fame as a boy prayed next to two portraits of Robert E. Lee and Stonewall Jackson, whom he assumed were God and Jesus. He once told Dwight D. Eisenhower "I will be your Jackson." General Douglas MacArthur called Robert L. Eichelberger his Stonewall Jackson. Chesty Puller idolized Jackson, and carried George Henderson's biography of Jackson with him on campaigns. Alexander Vandegrift also idolized Jackson. Descendants Jackson's grandson and great-grandson, both namesakes, Thomas Jonathan Jackson Christian (1888–1952) and Thomas Jonathan Jackson Christian Jr. (1915–1944), both graduated from West Point. The elder Christian was a career US Army officer who served during both World Wars and rose to the rank of brigadier general. Thomas Jonathan Jackson Christian's parents were William Edmund Christian and Julia Laura Christian. Julia was the daughter of Stonewall Jackson and his bride Mary Anna Morrison. The younger Christian was a colonel in command of the 361st Fighter Group flying P-51 Mustangs in the European Theater of Operations in World War II when he was killed in action in August 1944; his personal aircraft, Lou IV, was one of the most photographed P-51s in the war. Commemorations As an important element of the ideology of the "Lost Cause", Jackson has been commemorated in numerous ways, including with statues, currency, and postage. A poem penned during the war soon became a popular song, "Stonewall Jackson's Way". The Stonewall Brigade Band is still active today. West Virginia's Stonewall Jackson State Park is named in his honor. Nearby, at Stonewall Jackson's historical childhood home, his uncle's grist mill is the centerpiece of a historical site at the Jackson's Mill Center for Lifelong Learning and State 4-H Camp. The facility, located near Weston, serves as a special campus for West Virginia University and the WVU Extension Service. During a training exercise in Virginia by U.S. Marines in 1921, the Marine commander, General Smedley Butler was told by a local farmer that Stonewall Jackson's arm was buried nearby under a granite marker, to which Butler replied, "Bosh! I will take a squad of Marines and dig up that spot to prove you wrong!" Butler found the arm in a box under the marker. He later replaced the wooden box with a metal one, and reburied the arm. He left a plaque on the granite monument marking the burial place of Jackson's arm; the plaque is no longer on the marker but can be viewed at the Chancellorsville Battlefield visitor's center. Beginning in 1904 the Commonwealth of Virginia celebrated Jackson's birthday as a state holiday; the observance was eliminated, with Election Day as a replacement holiday, effective July 2020. Jackson is featured on the 1925 Stone Mountain Memorial half dollar. A Stonewall Jackson Monument was unveiled on October 11, 1919, in Richmond, Virginia. It was removed on July 1, 2020, during the 2020–2021 United States racial unrest. The removal was live-streamed by news outlets and onlookers. See also William B. Ebbert, 1st Lt., W. Virginia Infantry, Union Army. (1923 quote recalling battle of Winchester, March 1862) List of American Civil War generals (Confederate) Stonewall Jackson's Headquarters Museum List of memorials to Stonewall Jackson Stonewall Brigade Notes References Alexander, Bevin. Lost Victories: The Military Genius of Stonewall Jackson. New York: Holt, 1992, . Apperson, John Samuel. Repairing the "March of Mars": The Civil War diaries of John Samuel Apperson, hospital steward in the Stonewall Brigade, 1861–1865. Macon, GA: Mercer University Press, 2001. . Bryson, Bill. A Walk in the Woods. New York: Broadway Books, 1998. . Cleary, Ben. Searching for Stonewall Jackson: A Quest for Legacy in a Divided America, 2019. Description and arrow-searchable & scrollable preview. Reviews at Kirkus & Publishers Weekly. Grand Central Publishing. Eicher, David J. The Longest Night: A Military History of the Civil War. New York: Simon & Schuster, 2001. . Eicher, John H., and David J. Eicher. Civil War High Commands. Stanford, California: Stanford University Press, 2001. . Farwell, Byron. Stonewall: A Biography of General Thomas J. Jackson. New York: W. W. Norton and Co., 1993. . Freeman, Douglas S. Lee's Lieutenants: A Study in Command. 3 vols. New York: Scribner, 1946. . Freeman, Douglas S. R. E. Lee, A Biography. 4 vols. New York: Charles Scribner's Sons, 1934–35. . Henderson, G. F. R. Stonewall Jackson and the American Civil War. New York: Smithmark, 1995. . First published in 1898 by Longman, Greens, and Co. (The 1900 version has an introduction by Field Marshal Viscount Wolseley.) Hettle, Wallace. Inventing Stonewall Jackson: A Civil War Hero in History and Memory (Louisiana State University Press, 2011) Johnson, Robert Underwood, and Clarence C. Buel, eds. Battles and Leaders of the Civil War. 4 vols. New York: Century Co., 1884–1888. . McGuire, Dr. Hunter. "Death of Stonewall Jackson". Southern Historical Society Papers 14 (1886). McPherson, James M. Battle Cry of Freedom:
While living in London, England, he was convicted of the capital crime of larceny for stealing £170; the judge at the Old Bailey sentenced him to seven years penal transportation. Elizabeth, a strong, blonde woman almost tall, born in London, was also convicted of felony larceny in an unrelated case for stealing 19 pieces of silver, jewelry, and fine lace, and received a similar sentence. They both were transported on the merchant ship Litchfield, which departed London in May 1749 with 150 convicts. John and Elizabeth met on board and were in love by the time the ship arrived at Annapolis, Maryland. Although they were sent to different locations in Maryland for their bond service, the couple married in July 1755. The family migrated west across the Blue Ridge Mountains to settle near Moorefield, Virginia (now West Virginia) in 1758. In 1770, they moved farther west to the Tygart Valley. They began to acquire large parcels of virgin farming land near the present-day town of Buckhannon, including 3,000 acres (12 km2) in Elizabeth's name. John and his two teenage sons were early recruits for the American Revolutionary War, fighting in the Battle of Kings Mountain on October 7, 1780; John finished the war as captain and served as a lieutenant of the Virginia militia after 1787. While the men were in the Army, Elizabeth converted their home to a haven, "Jackson's Fort", for refugees from Indian attacks. John and Elizabeth had eight children. Their second son was Edward Jackson (1759–1828), and Edward's third son was Jonathan Jackson, Thomas's father. Jonathan's mother died on April 17, 1796. Three years later, on October 13, 1799, his father married Elizabeth Wetherholt, and they had nine more children. Early life Early childhood Thomas Jackson was born in the town of Clarksburg, Harrison County, Virginia, on January 21, 1824. He was the third child of Julia Beckwith (née Neale) Jackson (1798–1831) and Jonathan Jackson (1790–1826), an attorney. Both of Jackson's parents were natives of Virginia. The family already had two young children and were living in Clarksburg, in what is now West Virginia, when Thomas was born. He was named for his maternal grandfather. There is some dispute about the actual location of Jackson's birth. A historical marker on the floodwall in Parkersburg, West Virginia, claims that he was born in a cabin near that spot when his mother was visiting her parents who lived there. There are writings which indicate that in Jackson's early childhood, he was called "The Real Macaroni", though the origin of the nickname and whether it really existed are unclear. Thomas's sister Elizabeth (age six) died of typhoid fever on March 6, 1826, with two-year-old Thomas at her bedside. His father also died of a typhoid fever on March 26, 1827, after nursing his daughter. Jackson's mother gave birth to his sister Laura Ann the day after Jackson's father died. Julia Jackson thus was widowed at 28 and was left with much debt and three young children (including the newborn). She sold the family's possessions to pay the debts. She declined family charity and moved into a small rented one-room house. Julia took in sewing and opened a private school to support herself and her three young children for about four years. In 1830, Julia Neale Jackson remarried, against the wishes of her friends. Her new husband, Captain Blake B. Woodson, an attorney, did not like his stepchildren. Warren, Julia's eldest son, moved to live with his uncle Alfred Neale near Parkersburg, and at the age of sixteen, he was hired to teach in Upshur County. Julia moved to Fayette County with her other two children, Thomas and Laura. Julia remained in such poor health, and caring for the children was such a strain on her strength, that she agreed to let their Grandmother Jackson take them to her home in Lewis County, about four miles north of Weston, where she lived with her unmarried daughters and sons. One of these sons was sent to Fayette County to care for the children by the grandmother. When he arrived and the purpose of his visit was revealed, there was quite a commotion among the children, who were very reluctant to leave their mother. Thomas, now six years old, slipped away to the nearby woods, where he hid, only returning to the house at nightfall. After a day or two of coaxing and numerous bribes, the uncle finally persuaded the children to make the trip, which took several days, with the help of their mother. When they arrived at their destination, they became the pets of an indulgent grandmother, two maiden aunts, and several bachelor uncles, all of whom were known for their great kindness of heart and strong family attachment. Thomas and Laura were indulged in every way, and to an extent well calculated to spoil them. In August, 1835, Thomas and Laura's grandmother died. The following year, after giving birth to Thomas's half-brother Willam Wirt Woodson, Julia died of complications, leaving her three older children orphaned. Julia was buried in an unmarked grave in a homemade coffin in Westlake Cemetery along the James River and Kanawha Turnpike in Fayette County within the corporate limits of present-day Ansted, West Virginia. Working and teaching at Jackson's Mill As their mother's health continued to fail, Jackson and his sister Laura Ann were sent to live with their half-uncle, Cummins Jackson, who owned a grist mill in Jackson's Mill (near present-day Weston in Lewis County in central West Virginia). Their older brother, Warren, went to live with other relatives on his mother's side of the family, but he later died of tuberculosis in 1841 at the age of twenty. Thomas and Laura Ann returned from Jackson's Mill in November 1831 to be at their dying mother's bedside. They spent four years together at the Mill before being separated—Laura Ann was sent to live with her mother's family, Thomas to live with his Aunt Polly (his father's sister) and her husband, Isaac Brake, on a farm four miles from Clarksburg. Thomas was treated by Brake as an outsider and, having suffered verbal abuse for over a year, ran away from the family. When his cousin in Clarksburg urged him to return to Aunt Polly's, he replied, "Maybe I ought to, ma'am, but I am not going to." He walked eighteen miles through mountain wilderness to Jackson's Mill, where he was welcomed by his uncles and he remained there for the following seven years. Cummins Jackson was strict with Thomas, who looked up to Cummins as a schoolteacher. Jackson helped around the farm, tending sheep with the assistance of a sheepdog, driving teams of oxen and helping harvest wheat and corn. Formal education was not easily obtained, but he attended school when and where he could. Much of Jackson's education was self-taught. He once made a deal with one of his uncle's slaves to provide him with pine knots in exchange for reading lessons; Thomas would stay up at night reading borrowed books by the light of those burning pine knots. Virginia law forbade teaching a slave, free black or mulatto to read or write; nevertheless, Jackson secretly taught the slave, as he had promised. Once literate, the young slave fled to Canada via the Underground Railroad. In his later years at Jackson's Mill, Thomas served as a schoolteacher. Brother against sister The Civil War has sometimes been referred to as a war of "brother against brother," but in the case of the Jackson family, it was brother against sister. Laura Jackson Arnold was close to her brother Thomas until the Civil War period. As the war loomed, she became a staunch Unionist in a somewhat divided Harrison County. She was so strident in her beliefs that she expressed mixed feelings upon hearing of Thomas's death. One Union officer said that she seemed depressed at hearing the news, but her Unionism was stronger than her family bonds. In a letter, he wrote that Laura had said she "would rather know that he was dead than to have him a leader in the rebel army". Her Union sentiment also estranged her later from her husband, Jonathan Arnold. Early military career West Point In 1842, Jackson was accepted to the United States Military Academy at West Point, New York. Because of his inadequate schooling, he had difficulty with the entrance examinations and began his studies at the bottom of his class. Displaying a dogged determination that was to characterize his life, he became one of the hardest working cadets in the academy, and moved steadily up the academic rankings. Jackson graduated 17th out of 59 students in the Class of 1846. It was said by his peers that if he had stayed there another year, he would have graduated first. U.S. Army and the Mexican War Jackson began his United States Army career as a second lieutenant in Company K of the 1st U.S. Artillery Regiment, proceeding through Pennsylvania, down the Ohio and Mississippi Rivers to New Orleans, and from there the troops embarked for Point Isabel, Texas, and were sent to fight in the Mexican–American War from 1846 to 1848. Jackson's command was directed to report to General Taylor and proceed immediately via Matamoros and Camargo to Monterey and then to Saltillo. Prior to the Battle of Buena Vista, Lieutenant Jackson's command was ordered to withdraw from General Taylor's army and march to the mouth of the Rio Grande, where they would be transferred to Veracruz. He served at the Siege of Veracruz and the battles of Contreras, Chapultepec, and Mexico City, eventually earning two brevet promotions, and the regular army rank of first lieutenant. It was in Mexico that Thomas Jackson first met Robert E. Lee. During the assault on Chapultepec Castle on September 13, 1847, he refused what he felt was a "bad order" to withdraw his troops. Confronted by his superior, he explained his rationale, claiming withdrawal was more hazardous than continuing his overmatched artillery duel. His judgment proved correct, and a relieving brigade was able to exploit the advantage Jackson had broached. In contrast to this display of strength of character, he obeyed what he also felt was a "bad order" when he raked a civilian throng with artillery fire after the Mexican authorities failed to surrender Mexico City at the hour demanded by the U.S. forces. The former episode, and later aggressive action against the retreating Mexican army, earned him field promotion to the brevet rank of major. After the war, Jackson was briefly assigned to forts in New York, and then to Florida during the Second Interbellum of the Seminole Wars, during which the Americans were attempting to force the remaining Seminoles to move West. He was stationed briefly at Fort Casey before being named second-in-command at Fort Meade, a small fort about thirty miles south of Tampa. His commanding officer was Major William H. French. Jackson and French disagreed often, and filed numerous complaints against each other. Jackson stayed in Florida less than a year. Lexington and the Virginia Military Institute In the spring of 1851, Jackson accepted a newly created teaching position at the Virginia Military Institute (VMI), in Lexington, Virginia. He became Professor of Natural and Experimental Philosophy, or Physics, and Instructor of Artillery. Parts of Jackson's curriculum are still taught at VMI, regarded as timeless military essentials: discipline, mobility, assessing the enemy's strength and intentions while attempting to conceal your own, and the efficiency of artillery combined with an infantry assault. Though he spent a great deal of time preparing in depth for each class meeting, Jackson was unpopular as a teacher. His students called him "Tom Fool". He memorized his lectures and then recited them to the class; any student who came to ask for help was given the same explanation as before. And if a student asked for help a second time, Jackson viewed him as insubordinate and punished him. For his tests, Jackson typically had students simply recite memorized information that he had given them. The students mocked his apparently stern, religious nature and his eccentric traits. In 1856, a group of alumni attempted to have Jackson removed from his position. Jackson's peculiar personal traits contributed to his unpopularity as an educator. With little sense of humor, he once tried to get a cadet dismissed from VMI for playing a prank on him. He was a hypochondriac who had sinus problems and arthritis and stood for long periods of time to keep his internal organs in place, a tiring activity that he believed contributed to good health. He rarely ate much food and often subsisted on crackers and milk. He required little sleep but was known to take catnaps. He liked mineral baths. The founder of VMI and one of its first two faculty members was John Thomas Lewis Preston. Preston's second wife, Margaret Junkin Preston, was the sister of Jackson's first wife, Elinor. In addition to working together on the VMI faculty, Preston taught Sunday School with Jackson and served on his staff during the Civil War. Slavery Little known as he was to the white inhabitants of Lexington, Jackson was known by many of the African Americans in town, both slaves and free blacks. In 1855, he organized Sunday School classes for blacks at the Presbyterian Church. His second wife, Mary Anna Jackson, taught with Jackson, as "he preferred that my labors should be given to the colored children, believing that it was more important and useful to put the strong hand of the Gospel under the ignorant African race, to lift them up". The pastor, Dr. William Spottswood White, described the relationship between Jackson and his Sunday afternoon students: "In their religious instruction he succeeded wonderfully. His discipline was systematic and firm, but very kind. ... His servants reverenced and loved him, as they would have done a brother or father. ... He was emphatically the black man's friend." He addressed his students by name and they referred to him as "Marse Major". Jackson owned six slaves in the late 1850s. Three (Hetty, Cyrus, and George, a mother and two teenage sons) were received as part of the dowry at his marriage to Mary Anna Jackson. Another slave, Albert, requested that Jackson purchase him and allow him to work for his freedom; he was employed as a waiter in one of the Lexington hotels and Jackson rented him to VMI. Amy also requested that Jackson purchase her from a public slave auction and she served the family as a cook and housekeeper. The sixth, Emma, was a four-year-old orphan with a learning disability, accepted by Jackson from an aged widow and presented to his second wife, Mary Anna, as a welcome-home gift. After Jackson was shot at Chancellorsville, a slave "Jim Lewis, had stayed with Jackson in the small house as he lay dying". Mary Anna Jackson, in her 1895 memoir, said, "our servants ... without the firm guidance and restraint of their master, the excitement of the times proved so demoralizing to them that he deemed it best for me to provide them with good homes among the permanent residents". James Robertson wrote about Jackson's view on slavery: Marriages and family life While an instructor at VMI in 1853, Thomas Jackson married Elinor "Ellie" Junkin, whose father, George Junkin, was president of Washington College (later named Washington and Lee University) in Lexington. An addition was built onto the president's residence for the Jacksons, and when Robert E. Lee became president of Washington College he lived in the same home, now known as the Lee–Jackson House. Ellie gave birth to a stillborn son on October 22, 1854, experiencing a hemorrhage an hour later that proved fatal. After a tour of Europe, Jackson married again, in 1857. Mary Anna Morrison was from North Carolina, where her father was the first president of Davidson College. Her sister, Isabella Morrison, was married to Daniel Harvey Hill. They had a daughter named Mary Graham on April 30, 1858, but the baby died less than a month later. Another daughter was born in 1862, shortly before her father's death. The Jacksons named her Julia Laura, after his mother and sister. Jackson purchased the only house he ever owned while in Lexington. Built in 1801, the brick town house at 8 East Washington Street was purchased by Jackson in 1859. He lived in it for two years before being called to serve in the Confederacy. Jackson never returned to his home. John Brown raid aftermath In November 1859, at the request of the governor of Virginia, Major William Gilham led a contingent of the VMI Cadet Corps to Charles Town to provide an additional military presence at the hanging of militant abolitionist John Brown on December 2, following his raid on the federal arsenal at Harpers Ferry on October 16. Major Jackson was placed in command of the artillery, consisting of two howitzers manned by twenty-one cadets. Civil War In April 1861, after Virginia seceded from the Union and as the American Civil War broke out, Jackson was ordered by the Governor of Virginia to report with the VMI cadet corps to Richmond and await further orders. Upon arrival, Jackson was appointed a Major of Engineers in the Provisional Army of Virginia, which was a short lived force commanded by Robert E. Lee, prior to Virginia fully augmenting into forces of the Confederacy. After Jackson protested such a low rank, the Virginia Governor appointed him a Colonel of Virginia Infantry which in May 1861 was augmented to a Colonel in the Confederate Army. Jackson then became a drill master for some of the many new recruits in the Confederate Army. On April 27, 1861, Virginia Governor John Letcher ordered Colonel Jackson to take command at Harpers Ferry, where he would assemble and command the unit which later gained fame as the "Stonewall Brigade", consisting of the 2nd, 4th, 5th, 27th, and 33rd Virginia Infantry regiments. All of these units were from the Shenandoah Valley region of Virginia, where Jackson located his headquarters throughout the first two years of the war. Jackson became known for his relentless drilling of his troops; he believed discipline was vital to success on the battlefield. Following raids on the B&O Railroad on May 24, he was promoted to brigadier general on June 17, 1861. Jackson continued to wear a blue Union Army uniform up to this point, having only access to his old VMI major's jacket, and would not be issued with a grey Confederate uniform until 1862. First Battle of Bull Run Jackson rose to prominence and earned his most famous nickname at the First Battle of Bull Run (First Manassas) on July 21, 1861. As the Confederate lines began to crumble under heavy Union assault, Jackson's brigade provided crucial reinforcements on Henry House Hill, demonstrating the discipline he instilled in his men. While under heavy fire for several continuous hours, Jackson received a wound, breaking the middle finger of his left hand about midway between the hand and knuckle, the ball passing on the side next to the index finger. The troops of South Carolina, commanded by Gen. Barnard Elliott Bee Jr. had been overwhelmed, and he rode up to Jackson in despair, exclaiming, "They are beating us back!" "Then," said Jackson, "we will give them the bayonet!" As he rode back to his command, Bee exhorted his own troops to re-form by shouting, "There is Jackson standing like a stone wall. Let us determine to die here, and we will conquer. Rally behind the Virginians!" There is some controversy over Bee's statement and intent, which could not be clarified because he was killed almost immediately after speaking and none of his subordinate officers wrote reports of the battle. Major Burnett Rhett, chief of staff to General Joseph E. Johnston, claimed that Bee was angry at Jackson's failure to come immediately to the relief of Bee's and Francis S. Bartow's brigades while they were under heavy pressure. Those who subscribe to this opinion believe that Bee's statement was meant to be pejorative: "Look at Jackson standing there like a stone wall!" Regardless of the controversy and the delay in relieving Bee, Jackson's brigade, which would thenceforth be known as the Stonewall Brigade, stopped the Union assault and suffered more casualties than any other Southern brigade that day; Jackson has since then been generally known as Stonewall Jackson. During the battle, Jackson displayed a gesture common to him and held his left arm skyward with the palm facing forward – interpreted by his soldiers variously as an eccentricity or an entreaty to God for success in combat. His hand was struck by a bullet or a piece of shrapnel and he suffered a small loss of bone in his middle finger. He refused medical advice to have the finger amputated. After the battle, Jackson was promoted to major general (October 7, 1861) and given command of the Valley District, with headquarters in Winchester. Valley Campaign In the spring of 1862, Union Maj. Gen. George B. McClellan's Army of the Potomac approached Richmond from the southeast in the Peninsula Campaign. Maj. Gen. Irvin McDowell's large corps was poised to hit Richmond from the north, and Maj. Gen. Nathaniel P. Banks's army threatened the Shenandoah Valley. Jackson was ordered by Richmond to operate in the Valley to defeat Banks's threat and prevent McDowell's troops from reinforcing McClellan. Jackson possessed the attributes to succeed against his poorly coordinated and sometimes timid opponents: a combination of great audacity, excellent knowledge and shrewd use of the terrain, and an uncommon ability to inspire his troops to great feats of marching and fighting. The campaign started with a tactical defeat at Kernstown on March 23, 1862, when faulty intelligence led him to believe he was attacking a small detachment. But it became a strategic victory for the Confederacy, because his aggressiveness suggested that he possessed a much larger force, convincing President Abraham Lincoln to keep Banks' troops in the Valley and McDowell's 30,000-man corps near Fredericksburg, subtracting about 50,000 soldiers from McClellan's invasion force. As it transpired, it was Jackson's only defeat in the Valley. By adding Maj. Gen. Richard S. Ewell's large division and Maj. Gen. Edward "Allegheny" Johnson's small division, Jackson increased his army to 17,000 men. He was still significantly outnumbered, but attacked portions of his divided enemy individually at McDowell, defeating both Brig. Gens. Robert H. Milroy and Robert C. Schenck. He defeated Banks at Front Royal and Winchester, ejecting him from the Valley. Lincoln decided that the defeat of Jackson was an immediate priority (though Jackson's orders were solely to keep Union forces occupied away from Richmond). He ordered Irvin McDowell to send 20,000 men to Front Royal and Maj. Gen. John C. Frémont to move to Harrisonburg. If both forces could converge at Strasburg, Jackson's
not in high education. Pupil who finish a junior high school can enter a college of technology but 1st, 2nd and 3rd grades are in secondary education and out of this article. College of technology is special educational system which secondary and tertiary educations intermingle. Graduates from the school are equivalent to graduates from a junior college. Whilst special training colleges are not "schools" by the law, they are schools in public view. Their most courses are for two years but some have one, three or four-year courses. Graduates from courses for more than two years are equivalent to graduates from junior colleges and graduates from a course for four years can enter a graduate course of a university in recent years. History of the special training schools Special training schools were included in miscellaneous schools by the current educational law when it was enforced in 1947. The 83th article of the law provided for them and they were certainly miscellaneous. Because miscellaneous schools included educational organisations with lessons for a few times in a week then, some educational organisations including later special training schools were dissatisfied about the system. In addition, there were many problems because of being miscellaneous. Some educational organisations authorised by some definite condition became miscellaneous schools with reform of the law on 1 January 1957 but were still in the miscellaneous system. The law has not applied to many other educational organisations since the reform. There were various styles whilst the law authorised: for example, schools to provide about educational backgrounds and those without any provisions about them. There are still many problems and special training schools were created in January 1976. They include three courses: post-secondary, upper-secondary, and general courses. Schools with the post-secondary course for graduates who finish senior high schools and people with equivalent educational backgrounds are called as special training colleges. The upper-secondary course is that for graduates from junior high schools and everyone can enter the general course. The latter is near current miscellaneous schools. Graduates from special training colleges since 1994 can get diploma. The law does not provide about diploma unlike foundation degree that graduates from colleges of technology can get but is public degree as well. See also List of countries by tertiary education attainment Education by country List of universities and colleges by country Sources References Citations External links Tertiary education statistics, UNESCO Master of Tertiary Education Management, LH Martin Institute for
of students without disabilities. Some tertiary schools have been criticized as having permitted or actively encouraged grade inflation. In addition, certain scholars contend that the supply of graduates in some fields of study is exceeding the demand for their skills, aggravating graduate unemployment, underemployment and credentialism. Influence on views Graduates of tertiary education are likely to have different worldviews and moral values than non-graduates. Research indicates that graduates are more likely to have libertarian principles with less adherence to social hierarchies. Graduates are also more likely to embrace cultural and ethnic diversity and express more positive views towards minority groups. For international relationships, graduates are more likely to favor openness, supporting policies like free trade, open borders, the European Union, and more liberal policies regarding international migration. In the United Kingdom Under devolution in the United Kingdom, education is administered separately in England, Wales, Northern Ireland, and Scotland. In England, the term "tertiary education" aligns with the global term "higher education" (i.e. post-18 study). In 2018 the Welsh Government adopted the term "tertiary education" to refer to post-16 education and training in Wales. Since the 1970s, however, specialized further education colleges in England and Wales have called themselves "tertiary colleges" although being part of the secondary education process. These institutions cater for both school leavers and adults, thus combining the main functions of an FE college and a sixth form college. Generally, district councils with such colleges have adopted a tertiary system or structure where a single local institution provides all the 16–19 and adult education, and where schools do not universally offer sixth forms (i.e. schools only serve ages 11–16). However the Further and Higher Education Act 1992 has effectively prevented the creation of new tertiary colleges. In Australia Within Australia "tertiary education" refers to continuing studies after a student's Higher School Certificate. It also refers to any education a student receives after final compulsory schooling, which occurs at the age of 17 within Australia. Tertiary-education options include university, technical and further education or private universities. In the United States of America The higher education system in the United States is decentralized and regulated independently by each state with accreditors playing a key role in ensuring institutions meet minimum standards. It is large and diverse with institutions that are privately governed and institutions that are owned and operated by state and local governments. Some private institutions are affiliated with religious organizations whereas others are secular with enrollment ranging from a few dozen to tens of thousands of students. In short, there are a wide variety of options which are often locally determined. The United States Department of Education presents a broad-spectrum view of tertiary education and detailed information on the nation's educational structure, accreditation procedures, and connections to state as well as federal agencies and entities. The Carnegie Classification of Institutions of Higher Education provides one framework for classifying U.S. colleges and universities in several different ways. US tertiary education also includes various non-profit organizations promoting professional development of individuals in the field of higher education and helping expand awareness of related issues like international student services and complete campus internationalization. In the European Union Although tertiary education in the EU includes university, it can differ from country to country. In France After going to nursery
depth of . This allows diving throughout the usual recreational range, while decreasing decompression obligation and narcotic effects compared to air. GUE and UTD also promote hyperoxic trimix for this depth range, but prefer the term "TriOx". Applications In open-circuit scuba, two classes of trimix are commonly used: normoxic trimix—with a minimum PO2 at the surface of 0.18 and hypoxic trimix—with a PO2 less than 0.18 at the surface. A normoxic mix such as "19/30" is used in the depth range; a hypoxic mix such as "10/50" is used for deeper diving, as a bottom gas only, and cannot safely be breathed at shallow depths where the PO2 is less than 0.18 bar. In fully closed-circuit rebreathers that use trimix diluents, the mix in the breathing loop can be hyperoxic (meaning more oxygen than in air, as in enriched air nitrox) in shallow water, because the rebreather automatically adds oxygen to maintain a specific partial pressure of oxygen. Hyperoxic trimix is also sometimes used on open circuit scuba, to reduce decompression obligations. Blending Gas blending of trimix generally involves mixing helium and oxygen with air to the desired proportions and pressure. Two methods are in common use: Partial pressure blending is done by decanting oxygen and helium into the diving cylinder and then topping up the mix with air from a diving air compressor. To ensure an accurate mix, after each helium and oxygen transfer, the mix is allowed to cool, its pressure is measured and further gas is decanted until the correct pressure is achieved. This process often takes hours and is sometimes spread over days at busy blending stations. Corrections can be made for temperature effect, but this requires accurate monitoring of the temperature of the mixture inside the cylinder, which is generally not available. A second method called 'continuous blending' is done by mixing oxygen and helium into the intake air of a compressor. The oxygen and helium are fed into mixing tubes in the intake air stream using flow meters or analysis of the oxygen content after oxygen addition and before and after the helium addition, and the oxygen and helium flows adjusted accordingly. On the high pressure side of the compressor a regulator or bleed orifice is used to reduce pressure of a sample flow and the trimix is analyzed (preferably for both helium and oxygen) so that the fine adjustment to the intake gas flows can be made. The benefit of such a system is that the helium delivery tank pressure need not be as high as that used in the partial pressure method of blending and residual gas can be 'topped up' to best mix after the dive. This is important mainly because of the high cost of helium. Drawbacks may be that the high heat of compression of helium results in the compressor overheating, especially in hot weather. Temperature of the trimix entering the analyser should be kept constant for best reliability of the analysis, and the analyser should be calibrated at ambient temperature before use. The mixing tube is a very simple device, and DIY versions of the continuous blend units can be made for a relatively low cost compared to the cost of analysers and compressor. Choice of mixture composition The ratio of gases in a particular mix is chosen to give a safe maximum operating depth and comfortable equivalent narcotic depth for the planned dive. Safe limits for mix of gases in trimix are generally accepted to be a maximum partial pressure of oxygen (PO2—see Dalton's law) of 1.0 to 1.6 bar and maximum equivalent narcotic depth of . At , "12/52" has a PO2 of 1.3 bar and an equivalent narcotic depth of . "Standard" mixes Although theoretically trimix can be blended with almost any combination of helium and oxygen, a number of "standard" mixes have evolved (such as 21/35, 18/45 and 15/55—see Naming conventions). Most of these mixes originated from starting by decanting a given pressure of helium into an empty cylinder, and then topping up the mix with 32% nitrox. The "standard" mixes evolved because of three coinciding factors — the desire to keep the equivalent narcotic depth (END) of the mix at approximately , the requirement to keep the partial pressure of oxygen at 1.4 ATA or below at the deepest point of the dive, and the fact that many dive shops stored standard 32% nitrox in banks, which simplifies mixing. The use of standard mixes makes it relatively easy to top up diving cylinders after a dive using residual mix — only helium and banked nitrox are needed to top up the residual gas from the last fill. The method of mixing a known nitrox mix with helium allows analysis of the fractions of each gas using only an oxygen analyser, since the ratio of the oxygen fraction in the final mix to the oxygen fraction in the initial nitrox gives the fraction of nitrox in the final mix, hence the fractions of the three components are easily calculated. It is demonstrably true that the END of a nitrox-helium mixture at its maximum operating depth (MOD) is equal to the MOD of the nitrox alone. Heliair Heliair is a breathing gas consisting of mixture of oxygen, nitrogen and helium and
is recommended by several recreational and technical diving certification agencies for open circuit, and 1.2 bar or 1.3 bar as maximum for the active sectors of a dive on closed-circuit rebreather. Increasing the oxygen fraction in a trimix to be used as a decompression gas can accelerate decompression with a lowered risk of isobaric counter diffusion complications. Advantages of keeping some nitrogen in the mix Retaining nitrogen in trimix can contribute to the prevention of High Pressure Nervous Syndrome, a problem that can occur when breathing heliox at depths beyond about . Nitrogen is also much less expensive than helium. Naming conventions The term trimix implies that the gas has three functional components, which are helium, nitrogen and oxygen. Since the nitrogen and all or part of the oxygen is usually provided from air, the other components of ordinary atmospheric air are generally ignored. Conventionally, the composition of a mix is specified by its oxygen percentage, helium percentage and optionally the balance percentage, nitrogen, in that order. For example, a mix named "trimix 10/70" or trimix 10/70/20, consisting of 10% oxygen, 70% helium, 20% nitrogen is suitable for a dive. Hyperoxic trimix is sometimes referred to as Helitrox, TriOx, or HOTx (High Oxygen Trimix) with the "x" in HOTx representing the mixture's fraction of helium as a percentage. The basic term Trimix is sufficient, modified as appropriate with the terms hypoxic, normoxic and hyperoxic, and the usual forms for indicating constituent gas fraction, to describe any possible ratio of gases, but the National Association of Underwater Instructors (NAUI) uses the term "helitrox" for hyperoxic 26/17 Trimix, i.e. 26% oxygen, 17% helium, 57% nitrogen. Helitrox requires decompression stops similar to Nitrox-I (EAN32) and has a maximum operating depth of , where it has an equivalent narcotic depth of . This allows diving throughout the usual recreational range, while decreasing decompression obligation and narcotic effects compared to air. GUE and UTD also promote hyperoxic trimix for this depth range, but prefer the term "TriOx". Applications In open-circuit scuba, two classes of trimix are commonly used: normoxic trimix—with a minimum PO2 at the surface of 0.18 and hypoxic trimix—with a PO2 less than 0.18 at the surface. A normoxic mix such as "19/30" is used in the depth range; a hypoxic mix such as "10/50" is used for deeper diving, as a bottom gas only, and cannot safely be breathed at shallow depths where the PO2 is less than 0.18 bar. In fully closed-circuit rebreathers that use trimix diluents, the mix in the breathing loop can be hyperoxic (meaning more oxygen than in air, as in enriched air nitrox) in shallow water, because the rebreather automatically adds oxygen to maintain a specific partial pressure of oxygen. Hyperoxic trimix is also sometimes used on open circuit scuba, to reduce decompression obligations. Blending Gas blending of trimix generally involves mixing helium and oxygen with air to the desired proportions and pressure. Two methods are in common use: Partial pressure blending is done by decanting oxygen and helium into the diving cylinder and then topping up the mix with air from a diving air compressor. To ensure an accurate mix, after each helium and oxygen transfer, the mix is allowed to cool, its pressure is measured and further gas is decanted until the correct pressure is achieved. This process often takes hours and is sometimes spread over days at busy blending stations. Corrections can be made for temperature effect, but this requires accurate monitoring of the temperature of the mixture inside the cylinder, which is generally not available. A second method called 'continuous blending' is done by mixing oxygen and helium into the intake air of a compressor. The oxygen and helium are fed into mixing tubes in the intake air stream using flow meters or analysis of the oxygen content after oxygen addition and before and after the helium addition, and the oxygen and helium flows adjusted accordingly. On the high pressure side of the compressor a regulator or bleed orifice is used to reduce pressure of a sample flow and the trimix is analyzed (preferably for both helium and oxygen) so that the fine adjustment to the intake gas flows can be made. The benefit of such a system is that the helium delivery tank pressure need not be as high as that used in the partial pressure method of blending and residual gas can be 'topped up' to
and properties of molecular systems. It uses mathematical and physical methods to explain the structures and dynamics of chemical systems and to correlate, understand, and predict their thermodynamic and kinetic properties. In the most general sense, it is explanation of chemical phenomena by methods of theoretical physics. In contrast to theoretical physics, in connection with the high complexity of chemical systems, theoretical chemistry, in addition to approximate mathematical methods, often uses semi-empirical and empirical methods. In recent years, it has consisted primarily of quantum chemistry, i.e., the application of quantum mechanics to problems in chemistry. Other major components include molecular dynamics, statistical thermodynamics and theories of electrolyte solutions, reaction networks, polymerization, catalysis, molecular magnetism and spectroscopy. Modern theoretical chemistry may be roughly divided into the study of chemical structure and the study of chemical dynamics. The former includes studies of: electronic structure, potential energy surfaces, and force fields; vibrational-rotational motion; equilibrium properties of condensed-phase systems and macro-molecules. Chemical dynamics includes: bimolecular kinetics and the collision theory of reactions and energy transfer; unimolecular rate theory and metastable states; condensed-phase and macromolecular aspects of dynamics. Branches of theoretical chemistry Quantum chemistry The application of quantum mechanics or fundamental interactions to chemical and physico-chemical problems. Spectroscopic and magnetic properties are between the most frequently modelled. Computational chemistryThe application of scientific computing to chemistry, involving approximation schemes such as Hartree–Fock, post-Hartree–Fock, density functional theory, semiempirical methods (such as PM3) or force field methods. Molecular shape is the most frequently predicted property. Computers can also predict vibrational spectra and vibronic coupling, but also acquire and Fourier transform Infra-red Data into frequency information. The comparison with predicted vibrations supports the predicted shape. Molecular modelling Methods for modelling molecular structures without necessarily referring to quantum mechanics. Examples are molecular docking, protein-protein docking, drug design, combinatorial chemistry. The fitting of shape and electric potential are the driving factor in this graphical approach. Molecular dynamics Application of classical mechanics for simulating the movement of the nuclei of an assembly of atoms and molecules. The rearrangement of molecules within an ensemble is controlled by Van der Waals forces and promoted by temperature. Molecular mechanics Modeling of the intra- and inter-molecular interaction potential energy surfaces via potentials. The latter are usually parameterized from ab initio calculations. Mathematical chemistry Discussion and prediction of
to problems in chemistry. Other major components include molecular dynamics, statistical thermodynamics and theories of electrolyte solutions, reaction networks, polymerization, catalysis, molecular magnetism and spectroscopy. Modern theoretical chemistry may be roughly divided into the study of chemical structure and the study of chemical dynamics. The former includes studies of: electronic structure, potential energy surfaces, and force fields; vibrational-rotational motion; equilibrium properties of condensed-phase systems and macro-molecules. Chemical dynamics includes: bimolecular kinetics and the collision theory of reactions and energy transfer; unimolecular rate theory and metastable states; condensed-phase and macromolecular aspects of dynamics. Branches of theoretical chemistry Quantum chemistry The application of quantum mechanics or fundamental interactions to chemical and physico-chemical problems. Spectroscopic and magnetic properties are between the most frequently modelled. Computational chemistryThe application of scientific computing to chemistry, involving approximation schemes such as Hartree–Fock, post-Hartree–Fock, density functional theory, semiempirical methods (such as PM3) or force field methods. Molecular shape is the most frequently predicted property. Computers can also predict vibrational spectra and vibronic coupling, but also acquire and Fourier transform Infra-red Data into frequency information. The comparison with predicted vibrations supports the predicted shape. Molecular modelling Methods for modelling molecular structures without necessarily referring to quantum mechanics. Examples are molecular docking, protein-protein docking, drug design, combinatorial chemistry. The fitting of shape and electric potential are the driving factor in this graphical approach. Molecular dynamics Application of classical mechanics for simulating the movement of the nuclei of an assembly of atoms and molecules. The rearrangement of molecules within an ensemble is controlled by Van der Waals forces and promoted by temperature. Molecular mechanics Modeling of the intra- and inter-molecular interaction potential energy surfaces via potentials. The latter are usually parameterized from ab initio calculations. Mathematical chemistry Discussion and prediction of the molecular structure using mathematical methods without necessarily referring to quantum mechanics. Topology is a branch of mathematics that allows researchers to predict properties of flexible finite size bodies like clusters. Theoretical chemical kinetics Theoretical study of the dynamical systems associated to reactive chemicals, the activated complex and their corresponding differential equations. Cheminformatics (also known as chemoinformatics) The use of computer and informational techniques, applied to crop information to solve problems in the
produced by the United States in the 21st century could fit into a square 100 feet thick and 28 km along each side, or 0.009% of the total surface of the United States. 4. Future threats to human prosperity In this last section, Lomborg puts forward his main assertion: based on a cost-benefit analysis, the environmental threats to human prosperity are overstated and much of policy response is misguided. As an example, Lomborg cites worries about pesticides and their link to cancer. He argues that such concerns are vastly exaggerated in the public perception, as alcohol and coffee are the foods that create by far the greatest risk of cancer, as opposed to vegetables that have been sprayed with pesticides. Furthermore, if pesticides were not used on fruit and vegetables, their cost would rise, and consequently their consumption would go down, which would cause cancer rates to increase. He goes on to criticize the fear of a vertiginous decline in biodiversity, proposing that 0.7% of species have gone extinct in the last 50 years (as compared to a maximum of 50%, as claimed by some biologists). While Lomborg admits that extinctions are a problem, he asserts that they are not the catastrophe claimed by some, and have little effect on human prosperity. Lomborg's most contentious assertion, however, involves global warming. From the outset, Lomborg "accepts the reality of man-made global warming" though he refers to a number of uncertainties in the computer simulations of climate change and some aspects of data collection. His main contention involves not the science of global warming but the politics and the policy response to scientific findings. Lomborg points out that, given the amount of greenhouse gas reduction required to combat global warming, the current Kyoto protocol is grossly insufficient. He argues that the economic costs of legislative restrictions that aim to slow or reverse global warming are far higher than the alternative of international coordination. Moreover, he asserts that the cost of combating global warming would be disproportionately shouldered by developing countries. Lomborg proposes that since the Kyoto agreement limits economic activities, developing countries that suffer from pollution and poverty most, will be perpetually handicapped economically. Lomborg proposes that the importance of global warming in terms of policy priority is low compared to other policy issues such as fighting poverty, disease and aiding poor countries, which has direct and more immediate impact both in terms of welfare and the environment. He therefore suggests that a global cost-benefit analysis be undertaken before deciding on future measures. The Copenhagen Consensus that Lomborg later organized concluded that combating global warming does have a benefit but its priority compared to other issues is "poor" (ranked 13th) and three projects addressing climate change (optimal carbon tax, the Kyoto protocol and value-at-risk carbon tax), are the least cost-efficient of its proposals. Conclusions Lomborg concludes his book by once again reviewing the Litany, and noting that the real state of the world is much better than the Litany claims. According to Lomborg, this discrepancy poses a problem, as it focuses public attention on relatively unimportant issues, while ignoring those that are paramount. In the worst case, The Skeptical Environmentalist argues, the global community is pressured to adopt inappropriate policies which have adverse effects on humanity, wasting resources that could be put to better use in aiding poor countries or fighting diseases such as AIDS. Lomborg thus urges us to look at what he calls the true problems of the world, since solving those will also solve the Litany. Reaction The Skeptical Environmentalist was controversial even before its English-language release, with anti-publication efforts launched against Cambridge University Press. Once in the public arena, the book elicited strong reactions in scientific circles and in the mainstream media. Opinion was largely polarized. Environmental groups were generally critical. Criticism of the material and methods The January 2002 issue of Scientific American contained, under the heading "Misleading Math about the Earth", a set of essays by several scientists, which maintain that Lomborg and The Skeptical Environmentalist misrepresent both scientific evidence and scientific opinion. The magazine then refused Lomborg's request to print a lengthy point-by-point rebuttal in his own defence, on the grounds that the 32 pages would have taken a disproportionate share of the month's installment. Scientific American allowed Lomborg a one-page defense in the May 2002 edition, and then attempted to remove Lomborg's publication of his complete response online, citing a copyright violation. After receiving much criticism, the magazine published his complete rebuttal on its website, along with the counter rebuttals of John Rennie and John P. Holdren.<ref>Holdren, John P. "A Response to Bjørn Lomborg’s Response to My Critique of His Energy Chapter". Scientific American, 15 April 2002. Retrieved: 21 February 2006.</ref>Nature also published a harsh review of Lomborg's book, in which Stuart Pimm of the Center for Environmental Research and Conservation at Columbia University and Jeff Harvey of the Netherlands Institute of Ecology wrote: "the text employs the strategy of those who, for example, argue that gay men aren't dying of AIDS, that Jews weren't singled out by the Nazis for extermination, and so on." Lomborg has also been criticized for using straw man arguments, with charges that his Litany of environmental doom-mongering does not accurately represent the mainstream views of the contemporary green movement. The "separately written expert reviews" further detail the various expert opinions. Peter Gleick's assessment, for example, states: There is nothing original or unique in Lomborg's book. Many of his criticisms have appeared in... previous works—and even in the work of environmental scientists themselves. What is new, perhaps, is the scope and variety of the errors he makes. Jerry Mahlman's appraisal of the chapter he was asked to evaluate, states: I found some aspects of this chapter to be interesting, challenging, and logical. For example, the author's characterizations of the degree of difficulty in actually doing something meaningful about climate change through mitigation and coping/adaptation are perceptive and valuable. In principle, such characterizations could provide a foundation for more meaningful policy planning on this difficult problem. Unfortunately, the author's lack of rigor and consistency on these larger issues is likely to negate any real respect for his insights. David Pimentel, who was repeatedly criticized in the book, also wrote a critical review. Criticism of media handling One critical article, "The Skeptical Environmentalist: A Case Study in the Manufacture of News", attributes this media success to its initial, influential supporters: News of the pending book first appeared in the UK in early June of 2001 when a Sunday Times article by Nayab Chohan featured an advanced report of claims made by Lomborg that London's air was cleaner than at any time since 1585. Headlined "Cleanest London Air for 400 Years," the publicity hook was both local and timely, as the tail end of the article linked the book's questioning of the Kyoto climate change protocol to U.S. president George W. Bush's visit the same week to Europe, and Bush's controversial opposition to the treaty. The Times followed up the report the next day with a news article further detailing the book's Kyoto protocol angle. With The Times reports, Lomborg and his claims had made the Anglo media agenda. As is typically the case, other media outlets followed the reporting of the elite newspaper. Articles pegging the claims of The Skeptical Environmentalist to Bush's European visit ran later that week in the U.K's The Express and Daily Telegraph, and Canada's Toronto Star. The media was criticized for the biased selection of reviewers and not informing readers of reviewers' background. Richard C. Bell, writing for Worldwatch noted that the Wall Street Journal, "instead of seeking scientists with a critical perspective," like many publications "put out reviews by people who were closely associated with Lomborg", with the Journal soliciting a review from the Competitive Enterprise Institute's Ronald Bailey, someone "who had earlier written a book called The True State of the World, from which much of Lomborg's claims were taken." Bell also criticized the Washington Post, whose Sunday Book World assigned the book review to Denis Dutton, identified as "a professor of philosophy who lectures on the dangers of pseudoscience at the science faculties of the University of Canterbury in New Zealand", and as the editor of the web site Arts and Letters Daily. Bell noted that: The Post did not tell its readers that Dutton's web site features links to the Global Climate Coalition, an anti-Kyoto consortium of oil and coal businesses, and to the messages of Julian Simon—the man whose denial that global warming was occurring apparently gave Lomborg the idea for his book in the first place. It was hardly surprising that Dutton anointed Lomborg's book as "the most significant work on the environment since the appearance of its polar opposite, Rachel Carson's Silent Spring, in 1962. It's a magnificent achievement." The "unrealistic" critique Some critics of The Skeptical Environmentalist took issue not with the statistical investigation of Lomborg's Litany, but with the suggestions and conclusions for which they were the foundation. This line of criticism considered the book as a contribution to the policy debate over environment rather than the work of natural science. In a BBC column from August 23, 2001, veteran BBC environmental correspondent Alex Kirby wrote: I am neither a statistician nor a scientist, and I lack the skill to judge Lomborg's reworkings of the statistics of conventional wisdom. But I am worried that on virtually every topic he touches, he reaches conclusions radically different from almost everybody else. That seems to suggest that most scientists are wrong, short-sighted, naïve, interested only in securing research funds, or deliberately dancing to the campaigners' tune. Most I know are honest, intelligent and competent. So it beggars belief to suppose that Professor Lomborg is the only one in step, every single time. Kirby's first concern was not with the extensive research and statistical analysis, but the conclusions drawn from them: What really riles me about his book is that it is so damnably reasonable. In the rational world that Bjørn Lomborg thinks we all inhabit, we would manage problems sensibly, one by one. But the real world is messier, more unpredictable—and
points out that, given the amount of greenhouse gas reduction required to combat global warming, the current Kyoto protocol is grossly insufficient. He argues that the economic costs of legislative restrictions that aim to slow or reverse global warming are far higher than the alternative of international coordination. Moreover, he asserts that the cost of combating global warming would be disproportionately shouldered by developing countries. Lomborg proposes that since the Kyoto agreement limits economic activities, developing countries that suffer from pollution and poverty most, will be perpetually handicapped economically. Lomborg proposes that the importance of global warming in terms of policy priority is low compared to other policy issues such as fighting poverty, disease and aiding poor countries, which has direct and more immediate impact both in terms of welfare and the environment. He therefore suggests that a global cost-benefit analysis be undertaken before deciding on future measures. The Copenhagen Consensus that Lomborg later organized concluded that combating global warming does have a benefit but its priority compared to other issues is "poor" (ranked 13th) and three projects addressing climate change (optimal carbon tax, the Kyoto protocol and value-at-risk carbon tax), are the least cost-efficient of its proposals. Conclusions Lomborg concludes his book by once again reviewing the Litany, and noting that the real state of the world is much better than the Litany claims. According to Lomborg, this discrepancy poses a problem, as it focuses public attention on relatively unimportant issues, while ignoring those that are paramount. In the worst case, The Skeptical Environmentalist argues, the global community is pressured to adopt inappropriate policies which have adverse effects on humanity, wasting resources that could be put to better use in aiding poor countries or fighting diseases such as AIDS. Lomborg thus urges us to look at what he calls the true problems of the world, since solving those will also solve the Litany. Reaction The Skeptical Environmentalist was controversial even before its English-language release, with anti-publication efforts launched against Cambridge University Press. Once in the public arena, the book elicited strong reactions in scientific circles and in the mainstream media. Opinion was largely polarized. Environmental groups were generally critical. Criticism of the material and methods The January 2002 issue of Scientific American contained, under the heading "Misleading Math about the Earth", a set of essays by several scientists, which maintain that Lomborg and The Skeptical Environmentalist misrepresent both scientific evidence and scientific opinion. The magazine then refused Lomborg's request to print a lengthy point-by-point rebuttal in his own defence, on the grounds that the 32 pages would have taken a disproportionate share of the month's installment. Scientific American allowed Lomborg a one-page defense in the May 2002 edition, and then attempted to remove Lomborg's publication of his complete response online, citing a copyright violation. After receiving much criticism, the magazine published his complete rebuttal on its website, along with the counter rebuttals of John Rennie and John P. Holdren.<ref>Holdren, John P. "A Response to Bjørn Lomborg’s Response to My Critique of His Energy Chapter". Scientific American, 15 April 2002. Retrieved: 21 February 2006.</ref>Nature also published a harsh review of Lomborg's book, in which Stuart Pimm of the Center for Environmental Research and Conservation at Columbia University and Jeff Harvey of the Netherlands Institute of Ecology wrote: "the text employs the strategy of those who, for example, argue that gay men aren't dying of AIDS, that Jews weren't singled out by the Nazis for extermination, and so on." Lomborg has also been criticized for using straw man arguments, with charges that his Litany of environmental doom-mongering does not accurately represent the mainstream views of the contemporary green movement. The "separately written expert reviews" further detail the various expert opinions. Peter Gleick's assessment, for example, states: There is nothing original or unique in Lomborg's book. Many of his criticisms have appeared in... previous works—and even in the work of environmental scientists themselves. What is new, perhaps, is the scope and variety of the errors he makes. Jerry Mahlman's appraisal of the chapter he was asked to evaluate, states: I found some aspects of this chapter to be interesting, challenging, and logical. For example, the author's characterizations of the degree of difficulty in actually doing something meaningful about climate change through mitigation and coping/adaptation are perceptive and valuable. In principle, such characterizations could provide a foundation for more meaningful policy planning on this difficult problem. Unfortunately, the author's lack of rigor and consistency on these larger issues is likely to negate any real respect for his insights. David Pimentel, who was repeatedly criticized in the book, also wrote a critical review. Criticism of media handling One critical article, "The Skeptical Environmentalist: A Case Study in the Manufacture of News", attributes this media success to its initial, influential supporters: News of the pending book first appeared in the UK in early June of 2001 when a Sunday Times article by Nayab Chohan featured an advanced report of claims made by Lomborg that London's air was cleaner than at any time since 1585. Headlined "Cleanest London Air for 400 Years," the publicity hook was both local and timely, as the tail end of the article linked the book's questioning of the Kyoto climate change protocol to U.S. president George W. Bush's visit the same week to Europe, and Bush's controversial opposition to the treaty. The Times followed up the report the next day with a news article further detailing the book's Kyoto protocol angle. With The Times reports, Lomborg and his claims had made the Anglo media agenda. As is typically the case, other media outlets followed the reporting of the elite newspaper. Articles pegging the claims of The Skeptical Environmentalist to Bush's European visit ran later that week in the U.K's The Express and Daily Telegraph, and Canada's Toronto Star. The media was criticized for the biased selection of reviewers and not informing readers of reviewers' background. Richard C. Bell, writing for Worldwatch noted that the Wall Street Journal, "instead of seeking scientists with a critical perspective," like many publications "put out reviews by people who were closely associated with Lomborg", with the Journal soliciting a review from the Competitive Enterprise Institute's Ronald Bailey, someone "who had earlier written a book called The True State of the World, from which much of Lomborg's claims were taken." Bell also criticized the Washington Post, whose Sunday Book World assigned the book review to Denis Dutton, identified as "a professor of philosophy who lectures on the dangers of pseudoscience at the science faculties of the University of Canterbury in New Zealand", and as the editor of the web site Arts and Letters Daily. Bell noted that: The Post did not tell its readers that Dutton's web site features links to the Global Climate Coalition, an anti-Kyoto consortium of oil and coal businesses, and to the messages of Julian Simon—the man whose denial that global warming was occurring apparently gave Lomborg the idea for his book in the first place. It was hardly surprising that Dutton anointed Lomborg's book as "the most significant work on the environment since the appearance of its polar opposite, Rachel Carson's Silent Spring, in 1962. It's a magnificent achievement." The "unrealistic" critique Some critics of The Skeptical Environmentalist took issue not with the statistical investigation of Lomborg's Litany, but with the suggestions and conclusions for which they were the foundation. This line of criticism considered the book as a contribution to the policy debate over environment rather than the work of natural science. In a BBC column from August 23, 2001, veteran BBC environmental correspondent Alex Kirby wrote: I am neither a statistician nor a scientist, and I lack the skill to judge Lomborg's reworkings of the statistics of conventional wisdom. But I am worried that on virtually every topic he touches, he reaches conclusions radically different from almost everybody else. That seems to suggest that most scientists are wrong, short-sighted, naïve, interested only in securing research funds, or deliberately dancing to the campaigners' tune. Most I know are honest, intelligent and competent. So it beggars belief to suppose that Professor Lomborg is the only one in step, every single time. Kirby's first concern was not with the extensive research and statistical analysis, but the conclusions drawn from them: What really riles me about his book is that it is so damnably reasonable. In the rational world that Bjørn Lomborg thinks we all inhabit, we would manage problems sensibly, one by one. But the real world is messier, more unpredictable—and more impatient. On September 5, 2001, at a Lomborg book reading in England, British environmentalist author Mark Lynas threw a cream pie in Lomborg's face. In a September 9, 2001, article, "Why I pied Lomborg", Lynas stated: Lomborg specialises in presenting the reader with false choices—such as the assertion that money not spent on preventing climate change could be spent on bringing clean water to the developing world, thereby saving more lives per dollar of expenditure. Of course, in the real world, these are not the kind of choices we are faced with. Why not take the $60 billion from George Bush's stupid Son of Star Wars program and use that cash to save lives in Ethiopia? Because in a world where political choices are not made democratically at a global level, but by a small number of rich countries and corporations, the poor and the environment are never going to be a priority. The December 12, 2001 issue of Grist devoted an issue to The Skeptical Environmentalist, with a series of essays from various scientists challenging individual sections. A separate article examining the book's overall approach took issue with the framing of Lomborg's conclusions: Lomborg begins by making the entirely reasonable point that accurate information is critical to informed decision-making. If information is skewed to paint a bleaker environmental picture than is justified by reality, as he claims, then we will in turn skew our limited resources in favor of the environment and away from other important causes. ... Then Lomborg proceeds to weigh the causes championed by the environmental movement against a deliberately circumscribed universe of other possible "good causes." It is up to us, he says, to make responsible decisions about whether to protect the environment or "boost Medicaid, increase funding to the arts, or cut taxes. ... The worse they can make this state appear, the easier it is for them to convince us we need to spend more money on the environment rather on hospitals, kindergartens, etc." A few pages later he again claims that the purpose of the Litany is to cause us to prioritize the environment over "hospitals, child day care, etc." ... But who is really failing to consider how our money is spent? As Lomborg notes, "We will never have enough money," and therefore, "Prioritization is absolutely essential." Why, then, does he weigh the environment only against hospitals and childcare, rather than against, say, industry subsidies and defense spending? Addressing the apparent difficulty of scientists opposing The Skeptical Environmentalist in criticizing the book strictly on the basis of statistics and challenging the conclusions about areas of environmental sciences that were drawn from them, Lynas contends: One of the biggest problems facing the environmental community in analyzing Lomborg’s book is that his work, as flawed as it is, has clearly been very time-consuming and meticulous. In a busy and under funded world, few people have the time or background knowledge to plow though 3,000 footnotes checking his sources. It is impressively interdisciplinary. Support Influential UK newsweekly The Economist weighed in at the start with heavy support, publishing an advance essay by Lomborg in which he detailed his Litany, and following up with a highly favorable review and supportive coverage. It stated that "This is one of the most valuable books on public policy—not merely environmental policy—to have been written for the intelligent general reader in the past ten years...The Skeptical Environmentalist is a triumph." The Economist – Leader – The environment – Defending science “The January issue of Scientific American devoted many pages to a series of articles trashing ‘The Skeptical Environmentalist’. The authors, all supporters of the green movement, were strong on contempt and sneering, but weak on substance.” Among the general media, The New York Times stated that "The primary target of the book, a substantial work of analysis with almost 3,000 footnotes, are statements made by environmental organizations like the Worldwatch Institute, the World Wildlife Fund and Greenpeace." The Wall Street Journal deemed Lomborg's work "a superbly documented and readable book.". A review in The Washington Post claimed that "Bjørn Lomborg's good news about the environment is bad news for Green ideologues. His richly informative, lucid book is now the place from which environmental policy decisions must be argued. In fact, The Skeptical Environmentalist is the most significant work on the environment since the appearance of its polar opposite, Rachel Carson's Silent Spring, in 1962. It's a magnificent achievement." Rolling Stone wrote that "Lomborg pulls off the remarkable feat of welding the techno-optimism of the Internet age with a lefty's concern for the fate of the planet." In March 2003 the New York Law School Law Review published an examination of the critical reviews of Skeptical Environmentalist from the Scientific American, Nature and Science magazines by Professor of Law David Shoenbrod and then Senior Law Student Christi Wilson of New York Law School. The authors take the perspective of a court faced with an argument against hearing an expert witness in order to evaluate whether Lomborg was credible as an expert, and whether his testimony is valid to his expertise. They classify the types of criticisms leveled at Lomborg and his arguments, and proceed to evaluate each of the reasons given for disqualifying Lomborg. They conclude that a court should accept Lomborg as a credible expert in the field of statistics, and that his testimony was appropriately restricted to his area of expertise. Of course, Professor Shoenbrod and Wilson note, Mr. Lomborg's factual conclusions may not be correct, nor his policy proposals effective, but his criticisms should be addressed, not merely dismissed out of hand. The Union of Concerned Scientists and the Danish Committees on Scientific Dishonesty raised concern about the responses of certain sections of the scientific community to a peer reviewed book published under the category of environmental economics. The groups worried that the receptions to Lomborg were a politicization of science by scientists. This unease was reflected in the involvement of the Union of Concerned Scientists and Danish Committees on Scientific Dishonesty in "When scientists politicize science: making sense of controversy over The Skeptical Environmentalist", where Roger A. Pielke argued: In "Green with Ideology – The hidden agenda behind the "scientific" attacks on
neurological toxicity. Additionally, it is a serious problem in the pediatric population due to their inherent toxicity and the availability of these in the home when prescribed for bed-wetting and depression. In the event of a known or suspected overdose, medical assistance should be sought immediately. A number of treatments are effective in a TCA overdose. An overdose on TCA is especially fatal as it is rapidly absorbed from the GI tract in the alkaline conditions of the small intestines. As a result, toxicity often becomes apparent in the first hour after an overdose. However, symptoms may take several hours to appear if a mixed overdose has caused delayed gastric emptying. Many of the initial signs are those associated to the anticholinergic effects of TCAs such as dry mouth, blurred vision, urinary retention, constipation, dizziness, and emesis (or vomiting). Due to the location of norepinephrine receptors all over the body, many physical signs are also associated with a TCA overdose: Anticholinergic effects: altered mental status (e.g., agitation, confusion, lethargy, etc.), resting sinus tachycardia, dry mouth, mydriasis (pupil dilation), fever Cardiac effects: hypertension (early and transient, should not be treated), tachycardia, orthostasis and hypotension, arrhythmias (including ventricular tachycardia and ventricular fibrillation, most serious consequence) / ECG changes (prolonged QRS, QT, and PR intervals) CNS effects: syncope, seizure, coma, myoclonus, hyperreflexia Pulmonary effects: hypoventilation resulting from CNS depression Gastrointestinal effects: decreased or absent bowel sounds Treatment of TCA overdose depends on severity of symptoms: Initially, gastric decontamination of the patient is achieved by administering, either orally or via a nasogastric tube, activated charcoal pre-mixed with water, which adsorbs the drug in the gastrointestinal tract (most useful if given within 2 hours of drug ingestion). Other decontamination methods such as stomach pumps, gastric lavage, whole bowel irrigation, or (ipecac induced) emesis, are not recommended in TCA poisoning. If there is metabolic acidosis, intravenous infusion of sodium bicarbonate is recommended by Toxbase.org, the UK and Ireland poisons advice database (TCAs are protein bound and become less bound in more acidic conditions, so by reversing the acidosis, protein binding increases and bioavailability thus decreases – the sodium load may also help to reverse the Na+ channel blocking effects of the TCA). Interactions The TCAs are highly metabolised by the cytochrome P450 (CYP) hepatic enzymes. Drugs that inhibit cytochrome P450 (for example cimetidine, methylphenidate, fluoxetine, antipsychotics, and calcium channel blockers) may produce decreases in the TCAs' metabolism, leading to increases in their blood concentrations and accompanying toxicity. The major factor that distinguishes SSRI's amongst one another is the inhibition of select CYP enzymes . Drugs that prolong the QT interval including antiarrhythmics such as quinidine, the antihistamines astemizole and terfenadine, and some antipsychotics may increase the chance of ventricular dysrhythmias. TCAs may enhance the response to alcohol and the effects of barbiturates and other CNS depressants. Side effects may also be enhanced by other drugs that have antimuscarinic properties. Pharmacology The majority of the TCAs act primarily as SNRIs by blocking the serotonin transporter (SERT) and the norepinephrine transporter (NET), which results in an elevation of the synaptic concentrations of these neurotransmitters, and therefore an enhancement of neurotransmission. Notably, with the sole exception of amineptine, the TCAs have weak affinity for the dopamine transporter (DAT), and therefore have low efficacy as dopamine reuptake inhibitors (DRIs). Both serotonin and norepinephrine have been highly implicated in depression and anxiety, and it has been shown that facilitation of their activity has beneficial effects on these mental disorders. In addition to their reuptake inhibition, many TCAs also have high affinity as antagonists at the 5-HT2 (5-HT2A and 5-HT2C), 5-HT6, 5-HT7, α1-adrenergic, and NMDA receptors, and as agonists at the sigma receptors (σ1 and σ2), some of which may contribute to their therapeutic efficacy, as well as their side effects. The TCAs also have varying but typically high affinity for antagonising the H1 and H2 histamine receptors, as well as the muscarinic acetylcholine receptors. As a result, they also act as potent antihistamines and anticholinergics. These properties are often beneficial in antidepressants, especially with comorbid anxiety, as it provides a sedative effect. Most, if not all, of the TCAs also potently inhibit sodium channels and L-type calcium channels, and therefore act as sodium channel blockers and calcium channel blockers, respectively. The former property is responsible for the high mortality rate upon overdose seen with the TCAs via cardiotoxicity. It may also be involved in their efficacy as analgesics, however. In summary, tricyclic antidepressants can act through NMDA antagonism, opioidergic effects, sodium, potassium and calcium channel blocking, through interfering with the reuptake of serotonin and acting as antagonists to SHAM (serotonin, histamine, alpha, muscarinic) receptors. Thus their dangerous side effect profile limits their use in daily practice. Binding profiles The binding profiles of various TCAs and some metabolites in terms of their affinities (, ) for various receptors and transporters are as follows: With the exception of the sigma receptors, the TCAs act as antagonists or inverse agonists of the receptors and as inhibitors of the transporters. Tianeptine is included in this list due to it technically being a TCA, but with a vastly different pharmacology. Therapeutic levels of TCAs are generally in the range of about 100 to 300 ng/mL, or 350 to 1,100 nM. Plasma protein binding is generally 90% or greater. Chemistry There are two major groups of TCAs in terms of chemical structure, which most, but not all, TCAs fall into. The groupings are based on the tricyclic ring system. They are the dibenzazepines (imipramine, desipramine, clomipramine, trimipramine, lofepramine) and the dibenzocycloheptadienes (amitriptyline, nortriptyline, protriptyline, butriptyline). Minor TCA groups based on ring system include the dibenzoxepins (doxepin), the dibenzothiepines (dosulepin), and the dibenzoxazepines (amoxapine). In addition to classification based on the ring system, TCAs can also be usefully grouped based on the number of substitutions of the side chain amine. These groups include the tertiary amines (imipramine, clomipramine, trimipramine, amitriptyline, butriptyline, doxepin, dosulepin) and the secondary amines (desipramine, nortriptyline, protriptyline). Lofepramine is technically a tertiary amine, but acts largely as a prodrug of desipramine, a secondary amine, and hence is more similar in profile to the secondary amines than to the tertiary amines. Amoxapine does not have the TCA side chain and hence is neither a tertiary nor secondary amine, although it is often grouped with the secondary amines due to sharing more in common with them. In 2021, a new method was developed at the Institute for Bioengineering of Catalonia for designing photochromic analogs of tricyclic drugs via (1) isosteric replacement of the two-atom bridge between the aromatic systems with an azo group and (2) opening of the central ring. The authors named the strategy "crypto-azologization". Society and culture Recreational use A very small number of cases involving non-medical use of antidepressants have been reported over the past 30 years. According to the US government classification of psychiatric medications, TCAs are "non-abusable" and generally have low misuse potential. Nonetheless due to their atypical mechanism of action, amineptine and tianeptine (dopamine reuptake inhibition and μ-opioid receptor agonism, respectively) are the two TCAs with the highest addiction and misuse potential. Despite tianeptine's recreational value, many people use it as a nootropic and follow other countries' usage guidelines, such as France, as a way to treat their depression if other antidepressants don't work. Their prescription guidelines are 12.5 mg three times a day, and not to exceed 50 mg in one day. Tianeptine has no recreational value when taken at that dosage and kept under 50 mg a day. Many people report that tianeptine has treated their depression when SSRI's or SNRI's haven't. Several cases of the misuse of amitriptyline alone or together with methadone or in other drug dependent patients and of dosulepin with alcohol or in methadone patients have been reported. List of TCAs Those that preferentially inhibit the reuptake of serotonin (by at least 10-fold over norepinephrine) include: Butriptyline† (Evadyne) (relatively weak serotonin reuptake inhibitor) Clomipramine (Anafranil) Imipramine (Tofranil, Janimine, Praminil) Trimipramine (Surmontil) (relatively weak serotonin reuptake inhibitor) Those that preferentially inhibit the reuptake of norepinephrine (by at least 10-fold over serotonin) include: Desipramine (Norpramin, Pertofrane) Dibenzepin‡ (Noveril, Victoril) Lofepramine§ (Lomont, Gamanil) Maprotiline (Ludiomil) – can be classed with the TCAs though more frequently classed with the TeCAs Nortriptyline (Pamelor, Aventyl, Norpress) Protriptyline (Vivactil) Whereas either fairly balanced reuptake inhibitors of serotonin and norepinephrine or unspecified inhibitors include: Amitriptyline (Elavil, Endep) Amitriptylinoxide (Amioxid, Ambivalon, Equilibrin) Amoxapine (Asendin) – can be classed with the TeCAs but more frequently classed with the TCAs Demexiptiline† (Deparon, Tinoran) Dimetacrine† (Istonil, Istonyl, Miroistonil)
of these in the home when prescribed for bed-wetting and depression. In the event of a known or suspected overdose, medical assistance should be sought immediately. A number of treatments are effective in a TCA overdose. An overdose on TCA is especially fatal as it is rapidly absorbed from the GI tract in the alkaline conditions of the small intestines. As a result, toxicity often becomes apparent in the first hour after an overdose. However, symptoms may take several hours to appear if a mixed overdose has caused delayed gastric emptying. Many of the initial signs are those associated to the anticholinergic effects of TCAs such as dry mouth, blurred vision, urinary retention, constipation, dizziness, and emesis (or vomiting). Due to the location of norepinephrine receptors all over the body, many physical signs are also associated with a TCA overdose: Anticholinergic effects: altered mental status (e.g., agitation, confusion, lethargy, etc.), resting sinus tachycardia, dry mouth, mydriasis (pupil dilation), fever Cardiac effects: hypertension (early and transient, should not be treated), tachycardia, orthostasis and hypotension, arrhythmias (including ventricular tachycardia and ventricular fibrillation, most serious consequence) / ECG changes (prolonged QRS, QT, and PR intervals) CNS effects: syncope, seizure, coma, myoclonus, hyperreflexia Pulmonary effects: hypoventilation resulting from CNS depression Gastrointestinal effects: decreased or absent bowel sounds Treatment of TCA overdose depends on severity of symptoms: Initially, gastric decontamination of the patient is achieved by administering, either orally or via a nasogastric tube, activated charcoal pre-mixed with water, which adsorbs the drug in the gastrointestinal tract (most useful if given within 2 hours of drug ingestion). Other decontamination methods such as stomach pumps, gastric lavage, whole bowel irrigation, or (ipecac induced) emesis, are not recommended in TCA poisoning. If there is metabolic acidosis, intravenous infusion of sodium bicarbonate is recommended by Toxbase.org, the UK and Ireland poisons advice database (TCAs are protein bound and become less bound in more acidic conditions, so by reversing the acidosis, protein binding increases and bioavailability thus decreases – the sodium load may also help to reverse the Na+ channel blocking effects of the TCA). Interactions The TCAs are highly metabolised by the cytochrome P450 (CYP) hepatic enzymes. Drugs that inhibit cytochrome P450 (for example cimetidine, methylphenidate, fluoxetine, antipsychotics, and calcium channel blockers) may produce decreases in the TCAs' metabolism, leading to increases in their blood concentrations and accompanying toxicity. The major factor that distinguishes SSRI's amongst one another is the inhibition of select CYP enzymes . Drugs that prolong the QT interval including antiarrhythmics such as quinidine, the antihistamines astemizole and terfenadine, and some antipsychotics may increase the chance of ventricular dysrhythmias. TCAs may enhance the response to alcohol and the effects of barbiturates and other CNS depressants. Side effects may also be enhanced by other drugs that have antimuscarinic properties. Pharmacology The majority of the TCAs act primarily as SNRIs by blocking the serotonin transporter (SERT) and the norepinephrine transporter (NET), which results in an elevation of the synaptic concentrations of these neurotransmitters, and therefore an enhancement of neurotransmission. Notably, with the sole exception of amineptine, the TCAs have weak affinity for the dopamine transporter (DAT), and therefore have low efficacy as dopamine reuptake inhibitors (DRIs). Both serotonin and norepinephrine have been highly implicated in depression and anxiety, and it has been shown that facilitation of their activity has beneficial effects on these mental disorders. In addition to their reuptake inhibition, many TCAs also have high affinity as antagonists at the 5-HT2 (5-HT2A and 5-HT2C), 5-HT6, 5-HT7, α1-adrenergic, and NMDA receptors, and as agonists at the sigma receptors (σ1 and σ2), some of which may contribute to their therapeutic efficacy, as well as their side effects. The TCAs also have varying but typically high affinity for antagonising the H1 and H2 histamine receptors, as well as the muscarinic acetylcholine receptors. As a result, they also act as potent antihistamines and anticholinergics. These properties are often beneficial in antidepressants, especially with comorbid anxiety, as it provides a sedative effect. Most, if not all, of the TCAs also potently inhibit sodium channels and L-type calcium channels, and therefore act as sodium channel blockers and calcium channel blockers, respectively. The former property is responsible for the high mortality rate upon overdose seen with the TCAs via cardiotoxicity. It may also be involved in their efficacy as analgesics, however. In summary, tricyclic antidepressants can act through NMDA antagonism, opioidergic effects, sodium, potassium and calcium channel blocking, through interfering with the reuptake of serotonin and acting as antagonists to SHAM (serotonin, histamine, alpha, muscarinic) receptors. Thus their dangerous side effect profile limits their use in daily practice. Binding profiles The binding profiles of various TCAs and some metabolites in terms of their affinities (, ) for various receptors and transporters are as follows: With the exception of the sigma receptors, the TCAs act as antagonists or inverse agonists of the receptors and as inhibitors of the transporters. Tianeptine is included in this list due to it technically being a TCA, but with a vastly different pharmacology. Therapeutic levels of TCAs are generally in the range of about 100 to 300 ng/mL, or 350 to 1,100 nM. Plasma protein binding is generally 90% or greater. Chemistry There are two major groups of TCAs in terms of chemical structure, which most, but not all, TCAs fall into. The groupings are based on the tricyclic ring system. They are the dibenzazepines (imipramine, desipramine, clomipramine, trimipramine, lofepramine) and the dibenzocycloheptadienes (amitriptyline, nortriptyline, protriptyline, butriptyline). Minor TCA groups based on ring system include the dibenzoxepins (doxepin), the dibenzothiepines (dosulepin), and the dibenzoxazepines (amoxapine). In addition to classification based on the ring system, TCAs can also be usefully grouped based on the number of substitutions of the side chain amine. These groups include the tertiary amines (imipramine, clomipramine, trimipramine, amitriptyline, butriptyline, doxepin, dosulepin) and the secondary amines (desipramine, nortriptyline, protriptyline). Lofepramine is technically a tertiary amine, but acts largely as a prodrug of desipramine, a secondary amine, and hence is more similar in profile to the secondary amines than to the tertiary amines. Amoxapine does not have the TCA side chain and hence is neither a tertiary nor secondary amine, although it is often grouped with the secondary amines due to sharing more in common with them. In 2021, a new method was developed at the Institute for Bioengineering of Catalonia for designing photochromic analogs of tricyclic drugs via (1) isosteric replacement of the two-atom bridge between the aromatic systems with an azo group and (2) opening of the central ring. The authors named the strategy "crypto-azologization". Society and culture Recreational use A very small number of cases involving non-medical use of antidepressants have been reported over the past 30 years. According to the US government classification of psychiatric medications, TCAs are "non-abusable" and generally have low misuse potential. Nonetheless due to their atypical mechanism of action, amineptine and tianeptine (dopamine reuptake inhibition and μ-opioid receptor agonism, respectively) are the two TCAs with the highest addiction and misuse potential. Despite tianeptine's recreational value, many people use it as a nootropic and follow other countries' usage guidelines, such as France, as a way to treat their depression if other antidepressants don't work. Their prescription guidelines are 12.5 mg three times a day, and not to exceed 50 mg in one day. Tianeptine has no recreational value when taken at that dosage and kept under 50 mg a day. Many people report that tianeptine has treated their depression when SSRI's or SNRI's haven't. Several cases of the misuse of amitriptyline
Ott in 1941, Jimmie Foxx in 1938, Lou Gehrig in 1936, and Babe Ruth in 1927. Three weeks later at home against the Yankees on August 7, after Williams was booed for dropping a fly ball from Mickey Mantle, he spat at one of the fans who was taunting him on the top of the dugout; Williams was fined $5,000 for the incident. The following night against Baltimore, Williams was greeted by a large ovation, and received an even larger one when he hit a home run in the sixth inning to break a 2–2 tie. In The Boston Globe, the publishers ran a "What Globe Readers Say About Ted" section made out of letters about Williams, which were either the sportswriters or the "loud mouths" in the stands. Williams explained years later, "From '56 on, I realized that people were for me. The writers had written that the fans should show me they didn't want me, and I got the biggest ovation yet". Williams lost the batting title to Mickey Mantle in 1956, batting .345 to Mantle's .353, with Mantle on his way to winning the Triple Crown. In 1957, Williams batted .388 to lead the majors, then signed a contract in February 1958 for a record high $125,000 (or $135,000). At age forty that season, he again led the American League with a .328 batting average. When Pumpsie Green became the first black player on the Red Sox—the last major league team to integrate—in 1959, Williams openly welcomed Green. Williams ended his career with a home run in his last at-bat on September 28, 1960. He refused to salute the fans as he returned the dugout after he crossed home plate or after he was replaced in left field by Carroll Hardy. An essay written by John Updike the following month for The New Yorker, "Hub Fans Bid Kid Adieu", chronicles this event. Williams is one of only 29 players in baseball history to date to have appeared in Major League games in four decades. Player profile Playing style Williams was an obsessive student of hitting. He famously used a lighter bat than most sluggers, because it generated a faster swing. In 1970 he wrote a book on the subject, The Science of Hitting (revised 1986), which is still read by many baseball players. The book describes his theory of swinging only at pitches that came into ideal areas of his strike zone, a strategy Williams credited with his success as a hitter. Pitchers apparently feared Williams; his bases-on-balls-to-plate-appearances ratio (.2065) is still the highest of any player in the Hall of Fame. Williams nearly always took the first pitch. He helped pass his expertise of playing left-field in front of the Green Monster to his successor on the Red Sox, Carl Yastrzemski. Relationship with Boston media and fans Ted Williams was on uncomfortable terms with the Boston newspapers for nearly twenty years, as he felt they liked to discuss his personal life as much as his baseball performance. He maintained a career-long feud with SPORT magazine due to a 1948 feature article in which the SPORT reporter included a quote from Williams's mother. Insecure about his upbringing, and stubborn because of immense confidence in his own talent, Williams made up his mind that the "knights of the keyboard", as he derisively labeled the press, were against him. After having hit for the league's Triple Crown in 1947, Williams narrowly lost the MVP award in a vote where one midwestern newspaper writer left Williams entirely off his ten-player ballot. During his career, some sportswriters also criticized aspects of Williams's baseball performance, including what they viewed as his lackadaisical fielding and lack of clutch hitting. Williams pushed back, saying: “They’re always saying that I don’t hit in the clutches. Well, there are a lot [of games] when I do”. He also asserted that it made no sense crashing into an outfield wall to try to make a difficult catch because of the risk of injury or being out of position to make the play after missing the ball. He treated most of the press accordingly, as he described in his memoir, My Turn at Bat. Williams also had an uneasy relationship with the Boston fans, though he could be very cordial one-to-one. He felt at times a good deal of gratitude for their passion and their knowledge of the game. On the other hand, Williams was temperamental, high-strung, and at times tactless. In his biography, Ronald Reis relates how Williams committed two fielding miscues in a doubleheader in 1950 and was roundly booed by Boston fans. He bowed three times to various sections of Fenway Park and made an obscene gesture. When he came to bat he spit in the direction of fans near the dugout. The incident caused an avalanche of negative media reaction, and inspired sportswriter Austen Lake's famous comment that when Williams's name was announced the sound was like "autumn wind moaning through an apple orchard." Another incident occurred in 1958 in a game against the Washington Senators. Williams struck out, and as he stepped from the batter's box swung his bat violently in anger. The bat slipped from his hands, was launched into the stands and struck a 60-year-old woman who turned out to be the housekeeper of the Red Sox general manager Joe Cronin. While the incident was an accident and Williams apologized to the woman personally, to all appearances it seemed at the time that Williams had hurled the bat in a fit of temper. Williams gave generously to those in need. He was especially linked with the Jimmy Fund of the Dana–Farber Cancer Institute, which provides support for children's cancer research and treatment. Williams used his celebrity to virtually launch the fund, which raised more than $750 million between 1948 and 2010. Throughout his career, Williams made countless bedside visits to children being treated for cancer, which Williams insisted go unreported. Often parents of sick children would learn at check-out time that "Mr. Williams has taken care of your bill." The Fund recently stated that, "Williams would travel everywhere and anywhere, no strings or paychecks attached, to support the cause ... His name is synonymous with our battle against all forms of cancer." Williams demanded loyalty from those around him. He could not forgive the fickle nature of the fans – booing a player for booting a ground ball, and then turning around and roaring approval of the same player for hitting a home run. Despite the cheers and adulation of most of his fans, the occasional boos directed at him in Fenway Park led Williams to stop tipping his cap in acknowledgment after a home run. Williams maintained this policy up to and including his swan song in 1960. After hitting a home run at Fenway Park, which would be his last career at-bat, Williams characteristically refused either to tip his cap as he circled the bases or to respond to prolonged cheers of "We want Ted!" from the crowd by making an appearance from the dugout. The Boston manager Pinky Higgins sent Williams to his fielding position in left field to start the ninth inning, but then immediately recalled him for his back-up Carroll Hardy, thus allowing Williams to receive one last ovation as he jogged onto then off the field, and he did so without reacting to the crowd. Williams's aloof attitude led the writer John Updike to observe wryly that "Gods do not answer letters." Williams's final home run did not take place during the final game of the 1960 season, but rather in the Red Sox's last home game that year. The Red Sox played three more games, but they were on the road in New York City and Williams did not appear in any of them, as it became clear that Williams's final home at-bat would be the last one of his career. In 1991 on Ted Williams Day at Fenway Park, Williams pulled a Red Sox cap from out of his jacket and tipped it to the crowd. This was the first time that he had done so since his earliest days as a player. A Red Smith profile from 1956 describes one Boston writer trying to convince Ted Williams that first cheering and then booing a ballplayer was no different from a moviegoer applauding a "western" movie actor one day and saying the next "He stinks! Whatever gave me the idea he could act?" Williams rejected this; when he liked a western actor like Hoot Gibson, he liked him in every picture, and would not think of booing him. He once had a friendship with Ty Cobb, with whom he often had discussions about baseball. He often touted Rogers Hornsby as being the greatest right-handed hitter of all time. This assertion actually led to a split in the relationship between Ty Cobb and Ted Williams. Once during one of their yearly debate sessions on the greatest hitters of all time, Williams asserted that Hornsby was one of the greatest of all time. Cobb apparently had strong feelings about Hornsby and he threw a fit, expelling Williams from his hotel room. Their friendship effectively terminated after this altercation. This story was later refuted by Ted Williams himself. Military service World War II Williams served as a Naval Aviator during World War II and the Korean War. Unlike many other major league players, he did not spend all of his war-time playing on service teams. Williams had been classified 3-A by Selective Service prior to the war, a dependency deferment because he was his mother's sole means of financial support. When his classification was changed to 1-A following the American entry into World War II, Williams appealed to his local draft board. The draft board ruled that his draft status should not have been changed. He made a public statement that once he had built up his mother's trust fund, he intended to enlist. Even so, criticism in the media, including withdrawal of an endorsement contract by Quaker Oats, resulted in his enlistment in the U.S. Naval Reserve on May 22, 1942. Williams did not opt for an easy assignment playing baseball for the Navy, but rather joined the V-5 program to become a Naval aviator. Williams was first sent to the Navy's Preliminary Ground School at Amherst College for six months of academic instruction in various subjects including math and navigation, where he achieved a 3.85 grade point average. Williams was talented as a pilot, and so enjoyed it that he had to be ordered by the Navy to leave training to personally accept his American League 1942 Major League Baseball Triple Crown. Williams's Red Sox teammate, Johnny Pesky, who went into the same aviation training program, said this about Williams: "He mastered intricate problems in fifteen minutes which took the average cadet an hour, and half of the other cadets there were college grads." Pesky again described Williams's acumen in the advance training, for which Pesky personally did not qualify: "I heard Ted literally tore the sleeve target to shreds with his angle dives. He'd shoot from wingovers, zooms, and barrel rolls, and after a few passes the sleeve was ribbons. At any rate, I know he broke the all-time record for hits." Ted went to Jacksonville for a course in aerial gunnery, the combat pilot's payoff test, and broke all the records in reflexes, coordination, and visual-reaction time. "From what I heard. Ted could make a plane and its six 'pianos' (machine guns) play like a symphony orchestra", Pesky says. "From what they said, his reflexes, coordination, and visual reaction made him a built-in part of the machine." Williams completed pre-flight training in Athens, Georgia, his primary training at NAS Bunker Hill, Indiana, and his advanced flight training at NAS Pensacola. He received his gold Naval Aviator wings and his commission as a second lieutenant in the U.S. Marine Corps on May 2, 1944. Williams served as a flight instructor at NAS Pensacola teaching young pilots to fly the complicated F4U Corsair fighter plane. Williams was in Pearl Harbor awaiting orders to join the Fleet in the Western Pacific when the War in the Pacific ended. He finished the war in Hawaii, and then he was released from active duty on January 12, 1946, but he did remain in the Marine Corps Reserve. Korean War On May 1, 1952, 14 months after his promotion to captain in the Marine Corps Reserve, Williams was recalled to active duty for service in the Korean War. He had not flown any aircraft for eight years but he turned down all offers to sit out the war in comfort as a member of a service baseball team. Nevertheless, Williams was resentful of being called up, which he admitted years later, particularly regarding the Navy's policy of calling up Inactive Reservists rather than members of the Active Reserve. Williams reported for duty on May 2, 1952. After eight weeks of refresher flight training and qualification in the F9F Panther jet fighter with VMF-223 at the Marine Corps Air Station Cherry Point, North Carolina, Williams was assigned to VMF-311, Marine Aircraft Group 33 (MAG-33), based at the K-3 airfield in Pohang, South Korea. On February 16, 1953, Williams, flying as the wingman for John Glenn (later an astronaut, then U.S. Senator), was part of a 35-plane raid against a tank and infantry training school just south of Pyongyang, North Korea. As the aircraft from VMF-115 and VMF-311 dove on the target, Williams' plane was hit by anti-aircraft fire, a piece of flak knocked out his hydraulics and electrical systems, causing Williams to have to "limp" his plane back to K-3 air base where he made a belly landing. For his actions of this day, he was awarded the Air Medal. Williams flew 39 combat missions in Korea, earning the Air Medal with two Gold Stars in lieu of second and third awards, before being withdrawn from flight status in June 1953 after a hospitalization for pneumonia. This resulted in the discovery of an inner ear infection that disqualified him from flight status. John Glenn described Williams as one of the best pilots he knew, while his wife Annie described him as the most profane man she ever met. In the last half of his missions, Williams was flying as Glenn's wingman. Williams likely would have exceeded 600 career home runs if he had not served in the military, and may have even approached Babe Ruth's then record of 714. He might have set the record for career RBIs as well, exceeding Hank Aaron's total. While the absences in the Marine Corps took almost five years out of his baseball career, he never publicly complained about the time devoted to service in the Marine Corps. His biographer, Leigh Montville, argued that Williams was not happy about being pressed into service in South Korea, but he did what he thought was his patriotic duty. Following his return to the United States in August 1953, he resigned his Reserve commission to resume his baseball career. Post-retirement After retirement from play, Williams helped Boston's new left fielder, Carl Yastrzemski, in hitting, and was a regular visitor to the Red Sox' spring training camps from 1961 to 1966, where he worked as a special batting instructor. He served as executive assistant to Tom Yawkey (1961–65), then was named a team vice president (1965–68) upon his election to the Hall of Fame. He resumed his spring training instruction role with the club in 1978. Beginning in 1961, he would spend summers at the Ted Williams Baseball Camp in Lakeville, Massachusetts, which he had established in 1958 with his friend Al Cassidy and two other business partners. For eight summers and parts of others after that, he would give hitting clinics and talk baseball at the camp. It was not uncommon to find Williams fishing in the pond at the camp. The area now is owned by the town and a few of the buildings still stand. In the main lodge one can still see memorabilia from Williams's playing days. Williams served as manager of the Washington Senators, from 1969–1971, then continued with the team when they became the Texas Rangers after the 1971 season. Williams's best season as a manager was 1969 when he led the expansion Senators to an 86–76 record in the team's only winning season in Washington. He was chosen "Manager of the Year" after that season. Like many great players, Williams became impatient with ordinary athletes' abilities and attitudes, particularly those of pitchers, whom he admitted he never respected. On the subject of pitchers, in Ted's autobiography written with John Underwood, Ted opines regarding Bob Lemon (a sinker-ball specialist) pitching for the Cleveland Indians around 1951: "I have to rate Lemon as one of the very best pitchers I ever faced. His ball was always moving, hard, sinking, fast-breaking. You could never really uhmmmph with Lemon." Williams was much more successful in fishing. An avid and expert fly fisherman and deep-sea fisherman, he spent many summers after baseball fishing the Miramichi River, in Miramichi, New Brunswick. Williams was named to the International Game Fish Association Hall of Fame in 2000. Williams, Jim Brown, Cumberland Posey, and Cal Hubbard are the only athletes to be inducted into the Halls of Fame of more than one professional sport. Williams was also known as an accomplished hunter; he was fond of pigeon-shooting for sport in Fenway Park during his career, on one occasion drawing the ire of the Massachusetts Society for the Prevention of Cruelty to Animals. Williams reached an extensive deal with Sears, lending his name and talent toward marketing, developing, and endorsing a line of in-house sports equipment – such as the "Ted Williams" edition Gamefisher aluminum boat and 7.5 hp "Ted Williams" edition motor, as well as fishing, hunting, and baseball equipment. Williams continued his involvement in the Jimmy Fund, later losing a brother to leukemia, and spending much of his spare time, effort, and money in support of the cancer organization. In his later years Williams became a fixture at autograph shows and card shows after his son (by his third wife), John Henry Williams, took control of his career, becoming his de facto manager. The younger Williams provided structure to his father's business affairs, exposed forgeries that were flooding the memorabilia market, and rationed his father's public appearances and memorabilia signings to maximize their earnings. One of Ted Williams's final, and most memorable, public appearances was at the 1999 All-Star Game in Boston. Able to walk only a short distance, Williams was brought to the pitcher's mound in a golf cart. He proudly waved his cap to the crowd—a gesture he had never done as a player. Fans responded with a standing ovation that lasted several minutes. At the pitcher's mound he was surrounded by players from both teams, including fellow Red Sox player Nomar Garciaparra, and was assisted by Tony Gwynn in throwing out the first pitch of that year's All-Star Game. Later in the year, he was among the members of the Major League Baseball All-Century Team introduced to the crowd at Turner Field in Atlanta prior to Game Two of the World Series. Personal life On May 4, 1944, Williams married Doris Soule, the daughter of his hunting guide. Their daughter, Barbara Joyce ("Bobbi Jo"), was born on January 28, 1948, while Williams was fishing in Florida. They divorced in 1954. Williams married the socialite model Lee Howard on September 10, 1961, and they were divorced in 1967. Williams married Dolores Wettach, a former Miss Vermont and Vogue model, in 1968. Their son John-Henry was born on August 27, 1968, followed by daughter Claudia, on October 8, 1971. They were divorced in 1972. Williams lived with Louise Kaufman for twenty years until her death in 1993. In his book, Cramer called her the love of Williams's life. After his death, her sons filed suit to recover her furniture from Williams's condominium as well as a half-interest in the condominium they claimed he gave her. Williams had a strong respect for General Douglas MacArthur, referring to him as his "idol". For Williams's 40th birthday, MacArthur sent him an oil painting of himself with the inscription "To Ted Williams – not only America's greatest baseball player, but a great American who served his country. Your friend, Douglas MacArthur. General U.S. Army." Politically, Williams was a Republican, and was described by one biographer as, "to the right of Attila the Hun" except when it came to Civil Rights. Another writer similarly noted that while in the 1960s he had a liberal attitude on civil rights, he was pretty far right on other cultural issues of the time, calling him “ultraconservative in the tradition of Barry Goldwater and John Wayne”. Williams campaigned for Richard Nixon in the 1960 United States Presidential Election, and after Nixon lost to John F. Kennedy, refused several invitations from President Kennedy to gather together in Cape Cod. He supported Nixon again in 1968, and as manager of the Senators, kept a picture of him on his desk, meeting with the President several times while managing the team. In 1972 he called Nixon, “the greatest president of my lifetime.” In the following years, Williams endorsed several other candidates in Republican Party presidential primaries, including George H.W. Bush in 1988 (whom he also campaigned for in New Hampshire), Bob Dole in 1996, and George W. Bush in 2000. According to friends, Williams was an atheist and this influenced his decision to be cryogenically frozen. His daughter Claudia stated "It was like a religion, something we could have faith in... no different from holding the belief that you might be reunited with your loved ones in heaven". Williams's brother Danny and his son John-Henry both died of leukemia. Death In his last years, Williams suffered from cardiomyopathy. He had a pacemaker implanted in November 2000 and he underwent open-heart surgery in January 2001. After suffering a series of strokes and congestive heart failure, he died of cardiac arrest at the age of 83 on July 5, 2002, at Citrus Memorial Hospital, Inverness, Florida, near his home in Citrus Hills, Florida. Though his will stated his desire to be cremated and his ashes scattered in the Florida Keys, Williams's son John-Henry and younger daughter Claudia chose to have his remains frozen cryonically. Ted's elder daughter, Bobby-Jo Ferrell, brought a suit to have her father's wishes recognized. John-Henry's lawyer then produced an informal "family pact" signed by Ted, Claudia, and John-Henry, in which they agreed "to be put into biostasis after we die" to "be able to be together in the future, even if it is only a chance." Bobby-Jo and her attorney, Spike Fitzpatrick (former attorney of Ted Williams), contended that the family pact, which was scribbled on an ink-stained napkin, was forged by John-Henry and/or Claudia. Fitzpatrick and Ferrell believed that the signature was not obtained legally. Laboratory analysis proved that the signature was genuine. John-Henry said that his father was a believer in science and was willing to try cryonics if it held the possibility of reuniting the family. Though the family pact upset some friends, family and fans, a public plea for financial support of the lawsuit by Ferrell produced little result. Citing financial difficulties, Ferrell dropped her lawsuit on the condition that a $645,000 trust fund left by Williams would immediately pay the sum out equally to the three children. Inquiries to cryonics organizations increased after the publicity from the case. In Ted Williams: The Biography of an American Hero, author Leigh Montville claims that the family cryonics pact was a practice Ted Williams autograph on a plain piece of paper, around which the agreement had later been hand written. The pact document was signed "Ted Williams", the same as his autographs, whereas he would always sign his legal documents "Theodore Williams", according to Montville. However, Claudia testified to the authenticity of the document in an affidavit. Ted's two 24-hour private caregivers who were with him the entire period the note was said to have been created also stated in affidavits that John-Henry and Claudia were never present at any time for the note to be produced. Following John-Henry's unexpected illness and death from acute myeloid leukemia on March 6, 2004, John-Henry's body was also transported to Alcor, in fulfillment of the family agreement. Awards and recognition In 1954, Williams was inducted by the San Diego Hall of Champions into the Breitbard Hall of Fame honoring San Diego's finest athletes both on and off the playing surface. Williams was inducted into the Baseball Hall of Fame on July 25, 1966. In his induction speech, Williams included a statement calling for the recognition of the great Negro leagues players: "I've been a very lucky guy to have worn a baseball uniform, and I hope some day the names of Satchel Paige and Josh Gibson in some way can be added as a symbol of the great Negro players who are not here only because they weren't given a chance." Williams was referring to two of the most famous names in the Negro leagues, who were not given the opportunity to play in the Major Leagues before Jackie Robinson broke the color barrier in 1947. Gibson died early in 1947 and thus never played in the majors; and Paige's brief major league stint came long past his prime as a player. This powerful and unprecedented statement from the Hall of Fame podium was "a first crack in the door that ultimately would open and include Paige and Gibson and other Negro league stars in the shrine." Paige was the first inducted in 1971. Gibson and others followed, starting in 1972 and continued on and off into the 21st century. On November 18, 1991, President George H. W. Bush presented Williams with the Presidential Medal of Freedom, the highest civilian award in the US. The Ted Williams Tunnel in Boston, Massachusetts, carrying of the final of Interstate 90 under Boston Harbor, opened in December 1995, and Ted Williams Parkway (California State Route 56) in San Diego County, California, opened in 1992, were named in his honor while he was still alive. In 2016, the major league San Diego Padres inducted Williams into their hall of fame for his contributions to baseball in San Diego. The Tampa Bay Rays home field, Tropicana Field, installed the Ted Williams Museum (formerly in Hernando, Florida, 1994–2006) behind the left field fence. From the Tampa Bay Rays website: "The Ted Williams Museum and Hitters Hall of Fame brings a special element to the Tropicana Field. Fans can view an array of different artifacts and pictures of the 'Greatest hitter that ever lived.' These memorable displays range from Ted Williams's days in the military through his professional playing career. This museum is dedicated to some of the greatest players to ever 'lace 'em up,' including Willie Mays, Joe DiMaggio, Mickey Mantle, Roger Maris." In 2013, the Bob Feller Act of Valor Award honored Williams as one of 37 Baseball Hall of Fame members for his service in the United States Marine Corps during World War II. Legacy At the time of his retirement, Williams ranked third all-time in home runs (behind Babe Ruth and Jimmie Foxx), seventh in RBIs (after Ruth, Cap Anson, Lou Gehrig, Ty Cobb, Foxx, and Mel Ott), and seventh in batting average (behind Cobb, Rogers Hornsby, Shoeless Joe Jackson, Lefty O'Doul, Ed Delahanty and Tris Speaker). His career batting average of .3444 is the highest of any player who played his entire career in the live-ball era following 1920. Most modern statistical analyses place Williams, along with Ruth and Barry Bonds, among the three most potent hitters to have played the game. Williams's baseball season of 1941 is often considered favorably with the greatest seasons of Ruth and Bonds in terms of various offensive statistical measures such as slugging, on-base and "offensive winning percentage." As a further indication, of the ten best seasons for OPS, short for On-Base Plus Slugging Percentage, a popular modern measure of offensive productivity, four each were achieved by Ruth and Bonds, and two by Williams. In 1999, Williams was ranked as number eight on The Sporting News''' list of the 100 Greatest Baseball Players, where he was the highest-ranking left fielder. Career statistics Military and civilian decorations and awards Williams received the following decorations and awards: See also DHL Hometown Heroes Hispanics in the United States Marine Corps List of Major League Baseball annual home run leaders List of Major League Baseball annual runs scored leaders List of Major League Baseball annual doubles leaders List of Major League Baseball batting champions List of Major League Baseball career bases on balls leaders List of Major League Baseball career doubles leaders List of Major League Baseball career home run leaders List of Major League Baseball career hits leaders List of Major League Baseball career on-base percentage leaders List of Major League Baseball career OPS leaders List of Major League Baseball career runs scored leaders List of Major League Baseball career runs batted in leaders List of Major League Baseball career times on base leaders List of Major League Baseball career total bases leaders List of Major League Baseball home run records List of Major League Baseball individual streaks List of Major League Baseball players
to Williams, he had caught the eye of the Boston Red Sox's general manager, Eddie Collins, while Collins was scouting Bobby Doerr and the shortstop George Myatt in August 1936. Collins later explained, "It wasn't hard to find Ted Williams. He stood out like a brown cow in a field of white cows." In the 1937 season, after graduating from Hoover High in the winter, Williams finally broke into the line-up on June 22, when he hit an inside-the-park home run to help the Padres win 3–2. The Padres ended up winning the PCL title, while Williams ended up hitting .291 with 23 home runs. Meanwhile, Collins kept in touch with Padres general manager Bill Lane, calling him two times throughout the season. In December 1937, during the winter meetings, the deal was made between Lane and Collins, sending Williams to the Boston Red Sox and giving Lane $35,000 and two major leaguers, Dom D'Allessandro and Al Niemiec, and two other minor leaguers. In 1938, the 19-year-old Williams was 10 days late to spring training camp in Sarasota, Florida, because of a flood in California that blocked the railroads. Williams had to borrow $200 from a bank to make the trip from San Diego to Sarasota. Also during spring training Williams was nicknamed "The Kid" by Red Sox equipment manager Johnny Orlando, who after Williams arrived to Sarasota for the first time, said, "The Kid' has arrived". Orlando still called Williams "The Kid" 20 years later, and the nickname stuck with Williams the rest of his life. Williams remained in major league spring training for about a week. Williams was then sent to the Double-A-league Minneapolis Millers. While in the Millers training camp for the springtime, Williams met Rogers Hornsby, who had hit over .400 three times, including a .424 average in 1924. Hornsby, who was a coach for the Millers that spring, gave Williams useful advice, including how to "get a good pitch to hit". Talking with the game's greats would become a pattern for Williams, who also talked with Hugh Duffy, who hit .438 in 1894, Bill Terry who hit .401 in 1930, and Ty Cobb with whom he would argue that a batter should hit up on the ball, opposed to Cobb's view that a batter should hit down on the ball. While in Minnesota, Williams quickly became the team's star. He collected his first hit in the Millers' first game of the season, as well as his first and second home runs during his third game. Both were inside-the-park home runs, with the second traveling an estimated on the fly to a center field fence. Williams later had a 22 game hitting streak that lasted from Memorial Day through mid-June. While the Millers ended up sixth place in an eight-team race, Williams ended up hitting .366 with 46 home runs and 142 RBIs. He received the American Association's Triple Crown and finished second in the voting for Most Valuable Player. Major leagues (1939–1942, 1946–1960) 1939–1940 Williams came to spring training three days late in 1939, thanks to Williams driving from California to Florida, as well as respiratory problems, the latter of which would plague Williams for the rest of his career. In the winter, the Red Sox traded right fielder Ben Chapman to the Cleveland Indians to make room for Williams on the roster, even though Chapman had hit .340 in the previous season. This led Boston Globe sports journalist Gerry Moore to quip, "Not since Joe DiMaggio broke in with the Yankees by "five for five" in St. Petersburg in 1936 has any baseball rookie received the nationwide publicity that has been accorded this spring to Theodore Francis Williams". Williams inherited Chapman's number 9 on his uniform as opposed to Williams's number 5 in the previous spring training. He made his major league debut against the New York Yankees on April 20, going 1-for-4 against Yankee pitcher Red Ruffing. This was the only game which featured both Williams and Lou Gehrig playing against one another. In his first series at Fenway Park, Williams hit a double, a home run, and a triple, the first two against Cotton Pippen, who gave Williams his first strikeout as a professional while Williams had been in San Diego. By July, Williams was hitting just .280, but leading the league in RBIs. Johnny Orlando, now Williams's friend, then gave Williams a quick pep talk, telling Williams that he should hit .335 with 35 home runs and he would drive in 150 runs. Williams said he would buy Orlando a Cadillac if this all came true. Williams ended up hitting .327 with 31 home runs and 145 RBIs, leading the league in the latter category, the first rookie to lead the league in RBIs and finishing fourth in MVP voting. He also led the AL in walks, with 107, a rookie record. Even though there was not a Rookie of the Year award yet in 1939, Babe Ruth declared Williams to be the Rookie of the Year, which Williams later said was "good enough for me". Williams's pay doubled in 1940, going from $5,000 to $10,000. With the addition of a new bullpen in right field of Fenway Park, which reduced the distance from home plate from 400 feet to 380 feet, the bullpen was nicknamed "Williamsburg", because the new addition was "obviously designed for Williams". Williams was then switched from right field to left field, as there would be less sun in his eyes, and it would give Dom DiMaggio a chance to play. Finally, Williams was flip-flopped in the order with the great slugger Jimmie Foxx, with the idea that Williams would get more pitches to hit. Pitchers, though, were not afraid to walk him to get to the 33-year-old Foxx, and after that the 34-year-old Joe Cronin, the player-manager. Williams also made his first of 16 All-Star Game appearances in 1940, going 0-for-2. Although Williams hit .344, his power and runs batted in were down from the previous season, with 23 home runs and 113 RBIs. Williams also caused a controversy in mid-August when he called his salary "peanuts", along with saying he hated the city of Boston and reporters, leading reporters to lash back at him, saying that he should be traded. Williams said that the "only real fun" he had in 1940 was being able to pitch once on August 24, when he pitched the last two innings in a 12–1 loss to the Detroit Tigers, allowing one earned run on three hits, while striking out one batter, Rudy York. 1941 In the second week of spring training in 1941, Williams broke a bone in his right ankle, limiting him to pinch hitting for the first two weeks of the season. Bobby Doerr later claimed that the injury would be the foundation of Williams's season, as it forced him to put less pressure on his right foot for the rest of the season. Against the Chicago White Sox on May 7, in extra innings, Williams told the Red Sox pitcher, Charlie Wagner, to hold the White Sox, since he was going to hit a home run. In the 11th inning, Williams's prediction came true, as he hit a big blast to help the Red Sox win. The home run is still considered to be the longest home run ever hit in the old Comiskey Park, some saying that it went . Williams's average slowly climbed in the first half of May, and on May 15, he started a 22-game hitting streak. From May 17 to June 1, Williams batted .536, with his season average going above .400 on May 25 and then continuing up to .430. By the All-Star break, Williams was hitting .406 with 62 RBIs and 16 home runs. In the 1941 All-Star Game, Williams batted fourth behind Joe DiMaggio, who was in the midst of his record-breaking hitting streak, having hit safely in 48 consecutive games. In the fourth inning Williams doubled to drive in a run. With the National League (NL) leading 5–2 in the eighth inning, Williams struck out in the middle of an American League (AL) rally. In the ninth inning the AL still trailed 5–3; Ken Keltner and Joe Gordon singled, and Cecil Travis walked to load the bases. DiMaggio grounded to the infield and Billy Herman, attempting to complete a double play, threw wide of first base, allowing Keltner to score. With the score 5–4 and runners on first and third, Williams homered with his eyes closed to secure a 7–5 AL win. Williams later said that that game-winning home run "remains to this day the most thrilling hit of my life". In late August, Williams was hitting .402. Williams said that "just about everybody was rooting for me" to hit .400 in the season, including Yankee fans, who gave pitcher Lefty Gomez a "hell of a boo" after walking Williams with the bases loaded after Williams had gotten three straight hits one game in September. In mid-September, Williams was hitting .413, but dropped a point a game from then on. Before the final two games on September 28, a doubleheader against the Philadelphia Athletics, he was batting .39955, which would have been officially rounded up to .400. Red Sox manager Joe Cronin offered him the chance to sit out the final day, but he declined. "If I'm going to be a .400 hitter", he said at the time, "I want more than my toenails on the line." Williams went 6-for-8 on the day, finishing the season at .406. (Sacrifice flies were counted as at-bats in 1941; under today's rules, Williams would have hit between .411 and .419, based on contemporaneous game accounts.) Philadelphia fans ran out on the field to surround Williams after the game, forcing him to protect his hat from being stolen; he was helped into the clubhouse by his teammates. Along with his .406 average, Williams also hit 37 home runs and batted in 120 runs, missing the triple crown by five RBI. Williams's 1941 season is often considered to be the best offensive season of all time, though the MVP award would go to DiMaggio. The .406 batting average—his first of six batting championships—is still the highest single-season average in Red Sox history and the highest batting average in the major leagues since 1924, and the last time any major league player has hit over .400 for a season after averaging at least 3.1 plate appearances per game. ("If I had known hitting .400 was going to be such a big deal", he quipped in 1991, "I would have done it again.") Williams's on-base percentage of .553 and slugging percentage of .735 that season are both also the highest single-season averages in Red Sox history. The .553 OBP stood as a major league record until it was broken by Barry Bonds in 2002 and his .735 slugging percentage was the highest mark in the major leagues between 1932 and 1994. His OPS of 1.287 that year, a Red Sox record, was the highest in the major leagues between 1923 and 2001. Despite playing in only 143 games that year, Williams led the league with 135 runs scored and 37 home runs, and he finished third with 335 total bases, the most home runs, runs scored, and total bases by a Red Sox player since Jimmie Foxx's in 1938. Williams placed second in MVP voting; DiMaggio won, 291 votes to 254, on the strength of his record-breaking 56-game hitting streak and league-leading 125 RBI. 1942–1945 U.S. Navy and U.S. Marine Corps In January 1942, just over 2 years after World War II began, Williams was drafted into the military, being put into Class 1-A. A friend of Williams suggested that Williams see the advisor of the governor's Selective Service Appeal Agent, since Williams was the sole support of his mother, arguing that Williams should not have been placed in Class 1-A, and said Williams should be reclassified to Class 3-A. Williams was reclassified to 3-A ten days later. Afterwards, the public reaction was extremely negative, even though the baseball book Season of '42 states only four All-Stars and one first-line pitcher entered military service during the 1942 season. (Many more MLB players would enter service during the 1943 season.) Quaker Oats stopped sponsoring Williams, and Williams, who previously had eaten Quaker products "all the time", never "[ate] one since" the company stopped sponsoring him. Despite the trouble with the draft board, Williams had a new salary of $30,000 in 1942. In the season, Williams won the Triple Crown, with a .356 batting average, 36 home runs, and 137 RBIs. On May 21, Williams also hit his 100th career home run. He was the third Red Sox player to hit 100 home runs with the team, following his teammates Jimmie Foxx and Joe Cronin. Despite winning the Triple Crown, Williams came in second in the MVP voting, losing to Joe Gordon of the Yankees. Williams felt that he should have gotten a "little more consideration" because of winning the Triple Crown, and he thought that "the reason I didn't get more consideration was because of the trouble I had with the draft [boards]". Williams joined the Navy Reserve on May 22, 1942, went on active duty in 1943, and was commissioned a second lieutenant in the United States Marine Corps as a Naval Aviator on May 2, 1944. Williams also played on the baseball team in Chapel Hill, North Carolina, along with his Red Sox teammate Johnny Pesky in pre-flight training, after eight weeks in Amherst, Massachusetts, and the Civilian Pilot Training Course. While on the baseball team, Williams was sent back to Fenway Park on July 12, 1943, to play on an All-Star team managed by Babe Ruth. The newspapers reported that Babe Ruth said when finally meeting Williams, "Hiya, kid. You remind me a lot of myself. I love to hit. You're one of the most natural ballplayers I've ever seen. And if my record is broken, I hope you're the one to do it". Williams later said he was "flabbergasted" by the incident, as "after all, it was Babe Ruth". In the game, Williams hit a 425-foot home run to help give the American League All-Stars a 9–8 win. Service baseball On September 2, 1945, when the war ended, Lt. Williams was in Pearl Harbor, Hawaii awaiting orders as a replacement pilot. While in Pearl Harbor, Williams played baseball in the Navy League. Also in that eight-team league were Joe DiMaggio, Joe Gordon, and Stan Musial. The Service World Series with the Army versus the Navy attracted crowds of 40,000 for each game. The players said it was even better than the actual World Series being played between the Detroit Tigers and Chicago Cubs that year. 1946–1949 Williams was discharged by the Marine Corps on January 28, 1946, in time to begin preparations for the upcoming pro baseball season. He joined the Red Sox again in 1946, signing a $37,500 contract. On July 14, after Williams hit three home runs and eight RBIs in the first game of a doubleheader, Lou Boudreau, inspired by Williams's consistent pull hitting to right field, created what would later be known as the Boudreau shift (also Williams shift) against Williams, having only one player on the left side of second base (the left fielder). Ignoring the shift, Williams walked twice, doubled, and grounded out to the shortstop, who was positioned in between first and second base. Also during 1946, the All-Star Game was held in Fenway Park. In the game, Williams homered in the fourth inning against Kirby Higbe, singled in a run in the fifth inning, singled in the seventh inning, and hit a three-run home run against Rip Sewell's "eephus pitch" in the eighth inning to help the American League win 12–0. For the 1946 season, Williams hit .342 with 38 home runs and 123 RBIs, helping the Red Sox win the pennant on September 13. During the season, Williams hit the only inside-the-park home run in his Major League career in a September 1–0 win at Cleveland, and in June hit what is considered the longest home run in Fenway Park history, at and subsequently marked with a lone red seat in the Fenway bleachers. Williams ran away as the winner in the MVP voting. During an exhibition game in Fenway Park against an All-Star team during early October, Williams was hit on the elbow by a curveball by the Washington Senators' pitcher Mickey Haefner. Williams was immediately taken out of the game, and X-rays of his arm showed no damage, but his arm was "swelled up like a boiled egg", according to Williams. Williams could not swing a bat again until four days later, one day before the World Series, when he reported the arm as "sore". During the series, Williams batted .200, going 5-for-25 with no home runs and just one RBI. The Red Sox lost in seven games, with Williams going 0-for-4 in the last game. Fifty years later when asked what one thing he would have done different in his life, Williams replied, "I'd have done better in the '46 World Series. God, I would". The 1946 World Series was the only World Series Williams ever appeared in. Williams signed a $70,000 contract in 1947. Williams was also almost traded for Joe DiMaggio in 1947. In late April, Red Sox owner Tom Yawkey and Yankees owner Dan Topping agreed to swap the players, but a day later canceled the deal when Yawkey requested that Yogi Berra come with DiMaggio. In May, Williams was hitting .337. Williams won the Triple Crown in 1947, but lost the MVP award to Joe DiMaggio, 202 points to 201 points. One writer left Williams off his ballot. Williams thought it was Mel Webb, whom Williams called a "grouchy old guy", although it now appears it was not Webb. Through 2011, Williams was one of seven major league players to have had at least four 30-home run and 100-RBI seasons in their first five years, along with Chuck Klein, Joe DiMaggio, Ralph Kiner, Mark Teixeira, Albert Pujols, and Ryan Braun. In 1948, under their new manager, Joe McCarthy, Williams hit a league-leading .369 with 25 home runs and 127 RBIs, and was third in MVP voting. On April 29, Williams hit his 200th career home run. He became just the second player to hit 200 home runs in a Red Sox uniform, joining his former teammate Jimmie Foxx. On October 2, against the Yankees, Williams hit his 222nd career home run, tying Foxx for the Red Sox all-time record. In the Red Sox' final two games of the regular schedule, they beat the Yankees (to force a one-game playoff against the Cleveland Indians) and Williams got on base eight times out of ten plate appearances. In the playoff, Williams went 1-for-4, with the Red Sox losing 8–3. In 1949, Williams received a new salary of $100,000 ($ in current dollar terms). He hit .343 (losing the AL batting title by just .0002 to the Tigers' George Kell, thus missing the Triple Crown that year), hitting 43 home runs, his career high, and driving in 159 runs, tied for highest in the league, and at one point, he got on base in 84 straight games, an MLB record that still stands today, helping him win the MVP trophy. On April 28, Williams hit his 223rd career home run, breaking the record for most home runs in a Red Sox uniform, passing Jimmie Foxx. Williams is still the Red Sox career home run leader. However, despite being ahead of the Yankees by one game just before a 2-game series against them (last regular-season games for both teams), the Red Sox lost both of those games. The Yankees won the first of what would be five straight World Series titles in 1949. For the rest of Williams's career, the Yankees won nine pennants and six World Series titles, while the Red Sox never finished better than third place. 1950–1955 In 1950, Williams was playing in his eighth All-Star Game. In the first inning, Williams caught a line drive by Ralph Kiner, slamming into the Comiskey Park scoreboard and breaking his left arm. Williams played the rest of the game, and he even singled in a run to give the American League the lead in the fifth inning, but by that time Williams' arm was a "balloon" and he was in great pain, so he left the game. Both of the doctors who X-rayed Williams held little hope for a full recovery. The doctors operated on Williams for two hours. When Williams took his cast off, he could only extend the arm to within four inches of his right arm. Williams only played 89 games in 1950. After the baseball season, Williams' elbow hurt so much he considered retirement, since he thought he would never be able to hit again. Tom Yawkey, the Red Sox owner, then sent Jack Fadden to Williams' Florida home to talk to Williams. Williams later thanked Fadden for saving his career. In 1951, Williams "struggled" to hit .318, with his elbow still hurting. Williams also played in 148 games, 60 more than Williams had played the previous season, 30 home runs, two more than he had hit in 1950, and 126 RBIs, twenty-nine more than 1950. Despite his lower-than-usual production at bat, Williams made the All-Star team. On May 15, 1951, Williams became the 11th player in major league history to hit 300 career home runs. On May 21, Williams passed Chuck Klein for 10th place, on May 25 Williams passed Hornsby for ninth place, and on July 5 Williams passed Al Simmons for eighth place all-time in career home runs. After the season, manager Steve O'Neill was fired, with Lou Boudreau replacing him. Boudreau's first announcement as manager was that all Red Sox players were "expendable", including Williams. U.S. Marine Corps, Korea (1952–1953) Williams's name was called from a list of inactive reserves to serve on active duty in the Korean War on January 9, 1952. Williams, who was livid at his recalling, had a physical scheduled for April 2. Williams passed his physical and in May, after only playing in six major league games, began refresher flight training and qualification prior to service in Korea. Right before he left for Korea, the Red Sox had a "Ted Williams Day" in Fenway Park. Friends of Williams gave him a Cadillac, and the Red Sox gave Williams a memory book that was signed by 400,000 fans. The governor of Massachusetts and mayor of Boston were there, along with a Korean War veteran named Frederick Wolf who used a wheelchair for mobility. At the end of the ceremony, everyone in the park held hands and sang "Auld Lang Syne" to Williams, a moment which he later said "moved me quite a bit." Private Wolf (an injured Korean veteran from Brooklyn) presented gifts from wounded veterans to Ted Williams. Ted choked and was only able to say,"...ok kid..." The Red Sox went on to win the game 5–3, thanks to a two-run home run by Williams in the seventh inning. In August 1953, Williams practiced with the Red Sox for ten days before playing in his first game, garnering a large ovation from the crowd and hitting a home run in the eighth inning. In the season, Williams ended up hitting .407 with 13 home runs and 34 RBIs in 37 games and 110 at bats (not nearly enough plate appearances to qualify for that season's batting title). On September 6, Williams hit his 332nd career home run, passing Hank Greenberg for seventh all-time. On the first day of spring training in 1954, Williams broke his collarbone running after a line drive. Williams was out for six weeks, and in April he wrote an article with Joe Reichler of the Saturday Evening Post saying that he intended to retire at the end of the season. Williams returned to the Red Sox lineup on May 7, and he hit .345 with 386 at bats in 117 games, although Bobby Ávila, who had hit .341, won the batting championship. This was because it was required then that a batter needed 400 at bats, despite Lou Boudreau's attempt to bat Williams second in the lineup to get more at-bats. Williams led the league in base on balls with 136 which kept him from qualifying under the rules at the time. By today's standards (plate appearances) he would have been the champion. The rule was changed shortly thereafter to keep this from happening again. On August 25, Williams passed Johnny Mize for sixth place, and on September 3, Williams passed Joe DiMaggio for fifth all-time in career home runs with his 362nd career home run. He finished the season with 366 career home runs. On September 26, Williams "retired" after the Red Sox's final game of the season. During the off-season of 1954, Williams was offered the chance to be manager of the Red Sox. Williams declined, and he suggested that Pinky Higgins, who had previously played on the 1946 Red Sox team as the third baseman, become the manager of the team. Higgins later was hired as the Red Sox manager in 1955. Williams sat out the first month of the 1955 season due to a divorce settlement with his wife, Doris. When Williams returned, he signed a $98,000 contract on May 13. Williams batted .356 in 320 at bats on the season, lacking enough at bats to win the batting title over Al Kaline, who batted .340. Williams hit 28 home runs and drove in 83 runs while being named the "Comeback Player of the Year." 1956–1960 On July 17, 1956, Williams became the fifth player to hit 400 home runs, following Mel Ott in 1941, Jimmie Foxx in 1938, Lou Gehrig in 1936, and Babe Ruth in 1927. Three weeks later at home against the Yankees on August 7, after Williams was booed for dropping a fly ball from Mickey Mantle, he spat at one of the fans who was taunting him on the top of the dugout; Williams was fined $5,000 for the incident. The following night against Baltimore, Williams was greeted by a large ovation, and received an even larger one when he hit a home run in the sixth inning to break a 2–2 tie. In The Boston Globe, the publishers ran a "What Globe Readers Say About Ted" section made out of letters about Williams, which were either the sportswriters or the "loud mouths" in the stands. Williams explained years later, "From '56 on, I realized that people were for me. The writers had written that the fans should show me they didn't want me, and I got the biggest ovation yet". Williams lost the batting title to Mickey Mantle in 1956, batting .345 to Mantle's .353, with Mantle on his way to winning the Triple Crown. In 1957, Williams batted .388 to lead the majors, then signed a contract in February 1958 for a record high $125,000 (or $135,000). At age forty that season, he again led the American League with a .328 batting average. When Pumpsie Green became the first black player on the Red Sox—the last major league team to integrate—in 1959, Williams openly welcomed Green. Williams ended his career with a home run in his last at-bat on September 28, 1960. He refused to salute the fans as he returned the dugout after he crossed home plate or after he was replaced in left field by Carroll Hardy. An essay written by John Updike the following month for The New Yorker, "Hub Fans Bid Kid Adieu", chronicles this event. Williams is one of only 29 players in baseball history to date to have appeared in Major League games in four decades. Player profile Playing style Williams was an obsessive student of hitting. He famously used a lighter bat than most sluggers, because it generated a faster swing. In 1970 he wrote a book on the subject, The Science of Hitting (revised 1986), which
rejoin, and in 2006 released the EP Revenge of the Killer Slits. The EP featured former Sex Pistols member Paul Cook and Marco Pirroni (formerly of Adam and the Ants, and Siouxsie and the Banshees) as both musicians and co-producers. Cook's daughter Hollie played with the band, singing and playing keyboards. Other members of the reformed band were No (of the Home Office) on guitar, German drummer Anna Schulte, and Adele Wilson on guitar. The band toured the United States for the first time in twenty-five years during 2006's 'States of Mind' tour, and followed this with tours of Australia and Japan, as well as opening for Sonic Youth at New York's McCarren Park Pool. Adele Wilson and No left the band, to be replaced by American guitarist Michelle Hill. A biography – Typical Girls? The Story of the Slits by Zoe Street Howe was published in the UK by Omnibus Press in July 2009, and the band's third full-length album entitled Trapped Animal was released three months later. Founding member Ari Up died in Los Angeles in October 2010 at the age of 48. The band's final work, the video for the song "Lazy Slam" from Trapped Animal, was released posthumously according to Ari Up's wishes. A final song, the unreleased 1981 recording "Coulda Woulda Shoulda", was due to be released in early 2011. Personnel Members Ari Up – vocals (1976–1982, 2005–2010; died 2010) Palmolive – drums (1976–1978) Suzy Gutsy – bass guitar (1976) Kate Korus – guitar (1976-1977) Tessa Pollitt – bass guitar (1976–1982, 2005–2010) Viv Albertine – guitar (1977–1982) Budgie – drums (1978–1980) Bruce Smith – drums (1980–1982) Neneh Cherry – backing vocals (1981) Hollie Cook – backing vocals (2005–2010) Michelle Hill – guitar (2005–2010) NO – guitar, backing vocals (2005–2010) Anna Schulte – drums (2005–2010) Adele Wilson – guitar (2005–2010) Little Anna – melodica (2007–2009) Lineups Timeline Discography Studio albums Cut (Island (UK) / Antilles (US), September 1979) – UK No. 30 Return of the Giant Slits (CBS, October 1981) Trapped Animal (Narnack, 2009) Compilation albums The Slits/Bootleg Retrospective/Untitled (Y Records, May 1980) Double Peel Sessions (Strange Fruit, November 1988) In the Beginning (Jungle, 1997) Live at the Gibus Club (Castle Music / Sanctuary, February 2005 – recorded January 1978) Singles and EPs "Typical Girls" / "I Heard It Through the Grapevine" (Island (UK) / Antilles (US), September 1979, also
Schulte, and Adele Wilson on guitar. The band toured the United States for the first time in twenty-five years during 2006's 'States of Mind' tour, and followed this with tours of Australia and Japan, as well as opening for Sonic Youth at New York's McCarren Park Pool. Adele Wilson and No left the band, to be replaced by American guitarist Michelle Hill. A biography – Typical Girls? The Story of the Slits by Zoe Street Howe was published in the UK by Omnibus Press in July 2009, and the band's third full-length album entitled Trapped Animal was released three months later. Founding member Ari Up died in Los Angeles in October 2010 at the age of 48. The band's final work, the video for the song "Lazy Slam" from Trapped Animal, was released posthumously according to Ari Up's wishes. A final song, the unreleased 1981 recording "Coulda Woulda Shoulda", was due to be released in early 2011. Personnel Members Ari Up – vocals (1976–1982, 2005–2010; died 2010) Palmolive – drums (1976–1978) Suzy Gutsy – bass guitar (1976) Kate Korus – guitar (1976-1977) Tessa Pollitt – bass guitar (1976–1982, 2005–2010) Viv Albertine – guitar (1977–1982) Budgie – drums (1978–1980) Bruce Smith – drums (1980–1982) Neneh Cherry – backing vocals (1981) Hollie Cook – backing vocals (2005–2010) Michelle Hill – guitar (2005–2010) NO – guitar, backing vocals (2005–2010) Anna Schulte – drums (2005–2010) Adele Wilson – guitar (2005–2010) Little Anna – melodica (2007–2009) Lineups Timeline Discography Studio albums Cut (Island (UK) / Antilles (US), September 1979) – UK No. 30 Return of the Giant Slits (CBS, October 1981) Trapped Animal (Narnack, 2009) Compilation albums The Slits/Bootleg Retrospective/Untitled (Y Records, May 1980) Double Peel Sessions (Strange Fruit, November 1988) In the Beginning (Jungle, 1997) Live at the Gibus Club (Castle Music / Sanctuary, February 2005 – recorded January 1978) Singles and EPs "Typical Girls" / "I Heard It Through the Grapevine" (Island (UK) / Antilles (US), September 1979, also issued as a 12-inch EP with additional alternate versions) UK No. 60 "In the Beginning There Was Rhythm" (Y, March 1980, split single with the Pop Group) "Man Next Door" / "Man Next Door (version)" (Y, June 1980) "Animal Space" / "Animal Spacier" (Human (UK), 1981, also issued as a 12-inch EP on Human (USA) with different tracks) "Earthbeat" / "Earthdub" / "Begin Again, Rhythm" (CBS, August 1981 (UK), December 1981 (US), 7 inch single with the first 2 tracks, and 12 inch EP with 3 tracks) "American Radio Interview (Winter 1980)" / "Face Dub" (CBS, October 1981, bonus record included with Return of the Giant Slits album, side one plays at 33 rpm) The Peel Sessions (Strange Fruit, February 1987) Revenge of the Killer Slits (2006) Bibliography Zoe Street Howe, Typical Girls? The Story of The Slits, Omnibus Press, 2009. () Viv Albertine, Clothes, Clothes, Clothes, Music, Music, Music, Boys, Boys, Boys, Faber & Faber, 2014 In popular culture The band’s name appears in the lyrics of the Le Tigre song "Hot Topic." References Sources Further reading
high point in membership came in 1894, with 317 societies and about 40,000 adult male members, along with 25,000 children and 3000 women. In the 1904 Olympics several competitors represented various Tuners organizations in Missouri, Illinois, Pennsylvania, New Jersey and New York, and some of the teams at the Olympics were sponsored by Turners organizations. Like other German-American groups, the Turners experienced suspicion during World War I, even though they now had very little contact with Germany. German-language instruction ended at many schools and universities, and the federal government imposed restrictions on German-language publications. The younger generation generally demanded the switch to the exclusive use of English society affairs, which allowed many Turner societies to continue to function. Cultural assimilation and both World Wars with Germany took a gradual toll on membership, with some halls closing and others becoming regular dance halls, bars, or bowling alleys. As of 2011, 54 Turner societies still existed around the U.S. The current headquarters of American Turners is in Louisville, Kentucky. In 1948, the US Post Office issued a 3-cent commemorative stamp to mark the 100th anniversary of the movement in the country. The Turnverein in Sacramento, founded in 1854, claims to be the oldest still in existence in the United States. The Turnverein Vorwaerts of Fort Wayne, Indiana, owned the Hugh McCulloch House from 1906 until 1966. It was listed on the National Register of Historic Places in 1980. Gallery Vintage photos of the Milwaukee Turnverein Other Wisconsin Turners in 1915 Monuments in the United States Jahn Monument in Berlin with memorial plaques from American Turnvereine Turner Halls See also German-Americans in the Civil War George Brosius Forty-Eighters Sokol, A comparable movement for Czechs in Central Europe (Austria-Hungary) and the United States References Further reading Barney, Robert Knight. "German Turners in America: Their Role in Nineteenth Century Exercise Expression and Physical Education Legislation." in Earle F. Zeigler ed., American Sport and Physical Education History (to 1875) (1975): 116+. online Barney, Robert Knight. "Knights of Cause and Exercise: German Forty-Eighters and Turnvereine in the United States during the Antebellum Period." Canadian Journal of History of Sport 13.2 (1982): 62-79. Barney, Robert Knight. "America's First Turnverein: Commentary in Favor of Louisville, Kentucky." Journal of Sport History 11.1 (1984): 134-137. online Kramer, William M., and Norton B. Stern. "The Turnverein: A German Experience for Western Jewry." Western States Jewish History 16 (1984): 227. Metzner, Henry. A brief history of the American Turnerbund (1924) online> Pfister, Gertrud. "The Role of German Turners in American Physical Education," International Journal of the History of Sport 26 (no. 13, 2009) 1893-925 Pumroy, Eric, and Katja Rampelmann. Research guide to the Turner movement in the
They provided the bodyguard at Abraham Lincoln's inauguration on March 4, 1861, and at his funeral in April 1865. In the Camp Jackson Affair, a large force of German volunteers helped prevent Confederate forces from seizing the government arsenal in St. Louis just prior to the beginning of the war. After the Civil War, the national organization took a new name, Nordamerikanischer Turnerbund, and supported German-language teaching in public high schools, as well as gymnastics. Women's auxiliaries were formed in the 1850s and 1860s. The high point in membership came in 1894, with 317 societies and about 40,000 adult male members, along with 25,000 children and 3000 women. In the 1904 Olympics several competitors represented various Tuners organizations in Missouri, Illinois, Pennsylvania, New Jersey and New York, and some of the teams at the Olympics were sponsored by Turners organizations. Like other German-American groups, the Turners experienced suspicion during World War I, even though they now had very little contact with Germany. German-language instruction ended at many schools and universities, and the federal government imposed restrictions on German-language publications. The younger generation generally demanded the switch to the exclusive use of English society affairs, which allowed many Turner societies to continue to function. Cultural assimilation and both World Wars with Germany took a gradual toll on membership, with some halls closing and others becoming regular dance halls, bars, or bowling alleys. As of 2011, 54 Turner societies still existed around the U.S. The current headquarters of American Turners is in Louisville, Kentucky. In 1948, the US Post Office issued a 3-cent commemorative stamp to mark the 100th anniversary of the movement in the country. The Turnverein in Sacramento, founded in 1854, claims to be the oldest still in existence in the United States. The Turnverein Vorwaerts of Fort Wayne, Indiana, owned the Hugh McCulloch House from 1906 until 1966. It was listed on the National Register of Historic Places in 1980. Gallery Vintage photos of the Milwaukee Turnverein Other Wisconsin Turners in 1915 Monuments in the United States Jahn Monument in Berlin with memorial plaques from American Turnvereine Turner Halls See also German-Americans in the Civil War George Brosius Forty-Eighters Sokol, A comparable movement for Czechs in Central Europe (Austria-Hungary) and the United States References Further reading Barney, Robert Knight. "German Turners in America: Their Role in Nineteenth Century Exercise Expression and Physical Education Legislation." in Earle F. Zeigler ed., American Sport and Physical Education History (to 1875) (1975): 116+. online Barney, Robert Knight. "Knights of Cause and Exercise: German Forty-Eighters and
while Burton would only produce it in conjunction with Peter MacGregor-Scott. Following this change and the changes made by the new director, Michael Keaton resigned from the lead role and was replaced by Val Kilmer. Filming for Batman Forever began in late 1994 with new actors: Tommy Lee Jones as Harvey Dent/Two-Face, Nicole Kidman as Dr. Chase Meridian, Chris O'Donnell as Dick Grayson/Robin and Jim Carrey as Edward Nygma/The Riddler; the only two actors who returned after Batman Returns were Pat Hingle as Commissioner Gordon and Michael Gough as Alfred Pennyworth. The film, a combination of the darkness that characterized the saga and colors and neon signs proposed by Schumacher, was a huge box office success, earning $336 million. Warner Bros. demanded that Schumacher delete some scenes so the film did not have the same tone as its predecessor, Batman Returns (later they were added as deleted scenes on the 2005 DVD release). In 1996, Burton and Selick reunited for the musical fantasy James and the Giant Peach, based on the book by Roald Dahl which contains magical elements and references to drugs and alcohol. The film, a combination of live action and stop motion footage, starred Richard Dreyfuss, Susan Sarandon, David Thewlis, Simon Callow and Jane Leeves among others, with Burton producing and Selick directing. The film was mostly praised by critics and was nominated for the Academy Award for Best Original Musical or Comedy Score (by Randy Newman). Elfman and Burton reunited for Mars Attacks! (1996). Based on a popular science-fiction trading card series, the film was a hybrid of 1950s science fiction and 1970s all-star disaster films. Coincidence made it an inadvertent spoof of the blockbuster Independence Day, which had been released five months earlier. The film boasted an all-star cast, including Jack Nicholson, Glenn Close, Annette Bening, Danny DeVito, Pierce Brosnan, Michael J. Fox, Sarah Jessica Parker, Natalie Portman, Lukas Haas, Martin Short, Rod Steiger, Christina Applegate, and Jack Black. Sleepy Hollow, released in late 1999, had a supernatural setting and starred Johnny Depp as Ichabod Crane, a detective with an interest in forensic science rather than the schoolteacher of Washington Irving's original tale. With Sleepy Hollow, Burton paid homage to the horror films of the English company Hammer Films. Christopher Lee, one of Hammer's stars, was given a cameo role. A host of Burton regulars appeared in supporting roles (Michael Gough, Jeffrey Jones, and Christopher Walken, among others), and Christina Ricci was cast as Katrina van Tassel. A well-regarded supporting cast was headed by Miranda Richardson, Michael Gambon, Richard Griffiths and Ian McDiarmid. Mostly well received by critics, and with a special mention to Elfman's gothic score, the film won an Academy Award for Best Art Direction, as well as two BAFTAs for Best Costume Design and Best Production Design. A box office success, Sleepy Hollow was also a turning point for Burton. Along with change in his personal life (separation from actress Lisa Marie), Burton changed radically in style for his next project, leaving the haunted forests and colorful outcasts behind to go on to directing Planet of the Apes which, as Burton had repeatedly noted, was "not a remake" of the earlier film. 2000s Planet of the Apes was a commercial success, grossing $68 million in its opening weekend. The film has received mixed reviews and is widely considered inferior to the first adaptation of the novel. In 2003, Burton directed Big Fish, based on the novel Big Fish: A Novel of Mythic Proportions by Daniel Wallace. The film is about a father telling the story of his life to his son using exaggeration and color. Starring Ewan McGregor as young Edward Bloom and Albert Finney as an older Edward Bloom, the film also stars Jessica Lange, Billy Crudup, Danny DeVito, Alison Lohman and Marion Cotillard. Big Fish received four Golden Globe nominations as well as an Academy Award nomination for Elfman's score. The film was also the second collaboration between Burton and Helena Bonham Carter, who played the characters of Jenny and the Witch, and Burton and Danny DeVito, who played Amos Calloway the circus ringleader. Charlie and the Chocolate Factory (2005) is an adaptation of the book of the same name by Roald Dahl. Starring Johnny Depp as Willy Wonka, Freddie Highmore as Charlie Bucket, and Deep Roy as the Oompa-Loompas, the film generally took a more faithful approach to the source material than the 1971 adaptation, Willy Wonka & the Chocolate Factory, although some liberties were taken, such as adding Wonka's issue with his father (played by Christopher Lee). Charlie and the Chocolate Factory was later nominated for the Academy Award for Best Costume Design. The film made over $207 million domestically. Filming proved difficult as Burton, Depp, and Danny Elfman had to work on this and Burton's Corpse Bride (2005) at the same time, which was Burton's first full-length stop motion film as a director, featuring the voices of Johnny Depp as Victor and Helena Bonham Carter as Emily. Burton directed his first music video, "Bones", in 2006. "Bones" is the sixth overall single by American indie rock band The Killers and the second released from their second studio album, Sam's Town. Starring in this video were actors Michael Steger and Devon Aoki. Burton went to direct a second music video for The Killers, "Here with Me", starring Winona Ryder, released in 2012. The DreamWorks/Warner Bros. production Sweeney Todd: The Demon Barber of Fleet Street, based on the 1979 Broadway musical, was released on December 21, 2007. Burton's work on Sweeney Todd won the National Board of Review Award for Best Director, received a Golden Globe nomination for Best Director, and won an Academy Award for Best Art Direction. The film blends explicit gore and Broadway tunes, and was well received by critics. Johnny Depp's performance as Sweeney Todd was nominated for the Academy Award for Best Actor. In 2005, filmmaker Shane Acker released his short film 9, a story about a sentient rag doll living in a post-apocalyptic world who tries to stop machines from destroying the rest of his eight fellow rag dolls. The film won numerous awards and was nominated for an Academy Award for Best Animated Short Film. After seeing the short film, Tim Burton and Timur Bekmambetov, director of Wanted, showed interest in producing a feature-length adaptation of the film. Directed by Acker, the full-length film was produced by Burton, written by Acker (story) and Pamela Pettler (screenplay, co-writer of Corpse Bride), and featured the voice work of Elijah Wood, John C. Reilly, Jennifer Connelly, Christopher Plummer, Martin Landau, and Crispin Glover, among others. 2010s Tim Burton appeared at the 2009 Comic-Con in San Diego, California, to promote both 9 and Alice in Wonderland; the latter won two Academy Awards, for Best Art Direction and Best Costume Design. In Burton's version of Alice in Wonderland, the story is set 13 years after the original Lewis Carroll tales. Mia Wasikowska was cast as Alice. The original start date for filming was May 2008. Torpoint and Plymouth were the locations used for filming from September 1 – October 14, and the film remains set in the Victorian era. During this time, filming took place in Antony House in Torpoint. 250 local extras were chosen in early August. Other production work took place in London. The film was originally to be released in 2009, but was pushed to March 5, 2010. The film starred Johnny Depp as the Mad Hatter; Matt Lucas as both Tweedledee and Tweedledum; Helena Bonham Carter as the Red Queen; Stephen Fry as the Cheshire Cat; Anne Hathaway as the White Queen; Alan Rickman as Absolem the Caterpillar; Michael Sheen as McTwisp the White Rabbit; and Crispin Glover as the Knave of Hearts, with his face and voice added onto a CGI body. Burton produced the film's sequel, Alice Through the Looking Glass (2016). Dark Shadows once again saw the collaboration of Burton with actors Johnny Depp and Helena Bonham Carter, composer Danny Elfman, and costume designer Colleen Atwood. The film was released on May 11, 2012, and received mixed reviews from critics. Burton co-produced Abraham Lincoln: Vampire Hunter with Timur Bekmambetov, who also served as director (they previously worked together in 9). The film, released on June 22, 2012, was based on the novel by Seth Grahame-Smith, who wrote the film's screenplay and also authored Pride and Prejudice and Zombies. The film starred Benjamin Walker as Abraham Lincoln, Anthony Mackie as William H. Johnson, Joseph Mawle as Lincoln's father Thomas, Robin McLeavy as Lincoln's mother, Nancy, and Mary Elizabeth Winstead as Lincoln's love interest (and later wife), Mary Ann Todd. The film received mixed reviews. He then remade his 1984 short film Frankenweenie as a feature-length stop motion film, distributed by Walt Disney Pictures. Burton has said, "The film is based on a memory that I had when I was growing up and with my relationship with a dog that I had." The film was released on October 5, 2012, and met with positive reviews. Burton directed the 2014 biographical drama film Big Eyes about American artist Margaret Keane (Amy Adams), whose work was fraudulently claimed in the 1950s and 1960s by her then-husband, Walter Keane (Christoph Waltz), and their heated divorce trial after Margaret accused Walter of stealing credit for her paintings. The script was written by the screenwriters behind Burton's Ed Wood, Scott Alexander and Larry Karaszewski. Filming began in Vancouver, British Columbia, in mid-2013. The film was distributed by The Weinstein Company and released in U.S. theaters on December 25, 2014. It received generally positive reviews from critics. In September 2016, an adaptation of Ransom Riggs's novel Miss Peregrine's Home for Peculiar Children, directed by Burton, was released, starring Asa Butterfield and Eva Green. Burton also directed a live-action adaptation of Dumbo, released in 2019, with Colin Farrell, Danny DeVito, Eva Green, and Michael Keaton starring. 2020s In February 2021, it was announced that Burton would be directing and producing Wednesday, a series for Netflix based on the titular character from The Addams Family. This will mark Burton's first foray into directing television since the 1980s and he is expected to helm all eight episodes in the first season, which began production in September 2021. Unrealized projects After Kevin Smith had been hired to write a new Superman film, he suggested Burton to direct. Burton came on and Warner Bros. set a theatrical release date for the summer of 1998, the 60th anniversary of the character's debut in Action Comics. Nicolas Cage was signed on to play Superman, Burton hired Wesley Strick to rewrite Smith's script, and the film entered pre-production in June 1997. For budgetary reasons, Warner Bros. ordered another rewrite from Dan Gilroy, delayed the film, and ultimately put it on hold in April 1998. Burton then left to direct Sleepy Hollow. Burton has depicted the experience as a difficult one, citing differences with producer Jon Peters and the studio, stating, "I basically wasted a year. A year is a long time to be working with somebody that you don't really want to be working with." In 2001, The Walt Disney Company began to consider producing a sequel to The Nightmare Before Christmas, but rather than using stop motion, Disney wanted to use computer animation. Burton convinced Disney to drop the idea. "I was always very protective of ['Nightmare'], not to do sequels or things of that kind," Burton explained. "You know, 'Jack visits Thanksgiving world' or other kinds of things, just because I felt the movie had a purity to it and the people that like it... Because it's a mass-market kind of thing, it was important to kind of keep that purity of it." Regardless, in 2009, Henry Selick stated that he could make a sequel to Nightmare if he and Burton could create a good story for it. In 2012, Shane Acker confirmed that Burton would work with Valve to create his next animated feature film, Deep. Like 9, the film would take place in a post-apocalyptic world (although set in a different universe). Deep would be another darker animated film, as Shane Acker has expressed his interest in creating more PG-13 animated films. Since then, there have been no further mentions of Deep, with Acker focusing on another project announced in 2013 (Beasts of Burden). On January 19, 2010, it was announced that after Dark Shadows, Burton's next project would be Maleficent, a Wicked-like film that
scary for children. Audiences were more uncomfortable at the film's overt sexuality, personified by the sleek, fetish-inspired styling of Catwoman's costume. Burton made many changes to the Penguin which would subsequently be applied to the character in both comics and television. While in the comics, he was an ordinary man, Burton created a freak of nature resembling a penguin with webbed, flipper-like fingers, a hooked, beak-like nose, and a penguin-like body (resulting in a rotund, obese man). Released in 1992, Batman Returns grossed $282.8 million worldwide, making it a financial success, though not to the extent of its predecessor. Due to schedule constraints on Batman Returns, Burton produced, but did not direct, The Nightmare Before Christmas (1993) for Disney, originally meant to be a children's book in rhyme. The film was directed by Henry Selick and written by Caroline Thompson, based on Burton's original story, world, and characters. The film received positive reviews for the stop motion animation, musical score, and original storyline. It was a box office success, grossing $50 million. Because of the nature of the film, it was not produced under Disney's name, but rather Disney owned Touchstone Pictures. Disney wanted the protagonist to have eyes, but the final iteration did not. Over 100 people worked on this motion picture just to create the characters, and it took three years of work to produce the film. Burton collaborated with Selick again for James and the Giant Peach (1996), which Burton co-produced. In 1994, Burton and frequent co-producer Denise Di Novi produced the 1994 fantasy-comedy Cabin Boy, starring comedian Chris Elliott and directed/written by Adam Resnick. Burton was originally supposed to direct the film after seeing Elliott perform on Get a Life, but he handed the directing responsibility to Resnick once he was offered Ed Wood. Burton's next film, Ed Wood (1994), was of a much smaller scale, depicting the life of infamous director Ed Wood. Starring Johnny Depp in the title role, the film is an homage to the low-budget science fiction and horror films of Burton's childhood and handles its comical protagonist and his motley band of collaborators with surprising fondness and sensitivity. Owing to creative squabbles during the making of The Nightmare Before Christmas, Danny Elfman declined to score Ed Wood, and the assignment went to Howard Shore. While a commercial failure at the time of its release, Ed Wood was well received by critics. Martin Landau received the Academy Award for Best Supporting Actor for his portrayal of Bela Lugosi, and the film received the Academy Award for Best Makeup. Despite Burton's intention to still lead the Batman franchise, Warner Bros. considered Batman Returns too dark and unsafe for children. To attract the young audience, it was decided that Joel Schumacher, who had directed films like The Client, would lead the third film, while Burton would only produce it in conjunction with Peter MacGregor-Scott. Following this change and the changes made by the new director, Michael Keaton resigned from the lead role and was replaced by Val Kilmer. Filming for Batman Forever began in late 1994 with new actors: Tommy Lee Jones as Harvey Dent/Two-Face, Nicole Kidman as Dr. Chase Meridian, Chris O'Donnell as Dick Grayson/Robin and Jim Carrey as Edward Nygma/The Riddler; the only two actors who returned after Batman Returns were Pat Hingle as Commissioner Gordon and Michael Gough as Alfred Pennyworth. The film, a combination of the darkness that characterized the saga and colors and neon signs proposed by Schumacher, was a huge box office success, earning $336 million. Warner Bros. demanded that Schumacher delete some scenes so the film did not have the same tone as its predecessor, Batman Returns (later they were added as deleted scenes on the 2005 DVD release). In 1996, Burton and Selick reunited for the musical fantasy James and the Giant Peach, based on the book by Roald Dahl which contains magical elements and references to drugs and alcohol. The film, a combination of live action and stop motion footage, starred Richard Dreyfuss, Susan Sarandon, David Thewlis, Simon Callow and Jane Leeves among others, with Burton producing and Selick directing. The film was mostly praised by critics and was nominated for the Academy Award for Best Original Musical or Comedy Score (by Randy Newman). Elfman and Burton reunited for Mars Attacks! (1996). Based on a popular science-fiction trading card series, the film was a hybrid of 1950s science fiction and 1970s all-star disaster films. Coincidence made it an inadvertent spoof of the blockbuster Independence Day, which had been released five months earlier. The film boasted an all-star cast, including Jack Nicholson, Glenn Close, Annette Bening, Danny DeVito, Pierce Brosnan, Michael J. Fox, Sarah Jessica Parker, Natalie Portman, Lukas Haas, Martin Short, Rod Steiger, Christina Applegate, and Jack Black. Sleepy Hollow, released in late 1999, had a supernatural setting and starred Johnny Depp as Ichabod Crane, a detective with an interest in forensic science rather than the schoolteacher of Washington Irving's original tale. With Sleepy Hollow, Burton paid homage to the horror films of the English company Hammer Films. Christopher Lee, one of Hammer's stars, was given a cameo role. A host of Burton regulars appeared in supporting roles (Michael Gough, Jeffrey Jones, and Christopher Walken, among others), and Christina Ricci was cast as Katrina van Tassel. A well-regarded supporting cast was headed by Miranda Richardson, Michael Gambon, Richard Griffiths and Ian McDiarmid. Mostly well received by critics, and with a special mention to Elfman's gothic score, the film won an Academy Award for Best Art Direction, as well as two BAFTAs for Best Costume Design and Best Production Design. A box office success, Sleepy Hollow was also a turning point for Burton. Along with change in his personal life (separation from actress Lisa Marie), Burton changed radically in style for his next project, leaving the haunted forests and colorful outcasts behind to go on to directing Planet of the Apes which, as Burton had repeatedly noted, was "not a remake" of the earlier film. 2000s Planet of the Apes was a commercial success, grossing $68 million in its opening weekend. The film has received mixed reviews and is widely considered inferior to the first adaptation of the novel. In 2003, Burton directed Big Fish, based on the novel Big Fish: A Novel of Mythic Proportions by Daniel Wallace. The film is about a father telling the story of his life to his son using exaggeration and color. Starring Ewan McGregor as young Edward Bloom and Albert Finney as an older Edward Bloom, the film also stars Jessica Lange, Billy Crudup, Danny DeVito, Alison Lohman and Marion Cotillard. Big Fish received four Golden Globe nominations as well as an Academy Award nomination for Elfman's score. The film was also the second collaboration between Burton and Helena Bonham Carter, who played the characters of Jenny and the Witch, and Burton and Danny DeVito, who played Amos Calloway the circus ringleader. Charlie and the Chocolate Factory (2005) is an adaptation of the book of the same name by Roald Dahl. Starring Johnny Depp as Willy Wonka, Freddie Highmore as Charlie Bucket, and Deep Roy as the Oompa-Loompas, the film generally took a more faithful approach to the source material than the 1971 adaptation, Willy Wonka & the Chocolate Factory, although some liberties were taken, such as adding Wonka's issue with his father (played by Christopher Lee). Charlie and the Chocolate Factory was later nominated for the Academy Award for Best Costume Design. The film made over $207 million domestically. Filming proved difficult as Burton, Depp, and Danny Elfman had to work on this and Burton's Corpse Bride (2005) at the same time, which was Burton's first full-length stop motion film as a director, featuring the voices of Johnny Depp as Victor and Helena Bonham Carter as Emily. Burton directed his first music video, "Bones", in 2006. "Bones" is the sixth overall single by American indie rock band The Killers and the second released from their second studio album, Sam's Town. Starring in this video were actors Michael Steger and Devon Aoki. Burton went to direct a second music video for The Killers, "Here with Me", starring Winona Ryder, released in 2012. The DreamWorks/Warner Bros. production Sweeney Todd: The Demon Barber of Fleet Street, based on the 1979 Broadway musical, was released on December 21, 2007. Burton's work on Sweeney Todd won the National Board of Review Award for Best Director, received a Golden Globe nomination for Best Director, and won an Academy Award for Best Art Direction. The film blends explicit gore and Broadway tunes, and was well received by critics. Johnny Depp's performance as Sweeney Todd was nominated for the Academy Award for Best Actor. In 2005, filmmaker Shane Acker released his short film 9, a story about a sentient rag doll living in a post-apocalyptic world who tries to stop machines from destroying the rest of his eight fellow rag dolls. The film won numerous awards and was nominated for an Academy Award for Best Animated Short Film. After seeing the short film, Tim Burton and Timur Bekmambetov, director of Wanted, showed interest in producing a feature-length adaptation of the film. Directed by Acker, the full-length film was produced by Burton, written by Acker (story) and Pamela Pettler (screenplay, co-writer of Corpse Bride), and featured the voice work of Elijah Wood, John C. Reilly, Jennifer Connelly, Christopher Plummer, Martin Landau, and Crispin Glover, among others. 2010s Tim Burton appeared at the 2009 Comic-Con in San Diego, California, to promote both 9 and Alice in Wonderland; the latter won two Academy Awards, for Best Art Direction and Best Costume Design. In Burton's version of Alice in Wonderland, the story is set 13 years after the original Lewis Carroll tales. Mia Wasikowska was cast as Alice. The original start date for filming was May 2008. Torpoint and Plymouth were the locations used for filming from September 1 – October 14, and the film remains set in the Victorian era. During this time, filming took place in Antony House in Torpoint. 250 local extras were chosen in early August. Other production work took place in London. The film was originally to be released in 2009, but was pushed to March 5, 2010. The film starred Johnny Depp as the Mad Hatter; Matt Lucas as both Tweedledee and Tweedledum; Helena Bonham Carter as the Red Queen; Stephen Fry as the Cheshire Cat; Anne Hathaway as the White Queen; Alan Rickman as Absolem the Caterpillar; Michael Sheen as McTwisp the White Rabbit; and Crispin Glover as the Knave of Hearts, with his face and voice added onto a CGI body. Burton produced the film's sequel, Alice Through the Looking Glass (2016). Dark Shadows once again saw the collaboration of Burton with actors Johnny Depp and Helena Bonham Carter, composer Danny Elfman, and costume designer Colleen Atwood. The film was released on May 11, 2012, and received mixed reviews from critics. Burton co-produced Abraham Lincoln: Vampire Hunter with Timur Bekmambetov, who also served as director (they previously worked together in 9). The film, released on June 22, 2012, was based on the novel by Seth Grahame-Smith, who wrote the film's screenplay and also authored Pride and Prejudice and Zombies. The film starred Benjamin Walker as Abraham Lincoln, Anthony Mackie as William H. Johnson, Joseph Mawle as Lincoln's father Thomas, Robin McLeavy as Lincoln's mother, Nancy, and Mary Elizabeth Winstead as Lincoln's love interest (and later wife), Mary Ann Todd. The film received mixed reviews. He then remade his 1984 short film Frankenweenie as a feature-length stop motion film, distributed by Walt Disney Pictures. Burton has said, "The film is based on a memory that I had when I was growing up and with my relationship with a dog that I had." The film was released on October 5, 2012, and met with positive reviews. Burton directed the 2014 biographical drama film Big Eyes about American artist Margaret Keane (Amy Adams), whose work was fraudulently claimed in the 1950s and 1960s by her then-husband, Walter Keane (Christoph Waltz), and their heated divorce trial after Margaret accused Walter of stealing
major trauma in Browning's personal life that would shape his thematic obsessions...After 1915, Browning began to direct his traumatic experience into his work – radically reshaping it in the process." According to biographers David J. Skal and Elias Savada, the tragic event transformed Browning's creative outlook: Indeed, the thirty-one films that Browning wrote and directed between 1920 to 1939 were, with few exceptions, melodramas. Browning's injuries likely precluded a further career as an actor. During his protracted convalescence, Browning turned to writing screenplays for Reliance-Majestic. Upon his recovery, Browning joined Griffith's film crew on the set of Intolerance (1916) as an assistant director and appeared in a bit part for the production's "modern story" sequence. Plot and theme in Browning's films Film historian Vivian Sobchack identifies four plots or mise-en-scène in which Browning presents his themes: Sobchack points out that the plot synopsis for these films, considered independently of their cinematic treatments, appear "ludicrous" or "bizarre" in conception. Browning's handling of the material, however, produce "powerful and disturbing realizations on the screen." The melodramas that Browning wrote and directed for M-G-M and Universal are formulaic manifestations of his "compulsive" preoccupation with themes of "moral and sexual frustration, interchangeable guilt [and] patterns of human repulsion and attraction." Biographer Stuart Rosenthal offers this analysis of the director's style and themes: Rosenthal assigns four thematic categories to Browning's films: Reality vs. Appearance, in which an individual's social exterior (physical beauty, the trappings of authority or professional status) are exposed as facades masking cruel or criminal behavior. (ex. The Unholy Three (1925), Where East Is East (1929)) Sexual Frustration, often involving a "sacred" father-child or other kinship relation in which "a man's offspring represent extensions of his own sexuality" provoking a protective response to sexual insults from outsiders. (ex. The Road to Mandalay (1926), West of Zanzibar (1928)). Conflict of Opposing Tendencies within an Individual, leading to a loss of identity when irreconcilable character traits in a person produces alter egos. Author Robert Louis Stevenson's Dr. Jekyll and Mr. Hyde explores this "intractable frustration."(ex. Outside the Law (1921), The Blackbird (1926)). Inability to Assign Guilt, in which a character resorts to violence or criminal acts in order to avenge injustice, and guilt or blame remains ambiguous. (ex. The Unknown (1927), Freaks (1932)) The factor that unifies all these thematic patterns is frustration: "Frustration is Browning's dominant theme." Director: early silent feature films, 1917–1919 In 1917, Browning wrote and directed his first full-length feature film, Jim Bludso, for Fine Arts/ Triangle film companies, starring Wilfred Lucas in the title role. The story is based on a poem by John Hay, a former personal secretary to Abraham Lincoln during the American Civil War. Browning married his second wife Alice Watson in 1917; they would remain together until her death in 1944. Returning to New York in 1917, Browning directed pictures for Metro Pictures. There he made Peggy, the Will O' the Wisp and The Jury of Fate. Both starred Mabel Taliaferro, the latter in a dual role achieved with double exposure techniques that were groundbreaking for the time. Film historian Vivian Sobchack notes that many of these films "involved the disguise and impersonations found in later Browning films." (See Filmography below.) Browning returned to Hollywood in 1918 and produced three more films for Metro, each of which starred Edith Storey: The Eyes of Mystery, The Legion of Death and Revenge, all filmed and released in 1918. These early and profitable five-, six- and seven-reel features Browning made between 1917-1919 established him as "a successful director and script writer." In the spring of 1918 Browning departed Metro and signed with Bluebird Photoplays studios (a subsidiary of Carl Laemmle's Universal Pictures), then in 1919 with Universal where he would direct a series of "extremely successful" films starring Priscilla Dean. Universal Studios: 1919–1923 During his tenure at Universal, Browning directed a number of the studio's top female actors, among them Edith Roberts in The Deciding Kiss and Set Free (both 1918) and Mary MacLaren in The Unpainted Woman, A Petal on the Current and Bonnie, Bonnie Lassie, all 1919 productions. Browning's most notable films for Universal, however, starred Priscilla Dean, "Universal's leading lady known for playing 'tough girls'" and with whom he would direct nine features. The Priscilla Dean films Browning's first successful Dean picture—a "spectacular melodrama"—is The Virgin of Stamboul (1920). Dean portrays Sari, a "virgin beggar girl" who is desired by the Turkish chieftain Achmet Hamid (Wallace Beery). Browning's handling of the former slapstick comedian Beery as Achmet reveals the actor's comedic legacy and Browning's own roots in burlesque. Film historian Stuart Rosenthal wrote that the Dean vehicles possess "the seemingly authentic atmosphere with which Browning instilled his crime melodramas, adding immeasurably to later efforts like The Black Bird (1926), The Show (1927) and The Unholy Three. (1925)." The Dean films exhibit Browning's fascination with 'exotic' foreign settings and with underworld criminal activities, which serve to drive the action of his films. Dean is cast as a thieving demimonde who infiltrates high society to burgle jewelry in The Exquisite Thief (1919); in Under Two Flags (1922), set in colonial French Algiers, Dean is cast as a French-Arab member of a harem—her sobriquet is "Cigarette—servicing the French Foreign Legion; and in Drifting (1923), with its "compelling" Shanghai, China scenes recreated on the Universal backlot, Dean plays an opium dealer. In Browning's final Dean vehicle at Universal, White Tiger, he indulged his fascination with "quasi-theatrical" productions of illusion—and revealed to movie audiences the mechanisms of these deceptions. In doing so, Browning—a former member of the fraternity of magicians—violated a precept of their professional code. Perhaps the most fortuitous outcome of the Dean films at Universal is that they introduced Browning to future collaborator Lon Chaney, the actor who would star in Browning's most outstanding films of the silent era. Chaney had already earned the sobriquet "The Man of a Thousand Faces" as early as 1919 for his work at Universal. Universal's vice-president Irving Thalberg paired Browning with Chaney for the first time in The Wicked Darling (1919), a melodrama in which Chaney played the thief "Stoop" Conners who forces a poor girl (Dean) from the slums into a life of crime and prostitution. In 1921, Browning and Thalberg enlisted Chaney in another Dean vehicle, Outside the Law, in which he plays the dual roles of the sinister "Black Mike" Sylva and the benevolent Ah Wing. Both of these Universal production exhibit Browning's "natural affinity for the melodramatic and grotesque." In a special effect that drew critical attention, Chaney appears to murder his own dual character counterpart through trick photography and "with Thalberg supporting their imaginative freedom, Chaney's ability and unique presence fanned the flames of Browning's passion for the extraordinary." Biographer Stuart Rosenthal remarks upon the foundations of the Browning-Chaney professional synergy: When Thalberg resigned as vice-president at Universal to serve as production manager with the newly amalgamated Metro-Goldwyn-Mayer in 1925, Browning and Chaney accompanied him. The Browning-Chaney collaborations at M-G-M: 1925–1929 After moving to M-G-M in 1925 under the auspices of production manager Irving Thalberg, Browning and Chaney made eight critically and commercially successful feature films, representing the zenith of both their silent film careers. Browning wrote or co-wrote the stories for six of the eight productions. Screenwriter Waldemar Young, credited on nine of the M-G-M pictures, worked effectively with Browning. At M-G-M, Browning would reach his artistic maturity as a filmmaker. The first of these M-G-M productions established Browning as a talented filmmaker in Hollywood, and deepened Chaney's professional and personal influence on the director: The Unholy Three. The Unholy Three (1925) In a circus tale by author Tod Robbins—a setting familiar to Browning—a trio of criminal ex-carnies and a pickpocket form a jewelry theft ring. Their activities lead to a murder and an attempt to frame an innocent bookkeeper. Two of the criminal quartet reveal their humanity and are redeemed; two perish through violent justice. The Unholy Three is an outstanding example of Browning's delight in the "bizarre" melodramas (though here, not macabre) and its "the perverse characterizations" that Browning and Chaney devise anticipate their subsequent collaborations. Lon Chaney doubles as Professor Echo, a sideshow ventriloquist, and as Mrs. "Granny" O'Grady (a cross-dressing Echo), the mastermind of the gang. Granny/Echo operates a talking parrot pet shop as a front for the operation. Film critic Alfred Eaker notes that Chaney renders "the drag persona with depth of feeling. Chaney never camps it up and delivers a remarkable, multifaceted performance." Harry Earles, a member of The Doll Family midget performers plays the violent and wicked Tweedledee who poses as Granny's infant grandchild, Little Willie. (Granny conveys the diminutive Willie in a perambulator.) Victor McLagen is cast as weak-minded Hercules, the circus strongman who constantly seeks to assert his physical primacy over his cohorts. Hercules detests Granny/Echo, but is terrified by the ventriloquist's "pet" gorilla. He doubles as Granny O'Grady's son-in-law and father to Little Willie. The pickpocket Rosie, played by Mae Busch, is the object of Echo's affection, and they share a mutual admiration as fellow larcenists. She postures as the daughter to Granny/Echo and as the mother of Little Willie. The pet shop employs the diffident bookkeeper, Hector "The Boob" MacDonald (Matt Moore) who is wholly ignorant of the criminal proceedings. Rosie finds this "weak, gentle, upright, hardworking" man attractive. When Granny O'Malley assembles her faux-"family" in her parlor to deceive police investigators, the movie audience knows that "the grandmother is the head of a gang and a ventriloquist, the father a stupid Hercules, the mother a thief, the baby a libidinous, greedy [midget], and the pet...an enormous gorilla." Browning's portrait is a "sarcastic distortion" that subverts a cliched American wholesomeness and serves to deliver "a harsh indictment...of the bourgeois family." Film historian Stuart Rosenthal identifies "the ability to control another being" as a central theme in The Unholy Three. The deceptive scheme through which the thieves manipulate wealthy clients, demonstrates a control over "the suckers" who are stripped of their wealth, much as circus sideshow patrons are deceived: Professor Echo and his ventriloquist's dummy distract a "hopelessly naive and novelty-loving" audience as pickpocket Rosie relieves them of their wallets. Browning ultimately turns the application of "mental control" to serve justice. When bookkeeper Hector takes the stand in court, testifying in his defense against a false charge of murder, the reformed Echo applies his willpower to silence the defendant, and uses his voice throwing power to provide the exonerating testimony. When Hector descends from the stand, he tells his attorney "That wasn't me talking. I didn't say a word." Browning employs a set of dissolves to make the ventriloquists role perfectly clear. Film historian Robin Blyn comments on the significance of Echo's courtroom confession: With The Unholy Three, Browning provided M-G-M with a huge box-office and critical success. The Mystic (1925) While Lon Chaney was making The Tower of Lies (1925) with director Victor Sjöström Browning wrote and directed an Aileen Pringle vehicle, The Mystic. The picture has many of the elements typical of Browning oeuvre at M-G-M: Carnivals, Hungarian Gypsies and séances provide the exotic mise-en-scene, while the melodramatic plot involves embezzlement and swindling. An American con man Michael Nash (Conway Tearle) develops a moral conscience after falling in love with Pringle's character, Zara, and is consistent with Browning's "themes of reformation and unpunished crimes." and the couple achieve a happy reckoning. Browning, a former sideshow performer, is quick to reveal to his movie audience the illusionist fakery that serves to extract a fortune from a gullible heiress, played by Gladys Hulette. Dollar Down (1925): Browning followed The Mystic with another "crook melodrama involving swindlers" for Truart productions. Based on a story by Jane Courthope and Ethyl Hill, Dollar Down stars Ruth Roland and Henry B. Walthall. Following these "more conventional" crime films, Browning and Chaney embarked on their final films of the late silent period, "the strangest collaboration between director and actor in cinema history; the premises of the films were outrageous." The Blackbird (1926) Browning and Chaney were reunited in their next feature film, The Blackbird (1926), one of the most "visually arresting" of their collaborations. Browning introduces Limehouse district gangster Dan Tate (Chaney), alias "The Blackbird", who creates an alter identity, the physically deformed christian missionary "The Bishop." Tate's purported "twin" brother is a persona he uses to periodically evade suspicion by the police under "a phony mantle of christian goodness"—an image utterly at odds with the persona of The Blackbird. According to film historian Stuart Rosenthal, "Tate's masquerade as the Bishop succeeds primarily because the Bishop's face so believably reflects a profound spiritual suffering that is absolutely foreign to the title character [The Blackbird]." Tate's competitor in crime, the "gentleman-thief" Bertram "West End Bertie" Glade (Owen Moore, becomes romantically involved with a Limehouse cabaret singer, Mademoiselle Fifi Lorraine (Renée Adorée). The jealous Tate attempts to frame Bertie for the murder of a policeman, but is mortally injured in an accident while in the guise of The Bishop. Tate's wife, Polly (Doris Lloyd discovers her husband's dual identity, and honors him by concealing his role as "The Blackbird." The reformed Bertie and his lover Fifi are united in matrimony. Chaney's adroit "quick-change" transformations from the Blackbird into The Bishop—intrinsic to the methods of "show culture"—are "explicitly revealed" to the movie audience, such that Browning invites them to share in the deception. Browning introduces a number of slapstick elements into The Blackbird. Doris Lloyd, portrays Tate's ex-wife Limehouse Polly, demonstrating her comic acumen in scenes as a flower girl, and Browning's Limehouse drunkards are "archetypical of burlesque cinema." Film historian Boris Henry points out that "it would not be surprising if the fights that Lon Chaney as Dan Tate mimes between his two characters (The Blackbird and The Bishop) were inspired by actor-director Max Linder's performance in Be My Wife, 1921." Film historian Stuart Rosenthal identifies Browning's characterization of Dan Tate/the Blackbird as a species of vermin lacking in nobility, a parasitic scavenger that feeds on carrion and is unworthy of sympathy. In death, according to film critic Nicole Brenez, The Blackbird "is deprived of [himself]...death, then, is no longer a beautiful vanishing, but a terrible spiriting away." Though admired by critics for Chaney's performance, the film was only modestly successful at the box office. The Road to Mandalay (1926) Any comprehensive contemporary evaluation of Browning's The Road to Mandalay is problematic. According to Browning biographer Alfred Eaker only a small fraction of the original seven reels exist. A 16mm version survives in a "fragmented and disintegrated state" discovered in France in the 1980s. In a story that Browning wrote with screenwriter Herman Mankiewicz , The Road to Mandalay (not related to author Rudyard Kipling's 1890 poem), is derived from the character "dead-eyed" Singapore Joe (Lon Chaney), a Singapore brothel operator. As Browning himself explained: The picture explores one of Browning's most persistent themes: that of a parent who asserts sexual authority vicariously through their own offspring. As such, an Oedipal narrative is established, "a narrative that dominates Browning's work" and recognized as such by contemporary critics. Joe's daughter, Rosemary (Lois Moran), now a young adult, has been raised in a convent where her father left her as an infant with her uncle, Father James (Henry B. Walthall). Rosemary is ignorant of her parentage; she lives a chaste and penurious existence. Brothel keeper Joe makes furtive visits to the shop where she works as a clerk. His attempts to anomalously befriend the girl are met with revulsion at his freakish appearance. Joe resolves to undergo plastic surgery to achieve a reproachment with his daughter and redeem his sordid history. Father James doubts his brothers' commitment to reform and to reestablish his parenthood. A conflict emerges when Joe's cohorts and rivals in crime, "The Admiral" Herrington (Owen Moore) and English Charlie Wing (Kamiyama Sojin), members of "the black spiders of the Seven Seas" appear on the scene. The Admiral encounters Rosemary at the bizarre where she works and is instantly smitten with her; his genuine resolve to abandon his criminal life wins Rosemary's devotion and a marriage is arranged. When Joe discovers these developments, the full force of his "sexual frustrations" are unleashed. Joe's attempt to thwart his daughter's efforts to escape his control ends when Rosemary stabs her father, mortally wounding him. The denouement is achieved when the dying Joe consents to her marriage and Father James performs the last rites upon his brother. Film critic Alfred Eaker observes: "The Road to Mandalay is depraved, pop-Freudian, silent melodrama at its ripest. Fortunately, both Browning and Chaney approach this hodgepodge of silliness in dead earnest." Religious imagery commonly appears in Browning's films, "surrounding his characters with religious paraphernalia." Browning, a mason, uses Christian iconography to emphasize Joe's moral alienation from Rosemary. Biographer Stuart Rosenthal writes: Rosenthal adds ""Religion for the Browning hero is an additional spring of frustration - another defaulted promise." As in all of the Browning-Chaney collaborations, The Road to Mandalay was profitable at the box office. London After Midnight (1927) Whereas Browning's The Road to Mandalay (1926) exists in a much deteriorated 16mm abridged version, London After Midnight is no longer believed to exist, the last print destroyed in an M-G-M vault fire in 1965. London After Midnight is widely considered by archivist's the Holy Grail and "the most sought after and discussed lost film of the silent era." A detailed photo reconstruction, based on stills from the film was assembled by Turner Classic Movies' Rick Schmidlin in 2002. Based on Browning's own tale entitled "The Hypnotist", London After Midnight is a "drawing room murder mystery'—its macabre and Gothic atmosphere resembling director Robert Wiene's 1920 The Cabinet of Dr. Caligari. Sir Roger Balfour is found dead at the estate of his friend Sir James Hamlin. The gunshot wound to Balfour's head appears self-inflicted. The Scotland Yard inspector and forensic hypnotist in charge, "Professor" Edward C. Burke (Lon Chaney) receives no reports of foul play and the death is deemed a suicide. Five years past, and the estates current occupants are alarmed by a ghoulish, fanged figure wearing a cape and top hat stalking the hallways at night. He is accompanied by a corpse-like female companion. The pair of intruders are the disguised Inspector Burke, masquerading as a vampire (also played by Chaney), and his assistant, "Luna, the Bat Girl" (Edna Tichenor). When the terrified residents call Scotland Yard, Inspector Burke appears and reopens Balfour's case as a homicide. Burke uses his double role to stage a series of elaborate illusions and applications of hypnotism to discover the identity of the murderer among Balfour's former associates. Browning's "preposterous" plot is the platform on which he demonstrates the methods of magic and show culture, reproducing the mystifying spectacles of "spirit theater" that purport to operate through the paranormal. Browning's cinematic illusions are conducted strictly through mechanical stage apparatus: no trick photography is employed. "illusion, hypnotism and disguise" are used to mimic the conceits and pretenses of the occult, but primarily for dramatic effect and only to reveal them as tricks. After the murderer is apprehended, Browning's Inspector Burke/The Man in the Beaver Hat reveals the devices and techniques he has used to extract the confession, while systematically disabusing the cast characters—and the movie audience—of any supernatural influence on the foregoing events. Film historians Stefanie Diekmann and Ekkehard Knörer observe succinctly that "All in all, Browning's scenarios [including London After Midnight] appear as a long series of tricks, performed and explained." Lon Chaney's make-up to create the menacing "Man with the Beaver Hat" is legendary. Biographer Alfred Eaker writes: "Chaney's vampire...is a make-up artist's delight, and an actor's hell. Fishing wire looped around his blackened eye sockets, a set of painfully inserted, shark-like teeth producing a hideous grin, a ludicrous wig under a top hat, and white pancake makeup achieved Chaney's kinky look. To add to the effect Chaney developed a misshapen, incongruous walk for the character." London After Midnight received a mixed critical response, but delivered handsomely at the box office "grossing over $1,000,000 in 1927 dollars against a budget of $151,666.14." The Show (1927) In 1926, while Lon Chaney was busy making Tell It to the Marines with filmmaker George W. Hill, Browning directed The Show, "one of the most bizarre productions to emerge from silent cinema." (The Show anticipates his subsequent feature with Chaney, a "carnival of terror": The Unknown). Screenwriter Waldemar Young based the scenario on elements from the author Charles Tenny Jackson's The Day of Souls. The Show is a tour-de-force demonstration of Browning's penchant for the spectacle of carnival sideshow acts combined with the revelatory exposure of the theatrical apparatus and techniques that create these illusions. Film historian Matthew Solomon notes that "this is not specific to his films with Lon Chaney." Indeed, The Show features two of M-G-M's leading actors: John Gilbert, as the unscrupulous ballyhoo Cock Robin, and Renée Adorée as his tempestuous lover, Salome. Actor Lionel Barrymore plays the homicidal Greek. Romantic infidelities, the pursuit of a small fortune, a murder, attempted murders, Cock Robin's moral redeemtion and his reconciliation with Salome comprise the plot and its "saccarine" ending. Browning presents a menagerie of circus sideshow novelty acts from the fictitious "Palace of Illusions", including disembodied hands delivering tickets to customers; an illusionary beheading of a biblical figure (Gilbert as John the Baptist); Neptuna (Betty Boyd) Queen of the Mermaids; the sexually untoward Zela (Zalla Zarana) Half-Lady; and Arachnida (Edna Tichenor, the Human Spider perched on her web. Browning ultimately reveals "how the trick is done", explicating the mechanical devices to the film audience - not to the film's carnival patrons. The central dramatic event of The Show derives from another literary work, a "magic playlet" by Oscar Wilde entitled Salomé (1896). Browning devises an elaborate and "carefully choreographed" sideshow reenactment of Jokanaan's biblical beheading (played by Gilbert), with Adorée as Salomé presiding over the lurid decapitation, symbolic of sadomasochism and castration. The Show received generally good reviews, but approval was muted due to Gilbert's unsavory character, Cock Robin. Browning was now poised to make his masterwork of the silent era, The Unknown (1927). The Unknown (1927): A silent era chef d'oeuvre The Unknown marks the creative apogee of the Tod Browning and Lon Chaney collaborations, and is widely considered their most outstanding work of the silent era. More so than any of Browning's silent pictures, he fully realizes one of his central themes in The Unknown: the linkage of physical deformity with sexual frustration. Circus performer "Alonzo the armless", a Gypsy knife-thrower, appears as a double amputee, casting his knives with his feet. His deformity is an illusion (except for a bifid thumb), achieved by donning a corset to bind and conceal his healthy arms. The able-bodied Alonzo, sought by the police, engages in this deception to evade detection and arrest. Alfonzo harbors a secret love for Nanon (Joan Crawford), his assistant in the act. Nanon's father is the abusive (perhaps sexually so) ringmaster Zanzi (Nick De Ruiz), and Nanon has developed a pathological aversion to any man's embrace. Her emotional dysfunction precludes any sexual intimacy with the highly virile strong-man, Malabar, or Alonzo, his own sexual prowess symbolized by his knife-throwing expertise and his double thumb. When Alonzo murders Zanzi during an argument, the homicide is witnessed by Nanon, who detects only the bifid thumb of her father's assailant. Browning's theme of sexual frustration and physical mutilation ultimately manifests itself in Alfonso's act of symbolic castration; he willingly has his arms amputated by an unlicensed surgeon so as to make himself unthreatening to Nanon (and to eliminate the incriminating bifid thumb), so as to win her affection. The "nightmarish irony" of Alfonso's sacrifice is the most outrageous of Browning's plot conceits and consistent with his obsessive examination of "sexual frustration and emasculation". When Alfonzo recovers from his surgery, he returns to the circus to find that Nanon has overcome her sexual aversions and married the strongman Malabar (Norman Kerry).The primal ferocity of Alfonso's reaction to Nanon's betrayal in marrying Malabar is instinctual. Film historian Stuart Rosenthal writes: Alfonzo's efforts at retribution lead to his own horrific death in a "Grand Guignol finale". The Unknown is widely regarded as the most outstanding of the Browning-Chaney collaborations and a masterpiece of the late silent film era. Film critic Scott Brogan regards The Unknown worthy of "cult status." The Big City (1928) A lost film, The Big City stars Lon Chaney, Marceline Day and Betty Compson, the latter in her only appearance in an M-G-M film. Browning wrote the story and Waldemar Young the screenplay concerning "A gangster Lon Chaney who uses a costume jewelry store as a front for his jewel theft operation. After a conflict with a rival gang, he and his girlfriend Marceline Day reform." Film historian Vivian Sobchack remarked that "The Big City concerns a nightclub robbery, again, the rivalry between two thieves. This time Chaney plays only one of them—without a twisted limb or any facial disguise.'" Critic Stuart Rosenthal commented on The Big City: "...Chaney, without makeup, in a characteristic gangster role." The Big City garnered M-G-M $387,000 in profits. West of Zanzibar (1928) In 1928, Browning and Lon Chaney embarked upon their penultimate collaboration, West of Zanzibar, based on Chester M. De Vonde play Kongo (1926). scenario by Elliott J. Clawson and Waldemar Young, provided Chaney with dual characterizations: the magician Pharos, and the later paraplegic Pharos who is nicknamed "Dead Legs." A variation of the "unknown parentage motif" Browning dramatizes a complex tale of "obsessive revenge" and "psychological horror." Biographer Stuart Rosenthal made these observations on Chaney's portrayals: The story opens in Paris, where Pharos, a magician, is cuckolded by his wife Anna (Jacqueline Gadsden) and her lover Crane (Lionel Barrymore). Pharos is crippled when Crane pushes him from a balcony, leaving him a paraplegic. Anna and Crane abscond to Africa. After a year, Phroso learns that Anna has returned. He finds his wife dead in a church, with an infant daughter beside her. He swears to avenge himself both on Crane and the child he assumes was sired by Crane. Unbeknownst to Phroso, the child is actually his. Rosenthal singles out this scene for special mention: Eighteen years hence, the crippled Pharos, now dubbed Dead Legs, operates an African trading outpost. He secretly preys upon Crane's ivory operations employing local tribes and using sideshow tricks and illusions to seize the goods. After years of anticipation, Dead Legs prepares to hatch his "macabre revenge": a sinister double murder. He summons Anna's daughter Maizie (Mary Nolan) from the sordid brothel and gin mill where he has left her to be raised. He also invites Crane to visit his outpost so as to expose the identity of the culprit stealing his ivory. Dead Legs has arranged to have Crane murdered, but not before informing him that he will invoke the local Death Code, which stipulates that "a man's demise be followed by the death of his wife or child." Crane mockingly disabuses Dead Legs of his gross misapprehension: Maizie is Dead Legs' daughter, not his, a child that Pharos conceived with Anna in Paris. Crane is killed before Dead Legs can absorb the significance of this news. The climax of the film involves Dead Legs' struggle to save his own offspring from the customary death sentence that his own deadly scheme has set in motion. Dead Legs ultimately suffers the consequences of his "horribly misdirected revenge ploy." The redemptive element with which Browning-Chaney endows Pharos/Dead Legs fate is noted by Rosenthal: "West of Zanzibar reaches the peak of its psychological horror when Chaney discovers that the girl he is using as a pawn in his revenge scheme is his own daughter. Dead Legs undertook his mission of revenge with complete confidence in the righteousness of his cause. Now he is suddenly overwhelmed by the realization of his own guilt. That Barrymore as Crane committed the original transgression in no way diminishes that guilt." Dead Legs' physical deformity reduces him to crawling on the ground, and thus to the "state of an animal." Browning's camera placement accentuates his snake-like "slithering" and establishes "his animal transformation by suddenly changing the visual frame of reference to one that puts the viewer on the same level as the beast on
that Lon Chaney as Dan Tate mimes between his two characters (The Blackbird and The Bishop) were inspired by actor-director Max Linder's performance in Be My Wife, 1921." Film historian Stuart Rosenthal identifies Browning's characterization of Dan Tate/the Blackbird as a species of vermin lacking in nobility, a parasitic scavenger that feeds on carrion and is unworthy of sympathy. In death, according to film critic Nicole Brenez, The Blackbird "is deprived of [himself]...death, then, is no longer a beautiful vanishing, but a terrible spiriting away." Though admired by critics for Chaney's performance, the film was only modestly successful at the box office. The Road to Mandalay (1926) Any comprehensive contemporary evaluation of Browning's The Road to Mandalay is problematic. According to Browning biographer Alfred Eaker only a small fraction of the original seven reels exist. A 16mm version survives in a "fragmented and disintegrated state" discovered in France in the 1980s. In a story that Browning wrote with screenwriter Herman Mankiewicz , The Road to Mandalay (not related to author Rudyard Kipling's 1890 poem), is derived from the character "dead-eyed" Singapore Joe (Lon Chaney), a Singapore brothel operator. As Browning himself explained: The picture explores one of Browning's most persistent themes: that of a parent who asserts sexual authority vicariously through their own offspring. As such, an Oedipal narrative is established, "a narrative that dominates Browning's work" and recognized as such by contemporary critics. Joe's daughter, Rosemary (Lois Moran), now a young adult, has been raised in a convent where her father left her as an infant with her uncle, Father James (Henry B. Walthall). Rosemary is ignorant of her parentage; she lives a chaste and penurious existence. Brothel keeper Joe makes furtive visits to the shop where she works as a clerk. His attempts to anomalously befriend the girl are met with revulsion at his freakish appearance. Joe resolves to undergo plastic surgery to achieve a reproachment with his daughter and redeem his sordid history. Father James doubts his brothers' commitment to reform and to reestablish his parenthood. A conflict emerges when Joe's cohorts and rivals in crime, "The Admiral" Herrington (Owen Moore) and English Charlie Wing (Kamiyama Sojin), members of "the black spiders of the Seven Seas" appear on the scene. The Admiral encounters Rosemary at the bizarre where she works and is instantly smitten with her; his genuine resolve to abandon his criminal life wins Rosemary's devotion and a marriage is arranged. When Joe discovers these developments, the full force of his "sexual frustrations" are unleashed. Joe's attempt to thwart his daughter's efforts to escape his control ends when Rosemary stabs her father, mortally wounding him. The denouement is achieved when the dying Joe consents to her marriage and Father James performs the last rites upon his brother. Film critic Alfred Eaker observes: "The Road to Mandalay is depraved, pop-Freudian, silent melodrama at its ripest. Fortunately, both Browning and Chaney approach this hodgepodge of silliness in dead earnest." Religious imagery commonly appears in Browning's films, "surrounding his characters with religious paraphernalia." Browning, a mason, uses Christian iconography to emphasize Joe's moral alienation from Rosemary. Biographer Stuart Rosenthal writes: Rosenthal adds ""Religion for the Browning hero is an additional spring of frustration - another defaulted promise." As in all of the Browning-Chaney collaborations, The Road to Mandalay was profitable at the box office. London After Midnight (1927) Whereas Browning's The Road to Mandalay (1926) exists in a much deteriorated 16mm abridged version, London After Midnight is no longer believed to exist, the last print destroyed in an M-G-M vault fire in 1965. London After Midnight is widely considered by archivist's the Holy Grail and "the most sought after and discussed lost film of the silent era." A detailed photo reconstruction, based on stills from the film was assembled by Turner Classic Movies' Rick Schmidlin in 2002. Based on Browning's own tale entitled "The Hypnotist", London After Midnight is a "drawing room murder mystery'—its macabre and Gothic atmosphere resembling director Robert Wiene's 1920 The Cabinet of Dr. Caligari. Sir Roger Balfour is found dead at the estate of his friend Sir James Hamlin. The gunshot wound to Balfour's head appears self-inflicted. The Scotland Yard inspector and forensic hypnotist in charge, "Professor" Edward C. Burke (Lon Chaney) receives no reports of foul play and the death is deemed a suicide. Five years past, and the estates current occupants are alarmed by a ghoulish, fanged figure wearing a cape and top hat stalking the hallways at night. He is accompanied by a corpse-like female companion. The pair of intruders are the disguised Inspector Burke, masquerading as a vampire (also played by Chaney), and his assistant, "Luna, the Bat Girl" (Edna Tichenor). When the terrified residents call Scotland Yard, Inspector Burke appears and reopens Balfour's case as a homicide. Burke uses his double role to stage a series of elaborate illusions and applications of hypnotism to discover the identity of the murderer among Balfour's former associates. Browning's "preposterous" plot is the platform on which he demonstrates the methods of magic and show culture, reproducing the mystifying spectacles of "spirit theater" that purport to operate through the paranormal. Browning's cinematic illusions are conducted strictly through mechanical stage apparatus: no trick photography is employed. "illusion, hypnotism and disguise" are used to mimic the conceits and pretenses of the occult, but primarily for dramatic effect and only to reveal them as tricks. After the murderer is apprehended, Browning's Inspector Burke/The Man in the Beaver Hat reveals the devices and techniques he has used to extract the confession, while systematically disabusing the cast characters—and the movie audience—of any supernatural influence on the foregoing events. Film historians Stefanie Diekmann and Ekkehard Knörer observe succinctly that "All in all, Browning's scenarios [including London After Midnight] appear as a long series of tricks, performed and explained." Lon Chaney's make-up to create the menacing "Man with the Beaver Hat" is legendary. Biographer Alfred Eaker writes: "Chaney's vampire...is a make-up artist's delight, and an actor's hell. Fishing wire looped around his blackened eye sockets, a set of painfully inserted, shark-like teeth producing a hideous grin, a ludicrous wig under a top hat, and white pancake makeup achieved Chaney's kinky look. To add to the effect Chaney developed a misshapen, incongruous walk for the character." London After Midnight received a mixed critical response, but delivered handsomely at the box office "grossing over $1,000,000 in 1927 dollars against a budget of $151,666.14." The Show (1927) In 1926, while Lon Chaney was busy making Tell It to the Marines with filmmaker George W. Hill, Browning directed The Show, "one of the most bizarre productions to emerge from silent cinema." (The Show anticipates his subsequent feature with Chaney, a "carnival of terror": The Unknown). Screenwriter Waldemar Young based the scenario on elements from the author Charles Tenny Jackson's The Day of Souls. The Show is a tour-de-force demonstration of Browning's penchant for the spectacle of carnival sideshow acts combined with the revelatory exposure of the theatrical apparatus and techniques that create these illusions. Film historian Matthew Solomon notes that "this is not specific to his films with Lon Chaney." Indeed, The Show features two of M-G-M's leading actors: John Gilbert, as the unscrupulous ballyhoo Cock Robin, and Renée Adorée as his tempestuous lover, Salome. Actor Lionel Barrymore plays the homicidal Greek. Romantic infidelities, the pursuit of a small fortune, a murder, attempted murders, Cock Robin's moral redeemtion and his reconciliation with Salome comprise the plot and its "saccarine" ending. Browning presents a menagerie of circus sideshow novelty acts from the fictitious "Palace of Illusions", including disembodied hands delivering tickets to customers; an illusionary beheading of a biblical figure (Gilbert as John the Baptist); Neptuna (Betty Boyd) Queen of the Mermaids; the sexually untoward Zela (Zalla Zarana) Half-Lady; and Arachnida (Edna Tichenor, the Human Spider perched on her web. Browning ultimately reveals "how the trick is done", explicating the mechanical devices to the film audience - not to the film's carnival patrons. The central dramatic event of The Show derives from another literary work, a "magic playlet" by Oscar Wilde entitled Salomé (1896). Browning devises an elaborate and "carefully choreographed" sideshow reenactment of Jokanaan's biblical beheading (played by Gilbert), with Adorée as Salomé presiding over the lurid decapitation, symbolic of sadomasochism and castration. The Show received generally good reviews, but approval was muted due to Gilbert's unsavory character, Cock Robin. Browning was now poised to make his masterwork of the silent era, The Unknown (1927). The Unknown (1927): A silent era chef d'oeuvre The Unknown marks the creative apogee of the Tod Browning and Lon Chaney collaborations, and is widely considered their most outstanding work of the silent era. More so than any of Browning's silent pictures, he fully realizes one of his central themes in The Unknown: the linkage of physical deformity with sexual frustration. Circus performer "Alonzo the armless", a Gypsy knife-thrower, appears as a double amputee, casting his knives with his feet. His deformity is an illusion (except for a bifid thumb), achieved by donning a corset to bind and conceal his healthy arms. The able-bodied Alonzo, sought by the police, engages in this deception to evade detection and arrest. Alfonzo harbors a secret love for Nanon (Joan Crawford), his assistant in the act. Nanon's father is the abusive (perhaps sexually so) ringmaster Zanzi (Nick De Ruiz), and Nanon has developed a pathological aversion to any man's embrace. Her emotional dysfunction precludes any sexual intimacy with the highly virile strong-man, Malabar, or Alonzo, his own sexual prowess symbolized by his knife-throwing expertise and his double thumb. When Alonzo murders Zanzi during an argument, the homicide is witnessed by Nanon, who detects only the bifid thumb of her father's assailant. Browning's theme of sexual frustration and physical mutilation ultimately manifests itself in Alfonso's act of symbolic castration; he willingly has his arms amputated by an unlicensed surgeon so as to make himself unthreatening to Nanon (and to eliminate the incriminating bifid thumb), so as to win her affection. The "nightmarish irony" of Alfonso's sacrifice is the most outrageous of Browning's plot conceits and consistent with his obsessive examination of "sexual frustration and emasculation". When Alfonzo recovers from his surgery, he returns to the circus to find that Nanon has overcome her sexual aversions and married the strongman Malabar (Norman Kerry).The primal ferocity of Alfonso's reaction to Nanon's betrayal in marrying Malabar is instinctual. Film historian Stuart Rosenthal writes: Alfonzo's efforts at retribution lead to his own horrific death in a "Grand Guignol finale". The Unknown is widely regarded as the most outstanding of the Browning-Chaney collaborations and a masterpiece of the late silent film era. Film critic Scott Brogan regards The Unknown worthy of "cult status." The Big City (1928) A lost film, The Big City stars Lon Chaney, Marceline Day and Betty Compson, the latter in her only appearance in an M-G-M film. Browning wrote the story and Waldemar Young the screenplay concerning "A gangster Lon Chaney who uses a costume jewelry store as a front for his jewel theft operation. After a conflict with a rival gang, he and his girlfriend Marceline Day reform." Film historian Vivian Sobchack remarked that "The Big City concerns a nightclub robbery, again, the rivalry between two thieves. This time Chaney plays only one of them—without a twisted limb or any facial disguise.'" Critic Stuart Rosenthal commented on The Big City: "...Chaney, without makeup, in a characteristic gangster role." The Big City garnered M-G-M $387,000 in profits. West of Zanzibar (1928) In 1928, Browning and Lon Chaney embarked upon their penultimate collaboration, West of Zanzibar, based on Chester M. De Vonde play Kongo (1926). scenario by Elliott J. Clawson and Waldemar Young, provided Chaney with dual characterizations: the magician Pharos, and the later paraplegic Pharos who is nicknamed "Dead Legs." A variation of the "unknown parentage motif" Browning dramatizes a complex tale of "obsessive revenge" and "psychological horror." Biographer Stuart Rosenthal made these observations on Chaney's portrayals: The story opens in Paris, where Pharos, a magician, is cuckolded by his wife Anna (Jacqueline Gadsden) and her lover Crane (Lionel Barrymore). Pharos is crippled when Crane pushes him from a balcony, leaving him a paraplegic. Anna and Crane abscond to Africa. After a year, Phroso learns that Anna has returned. He finds his wife dead in a church, with an infant daughter beside her. He swears to avenge himself both on Crane and the child he assumes was sired by Crane. Unbeknownst to Phroso, the child is actually his. Rosenthal singles out this scene for special mention: Eighteen years hence, the crippled Pharos, now dubbed Dead Legs, operates an African trading outpost. He secretly preys upon Crane's ivory operations employing local tribes and using sideshow tricks and illusions to seize the goods. After years of anticipation, Dead Legs prepares to hatch his "macabre revenge": a sinister double murder. He summons Anna's daughter Maizie (Mary Nolan) from the sordid brothel and gin mill where he has left her to be raised. He also invites Crane to visit his outpost so as to expose the identity of the culprit stealing his ivory. Dead Legs has arranged to have Crane murdered, but not before informing him that he will invoke the local Death Code, which stipulates that "a man's demise be followed by the death of his wife or child." Crane mockingly disabuses Dead Legs of his gross misapprehension: Maizie is Dead Legs' daughter, not his, a child that Pharos conceived with Anna in Paris. Crane is killed before Dead Legs can absorb the significance of this news. The climax of the film involves Dead Legs' struggle to save his own offspring from the customary death sentence that his own deadly scheme has set in motion. Dead Legs ultimately suffers the consequences of his "horribly misdirected revenge ploy." The redemptive element with which Browning-Chaney endows Pharos/Dead Legs fate is noted by Rosenthal: "West of Zanzibar reaches the peak of its psychological horror when Chaney discovers that the girl he is using as a pawn in his revenge scheme is his own daughter. Dead Legs undertook his mission of revenge with complete confidence in the righteousness of his cause. Now he is suddenly overwhelmed by the realization of his own guilt. That Barrymore as Crane committed the original transgression in no way diminishes that guilt." Dead Legs' physical deformity reduces him to crawling on the ground, and thus to the "state of an animal." Browning's camera placement accentuates his snake-like "slithering" and establishes "his animal transformation by suddenly changing the visual frame of reference to one that puts the viewer on the same level as the beast on the screen, thereby making him vulnerable to it, accomplished by tilting the camera up at floor level in front of the moving subject [used to] accentuate Chaney's [Dead Legs] slithering movements in West of Zanzibar." Film historians Stephanie Diekmann and Ekkehard Knörer state more generally "...the spectator in Browning's films can never remain a voyeur; or rather, he is never safe in his voyeuristic position..." Diekmann and Knörer also place West of Zanzibar in the within the realm of the Grand Guignol tradition: Despite being characterized as a "cess-pool" by the censorious Harrison's Reports motion picture trade journal, West of Zanzibar enjoyed popular success at the box office. Where East Is East (1929) Adapted by Waldemar Young from a story by Browning and Harry Sinclair Drago, Where East Is East borrows its title from the opening and closing verses of Rudyard Kipling's 1889 poem "The Ballad of East and West": "Oh! East is East, and West is West, and never the twain shall meet..." Browning's appropriation of the term "Where East Is East" is both ironic and subversive with regard to his simultaneous cinematic presentation of Eurocentric cliches of the "East" (common in early 20th Century advertising, literature and film), and his exposure of these memes as myths. Film historian Stefan Brandt writes that this verse was commonly invoked by Western observers to reinforce conceptions stressing "the homogeneity and internal consistency of 'The East'" and points out that Kipling (born and raised in Bombay, India) was "far from being one-dimensional" when his literary work "dismantles the myth of ethnic essentiality": Biographer Bernd Herzogenrath adds that "paradoxically, the film both essentializes the East as a universal and homogeneous entity ("Where East Is East") and deconstructs it as a Western myth consisting of nothing but colorful [male] fantasies." [brackets and parentheses in original] The last of Browning-Chaney collaborations with an "outrageous premise" and their final silent era film, Where East Is East was marketed by Metro-Goldwyn-Mayer "as a colonial drama in the mold of British imperialist fiction." Where East Is East, set in the "picturesque French Indo-China of the 1920s" concerns the efforts of big game trapper "Tiger" Haynes (Chaney) intervention to stop his beloved half-Chinese daughter Toyo (Lupe Velez) from marrying Bobby "white boy" Bailey, a Western suitor and son of a circus owner. He relents when Bobby rescues Toyo from an escaped tiger. The Asian seductress, Madame de Sylva (Estelle Taylor), Tiger's former wife and mother to Toyo—who abandoned her infant to be raised by Tiger—returns to lure Bobby from Toyo and ruin the couple's plans for conjugal bliss. Tiger takes drastic action, unleashing a gorilla which dispatches Madame de Sylva but mortally wounds Tiger. He lives long enough witness the marriage of Toyo and Bobby. In a key sequence in which the American Bobby Bailey (Lloyd Hughes), nicknamed "white boy", is briefly seduced by the Asian Madame de Sylva (mother to Bobby's fiancee Toya), Browning offers a cliche-ridden intertitle exchange that is belied by his cinematic treatment. Film historian Stefan Brandt writes: "Browning here plays with the ambiguities involved in
The Thief (1997 film), a Russian film directed by Pavel Chukhrai Thieves (1996 film), a French film Street Thief (2006 film), a documentary-style fictional film The Thieves, a 2012 South Korean film Thief (TV series), an FX Networks television series which debuted in 2006 Thieves, a 2001 American television series Thieves (play), a 1974 play by Herb Gardner Literature The Thief (Turner novel), a 1996 novel by Megan Whalen Turner The Thief (novella), a 2006 short novel by Ruth Rendell The Thief (Clive Cussler novel), a 2012 novel by Clive Cussler and Justin Scott The Thief, a 2012 novel by Fuminori Nakamura Music Thieves (band), a 1990s British pop duo Albums Thief (Destroyer album) or the title song, 2000 Thief (soundtrack), by Tangerine Dream, from the 1981 film The Thief (album), by Floater, or the title song, 2018 Thieves (album),
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18,420 persons per km2. The total area is . This makes Taito ward the smallest of Tokyo's wards in area, and third-smallest in population. History The ward was founded on March 15, 1947, with the merger of the old Asakusa and Shitaya wards when Tokyo City was transformed into Tokyo Metropolis. During the Edo period, the Yoshiwara licensed quarter was in what is now Taitō. Taitō shares the same Chinese characters, "台東" with Taitung, a city in Taiwan. Geography Situated in the northeastern portion of the wards area of Tokyo, Taitō is surrounded by five other special wards: Chiyoda, Bunkyō, Arakawa, Sumida and Chūō. Districts and neighborhoods Asakusa Area Asakusa Asakusabashi Hanakawado Hashiba Higashi-Asakusa (East Asakusa) Imado Kaminarimon Kiyokawa Kojima Komagata Kotobuki Kuramae Matsugaya Misuji Motoasakusa Nihonzutsumi (Japan dike) Nishi-Asakusa (West Asakusa) Torigoe Yanagibashi Shitaya Area Akihabara Higashi-Ueno (East Ueno) Ikenohata Iriya Kita-Ueno (North Ueno) Minowa Ryusen Senzoku Shitaya Taito Ueno Ueno-koen (Ueno Park) Uenosakuragi Yanaka Landmarks Taitō is famous for its typical Shitamachi districts. Temples and shrines Sensō-ji and Kaminarimon (Thunder Gate) Asakusa Shrine Akiba Shrine Kan'ei-ji Kishibojin Ueno Tōshō-gū Zenshō-an Parks Asakusa Park Kyu-Iwasaki-tei Garden Sumida Park Ueno Park Yanaka Park Museums and zoos Amuse Museum Asakura Sculpture Hall Daimyo Clock Museum National Museum of Western Art National Museum of Nature and Science Tokyo Metropolitan Art Museum Tokyo National Museum Ueno no Mori Museum Ueno Zoo Yokoyama Taikan Memorial Hall Entertainment Suzumoto Engeijo (Suzumoto Vaudeville Hall) Asakusa Vaudeville Hall Education Colleges and universities Tokyo National University of Fine Arts and Music Ueno Gakuen University Primary
area of Tokyo, Taitō is surrounded by five other special wards: Chiyoda, Bunkyō, Arakawa, Sumida and Chūō. Districts and neighborhoods Asakusa Area Asakusa Asakusabashi Hanakawado Hashiba Higashi-Asakusa (East Asakusa) Imado Kaminarimon Kiyokawa Kojima Komagata Kotobuki Kuramae Matsugaya Misuji Motoasakusa Nihonzutsumi (Japan dike) Nishi-Asakusa (West Asakusa) Torigoe Yanagibashi Shitaya Area Akihabara Higashi-Ueno (East Ueno) Ikenohata Iriya Kita-Ueno (North Ueno) Minowa Ryusen Senzoku Shitaya Taito Ueno Ueno-koen (Ueno Park) Uenosakuragi Yanaka Landmarks Taitō is famous for its typical Shitamachi districts. Temples and shrines Sensō-ji and Kaminarimon (Thunder Gate) Asakusa Shrine Akiba Shrine Kan'ei-ji Kishibojin Ueno Tōshō-gū Zenshō-an Parks Asakusa Park Kyu-Iwasaki-tei Garden Sumida Park Ueno Park Yanaka Park Museums and zoos Amuse Museum Asakura Sculpture Hall Daimyo Clock Museum National Museum of Western Art National Museum of Nature and Science Tokyo Metropolitan Art Museum Tokyo National Museum Ueno no Mori Museum Ueno Zoo Yokoyama Taikan Memorial Hall Entertainment Suzumoto Engeijo (Suzumoto Vaudeville Hall) Asakusa Vaudeville Hall Education Colleges and universities Tokyo National University of Fine Arts and Music Ueno Gakuen University Primary and secondary schools Taito operates public elementary and junior high schools. Public high schools are operated by the Tokyo Metropolitan Government Board of Education. Hakuo High School Kuramae Technical High School Shinobugaoka High School Taito Commercial High School Taito Chuyakan High School Ueno High School Ueno Shinobugaoka High School The school district of the metropolis also operates one metropolitan junior high school: Hakuo Junior High School Public libraries Taito operates several public libraries,
(1967), a two-player sports game that simulated association football using electronic components such as pinball flippers. In 1968, Crown Basketball debuted in the US as the highest-earning arcade game at the 1968 Tampa Fair. 1970s–1980s Taito changed its name from Taito Trading Company to Taito Corporation in August 1972 and introduced its first arcade video game in 1973. It established its American subsidiary in 1973 in downtown Chicago, Taito America. Tomohiro Nishikado, a Tokyo Denki University engineering graduate who joined the company in 1968, was instrumental in the company's transition to video games. After developing the hit electro-mechanical target shooting games Sky Fighter (1971) and Sky Fighter II, his bosses at Taito believed transistor-transistor logic (TTL) technology would play a significant role in the arcade industry, so they tasked Nishikado with investigating TTL technology as he was the company's only employee who knew how to work with integrated circuit (IC) technology, and one of the few engineers at any Japanese coin-op company with significant expertise in solid-state electronics. He spent six months dissecting Atari's Pong arcade unit and learning how the game's IC chips worked, and began modifying the game. This led to his development of the Pong-style sports video games Soccer and Davis Cup for Taito, with Soccer developed first but both released in November 1973. He then developed several original arcade video game hits for Taito, notably the sports game TV Basketball (1974), the racing game Speed Race (1974), and the shooter game Western Gun (1975); these three titles were localized by Midway Manufacturing in North America as TV Basketball, Wheels, and Gun Fight, respectively. In 1978, Nishikado created Space Invaders, which became the company's most popular title and one of the most memorable games in arcade history, responsible for beginning the golden age of arcade video games. After Michael Kogan died in February 1984, his son, Abraham "Abba" Kogan, became Taito's chairman and Akio Nakanishi became its president. In April 1986 and barely a month after becoming part of the Kyocera group, Taito merged with two of its subsidiaries, Pacific Industrial Co., Ltd. and the Japan Vending Machine Co., Ltd, and absorbed them both. Japan Vending Machine was once an independent company but was purchased by Taito in July 1971 to strengthen its presence in the operation of amusement facilities. Pacific Industrial was created by Taito itself in 1963 to develop products for the company. 1990s–2000s In 1992, Taito announced a CD-ROM-based video game console named WOWOW, that would have allowed people to play near-exact ports of Taito's arcades (similar to the Neo Geo), as well as download games from a satellite transmission (as the Satellaview would do later). It was named after the Japanese television station WOWOW and would have utilized its stations to download games. The WOWOW was never released. Taito America ceased operations in July 1996 after more than 20 years of existence. Taito had already sold exclusive rights for publishing its games in America to Acclaim Entertainment the previous year.
The takeover bid from Square Enix was accepted by previous stockholder Kyocera, making Taito a Square Enix subsidiary. On September 22, 2005, Square Enix announced successfully acquiring 93.7% of all shares of Taito, effectively owning the company by September 28, 2005. By March, 2006 Taito became a subsidiary wholly owned by Square Enix and was delisted from the First Section of the Tokyo Stock Exchange. In March 2006, Square Enix wanted to make Taito a wholly owned subsidiary. To accomplish this goal, Square Enix merged Taito into SQEX Corporation. Although the combined company took on the name "Taito Corporation", it was actually Taito that was dissolved and SQEX that was the surviving entity. Square Enix announced on July 28, 2008, that it would liquidate two subsidiaries of Taito, Taito Art Corporation (an insurance and travel agent subsidiary) and Taito Tech Co., Ltd. (an amusement and maintenance subsidiary) on the grounds that both had fulfilled their business purpose. The process ended in October 2008. 2010s–present In February 2010, Taito's unit for home video games split into a separate company called Taito Soft Corporation (not to be confused with Taito Software, the North American division of the late 1980s). On March 11, 2010, Taito Soft was folded into Square Enix. All of Taito's franchises for video game consoles in Japan are since published by Square Enix. Square Enix Holdings wanted all of its arcade operations to be regrouped into one subsidiary. And so, the third and present Taito Corporation came to being on February 1, 2010, by merging the second company (formerly SQEX/Game Designers Studio) with ES1 Corporation. In an "absorption-type company split" move, the second company was split and renamed Taito Soft Corporation, while ES1 Corporation became the third Taito Corporation. During its merger with the second company to become itself the new Taito Corporation, ES1 inherited all of Taito's arcade and mobile businesses, and nearly the totality of its employees. On the other hand, Taito Soft Corporation (formerly SQEX) was left with 10 employees to concentrate exclusively on the development and publishing of video games for home consoles. Taito Soft Corporation was eventually merged into Square Enix in March 2010 and dissolved. ES1 Corporation was established on June 1, 2009, as an operator of arcade facilities. ES1 Corporation was owned by the shell company SPC1, itself a wholly owned subsidiary of Square Enix Holdings. SCP1 dissolved when ES1 became Taito Corporation in February 2010. As such, the current Taito Corporation is technically the company formerly called ES1 Corporation. On November 30, 2016, Taito announced that it will distribute Space
successfully reasoned with him as Hulk destroyed the Pyarmoid in Voyager's possession. After feeling remorse for what happened, Bruce Banner became Hulk and faced off against Challenger. After Challenger sent Hulk into Earth's orbit, Hulk was pleased that he managed to hurt Challenger. While maintaining a low profile, Bruce Banner was shot by Tommy Hill of the Dogs of Hell biker gang during a robbery that also claimed the lives of Sandy Brockhurst and Josh Alfaro. He came back to life and turned into Hulk where he badly beat up Tommy Hill. The witnesses in the Dogs of Hell told Detective Gloria Mayes of the attacker as she and reporter Jackie McGee have a suspicion that it was Hulk even though Banner is believed to be dead. During the events of "Absolute Carnage," the Venom Symbiote takes Bruce as its host to fight Carnage. Inside of Bruce's mind, Bruce converses with the Venom Symbiote as the other Hulk personalities such as Joe Fixit and Savage Hulk add their opinions about their current situation. Devil Hulk (in his more traditional-looking reptilian form) is against the symbiote's presence in Bruce and says it should be removed immediately, saying they have more important matters to deal with. In the end, Bruce, Joe Fixit, and Savage Hulk agree to collaborate with the Venom Symbiote and Devil Hulk storms off, saying they're making a mistake. As Bruce states that the vote is three to one with two abstentions, he welcomes the Venom symbiote to the family. Alternative versions of Hulk A number of alternate universes and alternate timelines in Marvel Comics publications allow writers to introduce variations on the Hulk, in which the character's origins, behavior, and morality differ from the mainstream setting. In some stories, someone other than Bruce Banner is the Hulk. In some versions, the Hulk succumbs to the darker side of his nature: in "Future Imperfect" (December 1992), a future version of the Hulk has become the Maestro, the tyrannical and ruthless ruler of a nuclear war-irradiated Earth, and in "Old Man Logan" (2008), an insane Hulk rules over a post-apocalyptic California and leads a gang of his inbred Hulk children created with his first cousin She-Hulk. Characterization Like other long-lived characters, the Hulk's character and cultural interpretations have changed with time, adding or modifying character traits. The Hulk is typically seen as a hulking man with green skin, hair, and eyes, wearing only a pair of torn purple pants that survive his physical transformation as the character progressed. As Bruce Banner, the character is about 5 ft 9 in (1.75 m) tall and weighs 128 lbs (58.05 kg), but when transformed into the Hulk, the character stands between 7 and 8 ft (2.13 - 2.43 m) tall and weighs between 1,040 and 1,400 lbs (471.73 - 635.02 kg). The Gray Hulk stands 6 ft 6 in (1.98 m) tall and weighs 900 lbs (408.23 kg); the Merged Hulk stands 7 ft 6 in (2.28 m) tall and weighs 1,150 lbs (521.63 kg); the Green Scar stands 8 ft 8 in (2.64 m) tall and weighs 2,400 lbs (1.08 ton). The Immortal Hulk is roughly the same size as Sasquatch, standing around 9 or 10 ft (2.74 / 3.04 m) tall and weighing roughly 2,000 lbs (907.18 kg). Following his debut, Banner's transformations were triggered at nightfall, turning him into a grey-skinned Hulk. In Incredible Hulk #2, the Hulk started to appear with green skin, and in Avengers #3 (1963) Banner realized that his transformations were now triggered by surges of adrenaline in response to feelings of fear, pain or anger. Incredible Hulk #227 (1978) established that the Hulk's separate personality was not due to the mutation affecting his brain, but because Banner was suffering from multiple personality disorder, with the savage Green Hulk representing Banner's repressed childhood rage and aggression, and the Grey Hulk representing Banner's repressed selfish desires and urges. Personality Bruce Banner During his decades of publication, Banner has been portrayed differently, but common themes persist. Banner, a physicist, is sarcastic and seemingly very self-assured when he first appears in Incredible Hulk #1, but is also emotionally withdrawn. Banner designed the gamma bomb which caused his affliction, and the ironic twist of his self-inflicted fate has been one of the most persistent common themes. Arie Kaplan describes the character thus: "Robert Bruce Banner lives in a constant state of panic, always wary that the monster inside him will erupt, and therefore he can't form meaningful bonds with anyone." As a child, Banner's father Brian often got mad and physically abused both Banner and his mother, creating the psychological complex of fear, anger, and the fear of anger and the destruction it can cause that underlies the character. Banner has been shown to be emotionally repressed, but capable of deep love for Betty Ross, and for solving problems posed to him. Under the writing of Paul Jenkins, Banner was shown to be a capable fugitive, applying deductive reasoning and observation to figure out the events transpiring around him. On the occasions that Banner has controlled the Hulk's body, he has applied principles of physics to problems and challenges and used deductive reasoning. It was shown after his ability to turn into the Hulk was taken away by the Red Hulk that Banner has been extremely versatile as well as cunning when dealing with the many situations that followed. When he was briefly separated from the Hulk by Doom, Banner became criminally insane, driven by his desire to regain the power of the Hulk, but once the two recombined he came to accept that he was a better person with the Hulk to provide something for him to focus on controlling rather than allowing his intellect to run without restraint against the world. Hulk The original Hulk was shown as grey and average in intelligence. He roamed aimlessly and became annoyed at "puny" humans who took him for a dangerous monster. Shortly after becoming the Hulk, his transformation continued turning him green, coinciding with him beginning to display primitive speech. By Incredible Hulk #4, radiation treatments gave Banner's mind complete control of the Hulk's body. While Banner relished his indestructibility and power, he was quick to anger and more aggressive in his Hulk form. He became known as a hero alongside the Avengers, but his increasing paranoia caused him to leave the group. He was convinced that he would never be trusted. Originally, the Hulk was shown as simple-minded and quick to anger. The Hulk generally divorces his identity from Banner's, decrying Banner as "puny Banner." From his earliest stories, the Hulk has been concerned with finding sanctuary and quiet. He is often shown to quickly react emotionally to situations. Grest and Weinberg call Hulk the "dark, primordial side of Banner's psyche." Even in the earliest appearances, Hulk spoke in the third person. Hulk retains a modest intelligence, thinking and talking in full sentences. Lee even gives the Hulk expository dialogue in issue #6, allowing readers to learn just what capabilities Hulk has, when the Hulk says, "But these muscles ain't just for show! All I gotta do is spring up and just keep goin'!" In the 1970s, Hulk was shown as more prone to anger and rage, and less talkative. Writers played with the nature of his transformations, briefly giving Banner control over the change, and the ability to maintain control of his Hulk form. Artistically and conceptually, the character has become progressively more muscular and powerful in the years since his debut. Originally, Stan Lee wanted the Hulk to be grey. Due to ink problems, Hulk's color was changed to green. This was later changed in the story to indicate that the Grey Hulk and the Savage Hulk are separate personalities or entities fighting for control in Bruce's subconscious. The Grey Hulk incarnation can do the more unscrupulous things that Banner could not bring himself to do, with many sources comparing the Grey Hulk to the moody teenager that Banner never allowed himself to be. While the Grey Hulk still had the "madder he gets, the stronger he gets" part that is similar to the Savage Hulk, it is on a much slower rate. It is said by Leader that the Grey Hulk is stronger on nights of the new moon and weaker on nights of the full moon. Originally, the night is when Bruce Banner becomes the Grey Hulk and changes back by dawn. In later comics, willpower or stress would have Banner turn into the Grey Hulk. During one storyline where he was placed under a spell to prevent him turning back into Bruce Banner and publicly presumed dead when he was teleported away from a gamma bomb explosion that destroyed an entire town, the Grey Hulk adopted a specific name as Joe Fixit, a security guard for a Las Vegas casino owner, with the Grey Hulk often being referred to as Joe after these events. Joe Fixit later gained the ability to transform into his version of Red Hulk form when in the Below-Place. The Gravage Hulk is the result of Banner using the Gamma Projector on himself which merged his Savage Hulk and Grey Hulk personas. This form possesses the raw power of the Savage Hulk and the cunning intellect of the Grey Hulk. While he does not draw on anger to empower him, the Gravage Hulk persona draws on dimensional nexus energies to increase his strength. The Dark Hulk persona is the result of Hulk being possessed by Shanzar. This form has black skin and is viciously strong. Convinced that unaided, the Banner, Green Hulk, and Grey Hulk identities would eventually destroy each other, Doc Samson uses hypnosis to merge the three to create a new single identity combining Banner's intelligence with the Grey Hulk's and Banner's attitudes and the Green Hulk's body. This new Merged Hulk or Professor Hulk considered himself cured and began a new life, but the merger was not perfect, and the Hulk sometimes still considered Banner a separate person, and when overcome with rage the Merged Hulk would transform back into Banner's human body while still thinking himself the Hulk. The Merged Hulk is the largest of the three primary Hulk incarnations. While in a calm emotional state, the Merged Hulk is stronger than Savage Hulk when he is calm. Unlike the Savage Hulk and the Grey Hulk, Banner subconsciously installed a type of safeguard within this incarnation. The safeguard is that when the Merged Hulk gets angry, he regresses back to Banner with the mind of the Savage Hulk. The Guilt Hulk is a malevolent representation of Banner's abusive father, Brian Banner, that manifests itself in Banner's childhood memories. The Devil Hulk or Immortal Hulk is the result of the Hulk needing a father figure. While the character's physical appearance varies, he is always depicted as having glowing red eyes and reptilian traits. The new form of the Devil Hulk is the result of Banner and Hulk having been through different deaths and rebirths. This incarnation is articulate, smart, and cunning, and does merciless attacks on those who do harm. Unlike the other Hulk incarnations, the Devil Hulk is content with waiting inside Bruce. If Bruce is injured by sunset, the Devil Hulk will emerge with his transformation being limited to night-time. Thanks to the Devil Hulk side and Banner working together, the Devil Hulk can maintain his form in sunlight. The Green Scar persona is unleashed on Sakaar and is an enraged version of the Gravage Hulk. In addition, he is an expert in armed combat like the use of swords and shields. Green Scar is also a capable leader and an expert strategist. Doc Green is a variation of the Merged Hulk persona that is the result of Extremis fixing Hulk's brain. This persona is powerful enough to destroy Tony Stark's mansion with one thunderclap. Powers and abilities Banner is considered one of the greatest scientific minds on Earth, possessing "a mind so brilliant it cannot be measured on any known intelligence test." Norman Osborn estimates that he is the fourth most-intelligent person on Earth. Banner holds expertise in biology, chemistry, engineering, medicine, physiology, and nuclear physics. Using this knowledge, he creates advanced technology dubbed "Bannertech", which is on par with technological development from Tony Stark or Doctor Doom. Some of these technologies include a force field that can protect him from the attacks of Hulk-level entities, and a teleporter. He also possess resistance to hypnosis. The Hulk, the living personification of rage and pure physical strength is one of the most powerful beings in Marvel universe. He possesses limitless physical strength and power which is influenced by his emotional state, particularly his anger. This has been reflected in the repeated comment, "The madder Hulk gets, the stronger Hulk gets." The cosmically-powerful entity known as the Beyonder once analyzed the Hulk's physiology, and claimed that the Hulk's potential powers had "no finite element inside." Hulk's strength has been depicted as been limited by Banner's subconscious influence; when Jean Grey psionically "shut Banner off", Hulk became strong enough to overpower and destroy the physical form of the villain Onslaught.. Some of his amazing feats of strength are lighting an entire universe by punching,, destroy pocket universe with a thunderclap,,, Punching through time twice, and ,, ripping apart Nightmare dimension, clash with Ironclad cause catastrophic effects across the multiverse,, at base, Hulk caused earthquake around the world when fighting mutated boars,, in his weakest incarnation, he punched asteroid twice the size of earth by Grey Hulk,,, resisted the pull of the black hole,, pressed through the Vector. force that can repel reality,, held up the weight of the Sun ,, while at base level again, Hulk held back Exitar the executioner., held planet Sakaar from falling apart, etc. Writer Greg Pak described the Worldbreaker Hulk shown during World War Hulk as having a level of physical power where "Hulk was stronger than any mortal—and most immortals—who ever walked the Earth", and depicted the character as powerful enough to completely destroy entire planets., and destroy dimensions. His strength allows him to leap into lower Earth orbit or across continents,. His jumping seems as if he is flying. and he has displayed superhuman speed and lightning fast reflexes and agility as he was able to keep and react up with the likes of Quicksilver, Silver Surfer, Thor, Hyperion, Sentry,, Gladiator (Kallark). Some of his remarkable display of speed are saving Tony Stark from an explosion,, jumped from Mars into Orbit within two seconds, jumped down and jumped back up to hold a falling Las Vegas within the time it took a crowd to look back, jumped from a moon to Sakaar it's planet within seconds., can leap at 473 Mph, can get to California from United States within mere hours. He can also swim very fast as he was able to keep up with Namor underwater. It is unknown how he gains biomass during transformation but it may be linked to the One-Below-All. Not a major ability but Hulk can manipulate energy. He can absorb gamma , cosmic, magic energies. He can also give blast of energy, drain energy from others, generate energy capable of shattering a planet. He can also give out energy capable of overloading Red Hulk and a machine made to absorb energy. He is also immune/resistance to energy draining or energy based attacks. He is able to redirect energy as he did so in his fight with the cosmic entity known as Galaxy Master. His durability, regeneration, and endurance also increase in proportion to his temper. Hulk is resistant to injury or damage, though the degree to which varies between interpretations, but he has withstood the equivalent of solar temperatures, nuclear explosions, and planet-shattering impacts. Despite his remarkable resiliency, continuous barrages of high-caliber gunfire can hinder his movement to some degree while he can be temporarily subdued by intense attacks with chemical weapons such as anesthetic gases, although any interruption of such dosages will allow him to quickly recover. He has been shown to have both regenerative, evolution and adaptive healing abilities, including growing tissues to allow him to breathe underwater, surviving unprotected in space, and when injured, healing from most wounds within seconds, including, on one occasion, the complete destruction of most of his body mass. His future self, the "Maestro", was even eventually able to recover from being blown to pieces. As an effect, he has an extremely prolonged lifespan.. Also, Hulk is Immortal and can resurrect . which also was stated in the Immortal Hulk Arc. He also possess extrasensory perception. He can sense energy, can sense if he is been followed. He also possess danger sense as he was able to know that Doctor Strange was in trouble. He also possesses less commonly described powers, including abilities allowing him to "home in" to his place of origin in New Mexico; resist psychic control, or unwilling transformation; grow stronger from radiation or dark magic; punch his way between separate temporal or spatial dimensions; and to see and interact with astral forms. Some of these abilities were in later years explained as being related; his ability to home in on the New Mexico bomb site was due to his latent ability to sense astral forms and spirits, since the bomb site was also the place where the Maestro's skeleton was and the Maestro's spirit was calling out to him in order to absorb his radiation.. He can also fight for long periods of time. it was stated that he stamina is almost infinite by Master Mold. He also possess extrasensory perception. He can sense energy, can sense if he is been followed. He also possess danger sense as he was able to know that Doctor Strange was in trouble.. He also possess a large lung capacity which gives him the ability to give out large amount of air. He has also shown his resistance/ Immunity magic, psychic attacks, phasing, transmutation, Time manipulation, toxins, diseases, matter manipulation, Absorption. Hulk possess some significant level of intellect as he was able to fix a magic barrier when he was banished to The Crossroads dimension. He also has connection with magic. He has connection with The One Above All/The One Below All All of Hulk powers increases with his level of anger. Since the character's exact abilities are infinite, he has shown a small portion of his powers. He generally holds back his powers, greatly restraining his full might. In the first Hulk comic series, "massive" doses of gamma rays would cause the Hulk to transform back to Banner, although this ability was written out of the character by the 1970s. Supporting characters Over the long publication history of the Hulk's adventures, many recurring characters have featured prominently, including his best friend and sidekick Rick Jones, love interest and wife Betty Ross and her father, the often adversarial General "Thunderbolt" Ross. Both Banner and Hulk have families created in their respective personas. Banner is son to Brian, an abusive father who killed Banner's mother while she tried to protect her son from his father's delusional attacks, and cousin to Jennifer Walters, the She-Hulk, who serves as his frequent ally. Banner had a stillborn child with Betty, while the Hulk has two sons with his deceased second wife Caiera Oldstrong, Skaar and Hiro-Kala, and his DNA was used to create a daughter named Lyra with Thundra the warrior woman. The Fantastic Four #12 (March 1963), featured the Hulk's first battle with the Thing. Although many early Hulk stories involve Ross trying to capture or destroy the Hulk, the main villain is often a radiation-based character, like the Gargoyle or the Leader, along with other foes such as the Toad Men, or Asian warlord General Fang. Ross' daughter Betty loves Banner and criticizes her father for pursuing the Hulk. General Ross' right-hand man, Major Glenn Talbot, also loves Betty and is torn between pursuing Hulk and trying to gain Betty's love more honorably. Rick Jones serves as the Hulk's friend and sidekick in these early tales. The Hulk's archenemies are the Abomination and the Leader. The Abomination is more monstrous-looking, twice as strong as the Hulk at normal levels (however, the Abomination's strength levels do not increase when he gets angry) and wreaks havoc for fun and pleasure. The Leader is a super-genius who has tried plan after plan to take over the world. Cultural impact The Hulk character and the concepts behind it have been raised to the level of iconic status by many within and outside the comic book industry. In 2003, Official U.S. PlayStation Magazine claimed the character had "stood the test of time as a genuine icon of American pop culture." In 2008, the Hulk was listed as the 19th greatest comic book character by Wizard magazine. Empire magazine named him as the 14th-greatest comic-book character and the fifth-greatest Marvel character. In 2011, the Hulk placed No. 9 on IGN's list of "Top 100 Comic Book Heroes", and fourth on their list of "The Top 50 Avengers" in 2012. Analysis The Hulk is often viewed as a reaction to war. As well as being a reaction to the Cold War, the character has been a cipher for the frustrations the Vietnam War raised, and Ang Lee said that the Iraq War influenced his direction. In the Michael Nyman edited edition of The Guardian, Stefanie Diekmann explored Marvel Comics' reaction to the September 11 attacks. Diekmann discussed The Hulk's appearance in the 9/11 tribute comic Heroes, claiming that his greater prominence, alongside Captain America, aided in "stressing the connection between anger and justified violence without having to depict anything more than a well-known and well-respected protagonist." In Marvel: Five Fabulous Decades of the World's Greatest Comics, Les Daniels addresses the Hulk as an embodiment of cultural fears of radiation and nuclear science. He quotes Jack Kirby thus: "As long as we're experimenting with radioactivity, there's no telling what may happen, or how much our advancements in science may cost us." Daniels continues, "The Hulk became Marvel's most disturbing embodiment of the perils inherent in the atomic age." In Comic Book Nation, Bradford Wright alludes to Hulk's counterculture status, referring to a 1965 Esquire magazine poll amongst college students which "revealed that student radicals ranked Spider-Man and the Hulk alongside the likes of Bob Dylan and Che Guevara as their favorite revolutionary icons." Wright goes on to cite examples of his anti-authority symbol status. Two of these are "The Ballad of the Hulk" by Jerry Jeff Walker, and the Rolling Stone cover for September 30, 1971, a full color Herb Trimpe piece commissioned for the magazine. The Hulk has been caricatured in such animated television series as The Simpsons, Robot Chicken, and Family Guy, and such comedy TV series as The Young Ones. The character is also used as a cultural reference point for someone displaying anger or agitation. For example, in a 2008 Daily Mirror review of an EastEnders episode, a character is described as going "into Incredible Hulk mode, smashing up his flat." In September 2019, British Prime Minister Boris Johnson likened himself to The Hulk in an interview with the Mail On Sunday, as political pressure built on him to request an extension to the date of the UK's withdrawal from the European Union. The Hulk, especially his alter-ego Bruce Banner, is also a common reference in rap music. The term was represented as an analogue to marijuana in Dr. Dre's 2001, while more conventional references are made in Ludacris and Jermaine Dupri's popular single "Welcome to Atlanta". The 2003 Ang Lee-directed Hulk film saw discussion of the character's appeal to Asian Americans. The Taiwanese-born Ang Lee commented on the "subcurrent of repression" that underscored the character of The Hulk, and how that mirrored his own experience: "Growing up, my artistic leanings were always repressed—there was always pressure to do something 'useful,' like being a doctor." Jeff Yang, writing for the San Francisco Chronicle, extended this self-identification to Asian American culture, arguing that "the passive-aggressive streak runs deep among Asian Americans—especially those who have entered creative careers, often against their parents' wishes." There have been explorations about the real-world possibility of Hulk's gamma-radiation-based origin. In The Science of Superheroes, Lois Grest and Robert Weinberg examined Hulk's powers, explaining the scientific flaws in them. Most notably, they point out that the level of gamma radiation Banner is exposed to at the initial blast would induce radiation sickness and kill him, or if not, create significant cancer risks for Banner, because hard radiation strips cells of their ability to function. They go on to offer up an alternate origin, in which a Hulk might be created by biological experimentation with adrenal glands and GFP. Charles Q. Choi from LiveScience.com further explains that, unlike the Hulk, gamma rays are not green; existing as they do beyond the visible spectrum, gamma rays have no color at all that we can describe. He also explains that gamma rays are so powerful (the most powerful form of electromagnetic radiation and 10,000 times more powerful than visible light) that they can even convert energy into matter – a possible explanation for the increased mass that Bruce Banner takes on during transformations. "Just as the Incredible Hulk 'is the strongest one there is,' as he says himself, so too are gamma-ray bursts the most powerful explosions known." Other Marvel Comics characters called the Hulk Prior to the debut of the Hulk in May 1962, Marvel had earlier monster characters that used the name the "Hulk", but had no direct relation. In Strange Tales #75 (June 1960), Albert Poole built an armor he called the Hulk. In modern-day reprints, the character's name was changed to Grutan. In Journey into Mystery #62 (Nov. 1960) was Xemnu the Living Hulk, a huge, furry alien monster went by the name of the Hulk. Coincidentally, the character's debut story was also illustrated by Jack Kirby. The character reappeared in issue #66 (March 1961). Since then the character has been a mainstay in the Marvel Universe, and was renamed Xemnu the Living Titan. A huge, orange, slimy monster called the Hulk was featured in a movie titled The Hulk in Tales to Astonish #21 (July 1961). In modern-day reprints, the character's name was changed to the Glop. In other media Reception The Hulk was ranked #1 on a listing of Marvel Comics' monster characters in 2015. See also List of
was retitled The Incredible Hulk vol. 2, and ran until 1999, when Marvel canceled the series and launched Hulk #1. Marvel filed for a trademark for "The Incredible Hulk" in 1967, and the United States Patent and Trademark Office issued the registration in 1970. Len Wein wrote the series from 1974 through 1978, working first with Herb Trimpe, then, as of issue #194 (December 1975), with Sal Buscema, who was the regular artist for ten years. Issues #180–181 (Oct.–Nov. 1974) introduced Wolverine as an antagonist, who would go on to become one of Marvel Comics' most popular characters. In 1977, Marvel launched a second title, The Rampaging Hulk, a black-and-white comics magazine. This was originally conceived as a flashback series, set between the end of his original, short-lived solo title and the beginning of his feature in Tales to Astonish. After nine issues, the magazine was retitled The Hulk! and printed in color. In 1977, two Hulk television films were aired to strong ratings, leading to an Incredible Hulk TV series which aired from 1978 to 1982. A huge ratings success, the series introduced the popular Hulk catchphrase, "Don't make me angry. You wouldn't like me when I'm angry", and broadened the character's popularity from a niche comic book readership into the mainstream consciousness. Bill Mantlo became the series' writer for five years beginning with issue #245 (March 1980). Mantlo's "Crossroads of Eternity" stories (#300–313 (Oct. 1984 – Nov. 1985)) explored the idea that Banner had suffered child abuse. Later Hulk writers Peter David and Greg Pak have called these stories an influence on their approaches to the character. Mantlo left the series for Alpha Flight and that series' writer John Byrne took over The Incredible Hulk. The final issue of Byrne's six issue run featured the wedding of Bruce Banner and Betty Ross. Writer Peter David began a 12-year run with issue #331 (May 1987). He returned to the Roger Stern and Mantlo abuse storylines, expanding the damage caused, and depicting Banner as suffering dissociative identity disorder (DID). In 1998, David killed off Banner's long-time love Betty Ross. Marvel executives used Ross' death as an opportunity to pursue the return of the Savage Hulk. David disagreed, leading to his parting ways with Marvel. Also in 1998, Marvel relaunched The Rampaging Hulk as a standard comic book rather than as a comics magazine. The Incredible Hulk was again cancelled with issue #474 of its second volume in March 1999 and was replaced with a new series, Hulk the following month, with returning writer Byrne and art by Ron Garney. New series writer Paul Jenkins developed the Hulk's multiple personalities, and his run was followed by Bruce Jones with his run featuring Banner being pursued by a secret conspiracy and aided by the mysterious Mr. Blue. Jones appended his 43-issue Incredible Hulk run with the limited series Hulk/Thing: Hard Knocks #1–4 (Nov. 2004 – Feb. 2005), which Marvel published after putting the ongoing series on hiatus. Peter David, who had initially signed a contract for the six-issue Tempest Fugit limited series, returned as writer when it was decided to make that story the first five parts of the revived (vol. 3). After a four-part tie-in to the "House of M" storyline and a one-issue epilogue, David left the series once more, citing the need to do non-Hulk work for the sake of his career. Writer Greg Pak took over the series in 2006, leading the Hulk through several crossover storylines including "Planet Hulk" and "World War Hulk", which left the Hulk temporarily incapacitated and replaced as the series' title character by the demigod Hercules in the retitled The Incredible Hercules (Feb. 2008). The Hulk returned periodically in Hulk, which then starred the new Red Hulk. In September 2009, The Incredible Hulk was relaunched as The Incredible Hulk (vol. 2) #600. The series was retitled The Incredible Hulks with issue #612 (Nov. 2010) to encompass the Hulk's expanded family, and ran until issue #635 (Oct. 2011) when it was replaced with The Incredible Hulk (vol. 3) (15 issues, Dec. 2011 – Dec. 2012) written by Jason Aaron with art by Marc Silvestri. As part of Marvel's 2012 Marvel NOW! relaunch, a series called The Indestructible Hulk (Nov. 2012) debuted under the creative team of Mark Waid and Leinil Yu. This series was replaced in 2014 with The Hulk by Waid and artist Mark Bagley. A new series titled Immortal Hulk, written by Al Ewing and drawn by Joe Bennett, was launched in 2018. It is slated to end at issue 50 in 2021. The series had a spin-off one-shot Immortal She-Hulk and will receive a spin-off series about Gamma Flight in June 2021. Fictional character biography During the experimental detonation of a gamma bomb, scientist Robert Bruce Banner saves teenager Rick Jones who has driven onto the testing field; Banner pushes Jones into a trench to save him, but is hit with the blast, absorbing massive amounts of gamma radiation. He awakens later seemingly unscathed, but that night transforms into a lumbering grey form. A pursuing soldier dubs the creature a "hulk". Originally, it was believed that Banner's transformations into the Hulk were caused by sunset and undone at sunrise, but later, after Rick witnessed Banner turn into Hulk at daytime following a failed attempt by Ross' men to shoot the Hulk into space, it was discovered to be caused by anger. Banner was cured in The Incredible Hulk #4, but chose to restore Hulk's powers with Banner's intelligence. The gamma-ray machine needed to affect the transformation-induced side effects that made Banner temporarily sick and weak when returned to his normal state. In The Avengers #1 (September 1963), the Hulk became a founding member of the title's eponymous superhero team. By The Avengers #3, overuse of the gamma-ray machine rendered the Hulk as an uncontrollable, rampaging monster, subject to spontaneous changing. In Tales to Astonish #59 (September 1964) the Hulk appeared as an antagonist for Giant-Man. The series established stress as the trigger for Banner turning into the Hulk and vice versa. It was during this time that the Hulk developed a more savage and childlike personality, shifting away from his original portrayal as a brutish but not entirely unintelligent figure. Also, his memory, both long-term and short-term, would now become markedly impaired in his Hulk state. Tales to Astonish #64 (February 1965) was the last Hulk story to feature him speaking in complete sentences. In Tales to Astonish #77 (March 1966), Banner's and the Hulk's dual identity became publicly known when Rick Jones, mistakenly convinced that Banner was dead (when he actually had been catapulted into the future), told Major Glenn Talbot, a rival to Banner for the affections of Betsy Ross, the truth. Consequently, Glenn informed his superiors and that turned Banner into a wanted fugitive upon returning to the present. The 1970s saw Banner and Betty nearly marry in The Incredible Hulk #124 (February 1970). Betty ultimately married Talbot in issue #158 (Dec. 1972). The Hulk also traveled to other dimensions, one of which had him meet empress Jarella, who used magic to bring Banner's intelligence to the Hulk, and came to love him. The Hulk helped to form the Defenders. In the 1980s, Banner once again gained control over the Hulk, and gained amnesty for his past rampages; however, due to the manipulations of supernatural character Nightmare, Banner eventually lost control over the Hulk. It was also established that Banner had serious mental problems even before he became the Hulk, having suffered childhood traumas that engendered Bruce's repressed rage. Banner comes to terms with his issues for a time, and the Hulk and Banner were physically separated by Doc Samson. Banner is recruited by the U.S. government to create the Hulkbusters, a government team dedicated to catching the Hulk. Banner finally married Betty in The Incredible Hulk #319 (May 1986) following Talbot's death in 1981. Banner and the Hulk were reunited in The Incredible Hulk #323 (Sep. 1986) and with issue #324, returned the Hulk to his grey coloration, with his transformations once again occurring at night, regardless of Banner's emotional state. In issue #347 the grey Hulk persona "Joe Fixit" was introduced, a morally ambiguous Las Vegas enforcer and tough guy. Banner remained repressed in the Hulk's mind for months, but slowly began to reappear. The 1990s saw the Green Hulk return. In issue #377 (Jan. 1991), the Hulk was revamped in a storyline that saw the personalities of Banner, Grey Hulk, and Savage Hulk confront Banner's past abuse at the hands of his father Brian and a new "Guilt Hulk" persona. Overcoming the trauma, the intelligent Banner, cunning Grey Hulk, and powerful Savage Hulk personalities merge into a new single entity possessing the traits of all three. The Hulk also joined the Pantheon, a secretive organization of superpowered individuals. His tenure with the organization brought the Hulk into conflict with a tyrannical alternate future version of himself called the Maestro in the 1993 Future Imperfect miniseries, who rules over a world where many heroes are dead. In 2000, Banner and the three Hulks (Savage Hulk, Grey Hulk, and the "Merged Hulk", now considered a separate personality and referred to as the Professor) become able to mentally interact with one another, each personality taking over the shared body as Banner began to weaken due to his suffering from Lou Gehrig's disease. During this, the four personalities (including Banner) confronted yet another submerged personality, a sadistic "Devil" intent on attacking the world and attempting to break out of Banner's fracturing psyche, but the Devil was eventually locked away again when the Leader was able to devise a cure for the disease using genes taken from the corpse of Brian Banner. In 2005, it is revealed that the Nightmare has manipulated the Hulk for years, and it is implied that some or all of the Hulk's adventures written by Bruce Jones may have been just an illusion. In 2006, the Illuminati decide the Hulk is too dangerous to remain on Earth and send him away by rocket ship which crashes on Planet Sakaar ushering in the "Planet Hulk" storyline that saw the Hulk find allies in the Warbound, and marry alien queen Caiera, a relationship that was later revealed to have born him two sons: Skaar and Hiro-Kala. After the Illuminati's ship explodes and kills Caiera, the Hulk returns to Earth with his superhero group Warbound and declares war on the planet in World War Hulk (2007). However, after learning that Miek, one of the Warbound, had actually been responsible for the destruction, the Hulk allows himself to be defeated, with Banner subsequently redeeming himself as a hero as he works with and against the new Red Hulk to defeat the new supervillain team the Intelligencia. In the 2010s, Hiro-Kala traveled to Earth to destroy the OldStrong Power wielded by Skaar, forcing Skaar and the Hulk to defeat and imprison him within his home planet. During the 2011 Fear Itself storyline, the Hulk finds one of the Serpent's magical hammers associated with the Worthy and becomes Nul: Breaker of Worlds. As he starts to transform, the Hulk tells the Red She-Hulk to run far away from him. Rampaging through South and Central America, Nul was eventually transported to New York City where he began battling Thor, with aid of the Thing, who was transformed into Angrir: Breaker of Souls. After defeating the Thing, Thor stated that he never could beat the Hulk, and instead removed him from the battle by launching him into Earth orbit, after which Thor collapsed from exhaustion. Landing in Romania, Nul immediately began heading for the base of the vampire-king Dracula. Opposed by Dracula's forces, including a legion of monsters, Nul was seemingly unstoppable. Only after the intervention of Raizo Kodo's Forgiven was Nul briefly slowed. Ultimately, Nul makes his way to Dracula's castle where the timely arrival of Kodo and Forgiven member Inka, disguised as Betty Ross, is able to throw off the effects of the Nul possession. Throwing aside the hammer, the Hulk regains control, and promptly leaves upon realizing "Betty's" true nature. With the crisis concluded, the Hulk contacted Doctor Doom for help separating him and Banner for good in return for an unspecified favour. Doom proceeded to perform brain surgery on the Hulk, extracting the uniquely Banner elements from the Hulk's brain and cloning a new body for Banner. When Doctor Doom demands to keep Banner for his own purposes, the Hulk reneges on the deal and flees with Banner's body, leaving his alter ego in the desert where he was created to ensure that Doctor Doom cannot use Banner's intellect. When Banner goes insane due to his separation from the Hulk, irradiating an entire tropical island trying to recreate his transformation- something he cannot do as the cloned body lacks the genetic elements of Banner that allowed him to process the gamma radiation- the Hulk is forced to destroy his other side by letting him be disintegrated by a gamma bomb, prompting the Hulk to accuse Doom of tampering with Banner's mind, only for Doom to observe that what was witnessed was simply Banner without the Hulk to use as a scapegoat for his problems. Initially assuming that Banner is dead, the Hulk soon realizes that Banner was somehow "re-combined" with him when the gamma bomb disintegrated Banner's body, resulting in the Hulk finding himself waking up in various strange locations, including helping the Punisher confront a drug cartel run by a mutated dog, hunting sasquatches with Kraven the Hunter, and being forced to face Wolverine and the Thing in an old SHIELD base. Banner eventually leaves a video message for the Hulk in which he apologizes for his actions while they were separate, having come to recognize that he is a better person with the Hulk than without, the two joining forces to thwart the Doombots' attempt to use the animals on Banner's irradiated island as the basis for a new gamma army using a one-of-a-kind gamma cure Banner had created to turn all the animals back to normal. Following this, Bruce willingly joined the spy organization S.H.I.E.L.D., allowing them to use the Hulk as a weapon in exchange for providing him with the means and funding to create a lasting legacy for himself. After the Hulk had suffered brain damage upon being shot in the head by the Order of the Shield- the assassin having been carefully trained to target Bruce at just the right part of the brain to incapacitate him without triggering a transformation- Iron Man used the Extremis to cure the Hulk. This procedure also increased Banner's mental capacity, which gave him the intelligence to tweak the Extremis virus within him and unleash a new persona for the Hulk: the super-intelligent Doc Green. During the 2014 "Original Sin" storyline, Bruce Banner confronted by the eye of the murdered Uatu the Watcher. Bruce temporarily experienced some of Tony Stark's memories of their first meeting before either of them became the Hulk or Iron Man. During this vision, Bruce witnessed Tony modifying the gamma bomb to be more effective prompting Bruce to realize that Tony was essentially responsible for him becoming the Hulk in the first place. Subsequent research reveals that Tony's tampering had actually refined the bomb's explosive potential so that it would not disintegrate everyone within the blast radius, with the result that Tony's actions had actually saved Bruce's life. In the 2014 "AXIS" storyline, when a mistake made by the Scarlet Witch causes various heroes and villains to experience a moral inversion, Bruce Banner attended a meeting between Nick Fury Jr. and Maria Hill of S.H.I.E.L.D. and the Avengers who refused to turn over Red Skull. Later when he sided with Edwin
of the Universe during Thanos' meeting with them. Thanos caused the supposed deaths of those present. After the Multiverse was restored following the "Secret Wars" storyline, the Champion of the Universe took part in a Contest of Champions between the other Elders of the Universe in order to determine who would keep the Power Primordial that is now abundant throughout the universe. He was eliminated from the contest when his unknown champions lost. Thane and Death sent the Champion of the Universe to recruit Starfox in a plot to take Thanos down when they learn that Thanos is dying. Powers and abilities The Champion controls an energy source referred to as the Power Primordial. This energy is apparently residual energy that is left over from the Big Bang itself. The Champion has spent countless eons channeling this energy force into the perfection of his physical form. Physically, he is the most powerful of the Elders but he is unable to channel the energy into force blasts, flight, matter manipulation, telepathy or to increase his intelligence as the other Elders can. The Champion possesses vast physical strength, that is only limited by the amount of cosmic force that his body can contain. The Thing noted that the Champion hit him harder than either the Hulk or the Silver Surfer (without wearing the Power Gem at the time). When Reed Richards measured the residual power levels left behind when Champion abducted Thing, he declared that the Champion was on a higher level than Galactus. This does not likely represent Galactus' maximum power levels though, as Reed's measurements would have been based on Galactus' strength in one of their six previous meetings, during several of which Galactus was extremely weakened from hunger. The Champion's body does not tire from physical exertion, since his musculature generates no lactic acids and, as the Power Primordial sustains him, he is not limited by the need for food, drink, or sleep, and is virtually immune to aging, diseases and infections. He can exist unprotected in the vacuum of space indefinitely. He is extremely resistant against all forms of conventional injury, and in addition Death has barred the Elders from entering its realm, literally making the Champion immortal. However, this does not make him immune to damage. The Champion's ribs have been broken by the Thing, and he has been beaten unconscious by the She-Hulk (partially due to surprise and his long-standing lack of esteem for women, when she had trained herself to what was stated as near Hulk-level strength), or the power cosmic of the Silver Surfer. The Champion is a master hand-to-hand combatant in a wide range of thousands of different martial arts and fighting-styles taken from locations across the Universe, but tends to prefer boxing. While possessing the Infinity Gem of Power, the Champion unconsciously used it to further increase his power with his rage, so that during his fight with Thanos his strength increased to the point where he destroyed the planet on which they were fighting with a single punch. While wielding the Gem of Power as a good luck charm, Champion was able to manipulate entire battlefields for his amusement. He could withstand direct, point blank and consistent shots of Thanos's energy beams at full power. Thanos noted that the Champion's rampage was one of the few forces that could cause his personal force field to buckle and disengage. Characteristics The Champion is a thoroughly ruthless and cold-blooded individual ever searching for the thrill of battle. When first introduced he was more than willing to annihilate the entire population on Earth unless a fighter would defeat him limited to boxing rules. However he relented when impressed by the Thing's ability to give him a challenge (breaking his ribs), and relentless spirit to never give up, and spared the Earth and declared the bout a draw rather than kill his opponent. When collaborating with the other Elders he schemed to destroy the Universe to be reborn as new versions of Galactus. In the miniseries "Thanos Quest" he killed off an entire planetary population of soldiers just for sport. Later he assumed leadership of another planet and indifferently set the population to civil war, to provoke worthy challengers into seeking him out to put a stop to it. He is a strong male chauvinist, and does not consider women as opponents worthy of him, only "appreciating" their value as courtesans or breeding-stock. The Power Primordial sustains the Elders through their very desire and will to continue in pursuing their various interests. The Champion's interests, of course, being fighting, training to fight, and seeking opponents to fight. If the Champion were to grow uninterested in his pursuits and chose not to continue them, he could potentially die as a result, although since Death decreed no Elder could ever enter its realm, this may no longer be true. Although several billion years old, the Champion is not as intelligent as most other known Elders of the Universe, partially because most have chosen to develop their minds along with their physical bodies. Regardless, he has some familiarity with advanced alien technologies that surpass the understanding of most Earthlings, and has been shown as a crafty strategist when not blinded by rage. In other media Television The Champion of the Universe appears in the Guardians of the Galaxy episode "We Are the Champions", voiced by Patrick Warburton's son Talon Warburton. In this show, Tryco Slatterus calls himself the Champion of the Universe and is not taken seriously. He comes to Knowhere to fight Drax the Destroyer when he doesn't want to be a destroyer anymore. After a time-out in the brig at the hands of Cosmo the Spacedog, Drax fails at his cooking at Starlin's and discovers that the Champion of the Universe is trying to drain the cerebral energy of Knowhere. With help from Cosmo the Spacedog, Drax the Destroyer is thrown into Knowhere's Continuum Cortex where he was sent to an unknown location that not even Cosmo knows where he was transported to. In the episode "With a Little Help From My Friends", the Champion of the Universe is on Conjunction where he tried to prove himself to Star-Lord. After doing some wrestling moves on Star-Lord, the Champion of the Universe gets trapped in a bubble device used by Howard the Duck. As Star-Lord and Howard the Duck leave Conjunction, the Champion of the Universe states that he'll call this fight a draw. Video games The Champion is a playable character in the game Marvel Contest of Champions. References External links Champion of the Universe at Marvel.com Champion of the Universe at Marvel Wiki Champion of the Universe at Comic Vine Champion of the Universe at Marvel Directory Characters created by Tom DeFalco Comics characters introduced in 1982 Elders of the Universe Fictional characters who can move at superhuman speeds Fictional characters with immortality Fictional characters with superhuman senses Fictional gladiators Marvel
face her in a rematch without using the Power Gem. With the Champion limited to his own power, without an omnipotent external power-source, and the She-Hulk having trained to increase both her strength and combat skills in the time between her first trial and the appeal, the Champion was swiftly dealt his first known defeat inside the ring. He also forfeited the use of the Power Gem, having made a bet with the She-Hulk in which he agreed to never use the Gem again if she defeated him. After falling to the She-Hulk, the Champion took the new name of "The Fallen One" in disgrace. He also attempted to take revenge through a proxy, passing the Power Gem to the heroine's arch-enemy Titania (who also failed to defeat the She-Hulk). Upon learning that the Champion can return the Power Gem that contains the "Power Primordial" to himself at any time, Titania smashed him with a giant rock mass, believing that he would be kept buried below it. When the Deadpool Corps was chosen to go defeat The Awareness, the Champion deemed them unworthy and sought to challenge them. However he is tricked and left stranded on an empty planet after the Deadpool Corps steals his motorcycle. After being rescued by the Gardener, the Champion tracks down Deadpool at a bar and begins to fight, but is eventually convinced to join the team under the name "Championpool." He is soon tricked into going to fight on another deserted planet, only to find that there are no warriors to fight and his rocket cycle is without fuel, leaving him stranded. The Champion of the Universe was with the other Elders of the Universe during Thanos' meeting with them. Thanos caused the supposed deaths of those present. After the Multiverse was restored following the "Secret Wars" storyline, the Champion of the Universe took part in a Contest of Champions between the other Elders of the Universe in order to determine who would keep the Power Primordial that is now abundant throughout the universe. He was eliminated from the contest when his unknown champions lost. Thane and Death sent the Champion of the Universe to recruit Starfox in a plot to take Thanos down when they learn that Thanos is dying. Powers and abilities The Champion controls an energy source referred to as the Power Primordial. This energy is apparently residual energy that is left over from the Big Bang itself. The Champion has spent countless eons channeling this energy force into the perfection of his physical form. Physically, he is the most powerful of the Elders but he is unable to channel the energy into force blasts, flight, matter manipulation, telepathy or to increase his intelligence as the other Elders can. The Champion possesses vast physical strength, that is only limited by the amount of cosmic force that his body can contain. The Thing noted that the Champion hit him harder than either the Hulk or the Silver Surfer (without wearing the Power Gem at the time). When Reed Richards measured the residual power levels left behind when Champion abducted Thing, he declared that the Champion was on a higher level than Galactus. This does not likely represent Galactus' maximum power levels though, as Reed's measurements would have been based on Galactus' strength in one of their six previous meetings, during several of which Galactus was extremely weakened from hunger. The Champion's body does not tire from physical exertion, since his musculature generates no lactic acids and, as the Power Primordial sustains him, he is not limited by the need for food, drink, or sleep, and is virtually immune to aging, diseases and infections. He can exist unprotected in the vacuum of space indefinitely. He is extremely resistant against all forms of conventional injury, and in addition Death has barred the Elders from entering its realm, literally making the Champion immortal. However, this does not make him immune to damage. The Champion's ribs have been broken by the Thing, and he has been beaten unconscious by the She-Hulk (partially due to surprise and his long-standing lack of esteem for women, when she had trained herself to what was stated as near Hulk-level strength), or the power cosmic of the Silver Surfer. The Champion is a master hand-to-hand combatant in a wide range of thousands of different martial arts and fighting-styles taken from locations across the Universe, but tends to prefer boxing. While possessing the Infinity Gem of Power, the Champion unconsciously used it to further increase his power with his rage, so that during his fight with Thanos his strength increased to the point where he destroyed the planet on which they were fighting with a single punch. While wielding the Gem of Power as a good luck charm, Champion was able to manipulate entire battlefields for his amusement. He could withstand direct, point blank and consistent shots of Thanos's energy beams at full power. Thanos noted that the Champion's rampage was one of the few forces that could cause his personal force field to buckle and disengage. Characteristics The Champion is a thoroughly ruthless and cold-blooded individual ever searching for the thrill of battle. When first introduced he was more than willing to annihilate the entire population on Earth unless a fighter would defeat him limited to boxing rules. However he relented when impressed by the Thing's ability to give him a challenge (breaking his ribs), and relentless spirit to never give up, and spared the Earth and declared the bout a draw rather than kill his opponent. When collaborating with the other Elders he schemed to destroy the Universe to be reborn as new versions of Galactus. In the miniseries "Thanos Quest" he killed off an entire planetary population of soldiers just for sport. Later he assumed leadership of another planet and indifferently set the population to civil war, to provoke worthy challengers into seeking him out to put a stop to it. He is a strong male chauvinist, and does not consider women as opponents worthy of him, only "appreciating" their value as courtesans or breeding-stock. The Power Primordial sustains the Elders through their very desire and will to continue in pursuing their various interests. The Champion's interests, of course, being fighting, training to fight, and seeking opponents to fight. If the Champion were to grow uninterested in his pursuits and chose not to continue them, he could potentially die as a result, although since Death decreed no Elder could ever enter its realm, this may no longer be true. Although several billion years old, the Champion is not as intelligent as most other known Elders of the Universe, partially because most have chosen to develop their minds along with their physical bodies. Regardless, he has some familiarity with advanced alien technologies that surpass the understanding of most Earthlings, and has been shown as a crafty strategist when not blinded by rage. In other media Television The Champion of the Universe appears in the Guardians of the Galaxy episode "We Are the Champions", voiced by Patrick Warburton's son Talon Warburton. In this show, Tryco Slatterus calls himself the Champion of the Universe and is not taken seriously. He comes to Knowhere to fight Drax the Destroyer when he doesn't want to be a destroyer anymore. After a time-out in the brig at the hands of Cosmo the Spacedog, Drax fails at his cooking at Starlin's
the energy from the dimension escapes and imbues Reece with infinite powers, which he wields as the villainous Molecule Man—potentially one of the most powerful villains in the Marvel Universe. The remaining energy of the pocket dimension gains sentience and curiosity, and becomes the Beyonder. The Beyonder creates a planet called Battleworld out of pieces of various planets (one such piece being a suburb of Denver, Colorado) and abducts a number of superheroes and supervillains from Earth and forces them to fight each other so that he can observe the never-ending battle between good and evil. During this time, his powers were once stolen by Doctor Doom. Secret Wars II Intrigued by what he has witnessed during the first Secret Wars, the Beyonder comes to Earth during the Secret Wars II story line to walk among humans and study them and learn of human desire firsthand. He creates a human body for himself (this body originally resembles Molecule Man). He also transforms a television writer named Steward Cadwell into Thundersword. Finally, the Beyonder creates a form for himself based on that of Captain America after witnessing him defeat Armadillo. After learning of the importance of money from Luke Cage, the Beyonder turns a building into pure gold, causing Spider-Man to rescue those trapped in the building, while the U.S. government works to get rid of the gold to avoid a financial crisis. The Beyonder later meets the blind superhero Daredevil and restores his ability to see, asking for legal representation in return. After realizing that the desire to protect his eyesight might compromise his integrity and dedication, Daredevil demands that the Beyonder take his sight away again, which he does. Beyonder then attempts to get Dazzler to fall in love with him, but fails, leading to feelings of despair. Following this, the Beyonder is recruited to be a professional wrestler and is nearly killed by Thing in a wrestling match. In order to combat Beyonder, Mephisto sent his demon agent Bitterhorn to form the Legion Accursed where he managed to get 99 villains together upon shaking their hand. While waiting for the Legion Accursed to arrive, Mephisto tricked Thing into signing a contract that would increase his strength. When the Legion Accursed had arrived, Thing had to defend Beyonder from them. By the time Mephisto planned to drop his contract with Thing, nearly all of the Legion Accursed were defeated. Due to Beyonder and Thing ruining his plan, Mephisto returned all the villains to where they were before he began his scheme. After being encouraged to find enlightenment by Doctor Strange, and failing, a frustrated Beyonder decides to destroy the entire multiverse, leading to several more battles with various Marvel superheroes, all of which end up with the Beyonder victorious. The Beyonder is finally defeated by a huge group of superheroes, including the Fantastic Four, X-Men, Avengers, and Spider-Man, after the Molecule Man intervenes and kills him, while he had temporarily transformed into an infant in the midst of a re-birthing process. Deadpool Team-Up Long after the Secret Wars II crossover had ended, a Deadpool special featured the "Secret Wars II continues in this issue" corner tag that was used during that original storyline. In this issue, a younger, less-experienced Deadpool is hired by the Kingpin to kill the Beyonder. The flashback sequence ends with Deadpool chasing him into a portal with a footnote saying "to be continued in Secret Wars III". Kosmos and Maker The tale of the Beyonder continues several years later when it is revealed that the energy which comprises the Beyonder and the energy that gives the Molecule Man his powers needs to be combined in order to create the basis for a mentally stable, mature cosmic entity to be born. The Beyonder then merges with the Molecule Man. This being, Kosmos, expels the Molecule Man from its form, and returns him to Earth. Kosmos takes on a female form and is tutored by Kubik, touring the universe with him. When the Molecule Man's lover Volcana leaves him, he becomes angry, extracts the Beyonder from Kosmos, and proceeds to attack him until Kubik intervenes. At some unknown point, Kosmos becomes insane and assumes a mortal form, now calling itself the Maker. After the amnesiac Maker destroys a Shi'ar colony, the Imperial Guard manage to imprison it in the interstellar prison called the Kyln. The Maker's madness takes control of several inmates but is finally subdued by Thanos and several of his allies among the prisoners. Thanos confronts the Maker, and, by refusing to reveal its origins at a critical juncture, manipulates it to psychically shut down its own mind. Thanos instructs the Shi'ar that the body should be kept alive but brain-dead, or the Beyonder essence would go free again. "Annihilation" In the "Annihilation" crossover story line, the Fallen One, a former Herald of Galactus under the control of Thanos, is sent to investigate the aftermath of the Kyln's destruction by the Annihilation Wave and ascertain the Beyonder's fate. The Fallen One finds the lifeless form of Kosmos in the rubble. The Illuminati In a retcon of past events, Charles Xavier reveals to his fellow Illuminati members that in the original Secret War, he had attempted to mind-scan the Beyonder, revealing him as one of the Inhumans previously ruled over by fellow Illuminati member Black Bolt. Xavier also deduced the apparent secret behind the Beyonder's seemingly godlike abilities, which was that the Beyonder was not only an Inhuman but also a mutant, and the exposure of his mutant genes to Terrigen Mists had created an unprecedented power. This revelation leads to a confrontation with the Beyonder during the events of the second Secret War, wherein Black Bolt expresses his extreme displeasure toward the Beyonder's activities. When encountered, the Beyonder is dwelling in a simulacrum of Manhattan Island on Ceres, a dwarf planet in the asteroid belt. The Illuminati convince the Beyonder to leave the universe, causing the Beyonder's human form and his simulacrum city to crumble into
Island on Ceres, a dwarf planet in the asteroid belt. The Illuminati convince the Beyonder to leave the universe, causing the Beyonder's human form and his simulacrum city to crumble into dust. However, Black Bolt admits that he has no memory of an Inhuman becoming the Beyonder, and the final image of the story hints that the entire event may have been orchestrated by the Beyonder himself, leaving his true nature in doubt. Time Runs Out It was revealed in Secret Wars Official Guide to the Marvel Multiverse that in the distant past, the enigmatic Beyonders created pocket universes holding vast amounts of sentient energy, possibly as incubator units for their young. Some were later tapped into by various beings, including Skrulls and Humans, to create reality-warping Cosmic Cubes. The Beyonders also had engineered an accident that created a pinhole to the universe containing the "Child Unit" Beyonder which had also caused Molecule Man to obtain his power. Yellowjacket described the Beyonder as a "child unit" to the Beyonders. Powers and abilities The Beyonder is an infinite-dimensional, or beyond-dimensional, entity and was originally portrayed as the most powerful being in the Marvel Comics multiverse, and as the be-all and end-all of the "Beyond Realm", that took human form to better understand the nature of human beings. The narration stated that he possessed power millions of times greater than the entire multiverse combined, and that a regular universe was a drop of water in the ocean compared to the Beyond Realm. The Beyonder proved capable of destroying, and recreating, the abstract entity known as Death across the multiverse, although it extremely exerted and weakened him to do so. However, even in this state, he was capable of easily sending a horde of demons back to hell with a wave of his hand. Despite his power, the Beyonder has shown moments of vulnerability. He was overwhelmed when Rachel Summers returned the enormous powers that he had bestowed upon her along with the thoughts of the past and present beings in the universe, to the point that he collapsed on the ground, and he was apparently slowed down in battle against the Molecule Man. He also lost part, or all, of his power on various occasions, some of them engineered by himself. He also stated that the Puma—when in perfect harmony with the Universe—was capable of killing him. However, on another occasion, after trying to be a superhero by fighting a superpowered biker gang, the Beyonder stated that he limits his powers to keep them more in line with the world around him. After his creator, Jim Shooter, left Marvel, writer-editor Tom DeFalco re-tooled the Beyonder, diminishing his power greatly: He was no longer nearly omnipotent, and several of the cosmic beings who were previously established to be below him in power were vastly upgraded in conjunction. Nonetheless, the Beyonder retained his reality-warping powers, allowing him to control and manipulate matter, energy, and reality at a cosmic level beyond all but the strongest and most powerful of cosmic entities. He repelled Galactus "like a bug", and exceeded the collected energy of the latter's World-Ship. He once destroyed a galaxy on a whim to meet his needs during the first Secret Wars, and later created a universe out of his own being. When the Molecule Man extracted the Beyonder from Kosmos, their battle took place in more than three spatial dimensions, and threatened to cause vast destruction across the multiverse. In Kosmos' 'Maker' incarnation, she was stated as capable of reversing The Crunch itself, essentially collapsing the entire universe. However, his scale of power was stated to be significantly below that of the Living Tribunal and Eternity, the Celestials, or the Molecule Man (when unfettered from his emotional weaknesses). Other versions Guardians of the Galaxy In Guardians of the Galaxy, the Beyonder provides Guardian Vance Astro with a black undergarment resembling a Symbiote. Later, he attempts to hold captive the ruler of the Universal Church of Truth, Protégé. Protégé retaliates using his limitless ability to copy the abilities of other beings to become a match for the Beyonder. They battle until Eternity and The Living Tribunal intervene. "Heroes Reborn" In an alternate reality depicted in the "Heroes Reborn" miniseries, a character named Mister Beyonder appears as an inmate of the Negative Zone before escaping and confronting Hyperion, claiming that his reality is not what it seems. Despite being perturbed by his words, Hyperion defeats Mister Beyonder. Mutant X In Mutant X, the Beyonder allies with Dracula to wage war on Earth's forces and to confront the entity known as the 'Goblyn Queen'. Spider-Ham In the Spider-Ham universe, "The Bee-Yonder" gives Spider-Ham a version of the black uniform. In other media The Beyonder appears in the final episodes of Spider-Man: The Animated Series, voiced by Earl Boen. This version is an associate of Madame Web. In the three-part episode "Secret Wars", to prepare Spider-Man for the Chosen One's role, the Beyonder teleports Doctor Octopus, Doctor Doom, Alistair Smythe, the Lizard, and the Red Skull to a peaceful alien planet and accelerates time until after the supervillains conquered it. After providing Spider-Man with a base, he and Madame Web watch him lead Captain America, Iron Man, Storm, Black Cat, and the Fantastic Four into battle against the supervillains. Amidst their conflict, Doctor Doom learns about the Beyonder and steals his powers, but is defeated by Spider-Man and the Thing. Beyonder declares the former the winner and sends everyone else back to Earth with no memory of the battle. In the two-part series finale "Spider Wars", the Beyonder and Madame Web assemble Spider-Men from several alternate realities and task them with defeating Spider-Carnage before he destroys all of reality. While they succeed, the Beyonder is forced to return to his world after teleporting Man-Spider back to his universe when he threatens the mission. The Beyonder appears in the Avengers: Secret Wars animated series, voiced by Steven Weber. This version creates Battleworld out of other worlds as part of his experiment. In the episode "Beyond", he recreates Avengers Tower for the Avengers and New Avengers before informing them of Battleworld. In "Underworld", the Beyonder manipulates Loki to sow chaos and splits the Hulk and Bruce Banner apart before sending the two to Battleworld. In "The Citadel", the Beyonder tasks Ares, Absorbing Man, Crimson Widow, and MODOK with bringing Iron Man and Captain America to him. While his enforcers fight the latter, the Beyonder tries to convince the former to be a part of his experiment. In reality, he manipulates Iron Man and Captain America to fight each
some European sources also considered parts of Tibet to lie in Central Asia. Tibet is west of the Central China plain. In China, Tibet is regarded as part of (), a term usually translated by Chinese media as "the Western section", meaning "Western China". Mountains and rivers Tibet has some of the world's tallest mountains, with several of them making the top ten list. Mount Everest, located on the border with Nepal, is, at , the highest mountain on earth. Several major rivers have their source in the Tibetan Plateau (mostly in present-day Qinghai Province). These include the Yangtze, Yellow River, Indus River, Mekong, Ganges, Salween and the Yarlung Tsangpo River (Brahmaputra River). The Yarlung Tsangpo Grand Canyon, along the Yarlung Tsangpo River, is among the deepest and longest canyons in the world. Tibet has been called the "Water Tower" of Asia, and China is investing heavily in water projects in Tibet. The Indus and Brahmaputra rivers originate from the vicinities of Lake Mapam Yumco in Western Tibet, near Mount Kailash. The mountain is a holy pilgrimage site for both Hindus and Tibetans. The Hindus consider the mountain to be the abode of Lord Shiva. The Tibetan name for Mount Kailash is Khang Rinpoche. Tibet has numerous high-altitude lakes referred to in Tibetan as tso or co. These include Qinghai Lake, Lake Manasarovar, Namtso, Pangong Tso, Yamdrok Lake, Siling Co, Lhamo La-tso, Lumajangdong Co, Lake Puma Yumco, Lake Paiku, Como Chamling, Lake Rakshastal, Dagze Co and Dong Co. The Qinghai Lake (Koko Nor) is the largest lake in the People's Republic of China. Climate The climate is severely dry nine months of the year, and average annual snowfall is only , due to the rain shadow effect. Western passes receive small amounts of fresh snow each year but remain traversible all year round. Low temperatures are prevalent throughout these western regions, where bleak desolation is unrelieved by any vegetation bigger than a low bush, and where the wind sweeps unchecked across vast expanses of arid plain. The Indian monsoon exerts some influence on eastern Tibet. Northern Tibet is subject to high temperatures in the summer and intense cold in the winter. Regions Cultural Tibet consists of several regions. These include Amdo (A mdo) in the northeast, which is administratively part of the provinces of Qinghai, Gansu, and Sichuan. Kham (Khams) in the southeast encompasses parts of western Sichuan, northern Yunnan, southern Qinghai, and the eastern part of the Tibet Autonomous Region. Ü-Tsang (dBus gTsang) (Ü in the center, Tsang in the center-west, and Ngari (mNga' ris) in the far west) covered the central and western portion of Tibet Autonomous Region. Tibetan cultural influences extend to the neighboring states of Bhutan, Nepal, regions of India such as Sikkim, Ladakh, Lahaul, and Spiti, Northern Pakistan Baltistan or Balti-yul in addition to designated Tibetan autonomous areas in adjacent Chinese provinces. Cities, towns and villages There are over 800 settlements in Tibet. Lhasa is Tibet's traditional capital and the capital of Tibet Autonomous Region. It contains two world heritage sites – the Potala Palace and Norbulingka, which were the residences of the Dalai Lama. Lhasa contains a number of significant temples and monasteries, including Jokhang and Ramoche Temple. Shigatse is the second largest city in the Tibet AR, west of Lhasa. Gyantse and Qamdo are also amongst the largest. Other cities and towns in cultural Tibet include Shiquanhe (Gar), Nagchu, Bamda, Rutog, Nyingchi, Nedong, Coqên, Barkam, Sagya, Gertse, Pelbar, Lhatse, and Tingri; in Sichuan, Kangding (Dartsedo); in Qinghai, Jyekundo (Yushu), Machen, and Golmud; in India, Tawang, Leh, and Gangtok, and in Pakistan, Skardu, Kharmang, and Khaplu. Wildlife Sus scrofa expanded from its origin in southeast Asia into the Plateau, acquiring and fixing adaptive alleles for the high-altitude environment. The forests of Tibet are home to black bears, red pandas, musk deer, barking deer, and squirrels. Monkeys such as rhesus macaques and langurs live in the warmer forest zones. Tibetan antelopes, gazelles, and kiangs gaze on the grasslands of the Tibetan plateau. There are more than 500 bird species in Tibet. Because of the high altitude and harsh climate, there are few insects in Tibet. Snow leopards are hunted for their fur and the eggs of black-necked cranes have been collected as a delicacy food. Government The central region of Tibet is an autonomous region within China, the Tibet Autonomous Region. The Tibet Autonomous Region is a province-level entity of the People's Republic of China. It is governed by a People's Government, led by a Chairman. In practice, however, the Chairman is subordinate to the branch secretary of the Chinese Communist Party (CCP). As a matter of convention, the Chairman has almost always been an ethnic Tibetan, while the party secretary has always been ethnically non-Tibetan. Economy The Tibetan economy is dominated by subsistence agriculture. Due to limited arable land, the primary occupation of the Tibetan Plateau is raising livestock, such as sheep, cattle, goats, camels, yaks, dzo, and horses. The main crops grown are barley, wheat, buckwheat, rye, potatoes, and assorted fruits and vegetables. Tibet is ranked the lowest among China's 31 provinces on the Human Development Index according to UN Development Programme data. In recent years, due to increased interest in Tibetan Buddhism, tourism has become an increasingly important sector, and is actively promoted by the authorities. Tourism brings in the most income from the sale of handicrafts. These include Tibetan hats, jewelry (silver and gold), wooden items, clothing, quilts, fabrics, Tibetan rugs and carpets. The Central People's Government exempts Tibet from all taxation and provides 90% of Tibet's government expenditures. However most of this investment goes to pay migrant workers who do not settle in Tibet and send much of their income home to other provinces. Forty percent of the rural cash income in the Tibet Autonomous Region is derived from the harvesting of the fungus Ophiocordyceps sinensis (formerly Cordyceps sinensis); contributing at least 1.8 billion yuan, (US$225 million) to the region's GDP. The Qingzang railway linking the Tibet Autonomous Region to Qinghai Province was opened in 2006, but it was controversial. In January 2007, the Chinese government issued a report outlining the discovery of a large mineral deposit under the Tibetan Plateau. The deposit has an estimated value of $128 billion and may double Chinese reserves of zinc, copper, and lead. The Chinese government sees this as a way to alleviate the nation's dependence on foreign mineral imports for its growing economy. However, critics worry that mining these vast resources will harm Tibet's fragile ecosystem and undermine Tibetan culture. On January 15, 2009, China announced the construction of Tibet's first expressway, the Lhasa Airport Expressway, a stretch of controlled-access highway in southwestern Lhasa. The project will cost 1.55 billion yuan (US$227 million). From January 18–20, 2010, a national conference on Tibet and areas inhabited by Tibetans in Sichuan, Yunnan, Gansu and Qinghai was held in China and a plan to improve development of the areas was announced. The conference was attended by General secretary Hu Jintao, Wu Bangguo, Wen Jiabao, Jia Qinglin, Li Changchun, Xi Jinping, Li Keqiang, He Guoqiang and Zhou Yongkang, all members of Politburo Standing Committee of the Chinese Communist Party. The plan called for improvement of rural Tibetan income to national standards by 2020 and free education for all rural Tibetan children. China has invested 310 billion yuan (about 45.6 billion U.S. dollars) in Tibet since 2001. Development zone The State Council approved Tibet Lhasa Economic and Technological Development Zone as a state-level development zone in 2001. It is located in the western suburbs of Lhasa, the capital of the Tibet Autonomous Region. It is away from the Gonggar Airport, and away from Lhasa Railway Station and away from 318 national highway. The zone has a planned area of and is divided into two zones. Zone A developed a land area of for construction purposes. It is a flat zone, and has the natural conditions for good drainage. Demographics Historically, the population of Tibet consisted of primarily ethnic Tibetans and some other ethnic groups. According to tradition the original ancestors of the Tibetan people, as represented by the six red bands in the Tibetan flag, are: the Se, Mu, Dong, Tong, Dru and Ra. Other traditional ethnic groups with significant population or with the majority of the ethnic group residing in Tibet (excluding a disputed area with India) include Bai people, Blang, Bonan, Dongxiang, Han, Hui people, Lhoba, Lisu people, Miao, Mongols, Monguor (Tu people), Menba (Monpa), Mosuo, Nakhi, Qiang, Nu people, Pumi, Salar, and Yi people. The proportion of the non-Tibetan population in Tibet is disputed. On the one hand, the Central Tibetan Administration of the Dalai Lama accuses China of actively swamping Tibet with migrants in order to alter Tibet's demographic makeup. On the other hand, according to the 2010 Chinese census ethnic Tibetans comprise 90% of a total population of 3 million in the Tibet Autonomous Region. Culture Religion Buddhism Religion is extremely important to the Tibetans and has a strong influence over all aspects of their lives. Bön is the indigenous religion of Tibet, but has been almost eclipsed by Tibetan Buddhism, a distinctive form of Mahayana and Vajrayana, which was introduced into Tibet from the Sanskrit Buddhist tradition of northern India. Tibetan Buddhism is practiced not only in Tibet but also in Mongolia, parts of northern India, the Buryat Republic, the Tuva Republic, and in the Republic of Kalmykia and some other parts of China. During China's Cultural Revolution, nearly all Tibet's monasteries were ransacked and destroyed by the Red Guards. A few monasteries have begun to rebuild since the 1980s (with limited support from the Chinese government) and greater religious freedom has been granted – although it is still limited. Monks returned to monasteries across Tibet and monastic education resumed even though the number of monks imposed is strictly limited. Before the 1950s, between 10 and 20% of males in Tibet were monks. Tibetan Buddhism has five main traditions (the suffix pa is comparable to "er" in English): Gelug(pa), Way of Virtue, also known casually as Yellow Hat, whose spiritual head is the Ganden Tripa and whose temporal head is the Dalai Lama. Successive Dalai Lamas ruled Tibet from the mid-17th to mid-20th centuries. This order was founded in the 14th to 15th centuries by Je Tsongkhapa, based on the foundations of the Kadampa tradition. Tsongkhapa was renowned for both his scholasticism and his virtue. The Dalai Lama belongs to the Gelugpa school, and is regarded as the embodiment of the Bodhisattva of Compassion. Kagyu(pa), Oral Lineage. This contains one major subsect and one minor subsect. The first, the Dagpo Kagyu, encompasses those Kagyu schools that trace back to Gampopa. In turn, the Dagpo Kagyu consists of four major sub-sects: the Karma Kagyu, headed by a Karmapa, the Tsalpa Kagyu, the Barom Kagyu, and Pagtru Kagyu. The once-obscure Shangpa Kagyu, which was famously represented by the 20th-century teacher Kalu Rinpoche, traces its history back to the Indian master Niguma, sister of Kagyu lineage holder Naropa. This is an oral tradition which is very much concerned with the experiential dimension of meditation. Its most famous exponent was Milarepa, an 11th-century mystic. Nyingma(pa), The Ancient Ones. This is the oldest, the original order founded by Padmasambhava. Sakya(pa), Grey Earth, headed by the Sakya Trizin, founded by Khon Konchog Gyalpo, a disciple of the great translator Drokmi Lotsawa. Sakya Pandita 1182–1251 CE was the great grandson of Khon Konchog Gyalpo. This school emphasizes scholarship. Jonang(pa) Its origins in Tibet can be traced to early 12th century master Yumo Mikyo Dorje, but became much wider known with the help of Dolpopa Sherab Gyaltsen, a monk originally trained in the Sakya school. The Jonang school was widely thought to have become extinct in the late 17th century at the hands of the 5th Dalai Lama, who forcibly annexed the Jonang monasteries to his Gelug school, declaring them heretical. Thus, Tibetologists were astonished when fieldwork turned up several active Jonangpa monasteries, including the main monastery, Tsangwa, located in Zamtang County, Sichuan. Almost 40 monasteries, comprising about 5000 monks, have subsequently been found, including some in the Amdo Tibetan and rGyalgrong areas of Qinghai, Sichuan and Tibet. One of the primary supporters of the Jonang lineage in exile has been the 14th Dalai Lama of the Gelugpa lineage. The Jonang tradition has recently officially registered with the Tibetan Government in exile to be recognized as the fifth living Buddhist tradition of Tibetan Buddhism. The 14th Dalai Lama assigned Jebtsundamba Khutuktu of Mongolia (who is considered to be an incarnation of Taranatha) as the leader of the Jonang tradition. The Chinese government continued to pursue a strategy of forced assimilation and suppression of Tibetan Buddhism, as demonstrated by the laws designed to control the next reincarnation of the Dalai Lama and those of other Tibetan eminent lamas. Monks and nuns who refused to denounce the Dalai Lama have been expelled from their monasteries, imprisoned, and tortured. Christianity The first Christians documented to have reached Tibet were the Nestorians, of whom various remains and inscriptions have been found in Tibet. They were also present at the imperial camp of Möngke Khan at Shira Ordo, where they debated in 1256 with Karma Pakshi (1204/6-83), head of the Karma Kagyu order. Desideri, who reached Lhasa in 1716, encountered Armenian and Russian merchants. Roman Catholic Jesuits and Capuchins arrived from Europe in the 17th and 18th centuries. Portuguese missionaries Jesuit Father António de Andrade and Brother Manuel Marques first reached the kingdom of Gelu in western Tibet in 1624 and was welcomed by the royal family who allowed them to build a church later on. By 1627, there were about a hundred local converts in the Guge kingdom. Later on, Christianity was introduced to Rudok, Ladakh and Tsang and was welcomed by the ruler of the Tsang kingdom, where Andrade and his fellows established a Jesuit outpost at Shigatse in 1626. In 1661 another Jesuit, Johann Grueber, crossed Tibet from Sining to Lhasa (where he spent a month), before heading on to Nepal. He was followed by others who actually built a church in Lhasa. These included the Jesuit Father Ippolito Desideri, 1716–1721, who gained a deep knowledge of Tibetan culture, language and Buddhism, and various Capuchins in 1707–1711, 1716–1733 and 1741–1745, Christianity was used by some Tibetan monarchs and their courts and the Karmapa sect lamas to counterbalance the influence of the Gelugpa sect in the 17th century until in 1745 when all the missionaries were expelled at the lama's insistence. In 1877, the Protestant James Cameron from the China Inland Mission walked from Chongqing to Batang in Garzê Tibetan Autonomous Prefecture, Sichuan province, and "brought the Gospel to the Tibetan people." Beginning in the 20th century, in Diqing Tibetan Autonomous Prefecture in Yunnan, a large number of Lisu people and some Yi and Nu people converted to Christianity. Famous earlier missionaries include James O. Fraser, Alfred James Broomhall and Isobel Kuhn of the China Inland Mission, among others who were active in this area. Proselytising has been illegal in China since 1949. But , many Christian missionaries were reported to be active in Tibet with the tacit approval of Chinese authorities, who view the missionaries as a counterforce to Tibetan Buddhism or as a boon to the local economy. Islam Muslims have been living in Tibet since as early as the 8th or 9th century. In Tibetan cities, there are small communities of Muslims, known as Kachee (Kache), who trace their origin to immigrants from three main regions: Kashmir (Kachee Yul in ancient Tibetan), Ladakh and the Central Asian Turkic countries. Islamic influence in Tibet also came from Persia. A Muslim Sufi Syed Ali Hamdani preached to the people of Baltistan, then known as little Tibet. After 1959, a group of Tibetan Muslims made a case for Indian nationality based on their historic roots to Kashmir and the Indian government declared all Tibetan Muslims Indian citizens later on that year. Other Muslim ethnic groups who have long inhabited Tibet include Hui, Salar, Dongxiang and Bonan. There is also a well established Chinese Muslim community (gya kachee), which traces its ancestry back to the Hui ethnic group of China. Tibetan art Tibetan representations of art are intrinsically bound with Tibetan Buddhism and commonly depict deities or variations of Buddha in various forms from bronze Buddhist statues and shrines, to highly colorful thangka paintings and mandalas. Thangkas are Tibet's traditional cloth paintings. Rendered on cotton cloth with a thin rod at the top, they portray Buddhist deities or themes in color and detail. Architecture Tibetan architecture contains Chinese and Indian influences, and reflects a deeply Buddhist approach. The Buddhist wheel, along with two dragons, can be seen on nearly every Gompa in Tibet. The design of the Tibetan Chörtens can vary, from roundish walls in Kham to squarish, four-sided walls in Ladakh. The most distinctive feature of Tibetan architecture is that many of the houses and monasteries are built on elevated, sunny sites facing the south, and are often made out of a mixture of rocks, wood, cement and earth. Little fuel is available for heat or lighting, so flat roofs are built to conserve heat,
a serious defeat on the Tibetans. In 747, the hold of Tibet was loosened by the campaign of general Gao Xianzhi, who tried to re-open the direct communications between Central Asia and Kashmir. By 750, the Tibetans had lost almost all of their central Asian possessions to the Chinese. However, after Gao Xianzhi's defeat by the Arabs and Qarluqs at the Battle of Talas (751) and the subsequent civil war known as the An Lushan Rebellion (755), Chinese influence decreased rapidly and Tibetan influence resumed. At its height in the 780s to 790s, the Tibetan Empire reached its highest glory when it ruled and controlled a territory stretching from modern day Afghanistan, Bangladesh, Bhutan, Burma, China, India, Nepal, Pakistan, Kazakhstan, Kyrgyzstan, Tajikistan. In 821/822CE, Tibet and China signed a peace treaty. A bilingual account of this treaty, including details of the borders between the two countries, is inscribed on a stone pillar which stands outside the Jokhang temple in Lhasa. Tibet continued as a Central Asian empire until the mid-9th century, when a civil war over succession led to the collapse of imperial Tibet. The period that followed is known traditionally as the Era of Fragmentation, when political control over Tibet became divided between regional warlords and tribes with no dominant centralized authority. An Islamic invasion from Bengal took place in 1206. Yuan dynasty The Mongol Yuan dynasty, through the Bureau of Buddhist and Tibetan Affairs, or Xuanzheng Yuan, ruled Tibet through a top-level administrative department. One of the department's purposes was to select a dpon-chen ("great administrator"), usually appointed by the lama and confirmed by the Mongol emperor in Beijing. The Sakya lama retained a degree of autonomy, acting as the political authority of the region, while the dpon-chen held administrative and military power. Mongol rule of Tibet remained separate from the main provinces of China, but the region existed under the administration of the Yuan dynasty. If the Sakya lama ever came into conflict with the dpon-chen, the dpon-chen had the authority to send Chinese troops into the region. Tibet retained nominal power over religious and regional political affairs, while the Mongols managed a structural and administrative rule over the region, reinforced by the rare military intervention. This existed as a "diarchic structure" under the Yuan emperor, with power primarily in favor of the Mongols. Mongolian prince Khuden gained temporal power in Tibet in the 1240s and sponsored Sakya Pandita, whose seat became the capital of Tibet. Drogön Chögyal Phagpa, Sakya Pandita's nephew became Imperial Preceptor of Kublai Khan, founder of the Yuan dynasty. Yuan control over the region ended with the Ming overthrow of the Yuan and Tai Situ Changchub Gyaltsen's revolt against the Mongols. Following the uprising, Tai Situ Changchub Gyaltsen founded the Phagmodrupa Dynasty, and sought to reduce Yuan influences over Tibetan culture and politics. Phagmodrupa, Rinpungpa and Tsangpa Dynasties Between 1346 and 1354, Tai Situ Changchub Gyaltsen toppled the Sakya and founded the Phagmodrupa Dynasty. The following 80 years saw the founding of the Gelug school (also known as Yellow Hats) by the disciples of Je Tsongkhapa, and the founding of the important Ganden, Drepung and Sera monasteries near Lhasa. However, internal strife within the dynasty and the strong localism of the various fiefs and political-religious factions led to a long series of internal conflicts. The minister family Rinpungpa, based in Tsang (West Central Tibet), dominated politics after 1435. In 1565 they were overthrown by the Tsangpa Dynasty of Shigatse which expanded its power in different directions of Tibet in the following decades and favoured the Karma Kagyu sect. Rise of Ganden Phodrang In 1578, Altan Khan of the Tümed Mongols gave Sonam Gyatso, a high lama of the Gelugpa school, the name Dalai Lama, Dalai being the Mongolian translation of the Tibetan name Gyatso "Ocean". Unified heartland under Buddhist Gelug school The 5th Dalai Lama (1617-1682) is known for unifying the Tibetan heartland under the control of the Gelug school of Tibetan Buddhism, after defeating the rival Kagyu and Jonang sects and the secular ruler, the Tsangpa prince, in a prolonged civil war. His efforts were successful in part because of aid from Güshi Khan, the Oirat leader of the Khoshut Khanate. With Güshi Khan as a largely uninvolved overlord, the 5th Dalai Lama and his intimates established a civil administration which is referred to by historians as the Lhasa state. This Tibetan regime or government is also referred to as the Ganden Phodrang. Qing dynasty Qing dynasty rule in Tibet began with their 1720 expedition to the country when they expelled the invading Dzungars. Amdo came under Qing control in 1724, and eastern Kham was incorporated into neighbouring Chinese provinces in 1728. Meanwhile, the Qing government sent resident commissioners called Ambans to Lhasa. In 1750, the Ambans and the majority of the Han Chinese and Manchus living in Lhasa were killed in a riot, and Qing troops arrived quickly and suppressed the rebels in the next year. Like the preceding Yuan dynasty, the Manchus of the Qing dynasty exerted military and administrative control of the region, while granting it a degree of political autonomy. The Qing commander publicly executed a number of supporters of the rebels and, as in 1723 and 1728, made changes in the political structure and drew up a formal organization plan. The Qing now restored the Dalai Lama as ruler, leading the governing council called Kashag, but elevated the role of Ambans to include more direct involvement in Tibetan internal affairs. At the same time, the Qing took steps to counterbalance the power of the aristocracy by adding officials recruited from the clergy to key posts. For several decades, peace reigned in Tibet, but in 1792, the Qing Qianlong Emperor sent a large Chinese army into Tibet to push the invading Nepalese out. This prompted yet another Qing reorganization of the Tibetan government, this time through a written plan called the "Twenty-Nine Regulations for Better Government in Tibet". Qing military garrisons staffed with Qing troops were now also established near the Nepalese border. Tibet was dominated by the Manchus in various stages in the 18th century, and the years immediately following the 1792 regulations were the peak of the Qing imperial commissioners' authority; but there was no attempt to make Tibet a Chinese province. In 1834, the Sikh Empire invaded and annexed Ladakh, a culturally Tibetan region that was an independent kingdom at the time. Seven years later, a Sikh army led by General Zorawar Singh invaded western Tibet from Ladakh, starting the Sino-Sikh War. A Qing-Tibetan army repelled the invaders but was in turn defeated when it chased the Sikhs into Ladakh. The war ended with the signing of the Treaty of Chushul between the Chinese and Sikh empires. As the Qing dynasty weakened, its authority over Tibet also gradually declined, and by the mid-19th century, its influence was minuscule. Qing authority over Tibet had become more symbolic than real by the late 19th century, although in the 1860s, the Tibetans still chose for reasons of their own to emphasize the empire's symbolic authority and make it seem substantial. In 1774, a Scottish nobleman, George Bogle, travelled to Shigatse to investigate prospects of trade for the East India Company. His efforts, while largely unsuccessful, established permanent contact between Tibet and the Western world. However, in the 19th century, tensions between foreign powers and Tibet increased. The British Empire was expanding its territories in India into the Himalayas, while the Emirate of Afghanistan and the Russian Empire were both doing likewise in Central Asia. In 1904, a British expedition to Tibet, spurred in part by a fear that Russia was extending its power into Tibet as part of the Great Game, was launched. Although the expedition initially set out with the stated purpose of resolving border disputes between Tibet and Sikkim, it quickly turned into a military invasion. The British expeditionary force, consisting of mostly Indian troops, quickly invaded and captured Lhasa, with the Dalai Lama fleeing to the countryside. Afterwards, the leader of the expedition, Sir Francis Younghusband, negotiated the Convention Between Great Britain and Tibet with the Tibetans, which guaranteed the British great economic influence but ensured the region remained under Chinese control. The Qing imperial resident, known as the Amban, publicly repudiated the treaty, while the British government, eager for friendly relations with China, negotiated a new treaty two years later known as the Convention Between Great Britain and China Respecting Tibet. The British agreed not to annex or interfere in Tibet in return for an indemnity from the Chinese government, while China agreed not to permit any other foreign state to interfere with the territory or internal administration of Tibet. In 1910, the Qing government sent a military expedition of its own under Zhao Erfeng to establish direct Manchu-Chinese rule and, in an imperial edict, deposed the Dalai Lama, who fled to British India. Zhao Erfeng defeated the Tibetan military conclusively and expelled the Dalai Lama's forces from the province. His actions were unpopular, and there was much animosity against him for his mistreatment of civilians and disregard for local culture. Post-Qing period After the Xinhai Revolution (1911–12) toppled the Qing dynasty and the last Qing troops were escorted out of Tibet, the new Republic of China apologized for the actions of the Qing and offered to restore the Dalai Lama's title. The Dalai Lama refused any Chinese title and declared himself ruler of an independent Tibet. In 1913, Tibet and Mongolia concluded a treaty of mutual recognition. For the next 36 years, the 13th Dalai Lama and the regents who succeeded him governed Tibet. During this time, Tibet fought Chinese warlords for control of the ethnically Tibetan areas in Xikang and Qinghai (parts of Kham and Amdo) along the upper reaches of the Yangtze River. In 1914, the Tibetan government signed the Simla Accord with Britain, ceding the South Tibet region to British India. The Chinese government denounced the agreement as illegal. When in the 1930s and 1940s the regents displayed negligence in affairs, the Kuomintang Government of the Republic of China took advantage of this to expand its reach into the territory. From 1950 to present Emerging with control over most of mainland China after the Chinese Civil War, the People's Republic of China annexed Tibet in 1950 and negotiated the Seventeen Point Agreement with the newly enthroned 14th Dalai Lama's government, affirming the People's Republic of China's sovereignty but granting the area autonomy. Subsequently, on his journey into exile, the 14th Dalai Lama completely repudiated the agreement, which he has repeated on many occasions. According to the CIA, the Chinese used the Dalai Lama to gain control of the military's training and actions. The Dalai Lama had a strong following as many people from Tibet looked at him not just as their political leader, but as their spiritual leader. After the Dalai Lama's government fled to Dharamsala, India, during the 1959 Tibetan Rebellion, it established a rival government-in-exile. Afterwards, the Central People's Government in Beijing renounced the agreement and began implementation of the halted social and political reforms. During the Great Leap Forward, between 200,000 and 1,000,000 Tibetans may have died and approximately 6,000 monasteries were destroyed during the Cultural Revolution—destroying the vast majority of historic Tibetan architecture. In 1962, China and India fought a brief war over the disputed Arunachal Pradesh/South Tibet and Aksai Chin regions. Although China won the war, Chinese troops withdrew north of the McMahon Line, effectively ceding Arunachal Pradesh to India. In 1980, General Secretary and reformist Hu Yaobang visited Tibet and ushered in a period of social, political, and economic liberalization. At the end of the decade, however, before the Tiananmen Square protests of 1989, monks in the Drepung and Sera monasteries started protesting for independence. The government halted reforms and started an anti-separatist campaign. Human rights organisations have been critical of the Beijing and Lhasa governments' approach to human rights in the region when cracking down on separatist convulsions that have occurred around monasteries and cities, most recently in the 2008 Tibetan unrest. Geography All of modern China, including Tibet, is considered a part of East Asia. Historically, some European sources also considered parts of Tibet to lie in Central Asia. Tibet is west of the Central China plain. In China, Tibet is regarded as part of (), a term usually translated by Chinese media as "the Western section", meaning "Western China". Mountains and rivers Tibet has some of the world's tallest mountains, with several of them making the top ten list. Mount Everest, located on the border with Nepal, is, at , the highest mountain on earth. Several major rivers have their source in the Tibetan Plateau (mostly in present-day Qinghai Province). These include the Yangtze, Yellow River, Indus River, Mekong, Ganges, Salween and the Yarlung Tsangpo River (Brahmaputra River). The Yarlung Tsangpo Grand Canyon, along the Yarlung Tsangpo River, is among the deepest and longest canyons in the world. Tibet has been called the "Water Tower" of Asia, and China is investing heavily in water projects in Tibet. The Indus and Brahmaputra rivers originate from the vicinities of Lake Mapam Yumco in Western Tibet, near Mount Kailash. The mountain is a holy pilgrimage site for both Hindus and Tibetans. The Hindus consider the mountain to be the abode of Lord Shiva. The Tibetan name for Mount Kailash is Khang Rinpoche. Tibet has numerous high-altitude lakes referred to in Tibetan as tso or co. These include Qinghai Lake, Lake Manasarovar, Namtso, Pangong Tso, Yamdrok Lake, Siling Co, Lhamo La-tso, Lumajangdong Co, Lake Puma Yumco, Lake Paiku, Como Chamling, Lake Rakshastal, Dagze Co and Dong Co. The Qinghai Lake (Koko Nor) is the largest lake in the People's Republic of China. Climate The climate is severely dry nine months of the year, and average annual snowfall is only , due to the rain shadow effect. Western passes receive small amounts of fresh snow each year but remain traversible all year round. Low temperatures are prevalent throughout these western regions, where bleak desolation is unrelieved by any vegetation bigger than a low bush, and where the wind sweeps unchecked across vast expanses of arid plain. The Indian monsoon exerts some influence on eastern Tibet. Northern Tibet is subject to high temperatures in the summer and intense cold in the winter. Regions Cultural Tibet consists of several regions. These include Amdo (A mdo) in the northeast, which is administratively part of the provinces of Qinghai, Gansu, and Sichuan. Kham (Khams) in the southeast encompasses parts of western Sichuan, northern Yunnan, southern Qinghai, and the eastern part of the Tibet Autonomous Region. Ü-Tsang (dBus gTsang) (Ü in the center, Tsang in the center-west, and Ngari (mNga' ris) in the far west) covered the central and western portion of Tibet Autonomous Region. Tibetan cultural influences extend to the neighboring states of Bhutan, Nepal, regions of India such as Sikkim, Ladakh, Lahaul, and Spiti, Northern Pakistan Baltistan or Balti-yul in addition to designated Tibetan autonomous areas in adjacent Chinese provinces. Cities, towns and villages There are over 800 settlements in Tibet. Lhasa is Tibet's traditional capital and the capital of Tibet Autonomous Region. It contains two world heritage sites – the Potala Palace and Norbulingka, which were the residences of the Dalai Lama. Lhasa contains a number of significant temples and monasteries, including Jokhang and Ramoche Temple. Shigatse is the second largest city in the Tibet AR, west of Lhasa. Gyantse and Qamdo are also amongst the largest. Other cities and towns in cultural Tibet include Shiquanhe (Gar), Nagchu, Bamda, Rutog, Nyingchi, Nedong, Coqên, Barkam, Sagya, Gertse, Pelbar, Lhatse, and Tingri; in Sichuan, Kangding (Dartsedo); in Qinghai, Jyekundo (Yushu), Machen, and Golmud; in India, Tawang, Leh, and Gangtok, and in Pakistan, Skardu, Kharmang, and Khaplu. Wildlife Sus scrofa expanded from its origin in southeast Asia into the Plateau, acquiring and fixing adaptive alleles for the high-altitude environment. The forests of Tibet are home to black bears, red pandas, musk deer, barking deer, and squirrels. Monkeys such as rhesus macaques and langurs live in the warmer forest zones. Tibetan antelopes, gazelles, and kiangs gaze on the grasslands of the Tibetan plateau. There are more than 500 bird species in Tibet. Because of the high altitude and harsh climate, there are few insects in Tibet. Snow leopards are hunted for their fur and the eggs of black-necked cranes have been collected as a delicacy food. Government The central region of Tibet is an autonomous region within China, the Tibet Autonomous Region. The Tibet Autonomous Region is a province-level entity of the People's Republic of China. It is governed by a People's Government, led by a Chairman. In practice, however, the Chairman is subordinate to the branch secretary of the Chinese Communist Party (CCP). As a matter of convention, the Chairman has almost always been an ethnic Tibetan, while the party secretary has always been ethnically non-Tibetan. Economy The Tibetan economy is dominated by subsistence agriculture. Due to limited arable land, the primary occupation of the Tibetan Plateau is raising livestock, such as sheep, cattle, goats, camels, yaks, dzo, and horses. The main crops grown are barley, wheat, buckwheat, rye, potatoes, and assorted fruits and vegetables. Tibet is ranked the lowest among China's 31 provinces on the Human Development Index according to UN Development Programme data. In recent years, due to increased interest in Tibetan Buddhism, tourism has become an increasingly important sector, and is actively promoted by the authorities. Tourism brings in the most income from the sale of handicrafts. These include Tibetan hats, jewelry (silver and gold), wooden items, clothing, quilts, fabrics, Tibetan rugs and carpets. The Central People's Government exempts Tibet from all taxation and provides 90% of Tibet's government expenditures. However most of this investment goes to pay migrant workers who do not settle in Tibet and send much of their income home to other provinces. Forty percent of the rural cash income in the Tibet Autonomous Region is derived from the harvesting of the fungus Ophiocordyceps sinensis (formerly Cordyceps sinensis); contributing at least 1.8 billion yuan, (US$225 million) to the region's GDP. The Qingzang railway linking the Tibet Autonomous Region to Qinghai Province was opened in 2006, but it was controversial. In January 2007, the Chinese government issued a report outlining the discovery of a large mineral deposit under the Tibetan Plateau. The deposit has an estimated value of $128 billion and may double Chinese reserves of zinc, copper, and lead. The Chinese government sees this as a way to alleviate the nation's dependence on foreign mineral imports for its growing economy. However, critics worry that mining these vast resources will harm Tibet's fragile ecosystem and undermine Tibetan culture. On January 15, 2009, China announced the construction of Tibet's first expressway, the Lhasa Airport Expressway, a stretch of controlled-access highway in southwestern Lhasa. The project will cost 1.55 billion yuan (US$227 million). From January 18–20, 2010, a national conference on Tibet and areas inhabited by Tibetans in Sichuan, Yunnan, Gansu and Qinghai was held in China and a plan to improve development of the areas was announced. The conference was attended by General secretary Hu Jintao, Wu Bangguo, Wen Jiabao, Jia Qinglin, Li Changchun, Xi Jinping, Li Keqiang, He Guoqiang and Zhou Yongkang, all members of Politburo Standing Committee of the Chinese Communist Party. The plan called for improvement of rural Tibetan income to national standards by 2020 and free education for all rural Tibetan children. China has invested 310 billion yuan (about 45.6 billion U.S. dollars) in Tibet since 2001. Development zone The State Council approved Tibet Lhasa Economic and Technological Development Zone as a state-level development zone in 2001. It is located in the western suburbs of Lhasa, the capital of the Tibet Autonomous Region. It is away from the Gonggar Airport, and away from Lhasa Railway Station and away from 318 national highway. The zone has a planned area of and is divided into two zones. Zone A developed a land area of for construction purposes. It is a flat zone, and has the natural conditions for good drainage. Demographics Historically, the population of Tibet consisted of primarily ethnic Tibetans and some other ethnic groups. According to tradition the original ancestors of the Tibetan people, as represented by the six red bands in the Tibetan flag, are: the Se, Mu, Dong, Tong, Dru and Ra. Other traditional ethnic groups with significant population or with the majority of the ethnic group residing in Tibet (excluding a disputed area with India) include Bai people, Blang, Bonan, Dongxiang, Han, Hui people, Lhoba, Lisu people, Miao, Mongols, Monguor (Tu people), Menba (Monpa), Mosuo, Nakhi, Qiang, Nu people, Pumi, Salar, and Yi people. The proportion of the non-Tibetan population in Tibet is disputed. On the one hand, the Central Tibetan Administration of the Dalai Lama accuses China of actively swamping Tibet with migrants in order to alter Tibet's demographic makeup. On the other hand, according to the 2010 Chinese census ethnic Tibetans comprise 90% of a total population of 3 million in the Tibet Autonomous Region. Culture Religion Buddhism Religion is extremely important to the Tibetans and has a strong influence over all aspects of their lives. Bön is the indigenous religion of Tibet, but has been almost eclipsed by Tibetan Buddhism, a distinctive form of Mahayana and Vajrayana, which was introduced into Tibet from the Sanskrit Buddhist tradition of northern India. Tibetan Buddhism is practiced not only in Tibet but also in Mongolia, parts of northern India, the Buryat Republic, the Tuva Republic, and in the Republic of Kalmykia and some other parts of China. During China's Cultural Revolution, nearly all Tibet's monasteries were ransacked and destroyed by the Red Guards. A few monasteries have begun to rebuild since the 1980s (with limited support from the Chinese government) and greater religious freedom has been granted – although it is still limited. Monks returned to monasteries across Tibet and monastic education resumed even though the number of monks imposed is strictly limited. Before the 1950s, between 10 and 20% of males in Tibet were monks. Tibetan Buddhism has five main traditions (the suffix pa is comparable to "er" in English): Gelug(pa), Way of Virtue, also known casually as Yellow Hat, whose spiritual head is the Ganden Tripa and whose temporal head is the
Society; their respective teams began an annual get-together which endured from the early 1960s until the mid-1980s. Allen's adventures continued in his own title until the event of Crisis on Infinite Earths. The Flash ended as a series with issue #350. Allen's life had become considerably confused in the early 1980s, and DC elected to end his adventures and pass the mantle on to another character. Allen died heroically in Crisis on Infinite Earths #8 (1985). Thanks to his ability to travel through time, he would continue to appear occasionally in the years to come. Modern Age The third Flash was Wally West, introduced in The Flash #110 (December 1959) as Kid Flash. West, Allen's nephew by marriage, gained the Flash's powers through an accident identical to Allen's. Adopting the identity of Kid Flash, he maintained membership in the Teen Titans for years. Following Allen's death, West adopted the Flash identity in Crisis on Infinite Earths #12 and was given his own series, beginning with The Flash (vol. 2) #1 in 1987. Many issues began with the catchphrase: "My name is Wally West. I'm the fastest man alive." Due to the Infinite Crisis miniseries and the "One Year Later" jump in time in the DC Universe, DC canceled The Flash (vol. 2) in January 2006 at #230. A new series, The Flash: The Fastest Man Alive, began on June 21, 2006. The initial story arc of this series, written by Danny Bilson and Paul De Meo with art by Ken Lashley, focused on Bart Allen's acceptance of the role of the Flash. Flash: Fastest Man Alive was canceled with issue #13. In its place The Flash (vol. 2) was revived with issue #231, with Mark Waid as the initial writer. Waid also wrote All-Flash #1, which acted as the bridge between the two series. DC had solicited Flash: Fastest Man Alive through issue #15. All Flash #1 replaced issue #14 and The Flash (vol. 2) #231 replaced issue #15 in title and interior creative team only. The covers and cover artists were as solicited by DC, and the information text released was devoid of any plot information. In 2009, Barry Allen made a full-fledged return to the DCU-proper in The Flash: Rebirth, a six-issue miniseries by Geoff Johns and Ethan Van Sciver. Fictional character biographies While several other individuals have used the name Flash, these have either on parallel worlds or in the future. Jay Garrick, Barry Allen, and Wally West are the best-known exemplars of the identity. The signature wingdings are never absent. Jay Garrick Jay Garrick was a college student in 1938 who accidentally inhaled heavy water vapors after taking a smoke break inside his laboratory where he had been working. As a result, he found that he could run at superhuman speed and had similarly fast reflexes. After a brief career as a college football star, he donned a red shirt with a lightning bolt and a stylized metal helmet with wings (based on images of the Greek deity Hermes), and began to fight crime as the Flash. His first case involved battling the "Faultless Four", a group of blackmailers. Garrick kept his identity secret for years without a mask by continually vibrating his body while in public so that any photograph of his face would be blurred. Although originally from Earth-Two, he was incorporated into the history of New Earth following the Crisis on Infinite Earths and is still active as the Flash operating out of Keystone City. He is a member of the Justice Society. Barry Allen Barry Allen is an assistant scientist from the Criminal and Forensic Science Division of Central City Police Department. Barry had a reputation for being very slow, deliberate, and frequently late, which frustrated his fiancée, Iris West. One night, as he was preparing to leave work, a freak lightning bolt struck a nearby shelf in his lab and doused him with a cocktail of unnamed chemicals. As a result, Barry found that he could run extremely fast and had matching reflexes. He donned a set of red tights sporting a lightning bolt (reminiscent of the original Fawcett Comics Captain Marvel), dubbed himself the Flash (after his childhood hero, Jay Garrick), and became a crimefighter active in Central City. In his civilian identity, he stores the costume compressed in a special ring via the use of a special gas that could compress cloth fibers to a very small fraction of their normal size. Barry sacrificed his life for the universe in the 1985 maxi-series Crisis on Infinite Earths, and remained dead for over twenty years after that story's publication. With the 2008 series Final Crisis, Barry returned to the DC Universe and returned to full prominence as the Flash in the 2009 series The Flash: Rebirth, which was soon after followed by a new volume of The Flash ongoing series, where Barry's adventures as the Scarlet Speedster were published until 2020. Wally West Wallace Rudolph "Wally" West is the nephew of both Iris West and Barry Allen, by marriage, and was introduced in The Flash #110 (1959). When West was about ten years old, he was visiting his uncle's police laboratory, and the freak accident that gave Allen his powers repeated itself, bathing West in electrically charged chemicals. Now possessing the same powers as his uncle, West donned a copy of his uncle's outfit and became the young, crime fighter, Kid Flash. After the events of Crisis on Infinite Earths where Barry Allen was killed, Wally took over as the fastest man alive. Following the events of Infinite Crisis, Wally, his wife Linda, and their twins left Earth for an unknown dimension. Wally, his wife and twins were pulled back from the Speed Force by the Legion of Super-Heroes at the conclusion of The Lightning Saga. This set the stage for Wally West's return as the Flash after the events of The Flash: Fastest Man Alive #13 (see Bart Allen), in All Flash #1, and with The Flash (vol. 2) series, which resumed with issue #231 in August 2007. It subsequently ends with issue #247, and West, along with all the other Flash characters, play a large role in 2009's The Flash: Rebirth. He briefly appears in the Blackest Night story arc but shortly after the New 52 was launched and the character was nowhere to be seen. He is back as the Flash in DC Rebirth with a new red and silver costume, and joined the Titans. After a series of events, Wally is restored as the central character of The Flash series, becoming the primary Scarlet Speedster again since The Flash #771 (2021), where Wally's adventures as the Fastest Man Alive are currently published, and returned to his main red and gold Flash costume. Bart Allen Bartholomew Henry "Bart" Allen II is the grandson of Barry Allen and his wife Iris. Bart suffered from accelerated aging and, as a result, was raised in a virtual reality machine until Iris took him back in time to get help from the then-current Flash, Wally West. With Wally's help, Bart's aging slowed, and he took the name Impulse. After he was shot in the knee by Deathstroke, Bart changed both his attitude and his costume, taking the mantle of Kid Flash. During the events of Infinite Crisis, the Speed Force vanished, taking with it all the speedsters save Jay Garrick. Bart returned, four years older, and for a year claimed that he was depowered from the event. However, the Speed Force had not disappeared completely, but had been absorbed into Bart's body; essentially, he now contained all of the Speed Force. Bart's costume as the Flash was a clone of his grandfather's, similarly stylized to Wally West's. Not long after taking the mantle of the Flash, Bart was killed by the Rogues in the thirteenth (and final) issue of The Flash: The Fastest Man Alive. However, he was later resurrected in the 31st century in Final Crisis: Legion of 3 Worlds #3 by Brainiac 5 to combat Superboy-Prime and the Legion of Super-Villains. Bart returned to the past and played a large role in The Flash: Rebirth. Avery Ho Avery Ho is a Chinese-American woman, who while living in Central City, was caught in a speed-force. This resulted in Avery gaining a connection to the speed-force and super-speed powers. <ref>The Flash' (Vol. 5) #3</ref> After gaining control of her new powers, Avery joined the Justice League of China as The Flash. After Barry Allen went missing, Avery was recruited to take his place on in multi-dimensional team Justice League Incarnate. Others to carry the mantle of the Flash Jesse Chambers Daughter of the speedster Johnny Quick, Jesse Chambers becomes a speeding superhero like her father. She later meets Wally West, the Flash, who asks her to be his replacement if something were to happen to him (as part of an elaborate plan on his part, trying to force Bart Allen to take his role in the legacy of the Flash more seriously). She briefly assumes the mantle of the Flash, after Wally enters the Speed Force. John Fox John Fox was a historian for the National Academy of Science in Central City in the 27th Century. He was sent back in time to get the help of one or more of the three Flashes (Garrick, Allen, West), in order to defeat the radioactive villain Mota back in Fox's own time period. (Each Flash had individually fought Mota over the course of several years in the 20th century.) Fox's mission was a failure, but during his return trip, the tachyon radiation that sent him through the time stream gave him superspeed. He defeated Mota as a new iteration of the Flash and operated as his century's Flash for a time. Shortly after, he moved to the 853rd century and joined "Justice Legion A" (also known as Justice Legion Alpha) as seen in the DC One Million series of books. The name "John Fox" is combined from the names of seminal comic book writers John Broome, who co-created the Barry Allen and Wally West Flashes, and Gardner Fox, who co-created the Jay Garrick Flash. Unnamed Allen of the 23rd century The father of Sela Allen, his wife and daughter were captured by Cobalt Blue. He is forced to watch his wife die and his daughter become crippled. As he and Max Mercury kill Cobalt Blue, a child takes Cobalt Blue's power gem and kills Allen. This Flash is one of the two destined Flashes to be killed by Cobalt Blue. Sela Allen Sela Allen is an ordinary human in the 23rd century until Cobalt Blue steals electrical impulses away from her, causing her to become as slow to the world as the world is to the Flash. Hoping to restore her, her father takes her into the Speed Force. When her father is killed, she appears as a living manifestation of the Speed Force, able to lend speed to various people and objects, but unable to physically interact with the world. Blaine Allen Blaine Allen and his son live on the colony world of Petrus in the 28th century. In an attempt to end the Allen blood line, Cobalt Blue injects Allen's son Jace with a virus. Lacking super speed, Jace was unable to shake off the virus. In despair, Blaine takes his son to the Speed Force in the
that he could run extremely fast and had matching reflexes. He donned a set of red tights sporting a lightning bolt (reminiscent of the original Fawcett Comics Captain Marvel), dubbed himself the Flash (after his childhood hero, Jay Garrick), and became a crimefighter active in Central City. In his civilian identity, he stores the costume compressed in a special ring via the use of a special gas that could compress cloth fibers to a very small fraction of their normal size. Barry sacrificed his life for the universe in the 1985 maxi-series Crisis on Infinite Earths, and remained dead for over twenty years after that story's publication. With the 2008 series Final Crisis, Barry returned to the DC Universe and returned to full prominence as the Flash in the 2009 series The Flash: Rebirth, which was soon after followed by a new volume of The Flash ongoing series, where Barry's adventures as the Scarlet Speedster were published until 2020. Wally West Wallace Rudolph "Wally" West is the nephew of both Iris West and Barry Allen, by marriage, and was introduced in The Flash #110 (1959). When West was about ten years old, he was visiting his uncle's police laboratory, and the freak accident that gave Allen his powers repeated itself, bathing West in electrically charged chemicals. Now possessing the same powers as his uncle, West donned a copy of his uncle's outfit and became the young, crime fighter, Kid Flash. After the events of Crisis on Infinite Earths where Barry Allen was killed, Wally took over as the fastest man alive. Following the events of Infinite Crisis, Wally, his wife Linda, and their twins left Earth for an unknown dimension. Wally, his wife and twins were pulled back from the Speed Force by the Legion of Super-Heroes at the conclusion of The Lightning Saga. This set the stage for Wally West's return as the Flash after the events of The Flash: Fastest Man Alive #13 (see Bart Allen), in All Flash #1, and with The Flash (vol. 2) series, which resumed with issue #231 in August 2007. It subsequently ends with issue #247, and West, along with all the other Flash characters, play a large role in 2009's The Flash: Rebirth. He briefly appears in the Blackest Night story arc but shortly after the New 52 was launched and the character was nowhere to be seen. He is back as the Flash in DC Rebirth with a new red and silver costume, and joined the Titans. After a series of events, Wally is restored as the central character of The Flash series, becoming the primary Scarlet Speedster again since The Flash #771 (2021), where Wally's adventures as the Fastest Man Alive are currently published, and returned to his main red and gold Flash costume. Bart Allen Bartholomew Henry "Bart" Allen II is the grandson of Barry Allen and his wife Iris. Bart suffered from accelerated aging and, as a result, was raised in a virtual reality machine until Iris took him back in time to get help from the then-current Flash, Wally West. With Wally's help, Bart's aging slowed, and he took the name Impulse. After he was shot in the knee by Deathstroke, Bart changed both his attitude and his costume, taking the mantle of Kid Flash. During the events of Infinite Crisis, the Speed Force vanished, taking with it all the speedsters save Jay Garrick. Bart returned, four years older, and for a year claimed that he was depowered from the event. However, the Speed Force had not disappeared completely, but had been absorbed into Bart's body; essentially, he now contained all of the Speed Force. Bart's costume as the Flash was a clone of his grandfather's, similarly stylized to Wally West's. Not long after taking the mantle of the Flash, Bart was killed by the Rogues in the thirteenth (and final) issue of The Flash: The Fastest Man Alive. However, he was later resurrected in the 31st century in Final Crisis: Legion of 3 Worlds #3 by Brainiac 5 to combat Superboy-Prime and the Legion of Super-Villains. Bart returned to the past and played a large role in The Flash: Rebirth. Avery Ho Avery Ho is a Chinese-American woman, who while living in Central City, was caught in a speed-force. This resulted in Avery gaining a connection to the speed-force and super-speed powers. <ref>The Flash' (Vol. 5) #3</ref> After gaining control of her new powers, Avery joined the Justice League of China as The Flash. After Barry Allen went missing, Avery was recruited to take his place on in multi-dimensional team Justice League Incarnate. Others to carry the mantle of the Flash Jesse Chambers Daughter of the speedster Johnny Quick, Jesse Chambers becomes a speeding superhero like her father. She later meets Wally West, the Flash, who asks her to be his replacement if something were to happen to him (as part of an elaborate plan on his part, trying to force Bart Allen to take his role in the legacy of the Flash more seriously). She briefly assumes the mantle of the Flash, after Wally enters the Speed Force. John Fox John Fox was a historian for the National Academy of Science in Central City in the 27th Century. He was sent back in time to get the help of one or more of the three Flashes (Garrick, Allen, West), in order to defeat the radioactive villain Mota back in Fox's own time period. (Each Flash had individually fought Mota over the course of several years in the 20th century.) Fox's mission was a failure, but during his return trip, the tachyon radiation that sent him through the time stream gave him superspeed. He defeated Mota as a new iteration of the Flash and operated as his century's Flash for a time. Shortly after, he moved to the 853rd century and joined "Justice Legion A" (also known as Justice Legion Alpha) as seen in the DC One Million series of books. The name "John Fox" is combined from the names of seminal comic book writers John Broome, who co-created the Barry Allen and Wally West Flashes, and Gardner Fox, who co-created the Jay Garrick Flash. Unnamed Allen of the 23rd century The father of Sela Allen, his wife and daughter were captured by Cobalt Blue. He is forced to watch his wife die and his daughter become crippled. As he and Max Mercury kill Cobalt Blue, a child takes Cobalt Blue's power gem and kills Allen. This Flash is one of the two destined Flashes to be killed by Cobalt Blue. Sela Allen Sela Allen is an ordinary human in the 23rd century until Cobalt Blue steals electrical impulses away from her, causing her to become as slow to the world as the world is to the Flash. Hoping to restore her, her father takes her into the Speed Force. When her father is killed, she appears as a living manifestation of the Speed Force, able to lend speed to various people and objects, but unable to physically interact with the world. Blaine Allen Blaine Allen and his son live on the colony world of Petrus in the 28th century. In an attempt to end the Allen blood line, Cobalt Blue injects Allen's son Jace with a virus. Lacking super speed, Jace was unable to shake off the virus. In despair, Blaine takes his son to the Speed Force in the hopes that it would accept him. It takes Blaine instead and grants super speed to Jace so that he can shake off the sickness. Jace Allen Jace Allen gains super speed when his father brings him into the Speed Force to attempt to cure him of a virus injected into his body by Cobalt Blue in an attempt to end the Allen bloodline. In memory of his father, Jace assumes the mantle of the Flash and continues the feud against Cobalt Blue. Kryiad After an alien creature invades Earth, a history buff named Kriyad travels back in time from the 98th century to acquire a Green Lantern power ring. He fails, so he tries to capture the Flash's speed instead. After being beaten by Barry Allen (The Flash #309, May 1982), he travels back further in time and uses the chemicals from the clothes Barry Allen was wearing when he gained his powers to give himself super speed. Kryiad later sacrifices his life to defeat the alien creature. Bizarro Flash Bizarro-Flash was created when Bizarro cloned Flash. He had a costume the reverse colors of Flash's, however he had a mallet symbol because Flash was holding one when he was cloned. The modern version of Bizarro Flash has the symbol of a thunderbolt-shaped mustard stain. He has the powers of the Flash but he is completely intangible. Powers and abilities All incarnations of the Flash can move, think, and react at light speeds as well as having superhuman endurance that allows them to run incredible distances. Some, notably later versions, can vibrate so fast that they can pass through walls in a process called quantum tunneling, travel through time and can also lend and borrow speed. Speedsters can also heal more rapidly than an average human. In addition, most incarnations have an invisible aura around their respective bodies that protects them from air friction and the kinetic effects of their powers. On several occasions, the Flash has raced against Superman, either to determine who is faster or as part of a mutual effort to thwart some type of threat; these races, however, often resulted in ties because of outside circumstances. Writer Jim Shooter and artist Curt Swan crafted the story "Superman's Race With the Flash!" in Superman #199 (Aug. 1967) which featured the first race between the Flash and Superman. Writer E. Nelson Bridwell and artist Ross Andru produced "The Race to the End of the Universe", a follow-up story four months later in The Flash #175 (December 1967). However, after the DC Universe revision after Crisis on Infinite Earths, the Flash does successfully beat Superman in a race in The Adventures of Superman #463 with the explanation that Superman is not accustomed to running at high speed for extended periods of time since flying is more versatile and less strenuous, which means the far more practiced Flash has the advantage. After Final Crisis in Flash: Rebirth #3 the Flash is shown as being significantly faster than Superman, able to outrun him as Superman struggles to keep up with him. He reveals that all the close races between them before had been "for charity". In the Smallville episode "Run", Flash is not only able to run faster than a pre-Superman Clark Kent but can match Clark's top speed while running backwards. While various incarnations of the Flash have proven their ability to run at light speed, the ability to steal speed from other objects allows respective Flashes to even significantly surpass this velocity. In Flash: The Human Race Wally is shown absorbing kinetic energy to an extent enabling him to move faster than teleportation and run from the end of the universe back to earth in less than a Planck instant. Speedsters may at times use the ability to speed-read at incredible rates and in doing so, process vast amounts of information. Whatever knowledge they acquire in this manner is usually temporary. Their ability to think fast also allows them some immunity to telepathy, as their thoughts operate at a rate too rapid for telepaths such as Martian Manhunter or Gorilla Grodd to read or influence their minds. Flashes and other super-speedsters also have the ability to speak to one another at a highly accelerated rate. This is often done to have private conversations in front of non-fast people (as when Flash speaks to Superman about his ability to serve both the Titans and the JLA in The Titans #2). Speed-talking is also sometimes used for comedic effect where Flash becomes so excited that he begins talking faster and faster until his words become a jumble of noise. He also has the ability to change the vibration of his vocal cords making it so he can change how his voice sounds to others. While not having the physical strength of many of his comrades and enemies, Flash has shown to be able to use his speed to exert incredible momentum into physical attacks. In Injustice: Gods Among Us, Flash uses these kinds of attacks as many of his special moves. The Flash has also claimed that he can process thoughts in less than an attosecond. At times he is able to throw lightning created by his super speed and make speed vortices. Some flashes also have the ability to create speed avatars (i.e. duplicates) and these avatars have sometimes been sent to different timelines to complete a particular mission. (Barry Allen exhibits this ability in the live action series "The Flash"). He can also be seen negating the effects of the anti-life equation, when he freed Iris-West from its control (probably due to his connection with the speed force). It is said that Wally West has reached the velocity of 23,759,449,000,000,000,000,000,000,000,000,000,000,000,000 (about 24 tredecillion) × c (the speed of light) and he could only do this with the help of every human being on earth moving so the speed force was joined through everyone. With that speed he was able to not only run from planet to planet but different galaxies and universes at what would be considered a blink of an eye. Different Flashes In the final issue of 52, a new Multiverse is revealed, originally consisting of 52 identical realities. Among the parallel realities shown is one designated "Earth-2". As a result of Mister Mind "eating" aspects of this reality, it takes on visual aspects similar to the pre-Crisis Earth-2, including the Flash among other Justice Society of America characters. The names of the characters and the team are not mentioned in the panel in which they appear, but the Flash is visually similar to the Jay Garrick Flash. Based on comments by Grant Morrison, this alternate universe is not the pre-Crisis Earth-2. A variant of the Flash—a superfast college student named Mary Maxwell—was seen in the Elseworld book Just Imagine Stan Lee Creating The Flash. Tanaka Rei The Flash of Earth-D, Rei was a Japanese man who idolized Barry Allen, whose stories only existed in comic books on this world. Rei was inspired by Allen to become the Flash, much like Allen was inspired to become the Flash by his idol, Jay Garrick. Allen and Rei met during the "Crisis on Infinite Earths" when Barry was coming back from the 30th century and arrived in the wrong universe. As Earth-D was under attack by the shadow demons, Barry called on the Justice League and Tanaka called on the Justice Alliance, his world's version of the Justice League. They built a cosmic treadmill and were able to evacuate much of Earth-D's population. The Justice League left, but 39 seconds later, Earth-D perished. Rei made his only appearance in Legends of the DC Universe: Crisis on Infinite Earths (February 1999). The story was written by Marv Wolfman, with art by Paul Ryan (pencils) and Bob McLeod (ink). Lia Nelson The young, female Flash of the Tangent Universe is not a speedster, but instead "the first child born in space" and a being made up of and able to control light. As a side effect, she can move at the speed of light, which actually makes her faster than most of the other Post-Crisis Flashes, as only Wally West has ever survived a light-speed run without becoming trapped in the Speed Force. She recently reappeared in Justice League of America vol. 2 #16, somehow summoned out of the paper 'green lantern' of her universe—an artifact that survived the Crisis that erased the Tangent Universe from existence. Lia Nelson also appeared in Countdown: Arena battling two versions of the Flash from other Earths within the Multiverse. In the 52-Earth Multiverse, the Tangent Universe is designated Earth-9. Superman & Batman: Generations 2 In Superman & Batman: Generations 2, three different Flashes appear: Wally West as Kid Flash in 1964, Wally's cousin Carrie as Kid Flash in 1986, and Jay West, the son of Wally and his wife Magda as the fifth Flash in 2008. Barry Allen makes a cameo appearance out of costume in 1964. Green Lightning Ali Rayner-West, aka Green Lightning, is a descendant of both Kyle Rayner and Wally West. She has both a power ring and superspeed, as seen in Green Lantern: Circle of Fire. She was a living construct created by Kyle Rayner's subconscious, who later re-fused into his mind. Ame-Comi A teenage version of Jesse Chambers appears as the Flash of the Ame-Comi universe. As with most of the other characters of that Earth, she sports an Anime-inspired costume. The Crash The 1980s series Captain Carrot and His Amazing Zoo Crew! presented the parallel Earth of "Earth-C-Minus", a world populated by talking animal superheroes that paralleled the mainstream DC Universe. Earth-C-Minus was the home of the Crash, a
1730s, which survived for a century and spawned additional branches in Glasgow and Edinburgh. Honorary membership was extended to the Prince of Wales in 1783. 39 years later, while the Prince (by now King George IV) was paying a royal visit to Scotland, he bequeathed the club a snuff box filled with his mistresses' pubic hair. Hellfire Clubs in contemporary life Phoenix Society In 1781, Dashwood's nephew Joseph Alderson (an undergraduate at Brasenose College, Oxford) founded the Phoenix Society (later known as the Phoenix Common Room), but it was only in 1786 that the small gathering of friends asserted themselves as a recognised institution. The Phoenix was established in honour of Sir Francis, who died in 1781, as a symbolic rising from the ashes of Dashwood's earlier institution. To this day, the dining society abides by many of its predecessor's tenets. Its motto 'when one is torn away another succeeds' is from the sixth book of Virgil's Aeneid and refers to the practice of establishing the continuity of the society through a process of constant renewal of its graduate and undergraduate members. The Phoenix Common Room's continuous history was reported in 1954 as a matter of note to the college. In Ireland A number of Hellfire Clubs are allegedly still in existence in Ireland and are centred around universities and meet secretly. In popular culture Literature The Hellfire Club has appeared in numerous literary works: Robert Graves describes it as an "organic fraternity, alias the Society of Monks of Medmenham" in his historical novel Sergeant Lamb of the 9th. Jerome K. Jerome cites the Hellfire Club in his 1889 novel Three Men in a Boat. Ian Fleming in his 1955 novel Moonraker cites the "rare engravings of the Hell-Fire Club in which each figure is shown making a minute gesture of scatological or magical significance." Hunter S. Thompson in the 1988 collection of columns Generation of Swine. Peter Straub's 1996 novel The Hellfire Club centers around a BDSM-friendly sex and social club of the same name. In Diana Gabaldon's 1998 historical novella Lord John and the Hellfire Club. Lawrence Miles has referenced the Hellfire Club across several works. His 2002 novel The Adventuress of Henrietta Street features characters carrying on the Hellfire tradition, while the Faction Paradox audio plays, Sabbath Dei and The Year of the Cat, feature Francis Dashwood as a secondary character. Kage Baker in her 2007 short story "Hellfire at Twilight". Tom Knox in the 2009 novel The Genesis Secret. Jake Tapper in the 2018 political thriller The Hellfire Club. James Herbert in his 1995 novel, The Ghosts of Sleath, Dashwood and the Hellfire Club feature. J. D. Barker & Dacre Stoker in 2018's novel Dracul. The Hellfire Club heavily inspired the Heavenly Host in Anne Stuart's House of Rohan series. The club also inspired the Lords of Chaos in Elizabeth Hoyt's Maiden Lane series. The 2004 visual novel Animamundi: Dark Alchemist contains scenes where a character named Francis Dashwood brings the protagonist to the Hellfire Club. Comics In the Marvel Comics comic book series The X-Men, the Hellfire Club (1980) is an ancient club for the rich and hedonistic with Regency Era trappings that has branches all over the world, concealing the "Inner Circle", a powerful and influential criminal organization that has played a prominent role in various story lines since its introduction during the Dark Phoenix Saga. Neil Gaiman named a debauched bar in the underworld "The Hellfire Club" in his comic book series The Sandman (1989–1996). The Hellfire Club and Dashwood play a role in the comic Hellblazer. Drama The 2001 audio play Minuet in Hell features the Hellfire Club led by a descendant of Sir Francis Dashwood. Film The 1960 film The Hellfire Club starring Keith Michell and Peter Cushing depicts Dashwood's organisation. In the 2011 film X-Men: First Class, the Hellfire Club is infiltrated by CIA agent Moira MacTaggert (Rose Byrne) suspecting communist activity. Once inside, she discovers that U.S. Army Colonel Hendry is colluding with Sebastian Shaw to turn the Cuban Missile Crisis into a full-scale nuclear war. Television The Avengers episode "A Touch of Brimstone" (1966) had Steed and Mrs. Peel infiltrate a modern incarnation of the club whose pranks were expanding to destroy the government. The Blackadder the Third episode "Ink & Incapability" (1987) begins with a scene in which the Prince Regent mentions having drunk at the "Naughty Hellfire Club" the previous night. The Hellfire Club makes an appearance in "Deliverance", a 2014 episode of the TV show Sleepy Hollow. In the Gotham episode "The Blind Fortune Teller" (2015), the Hellfire Club is said to be a "Satanist cult that committed a string of ritual murders." The Hellfire Club is investigated on Season 6, Episode 8 of Ghost Adventures, a television show on the Travel Channel that investigates paranormal hotspots. The first chapter of the fourth season of the Netflix original series Stranger Things is titled "The Hellfire Club". A 19th century version of the Hellfire Club are revealed to be the overarching villains in the first season of the Irish-Canadian TV series Dead Still. Music Hellfire Club, released on 6 April 2004, is the sixth album by German power metal band Edguy. In 2011, rapper Nocando founded the record label Hellfyre Club. On EP Catcher of the Fade, the label's rappers made reference to Dashwood. The 2020 album, by thrash metal band, Gama Bomb, references the Hellfire Club in the song "Lords of the Hellfire Club". See also The Beggar's Benison Montpelier Hill, 18th century meeting place of the Irish Hell Fire Club. Hellfire Caves, the still-existing underground network of caves and tunnels in the chalk hills above West Wycombe, in which meetings of Dashwood's club took place. References Notes Bibliography Alamantra, Frater. "Looking into the Word" in Ashé Journal, Vol 3, Issue 1, Spring 2004. Retrieved 24 March 2009. Ashe, Geoffrey. The Hell-Fire Clubs: A History of
his Club was disbanded, Wharton became a Freemason, and in 1722 he became the Grand Master of England. Sir Francis Dashwood's clubs Sir Francis Dashwood and the Earl of Sandwich are alleged to have been members of a Hellfire Club that met at the George and Vulture Inn throughout the 1730s. Dashwood founded the Order of the Knights of St Francis in 1746, originally meeting at the George & Vulture. The club motto was Fais ce que tu voudras (Do what thou wilt), a philosophy of life associated with François Rabelais' fictional abbey at Thélème and later used by Aleister Crowley. Francis Dashwood was well known for his pranks: for example, while in the Royal Court in St Petersburg, he dressed up as the King of Sweden, a great enemy of Russia. The membership of Sir Francis' club was initially limited to twelve but soon increased. Of the original twelve, some are regularly identified: Dashwood, Robert Vansittart, Thomas Potter, Francis Duffield, Edward Thompson, Paul Whitehead and John Montagu, 4th Earl of Sandwich. The list of supposed members is immense; among the more probable candidates are Benjamin Bates II, George Bubb Dodington, a fabulously corpulent man in his 60s; William Hogarth, although hardly a gentleman, has been associated with the club after painting Dashwood as a Franciscan Friar and John Wilkes, though much later, under the pseudonym John of Aylesbury. Benjamin Franklin is known to have occasionally attended the club's meetings in 1758 during his time in England. As there are no records left (having been burned in 1774), many of these members are just assumed or linked by letters sent to each other. Meetings and club activities Sir Francis's club was never originally known as a Hellfire Club; it was given this name much later. His club in fact used a number of other names, such as the Brotherhood of St. Francis of Wy, Order of Knights of West Wycombe, The Order of the Friars of St Francis of Wycombe, and later, after moving their meetings to Medmenham Abbey, they became the Monks or Friars of Medmenham. The first meeting at Sir Francis's family home in West Wycombe was held on Walpurgis Night, 1752; a much larger meeting, it was something of a failure and no large-scale meetings were held there again. In 1751, Dashwood, leased Medmenham Abbey on the Thames from a friend, Francis Duffield. On moving into Medmenham Abbey, Dashwood had numerous expensive works done on the building. It was rebuilt by the architect Nicholas Revett in the style of the 18th-century Gothic revival. At this time, the motto Fais ce que tu voudras was placed above a doorway in stained glass. It is thought that William Hogarth may have executed murals for this building; none, however, survive. Eventually, the meetings were moved out of the abbey into a series of tunnels and caves in West Wycombe Hill. They were decorated again with mythological themes, phallic symbols and other items of a sexual nature. Records indicate that the members performed "obscene parodies of religious rites" according to one source. According to Horace Walpole, the members' "practice was rigorously pagan: Bacchus and Venus were the deities to whom they almost publicly sacrificed; and the nymphs and the hogsheads that were laid in against the festivals of this new church, sufficiently informed the neighborhood of the complexion of those hermits." Dashwood's garden at West Wycombe contained numerous statues and shrines to different gods; Daphne and Flora, Priapus and the previously mentioned Venus and Dionysus. A Parish history from 1925 stated that members included "Frederick Prince of Wales, the Duke of Queensberry, the Earl of Bute, Lord Melcombe, Sir William Stanhope, K.B, Sir John Dashwood-King, bart., Sir Francis Delaval, K.B., Sir John Vanluttan, kt., Henry Vansittart, afterwards Governor of Bengal, (fn. 13) and Paul Whitchead the poet". Meetings occurred twice a month, with an AGM lasting a week or more in June or September. The members addressed each other as "Brothers" and the leader, which changed regularly, as "Abbot". During meetings members supposedly wore ritual clothing: white trousers, jacket and cap, while the "Abbot" wore a red ensemble of the same style. Legends of Black Masses and Satan or demon worship have subsequently become attached to the club, beginning in the late Nineteenth Century. Rumours saw female "guests" (a euphemism for prostitutes) referred to as "Nuns". Dashwood's Club meetings often included mock rituals, items of a pornographic nature, much drinking, wenching and banqueting. Decline of Dashwood's Club The downfall of Dashwood's Club was more drawn-out and complicated. In 1762, the Earl of Bute appointed Dashwood his Chancellor of the Exchequer, despite Dashwood being widely held to be incapable of understanding "a bar bill of five figures". (Dashwood resigned the post the next year, having raised a tax on cider which caused near-riots). Dashwood now sat in the House of Lords after taking up the title of Baron Le Despencer after the previous holder died. Then there was the attempted arrest of John Wilkes for seditious libel against the King in the notorious issue No. 45 of his The North Briton in early 1763. During a search authorised by a General warrant (possibly set up by Sandwich, who wanted to get rid of Wilkes), a version of The Essay on Woman was discovered set up on the press of a printer whom Wilkes had almost certainly used. The work was almost certainly principally written by Thomas Potter, and from internal evidence can be dated to around 1755. It was scurrilous, blasphemous, libelous, and bawdy, though not pornographic- still unquestionably illegal under the laws of the time, and the Government subsequently used it to drive Wilkes into exile. Between 1760 and 1765 Chrysal, or the Adventures of a Guinea by Charles Johnstone was published. It contained stories easily identified with Medmenham, one in which Lord Sandwich was ridiculed as having mistaken a monkey for the Devil. This book sparked the association between the Medmenham Monks and the Hellfire Club. By this time, many of the Friars were either dead or too far away for the Club to continue as it did before. Medmenham was finished by 1766. Paul Whitehead had been the Secretary and Steward of the Order at Medmenham. When he died in 1774, as his will specified, his heart was placed in an urn at West Wycombe. It was sometimes taken out to show to visitors, but was stolen in 1829. The West Wycombe Caves in which the Friars met are now a tourist site known as the "Hell Fire Caves". The attraction is highly rated (four stars) by users of the international Web site, Tripadvisor. In Anstruther, Scotland, a likeminded sex and drinking club called the Beggar's
department) at Johns Hopkins' sister school Bryn Mawr College, replacing his colleague Edmund Beecher Wilson. Morgan taught all morphology-related courses, while the other member of the department, Jacques Loeb, taught the physiological courses. Although Loeb stayed for only one year, it was the beginning of their lifelong friendship. Morgan lectured in biology five days a week, giving two lectures a day. He frequently included his own recent research in his lectures. Although an enthusiastic teacher, he was most interested in research in the laboratory. During the first few years at Bryn Mawr, he produced descriptive studies of sea acorns, ascidian worms and frogs. In 1894 Morgan was granted a year's absence to conduct research in the laboratories of Stazione Zoologica in Naples, where Wilson had worked two years earlier. There he worked with German biologist Hans Driesch, whose research in the experimental study of development piqued Morgan's interest. Among other projects that year, Morgan completed an experimental study of ctenophore embryology. In Naples and through Loeb, he became familiar with the Entwicklungsmechanik (roughly, "developmental mechanics") school of experimental biology. It was a reaction to the vitalistic Naturphilosophie, which was extremely influential in 19th-century morphology. Morgan changed his work from traditional, largely descriptive morphology to an experimental embryology that sought physical and chemical explanations for organismal development. At the time, there was considerable scientific debate over the question of how an embryo developed. Following Wilhelm Roux's mosaic theory of development, some believed that hereditary material was divided among embryonic cells, which were predestined to form particular parts of a mature organism. Driesch and others thought that development was due to epigenetic factors, where interactions between the protoplasm and the nucleus of the egg and the environment could affect development. Morgan was in the latter camp; his work with Driesch demonstrated that blastomeres isolated from sea urchin and ctenophore eggs could develop into complete larvae, contrary to the predictions (and experimental evidence) of Roux's supporters. A related debate involved the role of epigenetic and environmental factors in development; on this front Morgan showed that sea urchin eggs could be induced to divide without fertilization by adding magnesium chloride. Loeb continued this work and became well known for creating fatherless frogs using the method. When Morgan returned to Bryn Mawr in 1895, he was promoted to full professor. Morgan's main lines of experimental work involved regeneration and larval development; in each case, his goal was to distinguish internal and external causes to shed light on the Roux-Driesch debate. He wrote his first book, The Development of the Frog's Egg (1897). He began a series of studies on different organisms' ability to regenerate. He looked at grafting and regeneration in tadpoles, fish and earthworms; in 1901 he published his research as Regeneration. Beginning in 1900, Morgan started working on the problem of sex determination, which he had previously dismissed when Nettie Stevens discovered the impact of the Y chromosome on sex. He also continued to study the evolutionary problems that had been the focus of his earliest work. Columbia University Morgan worked at Columbia University for 24 years, from 1904 until 1928 when he left for a position at the California Institute of Technology. In 1904, E. B. Wilson—still blazing the path for his younger friend—invited Morgan to join him at Columbia University. This move freed him to focus fully on experimental work. When Morgan took the professorship in experimental zoology, he became increasingly focused on the mechanisms of heredity and evolution. He had published Evolution and Adaptation (1903); like many biologists at the time, he saw evidence for biological evolution (as in the common descent of similar species) but rejected Darwin's proposed mechanism of natural selection acting on small, constantly produced variations. Extensive work in biometry seemed to indicate that continuous natural variation had distinct limits and did not represent heritable changes. Embryological development posed an additional problem in Morgan's view, as selection could not act on the early, incomplete stages of highly complex organs such as the eye. The common solution of the Lamarckian mechanism of inheritance of acquired characters, which featured prominently in Darwin's theory, was increasingly rejected by biologists. According to Morgan's biographer Garland Allen, he was also hindered by his views on taxonomy: he thought that species were entirely artificial creations that distorted the continuously variable range of real forms, while he held a "typological" view of larger taxa and could see no way that one such group could transform into another. But while Morgan was skeptical of natural selection for many years, his theories of heredity and variation were radically transformed through his conversion to Mendelism. In 1900 three scientists, Carl Correns, Erich von Tschermak and Hugo De Vries, had rediscovered the work of Gregor Mendel, and with it the foundation of genetics. De Vries proposed that new species were created by mutation, bypassing the need for either Lamarckism or Darwinism. As Morgan had dismissed both evolutionary theories, he was seeking to prove De Vries' mutation theory with his experimental heredity work. He was initially skeptical of Mendel's laws of heredity (as well as the related chromosomal theory of sex determination), which were being considered as a possible basis for natural selection. Following C. W. Woodworth and William E. Castle, around 1908 Morgan started working on the fruit fly Drosophila melanogaster, and encouraging students to do so as well. With Fernandus Payne, he mutated Drosophila through physical, chemical, and radiational means. He began cross-breeding experiments to find heritable mutations, but they had no significant success for two years. Castle had also had difficulty identifying mutations in Drosophila, which were tiny. Finally in 1909, a series of heritable mutants appeared, some of which displayed Mendelian inheritance patterns; in 1910 Morgan noticed a white-eyed mutant male among the red-eyed wild types. When white-eyed flies were bred with a red-eyed female, their progeny were all red-eyed. A second generation cross produced white-eyed males—a sex-linked recessive trait, the gene for which Morgan named white. Morgan also discovered a pink-eyed mutant that showed a different pattern of inheritance. In a paper published in Science in 1911, he concluded that (1) some traits were sex-linked, (2) the trait was probably carried on one of the sex chromosomes, and (3) other genes were probably carried on specific chromosomes as well. Morgan and his students became more successful at finding mutant flies; they counted the mutant characteristics of thousands of fruit flies and studied their inheritance. As they accumulated multiple mutants, they combined them to study more complex inheritance patterns. The observation of a miniature-wing mutant, which was also on the sex chromosome but sometimes sorted independently to the white-eye mutation, led Morgan to the idea of genetic linkage and to hypothesize the phenomenon of crossing over. He relied on the discovery of Frans Alfons
projects that year, Morgan completed an experimental study of ctenophore embryology. In Naples and through Loeb, he became familiar with the Entwicklungsmechanik (roughly, "developmental mechanics") school of experimental biology. It was a reaction to the vitalistic Naturphilosophie, which was extremely influential in 19th-century morphology. Morgan changed his work from traditional, largely descriptive morphology to an experimental embryology that sought physical and chemical explanations for organismal development. At the time, there was considerable scientific debate over the question of how an embryo developed. Following Wilhelm Roux's mosaic theory of development, some believed that hereditary material was divided among embryonic cells, which were predestined to form particular parts of a mature organism. Driesch and others thought that development was due to epigenetic factors, where interactions between the protoplasm and the nucleus of the egg and the environment could affect development. Morgan was in the latter camp; his work with Driesch demonstrated that blastomeres isolated from sea urchin and ctenophore eggs could develop into complete larvae, contrary to the predictions (and experimental evidence) of Roux's supporters. A related debate involved the role of epigenetic and environmental factors in development; on this front Morgan showed that sea urchin eggs could be induced to divide without fertilization by adding magnesium chloride. Loeb continued this work and became well known for creating fatherless frogs using the method. When Morgan returned to Bryn Mawr in 1895, he was promoted to full professor. Morgan's main lines of experimental work involved regeneration and larval development; in each case, his goal was to distinguish internal and external causes to shed light on the Roux-Driesch debate. He wrote his first book, The Development of the Frog's Egg (1897). He began a series of studies on different organisms' ability to regenerate. He looked at grafting and regeneration in tadpoles, fish and earthworms; in 1901 he published his research as Regeneration. Beginning in 1900, Morgan started working on the problem of sex determination, which he had previously dismissed when Nettie Stevens discovered the impact of the Y chromosome on sex. He also continued to study the evolutionary problems that had been the focus of his earliest work. Columbia University Morgan worked at Columbia University for 24 years, from 1904 until 1928 when he left for a position at the California Institute of Technology. In 1904, E. B. Wilson—still blazing the path for his younger friend—invited Morgan to join him at Columbia University. This move freed him to focus fully on experimental work. When Morgan took the professorship in experimental zoology, he became increasingly focused on the mechanisms of heredity and evolution. He had published Evolution and Adaptation (1903); like many biologists at the time, he saw evidence for biological evolution (as in the common descent of similar species) but rejected Darwin's proposed mechanism of natural selection acting on small, constantly produced variations. Extensive work in biometry seemed to indicate that continuous natural variation had distinct limits and did not represent heritable changes. Embryological development posed an additional problem in Morgan's view, as selection could not act on the early, incomplete stages of highly complex organs such as the eye. The common solution of the Lamarckian mechanism of inheritance of acquired characters, which featured prominently in Darwin's theory, was increasingly rejected by biologists. According to Morgan's biographer Garland Allen, he was also hindered by his views on taxonomy: he thought that species were entirely artificial creations that distorted the continuously variable range of real forms, while he held a "typological" view of larger taxa and could see no way that one such group could transform into another. But while Morgan was skeptical of natural selection for many years, his theories of heredity and variation were radically transformed through his conversion to Mendelism. In 1900 three scientists, Carl Correns, Erich von Tschermak and Hugo De Vries, had rediscovered the work of Gregor Mendel, and with it the foundation of genetics. De Vries proposed that new species were created by mutation, bypassing the need for either Lamarckism or Darwinism. As Morgan had dismissed both evolutionary theories, he was seeking to prove De Vries' mutation theory with his experimental heredity work. He was initially skeptical of Mendel's laws of heredity (as well as the related chromosomal theory of sex determination), which were being considered as a possible basis for natural selection. Following C. W. Woodworth and William E. Castle, around 1908 Morgan started working on the fruit fly Drosophila melanogaster, and encouraging students to do so as well. With Fernandus Payne, he mutated Drosophila through physical, chemical, and radiational means. He began cross-breeding experiments to find heritable mutations, but they had no significant success for two years. Castle had also had difficulty identifying mutations in Drosophila, which were tiny. Finally in 1909, a series of heritable mutants appeared, some of which displayed Mendelian inheritance patterns; in 1910 Morgan noticed a white-eyed mutant male among the red-eyed wild types. When white-eyed flies were bred with a red-eyed female, their progeny were all red-eyed. A second generation cross produced white-eyed males—a sex-linked recessive trait, the gene for which Morgan named white. Morgan also discovered a pink-eyed mutant that showed a different pattern of inheritance. In a paper published in Science in 1911, he concluded that (1) some traits were sex-linked, (2) the trait was probably carried on one of the sex chromosomes, and (3) other genes were probably carried on specific chromosomes as well. Morgan and his students became more successful at finding mutant flies; they counted the mutant characteristics of thousands of fruit flies and studied their inheritance. As they accumulated multiple mutants, they combined them to study more complex inheritance patterns. The observation of a miniature-wing mutant, which was also on the sex chromosome but sometimes sorted independently to the white-eye mutation, led Morgan to the idea of genetic linkage and to hypothesize the phenomenon of crossing over. He relied on the discovery of Frans Alfons Janssens, a Belgian professor at the University of Leuven, who described the phenomenon in 1909 and had called it chiasmatypie. Morgan proposed that the amount of crossing over between linked genes differs and that crossover frequency might indicate the distance separating genes on the chromosome. The later English geneticist J. B. S. Haldane suggested that the unit of measurement for linkage be called the morgan. Morgan's student Alfred Sturtevant developed the first genetic map in 1913. In 1915 Morgan, Sturtevant, Calvin Bridges and H. J. Muller wrote the seminal book The Mechanism of Mendelian Heredity. Geneticist Curt Stern called the book "the fundamental textbook of the new genetics" and C. H. Waddington noted that "Morgan's theory of the chromosome represents a great leap of imagination comparable with Galileo or Newton". In the following years, most biologists came to accept the Mendelian-chromosome theory, which was independently proposed by Walter Sutton and Theodor Boveri in 1902/1903, and elaborated and expanded by Morgan and his students. Garland Allen characterized the post-1915 period as one of normal science, in which "The activities of 'geneticists' were aimed at further elucidation of the details and implications of the Mendelian-chromosome theory developed between 1910 and 1915." But, the details of the increasingly complex theory, as well as the concept of the gene and its physical nature, were still controversial. Critics such as W. E. Castle pointed to contrary results in other organisms, suggesting that genes interact with each other, while Richard Goldschmidt and others thought there was no compelling reason to view genes as discrete units residing on chromosomes. Because of Morgan's dramatic success with Drosophila, many other labs throughout the world took up fruit fly genetics. Columbia became the center of an informal exchange network, through which promising mutant Drosophila strains were transferred from lab to lab; Drosophila became one of the first, and for some time the most widely used, model organisms. Morgan's group remained highly productive, but Morgan largely withdrew from doing fly work and gave his lab members considerable freedom in designing and carrying out their own experiments. He returned to embryology and worked to encourage the spread of genetics research to other organisms and the spread of the mechanistic experimental approach (Enwicklungsmechanik) to all biological fields. After 1915, he also became a strong critic of the growing eugenics movement, which adopted genetic approaches in support of racist views of "improving" humanity. Morgan's fly-room at Columbia became world-famous, and he found it easy to attract funding and visiting academics. In 1927 after 25 years at Columbia, and nearing the age of retirement, he received an offer from George Ellery Hale to establish a school of biology in California. Caltech In 1928 Morgan joined the faculty of the California Institute of Technology where he remained until his retirement 14 years later in 1942. Morgan moved to California to head the Division of Biology at the California Institute of Technology in 1928. In establishing the biology division, Morgan wanted to distinguish his program from those offered by Johns Hopkins and Columbia, with research focused on genetics and evolution; experimental embryology; physiology; biophysics and biochemistry. He was also instrumental in the establishment of the Marine Laboratory at Corona del Mar. He wanted to attract the best people to the Division at Caltech, so he took Bridges, Sturtevant, Jack Shultz and Albert Tyler from Columbia and took on Theodosius Dobzhansky as an international research fellow. More scientists came to work in the Division including George Beadle, Boris Ephrussi, Edward L. Tatum, Linus Pauling, Frits Went, and Sidney W. Fox. In accordance with his reputation, Morgan held numerous prestigious positions in American science organizations. From 1927 to 1931 Morgan served as the President of the National Academy of Sciences; in 1930 he was the President of the
by uncredited actress Rhonda Parker. There was one appearance by an agency official code-named "Father", a blind older woman played by Iris Russell (Russell had appeared in the series several times previously in other roles). In one episode, "Killer", Steed is paired with Lady Diana Forbes Blakeney (Jennifer Croxton) while King is on holiday. Scriptwriter Dennis Spooner later reflected: "When I wrote 'Look (Stop Me If You've Heard This One) But There Were These Two Fellers', that was definitely the last series. They were going to make no more, so in that series we went right over the top; we went really weird, because they knew there weren't going to be any more". Spooner said the series "worked because it became a parody on itself, almost. You can only do that so long". He attributes the overall success of the show to its light approach: "We spoofed everything, we took Mission: Impossible, Bad Day at Black Rock, High Noon, The Dirty Dozen, The Birds... we took them all. The film buffs used to love it. There were always lines in it that people knew what we were talking about". The revised series continued to be broadcast in the US. The episodes with Linda Thorson as King proved to be highly rated in Europe and the UK. However, in the US the ABC network chose to air it opposite the number-one show in the country at the time, Rowan and Martin's Laugh-In. Steed and King could not compete, and the show was cancelled in the US. Without this vital commercial backing, production could not continue in Britain either, and the series ended in May 1969. The final scene of the final episode ("Bizarre") has Steed and King, champagne glasses in hand, accidentally launching themselves into orbit aboard a rocket, as Mother breaks the fourth wall and says to the audience "They'll be back!", before adding in shock "They're unchaperoned up there!" Cast Patrick Macnee as John Steed (Series 1–6) Ian Hendry as Dr David Keel (Series 1) Honor Blackman as Cathy Gale (Series 2–3) Jon Rollason as Dr Martin King (Series 2) Julie Stevens as Venus Smith (Series 2) Diana Rigg as Emma Peel (Series 4–5) Linda Thorson as Tara King (Series 6) Production Music The 1961 series featured a jazz-influenced theme by John Dankworth. Library music was used sparsely as a soundtrack, sometimes with variations based on the main theme. Dankworth's theme music was reworked for the third series. Dankworth's first theme was recorded on the Columbia label, on a 45rpm single, and a new recording, similar to the reworked television theme was issued on Fontana in 1963. A very faithful cover version was released by Johnny Gregory. When Rigg joined the series in 1965, the opening credits of the series were redesigned and new theme music by Laurie Johnson was introduced. This was based on a previously released title, on LP called "The Shake" (which capitalised on "The Shake" dance craze of the '60s). For the colour series (1967), a percussion section was added to accompany the new teaser sequence at the start of each episode. Johnson re-scored the theme when Linda Thorson joined the series, adding a counter-melody on trumpet, based on the leitmotif for Tara King from the final Rigg episode "The Forget-Me-Knot". The new theme debuted in the closing titles of the episode "The Forget-Me-Knot", which introduced Thorson. It was altogether more dynamic, and included a much more frenetic percussion section, for the revised teaser sequence. Importantly, the filmed episodes contained specially composed scores by Johnson. To accompany Steed's request "Mrs Peel – we're needed!", he composed a brief 'sting', and there was also a special theme for 'Emma'. For the 'Thorson' series, a characteristic piece was composed to accompany the tag scene, at the end of each episode. Many of the most memorable cues from the Rigg/Thorson series, including the opening, and closing titles themes, and the 'Tag Scene' were released commercially on CD in 2009. Owing to a professional commitment to score for the film Hot Millions (starring Peter Ustinov and Maggie Smith), Johnson requested assistance from his keyboard player, Howard Blake, who scored some of the episodes of the final season, as well as additional music for other episodes which Johnson did not have time to complete. These were composed in a style remarkably similar to Johnson's. In 2011, to mark the 50th anniversary of the series, these almost-complete scores by Blake−including Johnson's themes for the main and end titles—were issued on a double CD set. Of the original Johnson theme, countless cover versions have been released on vinyl and CD, and the opening motif was retained on the series The New Avengers. Johnson subsequently collaborated with Clemens on other projects, including the theme for The New Avengers. Cars The cars used in the series became almost as famous as the actors. From the 4th series on, Steed's signature cars were six vintage green 1926–1928 Bentley racing or town cars, including Blower Bentleys and Bentley Speed Sixes (although, uniquely, in "The Thirteenth Hole" he drives a Vauxhall 30-98). In the final series he drove two yellow Rolls Royces – a 1923 Rolls Royce Silver Ghost and a 1927 Rolls Royce New Phantom. Peel drove Lotus Elan convertibles (a white 1964 and a powder blue 1966), which, like her clothes, emphasised her independence and vitality. During the first Peel series (Series 4), each episode ended with a short, humorous scene of the duo leaving the scene of their most recent adventure in some unusual vehicle. Mother occasionally appeared in a silver Rolls-Royce. Tara King drove an AC 428 and a Lotus Europa. Lady Diana Forbes Blakeney drove an MGC Roadster. Production team Sydney Newman, who would later go on to spearhead the creation of Doctor Who for the BBC, never received screen credit as the creator of The Avengers. In his memoir, The Avengers and Me, Patrick Macnee interviewed Newman about this. Newman explained that he never sought on-screen credit on the series because during his previous tenure at the Canadian Broadcasting Corporation, such credits were not given, and he never thought to get one for The Avengers. The production team changed during the series' long run, particularly between the third and fourth series, but the influence of Brian Clemens was felt throughout. He wrote the second episode and became the series' most prolific scriptwriter. Succeeding producers Leonard White and John Bryce, Julian Wintle became the producer of the 4th series with Brian Clemens credited as associate producer and Albert Fennell credited as "In charge of production". For series 5, made by A.B.C. Television Films (which was created during the run-up to Associated British Corporation and Associated-Rediffusion forming Thames TV) Clemens and Fennell became co-producers, with Wintle as executive producer. For series 6, after its initial producer John Bryce left, Clemens and Fennell returned as co-producers; early episodes also credit Julian Wintle as consultant to the series and Philip Levene as story consultant. Ray Austin became the fight arranger for series 4 and 5, introducing kung fu to the series. Ray Austin had been training with Chee Soo and they worked techniques from Feng Shou Kung fu and T'ai Chi into the fight scenes and credit sequences. Ray Austin, Diana Rigg and Chee Soo were later awarded a Guinness world record as the first people to show kung fu on television. Later he became a prolific television director. Joe Dunne took over for series 6. Episodes Six series of The Avengers were made between 1961 and 1969. There was an enforced break in filming and transmission towards the end of series five due to financial problems. Television researcher Andrew Pixley and authors Paul Cornell, Martin Day and Keith Topping in their book The Avengers Dossier: The Unauthorised and Unofficial Guide consider the last eight episodes produced after the break as constituting a short series six, and therefore count seven series in total. Within the internal production of The Avengers the last eight episodes were considered to be a continuation of series five. Reception In Canada and the United States Although telerecordings of the second and third series were seen in Canada as early as 1963, the first two series of The Avengers were not broadcast on television in the United States. ABC purchased the rights to broadcast seasons 4 and 5 in the United States in 1965. The sale of The Avengers to United States television prompted a change in production style from the 405-line British multi-camera stand to the single-camera shooting method, originated on 35mm film. The series' stunt man and stunt arranger Ray Austin expressed the opinion that the show's violence ultimately harmed its popular success in the United States. There The Avengers was given a late timeslot due to its violence: "They did that with the first Avengers here [in the U.S.], with Diana Rigg. They put us on at 11:30 pm on CBS , because it was too violent". Austin goes on to explain that US television follows a "different code". Austin said that on The Avengers "we were determined to do the show our way, the English way, and no one was going to stop us! And, indeed, no one did stop us. We never, never got to prime time. And it was our own faults, because we would not comply to the Midwest. That's where the money comes from in this country, nowhere else. Forget Los Angeles, forget New York—you have to aim for the Midwest. If the Midwest watches your show, you've made it". In fact the first and second series of Emma Peel episodes mainly aired at 10:00 pm on ABC. The final Rigg episodes and all the Linda Thorson episodes mainly ran at 7:30 pm, also on ABC. American censors objected to some content, in particular the episode "A Touch of Brimstone", which featured a modern-day version of the Hellfire Club and climaxed with Emma being dressed in a skimpy corset costume with spiked collar and high-heeled boots to become the Queen of Sin, and being attacked with a whip by guest star Peter Wyngarde. The American broadcast network refused to air it. In total five episodes from the first Emma Peel series were not initially broadcast by ABC. These were: "A Surfeit of H2O", "Silent Dust" (which featured Emma being attacked with a horsewhip), "Quick-Quick Slow Death", "A Touch of Brimstone" and "Honey for the Prince" (in which Emma performed the dance of the seven veils), although they were seen in later syndicated repeats. Earlier Cathy Gale and Venus Smith episodes had aired in Canada before the arrival of Mrs. Peel. US audiences saw the 1962–1964 Gale and Smith episodes of the series for the first time in the early 1990s when they were broadcast on the A&E Network. No Keel episode of the series was ever repeatedly broadcast outside Britain, contributing to the fact nearly all first-series episodes are now lost, and even in the UK only one surviving episode, "The Frighteners", was rebroadcast (as part of a run of classic episodes on Channel 4 in early 1993, otherwise mostly consisting of Gale episodes). Home media Only three complete episodes from the show's first series, plus a portion of another episode, are known to exist, as 16mm film telerecordings. These are "The Frighteners" (an extract of which is playing on a television in the film Quadrophenia), "Girl on the Trapeze", which was found in the UCLA Film and Television Archive via an internet search of their on-line database, and "Tunnel of Fear", which was found in 2016. Additionally, part of the show's first episode was also found in the United States. The footage is of the episode's first 21 minutes, up to the first commercial break. All series two and three episodes survive as 16mm telerecordings. These have been released to DVD, as have all of the Emma Peel and Tara King episodes, which were shot on film. The two earlier-found surviving complete Keel episodes, plus the remnant of the first episode, have also been released in the UK and US, but are not currently available in the US. All original videotapes from series one, two and three do not survive. From the late 1990s to the early 2000s, A&E TV Home Entertainment (under license from Canal+ Image International) released the remaining surviving series on Region 1 DVD in North America, with newly remastered picture and sound quality. Series 4, 5, and 6 were remastered and released on Blu-ray by Studio Canal. Sequel The New Avengers The sustained popularity of the Tara King episodes in France led to a 1975 French television advertisement for Laurent-Perrier champagne, in which Thorson and Macnee reprised their roles. The advertisement's success spurred financing interest in France for new episodes of The Avengers. The result was a new series, The New Avengers. Patrick Macnee reprised the role of Steed, with two new partners, Mike Gambit (Gareth Hunt) and Purdey (Joanna Lumley). It aired on ITV in the UK in 1976–1977, CTV in Canada, CBS in the United States (in 1978–79) and TF1 in France (series 1 in 1976–1977 and series 2 in 1979). The final four episodes were almost completely produced by Canadian interests and were filmed there. In some markets they carried the title The New Avengers in Canada. Although Macnee was the only actor from the original series to reprise his role, archival footage of Diana Rigg allowed Emma Peel to make a cameo appearance in a second-season episode "K is for Kill: The Tiger Awakes", while Macnee's first co-star, Ian Hendry, made a guest appearance as a different character in the episode "To Catch a Rat". Spin-offs Novels A number of original novels based on the series were published in the 1960s. The first by Douglas Enefer, published by Consul Books, was the only 60s novel to feature Cathy Gale. Panther Books published four novels written by John Garforth featuring Emma Peel in the United Kingdom in 1967; Berkley Medallion Books reprinted these in the United States. After Panther stopped publishing Avengers novels in the UK, Berkley Medallion continued publishing original novels of their own: one featuring Peel and four featuring Tara King for the US market only; three by Keith Laumer in 1968; and two by Norman Daniels 1968/69. Berkley Medallion later re-printed all nine novels with new covers that featured photos of both Rigg and Thorson, regardless of which Avengers girl appeared in the novel. The two novels published by Hodder and Stoughton in 1965/66 were co-written by Patrick Macnee, making him one of the first actors to write licensed spin-off fiction of their own shows. The Macnee novels, Deadline and Dead Duck, were reprinted in the UK by Titan Books in standard paperback in 1994 and in France by Huitieme Art (1995 & 1996). They were also published in the US for the first time by TV Books in 1998. Titan reissued the books in trade paperback format (with the same covers) to coincide with the release of the 1998 feature film. The 1990 novel Too Many Targets by John Peel featured all of Steed's partners (David Keel, Cathy Gale, Emma Peel and Tara King) with the exception of Venus Smith and Dr Martin King. The Avengers, Douglas Enefer, 1963 Deadline, Patrick Macnee and Peter Leslie, 1965 Dead Duck, Macnee and Leslie, 1966 The Floating Game, John Garforth, 1967 The Laugh Was on Lazarus, Garforth, 1967 The Passing of Gloria Munday, Garforth, 1967 Heil Harris!, Garforth, 1967 The Afrit Affair, Keith Laumer, 1968 The Drowned Queen, Laumer, 1968 The Gold Bomb, Laumer, 1968 The Magnetic Man, Norman A. Daniels, 1968 Moon Express, Daniels, 1969 John Steed: An Authorized Biography Vol. 1: Jealous in Honour, Tim Heald, 1977 (UK release only) A four volume fan fiction set produced in Australia but authorised. Vol. 1 The Weather Merchants (1989) by Dave Rogers and Barlow; Rogers had previously written several non-fiction books about the series Vol. 2 The Monster of the Moor (1990) by Barlow Vol. 3 Before the Mast (1991). A Tara short story, produced only in photocopied supplement format Vol. 4 (1994). Contains two stories, Moonlight Express and The Spoilsports. Too Many Targets, John Peel and Rogers, 1990. The Avengers, Julie Kaewert, 1998 (film novelisation) A short story by Peter Leslie entitled "What's a Ghoul Like You Doing in a Place Like This?" appeared in The Television Crimebusters Omnibus, a hardback anthology edited by Peter Haining, first published by Orion in 1994 (this Steed and Tara story first appeared in the 1969 UK Avengers annual, from Atlas publications). Both of the Macnee/Leslie UK paperback titles were translated and published in Portugal in 1967 as Os Vingadores: O Dia Depois De Amanha (Deadline) and Os Vingadores: O Pato Morto (Dead Duck) by Deaga. All four UK John Garforth Panther book paperbacks were translated and published by Roman in France (1967), a paperback omnibus edition was published in 1998 by Fleuve Noir. Three of the Garforth paperbacks were also translated and published by Heyne in Germany (1967/68) (Heil Harris! was not translated for obvious reasons) and a German hardback omnibus edition of the three titles was published by Lichtenberg (1968), reprinted in paperback by Heyne in 1998. All four titles were also translated and published in the Netherlands by Bruna (1967) and in Chile by Zig-Zag (1968). Comics The first UK Avengers comic strips, featuring Steed and Cathy Gale, first appeared in regional TV listings magazines Look Westward and The Viewer from 14 September 1963 to 9 May 1964 (and later in 1964, re-printed in the Manchester Evening News) — this run consisted of four serials. Steed and Mrs. Peel comic strips began in Polystyle Publications' TV Comic in issue #720, dated 2 October 1965, beginning after the TV debut of Emma Peel, and ran until issue #771, dated 24 September 1966 – this run consisted of 10 serials plus one 4-page one-off in TV Comic Holiday Special (June 1966). At that point the rights were sold to publishers D.C. Thomson & Co. Ltd, where the next version of the strip appeared in issue #199, dated 10 December 1966, of Diana the popular paper for girls. Its run ended in issue #224, dated 2 June 1967, with art by Emilio Frejo and Juan Gonzalez Alacrojo – this run consisted of 8 serials. Earlier, The Growing Up of Emma Peel comic strip had appeared in June and Schoolfriend comic from issue #52, dated 29 January 1966, to issue #63, dated 16 April 1966 – this had featured the adventures of 14-year-old Emma Knight and was run concurrent with the TV Comic strip and consisted of 11 instalments. The Avengers returned to TV Comic issue #877, dated 5 October 1968, just after Tara King debuted on TV, the Tara & Steed strip continued until issue #1077, dated 5 August 1972 – this run consisted of 28 serials plus one 4-page one-off in TV Comic Holiday Special 1972. Also in 1966 Thorpe & Porter published a 68-page Avengers comic featuring Steed & Peel, with original art by Mick Anglo and Mick Austin — this consisted of four 16-page stories. A few Avengers-related comic books have been published in the USA. They are not named The Avengers because the rights to the names "Avengers" and "New Avengers" are held by Marvel Comics for use with their Avengers comics depicting a team of superheroes called The Avengers. Gold Key Comics published one issue of John Steed Emma Peel in 1968 (subtitled The Avengers on the Indicia page), which included two newly coloured and reformatted The Avengers strips from TV Comic. A 3-issue limited entitled Steed and Mrs. Peel appeared in 1990–1992 under the Acme Press/Eclipse Comics imprint; it featured a three-part story, "The Golden Game" in issues #1–3, by Grant Morrison and a two-part story, in issues #2 & #3, "A Deadly Rainbow" by Anne Caulfield; both strips had art by Ian Gibson. Boom! Studios reprinted this series in six issues in early 2012, and later published a new ongoing series written by Mark Waid and Caleb Monroe which lasted 12 issues. Boom! subsequently announced a six-issue follow-up series, Steed and Mrs. Peel: We're Needed, which was launched in the summer of 2014. Despite issue #1 showing "1 of 6", only 3 issues were produced ("2 of 3" and "3 of 3" showing on the other issues, with the cover for issue #3 being the one originally planned for issue #4 which was planned to be the start of another 3-issue story). In the UK, where hardback annuals are traditionally produced for sale at Christmas, The Avengers first appeared in TV Crimebusters Annual (1962) and featured a 7-page comic strip with Dr David Keel titled The Drug Pedlar. Atlas Publications produced three The Avengers hardback Annuals for 1967, 1968 and 1969, which also featured original Avengers comic strips featuring Steed, Emma Peel, and Tara King, as well as text stories. The TV Comic Avengers strips and the 1966 Avengers comic and a few comic strips from the Annuals have been translated and published in Germany, the Netherlands, France, and Chile. The Avengers also have made a number of cameo appearances in comics over the years: In 1991's Doctor Who Magazine #173, Gary Russell and artists Mike Collins and Steve Pini show Captain Britain about to hit John Steed when Emma Peel shows up behind him. Emma Peel and John Steed were seen among the crowd in a bar scene in Kingdom Come #2 (1996) by Mark Waid and Alex Ross. Emma Peel and John Steed appeared unnamed in Superman #13 (1988) by John Byrne and Karl Kesel. A crossover series, Batman '66 Meets Steed and Mrs. Peel, was launched in June 2016 as a joint effort between DC Comics and Boom! Studios. Alan Moore's League of Extraordinary Gentlemen is littered with oblique references to events and characters in The Avengers, with three unnamed characters that are clearly Purdey, Tara and Emma appearing at the end of the book "Century: 2009". Stage play A stage adaptation was produced in Britain in 1971, written by TV series veterans Brian Clemens and Terence Feely, and directed by Leslie Phillips. It starred Simon Oates as Steed, Sue Lloyd as new partner Hannah Wild, and Kate O'Mara as villainess Madame Gerda. All three had guest roles in the original series. A character named Hana Wilde (played by Charlotte Rampling) had essentially acted as Steed's partner in series five's "The Superlative Seven", an episode in which Emma Peel appears only briefly. According to John Peel in his overview of "The Superlative Seven", Charlotte Rampling was rumoured to be grooming up to replace Diana Rigg in this story, but nothing ever came of that". Radio series A radio series was transmitted between 6 December 1971 and 28 December 1973 on Springbok Radio, the English-language service of the South African Broadcasting Corporation (SABC); it was recorded at Sonovision Studios in Johannesburg, produced by Dave Gooden, the original TV scripts were adapted and directed by Tony Jay, for the first six months and Dennis Folbigge for the remainder. South Africa did not have national television until 1976. The episodes were adapted from both Emma Peel and Tara King episodes (with Tara changed to Emma Peel throughout). The Avengers were played by two British expatriate actors, Donald Monat as Steed and Diane Appleby as Mrs Peel, with Hugh Rouse as the tongue-in-cheek narrator. The stories were adapted into five-episode serials under Tony Jay and six- and seven-episode serials under Dennis Folbigge, of approximately 15 minutes each (including adverts) and stripped across the week, Monday-Friday, on Springbok Radio. Currently only 19 complete serials survive, all from reel-to-reel off-air recordings made by John Wright in 1972. Also, the first three episodes of a remake of Escape in Time currently exist. Episodes 1 and 2 are copies from the original Sonovision tapes, and episode 3 is from an off-air recording, on audio cassette, made by Barbara Peterson; the rest of this serial is still missing. These episodes are also known to have been transmitted in New York on station WBAI on 99.5 FM, from 1977 to the early 1990s, and are currently being transmitted on Miami station WRGP on early Monday mornings. Copies from the original off-air recordings have been restored by Alan and Alys Hayes, and can be heard at their "The Avengers Declassified" website and its sister website "Avengers on the Radio". Many more serials were broadcast during its two-year run on South African radio; it is thought 83 serials were made and transmitted, but no other episodes are known to exist at present. Film Plans for a feature-length adaptation based upon the series circulated during the 1960s, 1980s and 1990s, with Mel Gibson at one point being considered a front-runner for the role of Steed. Ultimately, the 1998 film, starring Uma Thurman as Emma Peel and Ralph Fiennes as John Steed, with Sean Connery as the villain, received extremely negative reviews from critics and fans, and is a notorious commercial failure. Audio In June 2013, Big Finish Productions signed a license with StudioCanal to produce full-cast audio productions of 12 lost first season episodes. The main cast includes Julian Wadham as Steed, Anthony Howell as Dr David Keel, and Lucy Briggs-Owen as Carol Wilson. The stories are adapted for audio by John Dorney. In January 2014, Volume One, containing the first four stories, ("Hot Snow", "Brought to Book", "Square Root of Evil" and "One for the Mortuary") was released. Volume Two, containing the next four stories, ("Ashes of Roses", "Please Don't Feed the Animals", "The Radioactive Man" and "Dance with Death") was released in July 2014. Volume Three, containing the next four stories, was released in January 2015. In March 2014, Big Finish extended the audio recreation programme to include all 26 season one episodes, including the then-two extant stories. A total of seven boxed sets were released. See also List of Avengers and New Avengers cast members Avengerland, a variant of Metro-land Honey West The Saint References Bibliography The Avengers by Dave Rogers (ITV Books in association with Michael Joseph Ltd., 1983) The Avengers Anew by Dave Rogers (Michael Joseph Ltd., 1985) The Complete Avengers by Dave
the 50th anniversary of the series, these almost-complete scores by Blake−including Johnson's themes for the main and end titles—were issued on a double CD set. Of the original Johnson theme, countless cover versions have been released on vinyl and CD, and the opening motif was retained on the series The New Avengers. Johnson subsequently collaborated with Clemens on other projects, including the theme for The New Avengers. Cars The cars used in the series became almost as famous as the actors. From the 4th series on, Steed's signature cars were six vintage green 1926–1928 Bentley racing or town cars, including Blower Bentleys and Bentley Speed Sixes (although, uniquely, in "The Thirteenth Hole" he drives a Vauxhall 30-98). In the final series he drove two yellow Rolls Royces – a 1923 Rolls Royce Silver Ghost and a 1927 Rolls Royce New Phantom. Peel drove Lotus Elan convertibles (a white 1964 and a powder blue 1966), which, like her clothes, emphasised her independence and vitality. During the first Peel series (Series 4), each episode ended with a short, humorous scene of the duo leaving the scene of their most recent adventure in some unusual vehicle. Mother occasionally appeared in a silver Rolls-Royce. Tara King drove an AC 428 and a Lotus Europa. Lady Diana Forbes Blakeney drove an MGC Roadster. Production team Sydney Newman, who would later go on to spearhead the creation of Doctor Who for the BBC, never received screen credit as the creator of The Avengers. In his memoir, The Avengers and Me, Patrick Macnee interviewed Newman about this. Newman explained that he never sought on-screen credit on the series because during his previous tenure at the Canadian Broadcasting Corporation, such credits were not given, and he never thought to get one for The Avengers. The production team changed during the series' long run, particularly between the third and fourth series, but the influence of Brian Clemens was felt throughout. He wrote the second episode and became the series' most prolific scriptwriter. Succeeding producers Leonard White and John Bryce, Julian Wintle became the producer of the 4th series with Brian Clemens credited as associate producer and Albert Fennell credited as "In charge of production". For series 5, made by A.B.C. Television Films (which was created during the run-up to Associated British Corporation and Associated-Rediffusion forming Thames TV) Clemens and Fennell became co-producers, with Wintle as executive producer. For series 6, after its initial producer John Bryce left, Clemens and Fennell returned as co-producers; early episodes also credit Julian Wintle as consultant to the series and Philip Levene as story consultant. Ray Austin became the fight arranger for series 4 and 5, introducing kung fu to the series. Ray Austin had been training with Chee Soo and they worked techniques from Feng Shou Kung fu and T'ai Chi into the fight scenes and credit sequences. Ray Austin, Diana Rigg and Chee Soo were later awarded a Guinness world record as the first people to show kung fu on television. Later he became a prolific television director. Joe Dunne took over for series 6. Episodes Six series of The Avengers were made between 1961 and 1969. There was an enforced break in filming and transmission towards the end of series five due to financial problems. Television researcher Andrew Pixley and authors Paul Cornell, Martin Day and Keith Topping in their book The Avengers Dossier: The Unauthorised and Unofficial Guide consider the last eight episodes produced after the break as constituting a short series six, and therefore count seven series in total. Within the internal production of The Avengers the last eight episodes were considered to be a continuation of series five. Reception In Canada and the United States Although telerecordings of the second and third series were seen in Canada as early as 1963, the first two series of The Avengers were not broadcast on television in the United States. ABC purchased the rights to broadcast seasons 4 and 5 in the United States in 1965. The sale of The Avengers to United States television prompted a change in production style from the 405-line British multi-camera stand to the single-camera shooting method, originated on 35mm film. The series' stunt man and stunt arranger Ray Austin expressed the opinion that the show's violence ultimately harmed its popular success in the United States. There The Avengers was given a late timeslot due to its violence: "They did that with the first Avengers here [in the U.S.], with Diana Rigg. They put us on at 11:30 pm on CBS , because it was too violent". Austin goes on to explain that US television follows a "different code". Austin said that on The Avengers "we were determined to do the show our way, the English way, and no one was going to stop us! And, indeed, no one did stop us. We never, never got to prime time. And it was our own faults, because we would not comply to the Midwest. That's where the money comes from in this country, nowhere else. Forget Los Angeles, forget New York—you have to aim for the Midwest. If the Midwest watches your show, you've made it". In fact the first and second series of Emma Peel episodes mainly aired at 10:00 pm on ABC. The final Rigg episodes and all the Linda Thorson episodes mainly ran at 7:30 pm, also on ABC. American censors objected to some content, in particular the episode "A Touch of Brimstone", which featured a modern-day version of the Hellfire Club and climaxed with Emma being dressed in a skimpy corset costume with spiked collar and high-heeled boots to become the Queen of Sin, and being attacked with a whip by guest star Peter Wyngarde. The American broadcast network refused to air it. In total five episodes from the first Emma Peel series were not initially broadcast by ABC. These were: "A Surfeit of H2O", "Silent Dust" (which featured Emma being attacked with a horsewhip), "Quick-Quick Slow Death", "A Touch of Brimstone" and "Honey for the Prince" (in which Emma performed the dance of the seven veils), although they were seen in later syndicated repeats. Earlier Cathy Gale and Venus Smith episodes had aired in Canada before the arrival of Mrs. Peel. US audiences saw the 1962–1964 Gale and Smith episodes of the series for the first time in the early 1990s when they were broadcast on the A&E Network. No Keel episode of the series was ever repeatedly broadcast outside Britain, contributing to the fact nearly all first-series episodes are now lost, and even in the UK only one surviving episode, "The Frighteners", was rebroadcast (as part of a run of classic episodes on Channel 4 in early 1993, otherwise mostly consisting of Gale episodes). Home media Only three complete episodes from the show's first series, plus a portion of another episode, are known to exist, as 16mm film telerecordings. These are "The Frighteners" (an extract of which is playing on a television in the film Quadrophenia), "Girl on the Trapeze", which was found in the UCLA Film and Television Archive via an internet search of their on-line database, and "Tunnel of Fear", which was found in 2016. Additionally, part of the show's first episode was also found in the United States. The footage is of the episode's first 21 minutes, up to the first commercial break. All series two and three episodes survive as 16mm telerecordings. These have been released to DVD, as have all of the Emma Peel and Tara King episodes, which were shot on film. The two earlier-found surviving complete Keel episodes, plus the remnant of the first episode, have also been released in the UK and US, but are not currently available in the US. All original videotapes from series one, two and three do not survive. From the late 1990s to the early 2000s, A&E TV Home Entertainment (under license from Canal+ Image International) released the remaining surviving series on Region 1 DVD in North America, with newly remastered picture and sound quality. Series 4, 5, and 6 were remastered and released on Blu-ray by Studio Canal. Sequel The New Avengers The sustained popularity of the Tara King episodes in France led to a 1975 French television advertisement for Laurent-Perrier champagne, in which Thorson and Macnee reprised their roles. The advertisement's success spurred financing interest in France for new episodes of The Avengers. The result was a new series, The New Avengers. Patrick Macnee reprised the role of Steed, with two new partners, Mike Gambit (Gareth Hunt) and Purdey (Joanna Lumley). It aired on ITV in the UK in 1976–1977, CTV in Canada, CBS in the United States (in 1978–79) and TF1 in France (series 1 in 1976–1977 and series 2 in 1979). The final four episodes were almost completely produced by Canadian interests and were filmed there. In some markets they carried the title The New Avengers in Canada. Although Macnee was the only actor from the original series to reprise his role, archival footage of Diana Rigg allowed Emma Peel to make a cameo appearance in a second-season episode "K is for Kill: The Tiger Awakes", while Macnee's first co-star, Ian Hendry, made a guest appearance as a different character in the episode "To Catch a Rat". Spin-offs Novels A number of original novels based on the series were published in the 1960s. The first by Douglas Enefer, published by Consul Books, was the only 60s novel to feature Cathy Gale. Panther Books published four novels written by John Garforth featuring Emma Peel in the United Kingdom in 1967; Berkley Medallion Books reprinted these in the United States. After Panther stopped publishing Avengers novels in the UK, Berkley Medallion continued publishing original novels of their own: one featuring Peel and four featuring Tara King for the US market only; three by Keith Laumer in 1968; and two by Norman Daniels 1968/69. Berkley Medallion later re-printed all nine novels with new covers that featured photos of both Rigg and Thorson, regardless of which Avengers girl appeared in the novel. The two novels published by Hodder and Stoughton in 1965/66 were co-written by Patrick Macnee, making him one of the first actors to write licensed spin-off fiction of their own shows. The Macnee novels, Deadline and Dead Duck, were reprinted in the UK by Titan Books in standard paperback in 1994 and in France by Huitieme Art (1995 & 1996). They were also published in the US for the first time by TV Books in 1998. Titan reissued the books in trade paperback format (with the same covers) to coincide with the release of the 1998 feature film. The 1990 novel Too Many Targets by John Peel featured all of Steed's partners (David Keel, Cathy Gale, Emma Peel and Tara King) with the exception of Venus Smith and Dr Martin King. The Avengers, Douglas Enefer, 1963 Deadline, Patrick Macnee and Peter Leslie, 1965 Dead Duck, Macnee and Leslie, 1966 The Floating Game, John Garforth, 1967 The Laugh Was on Lazarus, Garforth, 1967 The Passing of Gloria Munday, Garforth, 1967 Heil Harris!, Garforth, 1967 The Afrit Affair, Keith Laumer, 1968 The Drowned Queen, Laumer, 1968 The Gold Bomb, Laumer, 1968 The Magnetic Man, Norman A. Daniels, 1968 Moon Express, Daniels, 1969 John Steed: An Authorized Biography Vol. 1: Jealous in Honour, Tim Heald, 1977 (UK release only) A four volume fan fiction set produced in Australia but authorised. Vol. 1 The Weather Merchants (1989) by Dave Rogers and Barlow; Rogers had previously written several non-fiction books about the series Vol. 2 The Monster of the Moor (1990) by Barlow Vol. 3 Before the Mast (1991). A Tara short story, produced only in photocopied supplement format Vol. 4 (1994). Contains two stories, Moonlight Express and The Spoilsports. Too Many Targets, John Peel and Rogers, 1990. The Avengers, Julie Kaewert, 1998 (film novelisation) A short story by Peter Leslie entitled "What's a Ghoul Like You Doing in a Place Like This?" appeared in The Television Crimebusters Omnibus, a hardback anthology edited by Peter Haining, first published by Orion in 1994 (this Steed and Tara story first appeared in the 1969 UK Avengers annual, from Atlas publications). Both of the Macnee/Leslie UK paperback titles were translated and published in Portugal in 1967 as Os Vingadores: O Dia Depois De Amanha (Deadline) and Os Vingadores: O Pato Morto (Dead Duck) by Deaga. All four UK John Garforth Panther book paperbacks were translated and published by Roman in France (1967), a paperback omnibus edition was published in 1998 by Fleuve Noir. Three of the Garforth paperbacks were also translated and published by Heyne in Germany (1967/68) (Heil Harris! was not translated for obvious reasons) and a German hardback omnibus edition of the three titles was published by Lichtenberg (1968), reprinted in paperback by Heyne in 1998. All four titles were also translated and published in the Netherlands by Bruna (1967) and in Chile by Zig-Zag (1968). Comics The first UK Avengers comic strips, featuring Steed and Cathy Gale, first appeared in regional TV listings magazines Look Westward and The Viewer from 14 September 1963 to 9 May 1964 (and later in 1964, re-printed in the Manchester Evening News) — this run consisted of four serials. Steed and Mrs. Peel comic strips began in Polystyle Publications' TV Comic in issue #720, dated 2 October 1965, beginning after the TV debut of Emma Peel, and ran until issue #771, dated 24 September 1966 – this run consisted of 10 serials plus one 4-page one-off in TV Comic Holiday Special (June 1966). At that point the rights were sold to publishers D.C. Thomson & Co. Ltd, where the next version of the strip appeared in issue #199, dated 10 December 1966, of Diana the popular paper for girls. Its run ended in issue #224, dated 2 June 1967, with art by Emilio Frejo and Juan Gonzalez Alacrojo – this run consisted of 8 serials. Earlier, The Growing Up of Emma Peel comic strip had appeared in June and Schoolfriend comic from issue #52, dated 29 January 1966, to issue #63, dated 16 April 1966 – this had featured the adventures of 14-year-old Emma Knight and was run concurrent with the TV Comic strip and consisted of 11 instalments. The Avengers returned to TV Comic issue #877, dated 5 October 1968, just after Tara King debuted on TV, the Tara & Steed strip continued until issue #1077, dated 5 August 1972 – this run consisted of 28 serials plus one 4-page one-off in TV Comic Holiday Special 1972. Also in 1966 Thorpe & Porter published a 68-page Avengers comic featuring Steed & Peel, with original art by Mick Anglo and Mick Austin — this consisted of four 16-page stories. A few Avengers-related comic books have been published in the USA. They are not named The Avengers because the rights to the names "Avengers" and "New Avengers" are held by Marvel Comics for use with their Avengers comics depicting a team of superheroes called The Avengers. Gold Key Comics published one issue of John Steed Emma Peel in 1968 (subtitled The Avengers on the Indicia page), which included two newly coloured and reformatted The Avengers strips from TV Comic. A 3-issue limited entitled Steed and Mrs. Peel appeared in 1990–1992 under the Acme Press/Eclipse Comics imprint; it featured a three-part story, "The Golden Game" in issues #1–3, by Grant Morrison and a two-part story, in issues #2 & #3, "A Deadly Rainbow" by Anne Caulfield; both strips had art by Ian Gibson. Boom! Studios reprinted this series in six issues in early 2012, and later published a new ongoing series written by Mark Waid and Caleb Monroe which lasted 12 issues. Boom! subsequently announced a six-issue follow-up series, Steed and Mrs. Peel: We're Needed, which was launched in the summer of 2014. Despite issue #1 showing "1 of 6", only 3 issues were produced ("2 of 3" and "3 of 3" showing on the other issues, with the cover for issue #3 being the one originally planned for issue #4 which was planned to be the start of another 3-issue story). In the UK, where hardback annuals are traditionally produced for sale at Christmas, The Avengers first appeared in TV Crimebusters Annual (1962) and featured a 7-page comic strip with Dr David Keel titled The Drug Pedlar. Atlas Publications produced three
races when the water temperature is below ), and prohibitions against interference between athletes. Additionally, the use of flippers or other swim propulsion and flotation aids are illegal in triathlon and can result in disqualification. One rule involving the cycle leg is that the competitor's helmet must be donned before the competitor mounts (or even takes possession of, in certain jurisdictions) the bike and must remain on until the competitor has dismounted; the competitor may not be required to wear the helmet when not on the bicycle (e.g. while repairing a mechanical problem). Failure to comply with this rule will result in disqualification. Additionally, while on the bike course, all bicycles shall be propelled only by human force and human power. Other than pushing a bicycle, any propulsive action brought on by use of the hands is prohibited. Should a competitor's bike malfunction they can proceed with the race as long as they are doing so with their bicycle in tow. There are also strict rules regarding the 'bike mount' line. Competitors may not begin riding their bicycle out of transition until they are over a clearly marked line. Mounting the bike prior to this may incur a penalty (example: a 15-second time penalty at the London 2012 Olympics was awarded to Jonathan Brownlee, a competitor from Great Britain, for mounting his bike too early.) Other time penalties can be incurred during the race for, among other things, drafting on the bike in a non-drafting race, improper passing, littering on course, and unsportsmanlike conduct. Triathlon and fitness Participants in triathlon often use the sport to improve or maintain their physical fitness. With each sport being an endurance event, training for a triathlon provides cardiovascular exercise benefits. Additionally, triathletes encounter fewer injuries than those who only use running as part of their exercise routine due to the incorporation of low impact swim and bike training. Triathletes spend many hours training for competitions, like other endurance event participants. There are three components that have been researched to improve endurance sports performance; aerobic capacity, lactate threshold, and economy. Injuries that are incurred from long hours of a single activity are not as common in triathlon as they are in single sport events. The cross-training effect that athletes achieve from training for one sport by doing a second activity applies to triathlon training. Additional activities that triathletes perform for cross-training benefits are yoga, pilates, and weight training. Swimming Triathletes will often use their legs less vigorously and more carefully than other swimmers, conserving their leg muscles for the cycle and run to follow. Many triathletes use altered swim strokes to compensate for turbulent, aerated water and to conserve energy for a long swim. In addition, the majority of triathlons involve open-water (outdoor) swim stages, rather than pools with lane markers. As a result, triathletes in the swim stage must jockey for position, and can gain some advantage by drafting, following a competitor closely to swim in their slipstream. Triathletes will often use "dolphin kicking" and diving to make headway against waves, and body surfing to use a wave's energy for a bit of speed at the end of the swim stage. Also, open-water swims necessitate "sighting": raising the head to look for landmarks or buoys that mark the course. A modified stroke allows the triathlete to lift the head above water to sight without interrupting the swim or wasting energy. Because open water swim areas are often cold and because wearing a wetsuit provides a competitive advantage, specialized triathlon wetsuits have been developed in a variety of styles to match the conditions of the water. For example, wetsuits that are sleeveless and cut above the knee are designed for warmer waters, while still providing buoyancy. Wetsuits are legal in sanctioned events at which the surface water temperature is or less. In non-sanctioned events or in "age group" classes where most racers are simply participating for the enjoyment of the sport instead of vying for official triathlon placing, wetsuits can often be used at other temperatures. Race directors will sometimes discourage or ban wetsuits if the water temperature is above due to overheating that can occur while wearing a wetsuit. Other rules have been implemented by race organizers regarding both wetsuit thickness as well as the use of "swim skins;" which need to be considered by those participating in future triathlons. Some triathlon sanctioning bodies have placed limits on the thickness of the wetsuit material. Under World Triathlon and some national governing bodies' rules no wetsuit may have a thickness of more than . Cycling Triathlon cycling can differ from most professional bicycle racing depending on whether drafting is allowed during competition. In some competitions, like those governed by USA Triathlon and the World Triathlon Corporation, drafting is not allowed, and thus the cycling portion more closely resembles individual time trial racing. In other races, such as those in the World Triathlon Series and World Triathlon Cup racing, drafting and the formation of pelotons are legal. This places an emphasis on running performance as several athletes will enter the bike to run transition at the same time due to drafting. Triathlon bicycles are generally optimized for aerodynamics, having special handlebars called aero-bars or tri-bars, aerodynamic wheels, and other components. Triathlon bikes use a specialized geometry, including a steep seat-tube angle both to improve aerodynamics and to spare muscle groups needed for running. At the end of the bike segment, triathletes also often cycle with a higher cadence (revolutions per minute), which serves in part to keep the muscles loose and flexible for running. Running The primary distinguishing feature of running in a triathlon is that it occurs after the athlete has already been exercising in two other disciplines for an extended period of time, so many muscles are already tired. The effect of switching from cycling to running can be profound; first-time triathletes are often astonished at their muscle weakness, which may be caused by lactate accumulation and the bizarre, sometimes painful sensation in their thighs a few hundred yards into the run, and discover that they run at a much slower pace than they are accustomed to in training. Triathletes train for this phenomenon through transition workouts known as "bricks": back-to-back workouts involving two disciplines, most commonly cycling and running. Transition The change over from sport to sport takes place in a designated transition area. The transition provides a staging area where bicycles, running shoes, hydration and other gear is set up ready to be used during the course of the event. The first transition, known as T1, is between the swim-to-bike segments of the race. The second transition, T2, is between the bike-to-run segments. Most events have one common transition area for both T1 and T2, while some point to point events have two separate transition areas. The time spent in transition is a timed segment and contributes towards the overall finishing time of the event. Notable events World Triathlon sanctioned events Olympics The sport made its debut on the Olympic program at the Sydney Games in 2000 over the Olympic Distance (swim: – bike: – run: ). A mixed relay event was introduced, using 4 Super Sprint distance legs, in the Tokyo Games in 2021. Paralympics Paratriathlon at the Summer Paralympics debuted at the 2016 Summer Paralympics held in Rio de Janeiro, Brazil. Paratriathlon is a variant of the triathlon for athletes with a physical disability. The Paralympic event originally scheduled a sprint race with athletes competing in six categories according to the nature of their physical impairments. World competitions World Triathlon Series World Triathlon Cup World Triathlon Long Distance Championships World Triathlon Mixed Relay Championships Multi-sport events Triathlon at the African Games Triathlon at the Asian Games Triathlon at the Commonwealth Games Triathlon at the Island Games Triathlon at the Pan American Games Triathlon at the Southeast Asian Games Other events Thousands of individual triathlons are held around the world each year. A few of these races are well known because they have a long history or because they have particularly grueling courses and race conditions. Hawaii Ironman World Championship, Kona, Hawaii. First held in 1978 on Oahu, only five years after the sport of triathlon was founded; it was later moved to Kailua-Kona on the island of Hawaii. The cycling stage of the race covers more than over lava flats on the big island of Hawaii, where mid-day temperatures often reach over and cross-winds sometimes blow at . The race is often challenging even to competitors with experience in other iron-distance events. Being a world championship race, only competitors that meet qualifying guidelines can enter, typically qualifying slots are awarded in other Ironman sanctioned events. Nice Triathlon, Nice, France. A race that existed until 2002 when the course was adopted by the WTC as Ironman France. During the 1980s the Nice Long Distance triathlon (swim , bike , run ) was, alongside the World Championships in Kona, one of the two important races each year with prize money and media attention. Mark Allen won here 10 consecutive times. The World Triathlon's Long Distance is a Nice-Distance race except during a short period from late 2006 to early 2008, in which it was + + . Enduroman Arch to Arc. A triathlon from Marble Arch, London to the Arc de Triomphe, Paris. Run from Marble Arch in London to Dover , swim the English Channel to Calais, and then cycle from Calais to Paris. For this challenge, the clock starts at Marble Arch and stops at Arc de Triomphe. Only 46 people in history have completed this event. St. Anthony's, St. Petersburg, Florida. Held in the last week of April every year, this race attracts professional and amateur triathletes from around the world. One of the largest Olympic Distance triathlon in the U.S. with over 4,000 participants each year. Escape from Alcatraz, San Francisco, California. This non-standard-length race begins with a swim in frigid San Francisco Bay waters from Alcatraz Island to shore, followed by an bicycle and run in the extremely hilly terrain of the San Francisco Bay Area. The run includes the notorious "Sand Ladder", a 400-step staircase climb up a beachside cliff. Wildflower is a half-iron distance race held on the first weekend of May at Lake San Antonio on the Central Coast of California since 1983. Known for a particularly hilly course, it has expanded now to include three races of different lengths and is one of the largest triathlon events in the world, with over 8,000 athletes attending each year. Life Time Fitness Triathlon Series. Life Time Tri Series is a series of 5 Olympic distance races: The Lifetime Fitness in Minneapolis, the NYC Triathlon in New York City, the Chicago Triathlon, the LA Triathlon in Los Angeles, and the U.S. Open in Dallas. There is a combined $1.5 Million prize purse at stake for the professionals who come from around the world to take part in the series. Hy-Vee Triathlon, started in 2007 by the mid-west grocery store chain Hy-Vee. The race had the richest prize purse awarded for a single triathlon. The race was formally part of the World Triathlon Cup series from 2008 to 2010 and briefly served as the World Triathlon Corporation's 5150 Series U.S. Championships. Norseman Extreme Triathlon, Hardangerfjord, Norway. Norseman is an Ironman-distance triathlon that starts with a swim in the Hardangerfjord and finishes on top of a Gaustatoppen mountain at above sea level. Famous for its lower temperatures and total ascent, this race accepts only 200 competitors each year. Ironman 70.3 World Championship Grand Prix de Triathlon, the French club championship series sponsored by Lyonnaise des Eaux. The circuit comprises five triathlons and by the French Triathlon Federation and attracts professional international triathletes hired by French triathlon clubs. Triathlon EDF Alpe d'Huez, established in 2006 by the 2002 Long Distance World Champion Cyrille Neveu, is one of the best known single triathlons in France. Nonstandard variations Aquabike, composed of only swimming and cycling stages. Aquathlon, composed of only swimming and running stages. Swimrun, composed of alternating swimming
from anyone else outside the race, with the exception of race-sanctioned aid volunteers who distribute food and water on the course. Triathlons are timed in five sequential sections: from the start of the swim to the beginning of the first transition (swim time); from the beginning of the first transition to the end of the first transition (T1 time); from the start of the cycling to the end of the cycling leg (cycling time); from the beginning of the second transition to the end of the second transition (T2 time); finally from the start of the run to the end of the run, at which time the triathlon is completed. Results are usually posted on official websites and will show for each triathlete his/her swim time; cycle time (with transitions included); run time; and total time. Some races also post transition times separately. Other rules of triathlon vary from race to race and generally involve descriptions of allowable equipment (for example, wetsuits are allowed in USAT events in the swimming stage of some races when the water temperature is below ), and prohibitions against interference between athletes. Additionally, the use of flippers or other swim propulsion and flotation aids are illegal in triathlon and can result in disqualification. One rule involving the cycle leg is that the competitor's helmet must be donned before the competitor mounts (or even takes possession of, in certain jurisdictions) the bike and must remain on until the competitor has dismounted; the competitor may not be required to wear the helmet when not on the bicycle (e.g. while repairing a mechanical problem). Failure to comply with this rule will result in disqualification. Additionally, while on the bike course, all bicycles shall be propelled only by human force and human power. Other than pushing a bicycle, any propulsive action brought on by use of the hands is prohibited. Should a competitor's bike malfunction they can proceed with the race as long as they are doing so with their bicycle in tow. There are also strict rules regarding the 'bike mount' line. Competitors may not begin riding their bicycle out of transition until they are over a clearly marked line. Mounting the bike prior to this may incur a penalty (example: a 15-second time penalty at the London 2012 Olympics was awarded to Jonathan Brownlee, a competitor from Great Britain, for mounting his bike too early.) Other time penalties can be incurred during the race for, among other things, drafting on the bike in a non-drafting race, improper passing, littering on course, and unsportsmanlike conduct. Triathlon and fitness Participants in triathlon often use the sport to improve or maintain their physical fitness. With each sport being an endurance event, training for a triathlon provides cardiovascular exercise benefits. Additionally, triathletes encounter fewer injuries than those who only use running as part of their exercise routine due to the incorporation of low impact swim and bike training. Triathletes spend many hours training for competitions, like other endurance event participants. There are three components that have been researched to improve endurance sports performance; aerobic capacity, lactate threshold, and economy. Injuries that are incurred from long hours of a single activity are not as common in triathlon as they are in single sport events. The cross-training effect that athletes achieve from training for one sport by doing a second activity applies to triathlon training. Additional activities that triathletes perform for cross-training benefits are yoga, pilates, and weight training. Swimming Triathletes will often use their legs less vigorously and more carefully than other swimmers, conserving their leg muscles for the cycle and run to follow. Many triathletes use altered swim strokes to compensate for turbulent, aerated water and to conserve energy for a long swim. In addition, the majority of triathlons involve open-water (outdoor) swim stages, rather than pools with lane markers. As a result, triathletes in the swim stage must jockey for position, and can gain some advantage by drafting, following a competitor closely to swim in their slipstream. Triathletes will often use "dolphin kicking" and diving to make headway against waves, and body surfing to use a wave's energy for a bit of speed at the end of the swim stage. Also, open-water swims necessitate "sighting": raising the head to look for landmarks or buoys that mark the course. A modified stroke allows the triathlete to lift the head above water to sight without interrupting the swim or wasting energy. Because open water swim areas are often cold and because wearing a wetsuit provides a competitive advantage, specialized triathlon wetsuits have been developed in a variety of styles to match the conditions of the water. For example, wetsuits that are sleeveless and cut above the knee are designed for warmer waters, while still providing buoyancy. Wetsuits are legal in sanctioned events at which the surface water temperature is or less. In non-sanctioned events or in "age group" classes where most racers are simply participating for the enjoyment of the sport instead of vying for official triathlon placing, wetsuits can often be used at other temperatures. Race directors will sometimes discourage or ban wetsuits if the water temperature is above due to overheating that can occur while wearing a wetsuit. Other rules have been implemented by race organizers regarding both wetsuit thickness as well as the use of "swim skins;" which need to be considered by those participating in future triathlons. Some triathlon sanctioning bodies have placed limits on the thickness of the wetsuit material. Under World Triathlon and some national governing bodies' rules no wetsuit may have a thickness of more than . Cycling Triathlon cycling can differ from most professional bicycle racing depending on whether drafting is allowed during competition. In some competitions, like those governed by USA Triathlon and the World Triathlon Corporation, drafting is not allowed, and thus the cycling portion more closely resembles individual time trial racing. In other races, such as those in the World Triathlon Series and World Triathlon Cup racing, drafting and the formation of pelotons are legal. This places an emphasis on running performance as several athletes will enter the bike to run transition at the same time due to drafting. Triathlon bicycles are generally optimized for aerodynamics, having special handlebars called aero-bars or tri-bars, aerodynamic wheels, and other components. Triathlon bikes use a specialized geometry, including a steep seat-tube angle both to improve aerodynamics and to spare muscle groups needed for running. At the end of the bike segment, triathletes also often cycle with a higher cadence (revolutions per minute), which serves in part to keep the muscles loose and flexible for running. Running The primary distinguishing feature of running in a triathlon is that it occurs after the athlete has already been exercising in two other disciplines for an extended period of time, so many muscles are already tired. The effect of switching from cycling to running can be profound; first-time triathletes are often astonished at their muscle weakness, which may be caused by lactate accumulation and the bizarre, sometimes painful sensation in their thighs a few hundred yards into the run, and discover that they run at a much slower pace than they are accustomed to in training. Triathletes train for this phenomenon through transition workouts known as "bricks": back-to-back workouts involving two disciplines, most commonly cycling and running. Transition The change over from sport to sport takes place in a designated transition area. The transition provides a staging area where bicycles, running shoes, hydration and other gear is set up ready to be used during the course of the event. The first transition, known as T1, is between the swim-to-bike segments of the race. The second transition, T2, is between the bike-to-run segments. Most events have one common transition area for both T1 and T2, while some point to point events have two separate transition areas. The time spent in transition is a timed segment and contributes towards the overall finishing time of the event. Notable events World Triathlon sanctioned events Olympics The sport made its debut on the Olympic program at the Sydney Games in 2000 over the Olympic Distance (swim: – bike: – run: ). A mixed relay event was introduced, using 4 Super Sprint distance legs, in the Tokyo Games in 2021. Paralympics Paratriathlon at the Summer Paralympics debuted at the 2016 Summer Paralympics held in Rio de Janeiro, Brazil. Paratriathlon is a variant of the triathlon for athletes with a physical disability. The Paralympic event originally scheduled a sprint race with athletes competing in six categories according to the nature of their physical impairments. World competitions World Triathlon Series World Triathlon Cup World Triathlon Long Distance Championships World Triathlon Mixed Relay Championships Multi-sport events Triathlon at the African Games Triathlon at the Asian Games Triathlon at the Commonwealth Games Triathlon at the Island Games Triathlon at the Pan American Games Triathlon at the Southeast Asian Games Other events Thousands of individual triathlons are held around the world each year. A few of these races are well known because they have a long history or because they have particularly grueling courses and race conditions. Hawaii Ironman World Championship, Kona, Hawaii. First held in 1978 on Oahu, only five years after the sport of triathlon was founded; it was later moved to Kailua-Kona on the island of Hawaii. The cycling stage of the race covers more than over lava flats on the big island of Hawaii, where mid-day temperatures often reach over and cross-winds sometimes blow at . The race is often challenging even to competitors with experience in other iron-distance events. Being a world championship race, only competitors that meet qualifying guidelines can enter, typically qualifying slots are awarded in other Ironman sanctioned events. Nice Triathlon, Nice, France. A race that existed until 2002 when the course was adopted by the WTC as Ironman France. During the 1980s the Nice Long Distance triathlon (swim , bike , run ) was, alongside the World Championships in Kona, one of the two important races each year with prize money and media attention. Mark Allen won here 10 consecutive times. The World Triathlon's Long Distance is a Nice-Distance race except during a short period from late 2006 to early 2008, in which it was + + . Enduroman Arch to Arc. A triathlon from Marble Arch, London to the Arc de Triomphe, Paris. Run from Marble Arch in London to Dover , swim the English Channel to Calais, and then cycle from Calais to Paris. For this challenge, the clock starts at Marble Arch and stops at Arc de Triomphe. Only 46 people in history have completed this event. St. Anthony's, St. Petersburg, Florida. Held in the last week of April every year, this race attracts professional and amateur triathletes from around the world. One of the largest Olympic Distance triathlon in the U.S. with over 4,000 participants each year. Escape from Alcatraz, San Francisco, California. This non-standard-length race begins with a swim in frigid San Francisco Bay waters from Alcatraz Island to shore, followed by an bicycle and run in the extremely hilly terrain of the San Francisco Bay Area. The run includes the notorious "Sand Ladder", a 400-step staircase climb up a beachside cliff. Wildflower is a half-iron distance race held on the first weekend of May at Lake San Antonio on the Central Coast of California since 1983. Known for a particularly hilly course, it has expanded now to include three races of different lengths and is one of the largest triathlon events in the world, with over 8,000 athletes attending each year. Life Time Fitness Triathlon Series. Life Time Tri Series is a series of 5 Olympic distance races: The Lifetime Fitness in Minneapolis, the NYC Triathlon in New York City, the Chicago Triathlon, the LA Triathlon in Los Angeles, and the U.S. Open in Dallas. There is a combined $1.5 Million prize purse at stake for the professionals who come from around the world to take part in the series. Hy-Vee Triathlon, started in 2007 by the mid-west grocery store chain Hy-Vee. The race had the richest prize purse awarded for a single triathlon. The race was formally part of the World Triathlon Cup series from 2008 to 2010 and briefly served as the World Triathlon Corporation's 5150 Series U.S. Championships. Norseman Extreme Triathlon, Hardangerfjord, Norway. Norseman is an Ironman-distance triathlon that starts with a swim in the Hardangerfjord and finishes on top of a Gaustatoppen mountain at above sea level. Famous for its lower temperatures and total ascent, this race accepts only 200 competitors each year. Ironman 70.3 World Championship Grand Prix de Triathlon, the French club championship series sponsored by Lyonnaise des Eaux. The circuit comprises five triathlons and by the French Triathlon Federation and attracts professional international triathletes hired by French triathlon clubs. Triathlon EDF Alpe d'Huez, established in 2006 by the 2002 Long Distance World Champion Cyrille Neveu, is one of the best known single triathlons in France. Nonstandard variations Aquabike, composed of only swimming and cycling stages. Aquathlon, composed of only swimming and running stages. Swimrun, composed of alternating swimming and running stages without transition. Duathlon, composed of only cycling and running stages including Powerman Duathlon Equilateral triathlon, a triathlon in which each leg takes approximately equal time. Indoor triathlon, consisting of a pool swim, stationary bike, and indoor track or treadmill run. Cross triathlon, consists of swimming, mountain biking and trail running. Such races includes the
were similar to the sound achieved on later Germs recordings. The Germs recorded two singles (with alternate tracks), an album-length demo session, and one full-length LP, (GI), each more focused and powerful than the last. Crash was, despite his erratic behavior, generally regarded as a brilliant lyricist (a contemporary critic described him as "ransacking the dictionary"), and the final line-up of Smear, Doom and Bolles had become a world-class rock ensemble by the recording of (GI), turning in a performance that spurred an LA Weekly reviewer to write, "This album leaves exit wounds". It is considered one of the first hardcore punk records, and has a near-mythic status among punk rock fans. The album was produced by Joan Jett of the Runaways. Some European copies of the album also credited Donny Rose on keyboards (the song "Shut Down" was recorded live in the studio and featured melodic, two-fisted piano). The Germs were featured in Spheeris's documentary film The Decline of Western Civilization along with X, Black Flag, Fear, Circle Jerks, Alice Bag Band, and Catholic Discipline. Following the release of their only studio album, (GI), on Slash Records, the Germs recorded six original songs with producer Jack Nitzsche for the soundtrack to the film, Cruising, starring Al Pacino. Doom wrote one of the songs. Only one of these songs, "Lions Share", ended up on the Columbia soundtrack album. It was featured for approximately one minute in the movie, during a video-booth murder scene in an S&M club. Other songs from this session did not appear until the 1988 bootleg Lion's Share, along with four tracks from their infamous last show at the Starwood. The Cruising sessions were finally released officially on the CD (MIA): The Complete Anthology. Dissolution and suicide of Darby Crash The end of the band came when Crash, who had become increasingly impatient with drummer Bolles' antics, fired him and replaced him with his friend Rob Henley. Shortly after the Germs split, Crash and Smear formed the short-lived Darby Crash Band. Circle Jerks drummer Lucky Lehrer joined the band on the eve of their first (sold-out) live performance, when during soundcheck, Darby kicked out the drummer they had rehearsed with. The band, described by Smear as "like the Germs, but with worse players", played only a few gigs to lukewarm reaction before splitting up. Shortly after that, Crash contacted Smear about a Germs "reunion" show, claiming it was necessary to "put punk into perspective" for the punks on the scene. However, Smear has said Crash told him privately he wanted to earn money for heroin with which to commit suicide. Since Crash had described this scenario many times in the past, Smear did not take him seriously. On December 3, 1980, an over-sold Starwood hosted a final live show of the reunited Germs, including Bolles. At one point, Crash told the amazed kids in the audience, "We did this show so you new people could see what it was like when we were around. You're not going to see it again". Crash committed suicide on December 7, 1980, at age 22. Unreported at the time, Crash had overdosed on heroin in a suicide pact with close friend Casey "Cola" Hopkins, who ended up surviving. She later insisted that he did not intend for her to live, nor did he change his mind at the last minute and intend for himself to live. According to Spin, apocryphal lore has Crash attempting to write "Here lies Darby Crash" on the wall as he lay dying, but not finishing. In reality, he wrote a short note to David "Bosco" Davenport that stated, "My life, my leather, my love goes to Bosco". Outside the world of the Germs' fans, news of Crash's death was largely overshadowed by the murder of John Lennon the next day. A local news station mistakenly reported that Crash had died from taking too many sleeping pills. Aftermath After the Germs ended, Bolles played with several other L.A. bands, including Nervous Gender, 45 Grave, Celebrity Skin, and Ariel Pink. In fall 2009, Bolles joined the cast of punks, mods and rockers web series Oblivion. In 1993, Slash released (MIA): The Complete Anthology, with liner notes by Pleasant Gehman. Smear went on to play with Nirvana during their last year and, after the death of Kurt Cobain, with Mike Watt, and then Foo Fighters. In 1996, a tribute album titled A Small Circle of Friends was released, that featured tracks by Watt, Free Kitten, Melvins, Meat Puppets, that dog., L7, the Posies, NOFX, Flea, Gumball and others, along with a
Darby Crash The end of the band came when Crash, who had become increasingly impatient with drummer Bolles' antics, fired him and replaced him with his friend Rob Henley. Shortly after the Germs split, Crash and Smear formed the short-lived Darby Crash Band. Circle Jerks drummer Lucky Lehrer joined the band on the eve of their first (sold-out) live performance, when during soundcheck, Darby kicked out the drummer they had rehearsed with. The band, described by Smear as "like the Germs, but with worse players", played only a few gigs to lukewarm reaction before splitting up. Shortly after that, Crash contacted Smear about a Germs "reunion" show, claiming it was necessary to "put punk into perspective" for the punks on the scene. However, Smear has said Crash told him privately he wanted to earn money for heroin with which to commit suicide. Since Crash had described this scenario many times in the past, Smear did not take him seriously. On December 3, 1980, an over-sold Starwood hosted a final live show of the reunited Germs, including Bolles. At one point, Crash told the amazed kids in the audience, "We did this show so you new people could see what it was like when we were around. You're not going to see it again". Crash committed suicide on December 7, 1980, at age 22. Unreported at the time, Crash had overdosed on heroin in a suicide pact with close friend Casey "Cola" Hopkins, who ended up surviving. She later insisted that he did not intend for her to live, nor did he change his mind at the last minute and intend for himself to live. According to Spin, apocryphal lore has Crash attempting to write "Here lies Darby Crash" on the wall as he lay dying, but not finishing. In reality, he wrote a short note to David "Bosco" Davenport that stated, "My life, my leather, my love goes to Bosco". Outside the world of the Germs' fans, news of Crash's death was largely overshadowed by the murder of John Lennon the next day. A local news station mistakenly reported that Crash had died from taking too many sleeping pills. Aftermath After the Germs ended, Bolles played with several other L.A. bands, including Nervous Gender, 45 Grave, Celebrity Skin, and Ariel Pink. In fall 2009, Bolles joined the cast of punks, mods and rockers web series Oblivion. In 1993, Slash released (MIA): The Complete Anthology, with liner notes by Pleasant Gehman. Smear went on to play with Nirvana during their last year and, after the death of Kurt Cobain, with Mike Watt, and then Foo Fighters. In 1996, a tribute album titled A Small Circle of Friends was released, that featured tracks by Watt, Free Kitten, Melvins, Meat Puppets, that dog., L7, the Posies, NOFX, Flea, Gumball and others, along with a version of "Circle One" performed by Smear with Hole under the name "the Holez". Rhino Handmade officially released Live at the Starwood Dec. 3, 1980 on June 14, 2010. The live set was previously unavailable in its entirety. Along with the CD, the release includes an 8½" × 11" replica of the original poster for the show, a reproduction of the handwritten set list and a four-page fanzine with photos and liner notes by Jonathan Gold. Germs film and reformation (2007–present) A film about the Germs, What We Do Is Secret, was in production for several years, and premiered June 23, 2007 at the Los Angeles Film Festival. The film was theatrically released on August 8, 2008 and starred Shane West in the role of Darby Crash. Smear, Doom, and Bolles reactivated the Germs with West as singer. They played on the 2006 Warped Tour and toured clubs in the US later that summer, and again in 2007. They once again played on the 2008 edition of the Warped Tour, on the Vans Old School Stage. Some members of the punk rock community such as Fat Mike and Jello Biafra were critical of the band's decision to perform with West. In a July 2009 article, Bolles spoke about the band's plans to re-record old material for a planned box set titled Lest We Forget: The Sounds of the Germs. The band rearranged songs from the Germicide live album and the Cruising sessions; they planned to record several Darby Crash Band songs as well. Live recordings, both old and new, would have made up the rest of the box set, which Bolles hoped to release in 2010. The newly recorded songs were to be released on Smashing Pumpkins frontman Billy Corgan's new, unnamed record label. Two songs, "Out of Time" and "Beyond Hurt – Beyond Help", were originally written by Crash and Smear prior to Crash's death, but were never recorded. The songs were to be recorded with West providing vocals. West left the Germs in 2009. In December 2013, Charlotte Caffey of the Go-Go's played bass for a one-off gig, a memorial for Bill "Pat Fear" Bartell, when Doom could not be located. On January 16, 2019, bassist Lorna Doom died of breast cancer. Members Final lineup Pat Smear (a.k.a. Georg Ruthenberg) – guitar, vocals (1976–1980, 2005–2009, 2013) Don Bolles – drums (1978–1980, 2005–2009, 2013) Charlotte Caffey – bass guitar (2013) Past members Darby Crash (a.k.a. Jan Paul Beahm) – lead vocals (1976–1980; died 1980) Michelle Baer – drums (1976) Dinky (a.k.a. Diana Grant) – bass guitar (1976) Lorna Doom (a.k.a. Teresa Ryan) – bass guitar (1976–1980, 2005–2009; died 2019) Dottie Danger (a.k.a. Belinda Carlisle) – drums (1977) Donna Rhia (a.k.a. Becky Barton) – drums (1977) David Winogrond – drums (1977) Luisa Terrence - drums (1977) Cliff Hanger – drums (1977–1978) D. J. Bonebrake – drums (1978) Nicky Beat (a.k.a. Nickey Alexander) – drums (1978) Rob Henley – drums (1980) John Lorey - drums (1980) Shane West – lead vocals (2005–2009) Discography Studio albums (GI) (1979, Slash Records) Singles and EPs "Forming"/"Sexboy (live)" 7" (1977, What? Records) Lexicon Devil 7" EP (1978, Slash Records) What We Do Is Secret 12" EP (1981, Slash Records) (DCC) 7" EP (1992, Rockville/Gasatanka Records) Live albums Germicide (a.k.a. Live at the Whisky, First Show Ever) (1981, Mohawk/Bomp! Records/ROIR) Rock 'N' Rule (1986, XEX Records) “Live at the Starwood 12/3/80” (double LP), (2019 Rhino Entertainment Company, Run Out Groove) ROGV-080 Compilation albums (MIA): The Complete Anthology (1993, Slash/Rhino Records) Media Blitz (1993, Cleopatra Records) Compilation album appearances Tooth and Nail (1979, Upsetter Records) Yes L.A. 12" EP (1979, Dangerhouse Records) Life Is Beautiful So Why Not Eat Health Foods (1981, New Underground Records) Soundtrack appearances Cruising (1980, Lorimar Records) The Decline of Western Civilization (1980, Slash Records) References Further reading Mullen, Brendan; et al. (2002). Lexicon Devil: The Fast Times and Short Life of Darby Crash and the Germs. Feral House. . External links Lipton,
the thugs being called Phansigar ("using a noose"), a term more commonly used in southern India. During the 1830s, the thugs were targeted for eradication by the Governor-General of India, Lord William Bentinck, and his chief captain, William Henry Sleeman. Contemporary scholarship is increasingly skeptical of the thuggee concept, and has questioned the existence of such a phenomenon, which has led many historians to describe thuggee as the invention of the British colonial regime. Modus operandi The Thuggee units would assume the physical appearance of travellers. Initially they wore turbans and carried with them a certain amount of baggage. Their attire as travellers would deceive peasants and royalty alike. The methods used by the Thugs were meant to reap maximum loot without being caught. They did not accost travellers unless their own numbers were greater than those of their victims. They flattered travellers they met, which gave them a chance to assess what wealth their targets might have. Many of them avoided committing thuggee near the areas in which they lived, making the discovery of their crimes a difficult task. They often pretended to be either Hindu or Muslim to fool their victims. They usually attacked in the evening. A common method used was to distract their victims by engaging them in conversation, so that others in the band could strangle them swiftly from behind. To avoid suspicion, they avoided carrying more than a few swords. Sometimes they mutilated the corpses of their victims to avoid detection. The corpses were then hidden or buried. A leader of a gang was called jemadar. Usage of military-style ranks such as jemadar and subedar among Thugs as well as reference to individual members as a "private", suggests that the organisation of their gangs had a military link. They used a jargon known as Ramasee to disguise their true intentions from their targets. Although strangulation is one of their most-recognised methods of murder, they also used blades and poison. The thugs comprised both men who had inherited thuggee as a family vocation, as well as those who were forced to turn to it out of necessity. The leadership of many of the groups tended to be hereditary with family members sometimes serving together in the same band. Such Thugs were known as aseel. Many Thugs insisted, however, that novices were not taught Thuggee by their family but by others who were often more experienced Thugs, sometimes also called a guru. While they usually kept their acts a secret, female thugs also existed and were called baronee in Ramasee, while an important male Thug was called baroo. They would often avoid killing children of victims and instead adopted them. They sometimes tended to murder women and children to eliminate witnesses or in case they had substantial loot. Some of the thugs avoided murdering victims they considered proscribed according to their beliefs and let other unscrupulous members commit the murder or were forced to let them by those who did not believe in their customs like the Muslim thugs. History The earliest known reference to the Thugs as a band or fraternity, rather than ordinary thieves, is found in Ziau-d din Barni's History of Firoz Shah (written about 1356). He narrated an incident of the sultan Jalal-ud-din Khalji having 1,000 arrested thugs being sent to Lakhnauti or Gaur: In the 16th century Surdas, in his allegorical couplet, mentioned robbers called "thags" who would lure victims into their clutches to kill them and steal their property. Ibn Battuta, on his way to Calicut from Delhi as an envoy to China, was attacked by bandits, who probably were thugs. The Janamsakhis used the term thag to refer to a robber who used to lure pilgrims. Jean de Thévenot in his 1665 account referred to a band of robbers who used a "certain Slip with a running noose" to strangle their victims. John Fryer also mentions a similar method of strangling used by robbers from Surat whom he saw being given capital punishment by the Mughals in 1675. He mentioned that three of them were relatives, which Kim Wagner notices is similar to the Thugs who were thought to have engaged in this as a family profession. A decree issued by Aurangzeb in 1672 refers to a similar method and uses the term "Phansigar". The garrote is often depicted as a weapon of the Thuggee. Other evidences suggest that the Katar (dagger) was their personal status weapon, the Thuggee wore this weapon proudly across their chest. Early references to Thugs reported they committed their strangulation murders with nooses of rope or catgut, but later they adopted the use of a length of cloth that could be used as a sash or scarf, and thus more easily concealed. This cloth is sometimes described as a rumāl (head covering or kerchief), translated as "yellow scarf"; "yellow", in this case, may refer to a natural cream or khaki colour rather than bright yellow. The Thug preference for strangulation might have originated in a quirk of the law under the Mughal Empire, which ruled most of India from the 1500s. For a murderer to be sentenced to death, he or she must have shed the blood of their victim. Those who murdered but did not shed blood might face imprisonment, hard labor and paying a penalty—but they would not risk execution. Preparations of Datura metel, the Indian thornapple, (family Solanaceae), a poisonous plant sacred to Shiva with powerful deliriant properties, were sometimes used by Thugs to induce drowsiness or stupefaction, making strangulation easier. The Hindi name for the plant धतूरा (dhatūra) is derived from the Sanskrit and was adapted by Linnaeus into the Latinate genus name Datura. The "River Thugs" preyed upon people including Hindu pilgrims travelling using the Ganga river and became mostly active during the winter like their compatriots from Murnae, Bundelkhand and Awadh. Their dialect of Ramasee differed from the one used by their compatriots on land and used boats taken on lease from their builders or from a jemadar called Khuruck Baboo. Sleeman states that they tapped three times to give the signal to murder which they always committed during the day. To avoid detection of a corpse, they broke its back and threw it in the river to be eaten by crocodiles and only looted money or jewels. British suppression The British found out about them in Southern India for the first time in 1807, while in North India they were discovered in 1809 with an effort to suppress them being carried out from 1809 to 1812. After a dispute developed between the zamindar Tejun and the Thug Ghasee Ram in 1812, the latter took refuge with his family under another landlord called Laljee. Tejun in turn revealed the thugs of Sindouse to Nathaniel Halhed. Thomas Perry, the magistrate of Etawah, assembled some soldiers of the East India Company under the command of Halheld in 1812 to suppress the Thugs. Laljee and his forces including over 100 Thugs were defeated, with the village of Murnae, a headquarter of the Thugs, destroyed and burnt by the Company soldiers. Laljee fled to Rampura and the southern banks of Sindh River but was caught by the Marathas who turned him over to the company. British authorities had occasionally captured and prosecuted Thugs, circulating information about these cases in newsletters or the journal Asiatick Researches of The Asiatic Society. However, Sleeman seems to have been the first to realize that information obtained from one group of stranglers might be used to track and identify other thugs in a different district. His first major breakthrough was the capture of "Feringhea" (also known as Syeed Amir Ali, Khuda Buksh, Deahuct Undun and Daviga Persaud), who was persuaded to turn King's evidence. (Feringhea's story was the basis of the successful 1839 novel Confessions of a Thug). Feringhea brought Sleeman to a mass grave with a hundred bodies, told him the circumstances of the murders and named the Thugs who had committed them. After initial investigations confirmed what Feringhea had said, Sleeman began an extensive campaign using profiling and intelligence. Sleeman was made superintendent of the Thuggee and Dacoity Department in 1835, an organ of the Indian government first established by the East India Company in 1830. (Dacoity was a type of organized banditry, distinguished from Thugs most notably by its open practice and due to the fact that murder was not an intrinsic element of their modus operandi.) Sleeman developed elaborate intelligence techniques that pre-dated similar methods in Europe and the US by decades. Records were made in which the accused were given prisoner numbers, against which their names, residences, fellow thugs, and the criminal acts for which they were blamed were also noted. Many thugs' names were similar; they often lacked surnames since the Thuggee naming convention was to use the names of their tribes, castes and job assignments in the gangs. Accurate recording was also difficult because the thugs adopted many aliases, with both Muslim and Hindu thugs often posing as members of the other religion. Per the Thug Ghulam Hussain, though Hindus and Muslims avoided eating together, such was not the case for drinking and smoking. The campaign relied heavily on captured Thugs who became informants. These informants were offered protection on the condition that they told everything that they knew. According to historian Mike Dash, who used documents in the UK archives, suspects were subject to bench trials before English judges. Though the trials were lacking by later standards (e.g., suspects were not allowed legal representation), they were conducted with care to protocols of the time. While most suspects were convicted, Dash notes that the courts genuinely seemed interested in finding the truth and rejected a minority of allegations due to mistaken identity or insufficient evidence. Even by later standards, Dash argues, the evidence of guilt for many Thugs was often overwhelming. Because they used boats and disposed of their victims in rivers, the "River Thugs" were able to evade the British authorities for some time after their compatriots on land were suppressed. They were ultimately betrayed to the authorities by one of their compatriots, from Awadh. Forces under Sleeman's command hunted them down in 1836. Aftermath By the 1870s the Thug cult was essentially extinct, but the history of Thuggee led to the Criminal Tribes Act (CTA) of 1871. Although the CTA was repealed at Indian independence in 1947, tribes considered criminal still exist in India. The Thuggee and Dacoity Department remained in existence until 1904, when it was replaced by the Central Criminal Intelligence Department (CID). In Following the Equator, Mark Twain wrote about an 1839 government report by William Henry Sleeman: Thug view Thugs considered themselves to be the children of Kali, having been created from her sweat. However, many of the Thugs who were captured and convicted by the British were Muslims, perhaps up to a third. According to colonial sources, Thugs believed that they played a positive role in saving human lives. Without the Thugs' sacred service, Kali might destroy all mankind: "It is God who kills, but Bhowanee has [a] name for it." "God is all in all, for good and evil." "God has appointed blood for [Bhowanee's] food, saying 'khoon tum khao': feed thou upon blood. In my opinion it is very bad, but what can she do, being ordered to subsist upon blood!" "Bhowanee is happy and more so in proportion to the blood that is shed." The Muslim thugs, while retaining their monotheistic faith, had functionalised Bhavani for Thuggee and she was syncretised as a spirit subordinate to Allah. A Muslim thug caught by Sleeman stated "In my heart, I take the name of God, when I strangle a man – saying "thou God and ruler!" "Alla, toomee Malik!" I do not pray to Bhowanee, but I worship her." Other Muslim thugs who had agreed to testify for Sleeman, stated they had assimilated Bhavani and started the practice of thugee. According to historian Mike Dash, the Thugs had no religious motive to kill. When religious elements were present among Thugs, their beliefs, in principle, were little different from the religious beliefs of many others who lived on the Indian subcontinent and attributed their success or failure to supernatural powers: "Indeed all of the Thugs's legends which concerned the goddess Kali featured exactly the cautionary notes which are typically found in folklore." Donald Friell McLeod who led the campaign against them in the Rajputana Agency, recorded the traditions of their origins. According to them, they were originally Muslims and were taught Thuggee by the deity Devi or Bhavani. They then joined the Lodha people and migrated to Delhi where 84 tribes which were a part of all the criminal clans of India also became a part of the Thugs. A physician who belonged to
1812. After a dispute developed between the zamindar Tejun and the Thug Ghasee Ram in 1812, the latter took refuge with his family under another landlord called Laljee. Tejun in turn revealed the thugs of Sindouse to Nathaniel Halhed. Thomas Perry, the magistrate of Etawah, assembled some soldiers of the East India Company under the command of Halheld in 1812 to suppress the Thugs. Laljee and his forces including over 100 Thugs were defeated, with the village of Murnae, a headquarter of the Thugs, destroyed and burnt by the Company soldiers. Laljee fled to Rampura and the southern banks of Sindh River but was caught by the Marathas who turned him over to the company. British authorities had occasionally captured and prosecuted Thugs, circulating information about these cases in newsletters or the journal Asiatick Researches of The Asiatic Society. However, Sleeman seems to have been the first to realize that information obtained from one group of stranglers might be used to track and identify other thugs in a different district. His first major breakthrough was the capture of "Feringhea" (also known as Syeed Amir Ali, Khuda Buksh, Deahuct Undun and Daviga Persaud), who was persuaded to turn King's evidence. (Feringhea's story was the basis of the successful 1839 novel Confessions of a Thug). Feringhea brought Sleeman to a mass grave with a hundred bodies, told him the circumstances of the murders and named the Thugs who had committed them. After initial investigations confirmed what Feringhea had said, Sleeman began an extensive campaign using profiling and intelligence. Sleeman was made superintendent of the Thuggee and Dacoity Department in 1835, an organ of the Indian government first established by the East India Company in 1830. (Dacoity was a type of organized banditry, distinguished from Thugs most notably by its open practice and due to the fact that murder was not an intrinsic element of their modus operandi.) Sleeman developed elaborate intelligence techniques that pre-dated similar methods in Europe and the US by decades. Records were made in which the accused were given prisoner numbers, against which their names, residences, fellow thugs, and the criminal acts for which they were blamed were also noted. Many thugs' names were similar; they often lacked surnames since the Thuggee naming convention was to use the names of their tribes, castes and job assignments in the gangs. Accurate recording was also difficult because the thugs adopted many aliases, with both Muslim and Hindu thugs often posing as members of the other religion. Per the Thug Ghulam Hussain, though Hindus and Muslims avoided eating together, such was not the case for drinking and smoking. The campaign relied heavily on captured Thugs who became informants. These informants were offered protection on the condition that they told everything that they knew. According to historian Mike Dash, who used documents in the UK archives, suspects were subject to bench trials before English judges. Though the trials were lacking by later standards (e.g., suspects were not allowed legal representation), they were conducted with care to protocols of the time. While most suspects were convicted, Dash notes that the courts genuinely seemed interested in finding the truth and rejected a minority of allegations due to mistaken identity or insufficient evidence. Even by later standards, Dash argues, the evidence of guilt for many Thugs was often overwhelming. Because they used boats and disposed of their victims in rivers, the "River Thugs" were able to evade the British authorities for some time after their compatriots on land were suppressed. They were ultimately betrayed to the authorities by one of their compatriots, from Awadh. Forces under Sleeman's command hunted them down in 1836. Aftermath By the 1870s the Thug cult was essentially extinct, but the history of Thuggee led to the Criminal Tribes Act (CTA) of 1871. Although the CTA was repealed at Indian independence in 1947, tribes considered criminal still exist in India. The Thuggee and Dacoity Department remained in existence until 1904, when it was replaced by the Central Criminal Intelligence Department (CID). In Following the Equator, Mark Twain wrote about an 1839 government report by William Henry Sleeman: Thug view Thugs considered themselves to be the children of Kali, having been created from her sweat. However, many of the Thugs who were captured and convicted by the British were Muslims, perhaps up to a third. According to colonial sources, Thugs believed that they played a positive role in saving human lives. Without the Thugs' sacred service, Kali might destroy all mankind: "It is God who kills, but Bhowanee has [a] name for it." "God is all in all, for good and evil." "God has appointed blood for [Bhowanee's] food, saying 'khoon tum khao': feed thou upon blood. In my opinion it is very bad, but what can she do, being ordered to subsist upon blood!" "Bhowanee is happy and more so in proportion to the blood that is shed." The Muslim thugs, while retaining their monotheistic faith, had functionalised Bhavani for Thuggee and she was syncretised as a spirit subordinate to Allah. A Muslim thug caught by Sleeman stated "In my heart, I take the name of God, when I strangle a man – saying "thou God and ruler!" "Alla, toomee Malik!" I do not pray to Bhowanee, but I worship her." Other Muslim thugs who had agreed to testify for Sleeman, stated they had assimilated Bhavani and started the practice of thugee. According to historian Mike Dash, the Thugs had no religious motive to kill. When religious elements were present among Thugs, their beliefs, in principle, were little different from the religious beliefs of many others who lived on the Indian subcontinent and attributed their success or failure to supernatural powers: "Indeed all of the Thugs's legends which concerned the goddess Kali featured exactly the cautionary notes which are typically found in folklore." Donald Friell McLeod who led the campaign against them in the Rajputana Agency, recorded the traditions of their origins. According to them, they were originally Muslims and were taught Thuggee by the deity Devi or Bhavani. They then joined the Lodha people and migrated to Delhi where 84 tribes which were a part of all the criminal clans of India also became a part of the Thugs. A physician who belonged to these 84 tribes gained prominence after curing a royal elephant and was murdered by other Thugs. A schism developed and they left Delhi, which in turn led to the origin of seven Muslim tribes. According to McLeod, these tribes were named Bhyns, Bursot, Kachinee, Hutar, Kathur Gugra, Behleem and Ganoo. According to him, the thugs from Delhi were separated into more than 12 "classes". The earliest recorded traditions about the origins of the Thugs date back to 1760. Based on genealogies which were recounted by some Thugs, historian Mike Dash stated that the origin of the Thuggee can be dated back to the second half of the 17th century. A general consensus among them was that they originated in Delhi. The thug Gholam Hossyn who was caught in early 1800s stated that his accomplices believed that Thugs had existed since the time of Alexander the Great. Another tradition among Thugs who lived in the early 1800s stated that they had lived in Delhi till the time of Akbar and consisted of seven great Muslim clans, though they had Hindu names, during the period. After one of them killed a favoured slave of Akbar, they left Delhi for other regions to avoid being targeted by the emperor. A Brahmin thug who was interrogated by Sleeman referred to the Muslim thugs as Kanjars though another Thug denied this. Kim Wagner asserts that we can analyse their traditions about events after their flight from Delhi "to a much greater advantage". A tradition which was recounted by a captive Thug stated that the Thugs had originally tried to settle in Agra and they later settled in Akoopore in the Doab region. However, they had to flee to Himmutpur and later they fled to Parihara after their kings started demanding a larger share of the loot. In turn the original Muslim and Kayasth Thugs helped spread Thuggee amongst other groups like the Brahmins, Rajputs, Hindus, the Lodhi people and the Ahir people. One thug stated that some of the ancestors of the Thugs were forced to disguise themselves as Khunjurs while they were fleeing Delhi but they were high-caste Muslims. He, however, stated that their claimed descent may be wrong and some of them may be partially descended from poor people who worked in the Mughal army's camps. However, their claim that membership in the Thugs' clans was closed to outsiders is contradicted by the fact that people of all backgrounds were allowed to join them by the early 19th century according to available evidence. They considered it sinful to kill women, fakirs, bards, musicians and dancers. Like the ancient Hindu texts which distinguished robbery from the murder of Brahmins, women or children as violent crimes, many Thugs considered it taboo to kill people who belonged to such categories. Those who worked in lowly professions, the diseased and disabled were also forbidden as victims based on their folk belief. The thugs who broke these rules of the fraternity were often believed to have been targeted by divine punishment and their manner of death was thought to depend upon the rules they broke. Sects The East India Company officers since the time of Thomas Perry, who was appointed to Etawah in 1811, came to understand that there were many Thug groups and they all viewed themselves to be different than the other groups. The Thug sects were mostly identified based on their habitat, but also based on their professions. The sect called Jamuldahee was named so because its members lived along the Yamuna river, they hailed from the Doab and Awadh regions. Another stated origin is that their ancestor was the Thug Jumulud Deen. The Telinganie originated from Telangana, Arcottees from Arcot and Beraries from Berar. The Lodaha sect, mostly concentrated in Bihar, were caravaneers named after the lodha or load they carried and according to a Thug from the Doab, originated from the same ancestors of his clan. The Lodahas were prevalent in the region around Nepal in Bihar and Bengal during the tenure of Perry and originally hailed from Awadh which they left around 1700. A Deccan Thug stated that the "Hindu Thugs of Talghat", located around the Krishna River, didn't marry with the Telinganies whom they considered to be descendants of lower classes as a result of their professions. The Telinganie sect were also disparagingly called Handeewuls (from handi) due to their eating habits. The Pungoo or Bungoo of Bengal derived their name from the region, with the Lodhees or Lodaha also present. The Motheea sect of Rampur-Purnia region was from a caste of weavers and their name derived from the practice of giving "handful" (muhti) of the spoils to the head. In the Uttar Pradesh the sects were: the Korkureeas from Kohrur, Agureeas of Agra, Jumaldahees, Lodhees and Tundals. The Multaneea were from Multan. In Madhya Pradesh the sects were: Bangureeas or Banjaras, Balheems or Bulheems, Khokhureeas and Soopurreeas of Sheopur. In modern Rajasthan, the sects were Guguras whose name derives from river Ghaggar and Sooseeas who were part of the Dhanuk clan. The Dhoulanee sect existed in modern-day Maharashtra. The Duckunies of Deccan were from Munirabad and Kurnaketies from Carnatic region. Another sect was Kathurs whose name derives from a bowl called kathota, based on a tradition of a man who held it during celebrations by Thugs. The Qulundera sect's name was derived from the Muslim saints called qalandar. There were also Jogee thugs who were divided into twelve sub-groups. According to Feringheea, the Brahmins of Tehngoor village of Parihar were taught the Thuggee after they accompanied the kings of Meos to Delhi and later helped in spreading it in the region around Murnae. He also states that two of his ancestors who had settled and intermarried with Brahmins of Murnae about seven generations ago, which led to the introduction of Thuggee in the area. A Thug hailing from Shikohabad whilst talking of his clan's origin recounted to Perry a tradition that the Munhars were influenced to take up Thuggee after witnessing the immense plunder acquired by Afghans, Mewatties and the Sheikhs. Sleeman in 1839 identified a band called "Meypunnaists" who he stated abducted children to sell them further. Another band called "Tashmabazes" who used methods introduced by a British soldier deployed at Kanpur in 1802 were also identified by him. The group called "River Thugs" were based deep in the South Bengal region. Colonial British view The British generally took the view that Thuggee was a type of ritual murder practiced by worshippers of the goddess Kali. Sleeman's view of it as an aberrant faith was based on the contemporary British view that Hinduism was a despicable and immoral faith founded on idol-worship. R. C. Sherwood in Asiatick Resarches published in 1820 traces this phenomenon back to the Muslim conquests of India and suggests links to Hindu mythology. Charles Trevelyan however instead of seeing them as a deviant sect, considered them to be representatives of the "essence" of Hinduism which he considered as "evil" and "false". Sleeman considered some Brahmins acted as intelligence providers to Thugs, claiming that they profited from Thuggee and directed it. Kali's worship by thugs, both Muslims and Hindus, was emphasised by the British. McLeod commented, "It is a notable fact that not only amongst the Thugs, but in an especial manner among all lawless fraternities, and to a certain extent throughout the uneducated population of Central India, the Mussulmans vie with the Hindus in a devotion of this sanguinary deity (Devi or Bhavani) far exceeding that they pay to any other." David Ochterlony blamed the Pindaris for the rise of Thuggee while Sleeman blamed it on Indian rulers dismissing their armies which took away the jobs of many soldiers. Based on Sleeman's writings about the Thugs, Robert Vane Russell claimed that
adopted for transistor fabrication, which evolved to full integrated-circuit approaches. Procedures involved The term tapeout currently is used to describe the creation of the photomask itself from the final approved electronic CAD file. Designers may use this term to refer to the writing of the final file to disk or CD and its subsequent transmission to the semiconductor foundry; however, in current practice the foundry will perform checks and make modifications to the mask design specific to the manufacturing process before actual tapeout. These modifications of the mask data include: Chip finishing which includes custom designations and structures to improve manufacturability of the layout. Examples of the latter are a seal ring and filler structures. Producing a reticle layout with test patterns and alignment marks. Layout-to-mask preparation that enhances layout data with graphics operations and adjusts the data to mask production devices. This step includes resolution enhancement technologies (RET), such as optical proximity correction (OPC) which corrects for the wave-like behavior of light when etching the nano scale features of the most modern integrated circuits. Naming issues Some sources erroneously believe that the roots of the term can be traced back to the time when paper tape and later magnetic tape reels were loaded with the final electronic files used to create the photomask at the factory. However, the use of the term predates the widespread CAD usage of magnetic tape by decades. At the University of California, Berkeley, the tongue-in-cheek term tape-in was coined by Professor John Wawrzynek
as optical proximity correction (OPC) which corrects for the wave-like behavior of light when etching the nano scale features of the most modern integrated circuits. Naming issues Some sources erroneously believe that the roots of the term can be traced back to the time when paper tape and later magnetic tape reels were loaded with the final electronic files used to create the photomask at the factory. However, the use of the term predates the widespread CAD usage of magnetic tape by decades. At the University of California, Berkeley, the tongue-in-cheek term tape-in was coined by Professor John Wawrzynek to allude to iterative "internal tape-outs" in the spirit of agile design philosophy around 2010. A synonym used at IBM is RIT (release interface tape). IBM differentiates between RIT-A for the non-metallic structures and RIT-B for the metal layers. Miscellaneous A modern IC has to go through a long and complex design process before it is ready for tape-out. Many of the steps along the way use software tools collectively known as electronic design automation (EDA). The design must then go through a series of verification steps collectively known as "signoff" before it can be taped-out. Tape-out is usually a cause for celebration by everyone who worked on the project, followed by trepidation awaiting the
promised not to again take up arms during the war, and to obey the laws and regulations of the United States, were allowed to peaceably return to their homes and ranchos. They were to be allowed the same rights and privileges as were allowed to citizens of the United States, and were not to be compelled to take an oath of allegiance until a treaty of peace was signed between the United States and Mexico, and were given the privilege of leaving the country if they wished to do so. Under the later Treaty of Guadalupe Hidalgo in 1848, Mexico formally ceded Alta California and other territories to the United States, and the disputed border of Texas was fixed at the Rio Grande. Pico, like nearly all the Californios, became an American citizen with full legal and voting rights. Pico later became a State Assemblyman and then a State Senator representing Los Angeles in the California State Legislature. Background On December 27, 1846, Frémont and the California Battalion, in their march south to Los Angeles, reached a deserted Santa Barbara and raised the American flag. He occupied a hotel close to the adobe of Bernarda Ruiz de Rodriguez, a wealthy educated woman of influence and Santa Barbara town matriarch, who had four sons on the Mexican side. She asked for and was granted ten minutes of Frémont's time, which stretched to two hours; she advised him that a generous peace would be to his political advantage—one that included Pico's pardon, release of prisoners, equal rights for all Californians and respect of property rights. Frémont later wrote, "I found that her object was to use her influence to put an end to the war, and to do so upon such just and friendly terms of compromise as would make the peace acceptable and enduring.... She wished me to take into my mind this plan of settlement, to which she would influence her people; meantime, she urged me to hold my hand, so far as possible.... I assured her I would bear her wishes in mind when the occasion came." The next day, Bernarda accompanied Frémont as he continued the march south. On January 8, 1847, Frémont arrived at San Fernando. On January 10, the combined army of Commodore Robert F. Stockton and Brigadier Stephen W. Kearny re-took Los Angeles with no resistance. Frémont learned of the reoccupation the next day. On January 12, Bernarda went alone to the camp of General Andres Pico and told him of the peace agreement she and Frémont had
I would bear her wishes in mind when the occasion came." The next day, Bernarda accompanied Frémont as he continued the march south. On January 8, 1847, Frémont arrived at San Fernando. On January 10, the combined army of Commodore Robert F. Stockton and Brigadier Stephen W. Kearny re-took Los Angeles with no resistance. Frémont learned of the reoccupation the next day. On January 12, Bernarda went alone to the camp of General Andres Pico and told him of the peace agreement she and Frémont had drafted. Frémont and two of Pico's officers agreed to the terms for a surrender, and Articles of Capitulation were penned by Jose Antonio Carrillo in both English and Spanish. The first seven articles in the treaty were nearly the verbatim suggestions offered by Bernarda Ruiz de Rodriguez. On January 13, at a rancho at the north end of Cahuenga Pass, with Bernarda Ruiz de Rodriguez present, John Frémont, Andres Pico and six others signed the Articles of Capitulation, which became known as the Treaty of Cahuenga. The treaty, signed by the Mexican military commander of the area and a U.S. army colonel, was made without the formal backing of either the American government in Washington or the Mexican government in Mexico City, and even the ranking U.S. officers in the area (General Kearny and Commodore Stockton) were unaware of it. Still, it was eventually honored by both national governments and was immediately and permanently observed by the local American and Californio populations. Fighting ceased, thus ending the war in California. On January 14, the California Battalion entered Los Angeles in a rainstorm, and Frémont delivered the treaty to Commodore Robert Stockton. Kearny and Stockton decided to accept the liberal terms offered by Frémont to terminate hostilities although Andres Pico had broken his earlier pledge that he would not fight U.S. forces. The next day, Stockton approved the Treaty of Cahuenga in a message that he sent to the Secretary of the Navy. Historical re-enactment In celebration, on or around the date of the original signing, a historical ceremony is conducted at Campo de Cahuenga State Historic Park and site. From time to time, some of the descendants have appeared, along with actors to re-create this historical moment. See also Cahuenga, California; Tongva settlement. References External links Mark J. Denger, "The Treaty of Campo de Cahuenga" Cahuenga 1847 treaties Conquest of California Mexican California History of the San Fernando Valley History of Los Angeles 1847 in Alta California 1847 in Mexico 19th century in Los Angeles Treaties of
unhappy with Carroll's management, left in December 1977 (he went on to form the Passage with Dick Witts). He was briefly replaced by Jonnie Brown, and later by Eric McGann (also known as Eric the Ferrett). The Fall were filmed on 13 February 1978 for the Granada TV show What's On, hosted by Tony Wilson, performing "Psycho Mafia", "Industrial Estate" and "Dresden Dolls", featuring the brief line-up of Smith, Bramah, Burns, Baines and McGann. Baines left in March 1978 after a drug overdose and subsequent nervous breakdown, and was replaced by Yvonne Pawlett; McGann quit that May, in disgust at the group's van driver Steve Davies wearing a Hawaiian shirt as he ferried them to the recording of their first-ever session for influential radio DJ John Peel. (The Fall would record a total of 24 sessions for Peel, who became a devoted fan of the group.) Martin Bramah blamed the dissolution of the original line-up on Smith's style of leadership, together with Carroll's favouring of her partner: "The break-up wasn't so much about the music, though; it was more how we were being treated as people on a daily basis." 16-year-old Marc Riley, the group's roadie, was eventually recruited to the group to play bass guitar. Bingo-Master's Break-Out! finally was released in August 1978 on Step Forward Records. The single "It's the New Thing" followed in November 1978, and in December the Fall recorded (in a single day) their debut album Live at the Witch Trials, which was released in March 1979. Burns quit the group shortly after the album was recorded, and was replaced by Mike Leigh from Rockin' Ricky, a cabaret band. In April 1979, Burns was followed by Martin Bramah, co-writer of most of the songs on Live at the Witch Trials and, according to writer Daryl Eslea, "possibly the last true equal to Smith in the group"; he went on to form Blue Orchids with Una Baines. Marc Riley switched from bass guitar to guitar, and Craig Scanlon (guitar) and Steve Hanley (bass guitar), former bandmates of Riley and members of Fall support act Staff 9, joined the group. Hanley's melodic basslines became a vital part of the Fall's music for almost two decades. Smith praised his playing in Melody Maker: "The most original aspect of the Fall is Steve ... I've never heard a bass player like him ... I don't have to tell him what to play, he just knows. He is the Fall sound." Yvonne Pawlett left in July 1979 to look after her dog. She later appeared in a band called Shy Tots. On 30 July 1979, "Rowche Rumble", the Fall's third single, was released featuring the line up of Smith, Scanlon, Riley, Hanley, Pawlett and Leigh. Pawlett left the group shortly afterwards. Dragnet, the Fall's second album, was recorded in August 1979 at Cargo Studios, Rochdale, and was released on 26 October 1979. Dragnet signalled a sparser, more jagged feel in the Fall's music compared to Live at the Witch Trials. The studio allegedly complained about the sound quality and protested against putting its name on the album sleeve, fearing it would put other artists off using the facilities. 1980–1982: Classic line-up The Fall released their fourth single "Fiery Jack", their last for Step Forward, on 13 January 1980. In March, Mike Leigh left the group and went back to the cabaret circuit. According to Leigh, the band would have to wait for weeks without work while Smith came up with new lyrics, as opposed to regular weekly gigs in cabaret. Leigh's replacement was Paul Hanley, Steve Hanley's younger brother. He first played live with the Fall on Friday 21 March at Electric Ballroom, London – he was only 16 and was actually still at school. Meanwhile, the Fall quit Step Forward and signed with Rough Trade; the first release on a new label became Totale's Turns in May 1980. This, with the exception of two tracks, was a live album documenting the band during various appearances in 1979, with Smith announcing last orders at the bar [responding to a request for the song "Last Orders"] and berating band members and audience throughout. In November 1980, the Fall released their third full-length album Grotesque (After the Gramme). Preceded by a couple of acclaimed singles "How I Wrote 'Elastic Man'" and "Totally Wired", the album went to #1 on the UK Indie Chart. It was co-produced by Rough Trade's Geoff Travis and Mayo Thompson of Red Krayola and showed a significant improvement in production, which was to continue throughout the period. Smith, however, was unhappy with Rough Trade's politics, which showed when Slates came out in April 1981. Intentionally made too long for a single and too short to be considered an album, it was released as a 10" EP for a price of just 2 pounds. The Fall eventually quit Rough Trade by the end of the year, and instead signed with a small indie label Kamera. As the Fall were going to tour America after the release of Slates, Paul Hanley was denied a visa as he was too young to play American clubs that serve alcohol, which restrict entry to those age 21 or older. Smith thus invited Karl Burns back into the group, initially as a temporary replacement. Select recordings from this tour were released in 1982 as A Part of America Therein, 1981. After their return to the UK, Burns stayed in the group as a second drummer alongside Hanley. The first record to feature both Burns and Hanley became the "Lie Dream of a Casino Soul" single, produced by Richard Mazda and released in Australia and New Zealand in November 1981. On 8 March 1982 Hex Enduction Hour, also produced by Mazda, was released on Kamera Records, the Fall's seventh single ("Look, Know") was released 19 April 1982 on Kamera. On 27 September the Room to Live album was released on Kamera. Marc Riley was sacked at the end of the year, following several arguments, one of which resulted in a fist fight during the Australian tour. In response, Riley's band "The Creepers" wrote the track "Jumper Clown", which directly references Riley's dismissal, while also satirising Smith's dress sense. This era is often regarded as a high point in the band's creative history, as noted by Ned Raggett of Allmusic who retrospectively described the late years with Riley and shortly after his departure as "three years during which the band couldn't seem to make a wrong step." 1983–1989: Brix Smith years In 1983, Rough Trade Records released the Fall's ninth single, "The Man Whose Head Expanded", and on 19 September issued the band's tenth single and double pack "Kicker Conspiracy". Bizarrely, in November Kamera Records released around two- to three-thousand copies of the planned 1982 single "Marquis Cha Cha", the release date having been put back due to Kamera's financial troubles in late 1982, making it the Fall's eleventh single issue. That year Smith's American girlfriend and later wife, Brix Smith joined the band on guitar. Born Laura Elise Salenger, she
UK chart with singles including "Telephone Thing" (no. 58, 1990), "White Lightning" (no. 56, 1990), "Free Range" (no. 40, 1992) and "Why Are People Grudgeful" (no. 43, 1993). Bramah and Schofield were sacked in advance of 1991's Shift-Work. Dave Bush joined on keyboards for 1992's Code: Selfish, followed by the band's return to an independent record label for The Infotainment Scan (1993), Middle Class Revolt (1994), and Cerebral Caustic (1995). These albums featured varying degrees of electronica and IDM, courtesy of Bush's keyboards and computers. Caustic saw the unexpected return of Smith's ex-wife Brix, who recorded The Light User Syndrome before departing in 1996. When Dave Bush went to join Elastica, Scanlon was sacked after sixteen years, an unpopular decision which Smith would later regret. In November 1994 Julia Nagle joined to help promote the release of Cerebral Caustic, playing keyboards, guitars and computers. Nagle went onto contribute to The Light User Syndrome in 1996. That year also saw the start of a torrent of compilations of live, demo and alternative versions of songs on the Fall's new label Receiver Records. In 1994 and 1996, the Fall played at the Phoenix Festival in Stratford-upon-Avon, England – the 1996 appearance being one of much surprise to many fans as they were not scheduled to play. The next album, Levitate (1997), toyed with drum and bass and polarised opinion (long-serving drummer Simon Wolstencroft left halfway through the recording sessions, and was replaced – again – by Karl Burns). Steven Wells in the NME (11 October 1997) wrote, "Imagine pop without perimeters. Imagine rock without rules. Imagine art without the wank. If you've never heard the Fall then Levitate will be either the best or the worst record you've ever heard." The group was temporarily reduced to Smith and Nagle when a short US tour ended in April 1998 with onstage rows in New York, which resulted in Smith unplugging the amps during songs and lashing out at the other members, leading Burns to physically shove him. This led to the departure of Hanley (bassist of nineteen years), Burns, and guitarist Tommy Crooks. The following day, Smith was arrested and charged with assaulting Nagle in their hotel. Despite this, Nagle remained with the band. The Smith and Nagle line-up would release two albums: The Marshall Suite (1999) and The Unutterable (2000). 2001–2017: later years Further rifts within the band followed in 2001, which led to a new line-up of Smith, Ben Pritchard (guitar), Ed Blaney (guitar), Jim Watts (bass), and Spencer Birtwistle (drums) releasing Are You Are Missing Winner that year to mixed reviews. Spencer Birtwistle was replaced by Dave Milner on drums in November 2001. September 2002 saw Elena Poulou – Smith's third wife – fill the vacant position of keyboards player, and that year Q magazine named the Fall one of "50 Bands to See Before You Die". The Real New Fall LP (renamed from Country on the Click after an earlier mix of the album appeared on Internet file sharing networks) followed in 2003, with a slightly different mix and some extra tracks for the US version, after which Jim Watts was sacked (replaced by Steve Trafford) and Milner was replaced by a returning Spencer Birtwistle. In 2004 the band released its first career-spanning compilation to positive reviews in June, and a new album, Interim, in November. In January 2005, the Fall were the subject of a BBC Four TV documentary, The Fall: The Wonderful and Frightening World of Mark E Smith. Their twenty-fifth studio album, entitled Fall Heads Roll, was issued on 3 October 2005. The guitarist, bassist, and drummer all left the group acrimoniously during the US summer 2006 tour after just four dates. In a US radio interview, Smith described their departures as "the best thing that ever happened" to the Fall, although it was some months before he confirmed that they would not be returning. Early in 2007 the Fall released the Reformation Post TLC album, recorded with the same lineup that salvaged the 2006 US tour. Yet another lineup released Imperial Wax Solvent, in 2008; this lineup would hold for the following three albums, and the core of Peter Greenway (guitar), David Spurr (bass), and Keiron Melling (drums) for the remainder of the band's existence. In April 2009, the Fall signed with UK-based independent record label Domino Records. A new studio album, titled Your Future Our Clutter, was released on 26 April 2010. This was followed in November 2011 by the album Ersatz GB. In March 2012, the band were chosen by Jeff Mangum of Neutral Milk Hotel to perform at the All Tomorrow's Parties festival he curated in Minehead, England. The Fall released their twenty-ninth studio album, Re-Mit, in 2013. In 2014, former members Brix Smith Start, Steve Hanley and Paul Hanley formed a new group called Brix & the Extricated. In addition to new original material, the group also performs songs that the members had written or co-written during their tenure with The Fall. Smith Start and Steve Hanley also both released autobiographies covering their tenures with The Fall around this time frame; 2016's The Rise, The Fall & The Rise and 2014's The Big Midweek: Life Inside The Fall, respectively. The Fall's thirtieth album, Sub-Lingual Tablet, was released in 2015. This would be Elena Poulou's last album with the band: in a 2016 interview with Mojo Magazine, Smith announced that she had resigned; they would divorce that year. The Fall's thirty-first and final studio album, New Facts Emerge, was recorded as a four-piece and released in July 2017. Michael Clapham joined in May 2017 on keyboards, but never recorded with the band. Following Smith's death, Greenway, Spurr and Melling recruited singer and guitarist Sam Curran to form a new band, Imperial Wax. Death of Mark E. Smith Early in 2017, there were reports that Smith was ill, and over the year numerous live dates were cancelled or postponed for reasons of health, including a week's dates in New York. Having become weak due to a change in medicine, he performed a number of shows in a wheelchair. His final performance and last appearance in public took place at the Queen Margaret Union, Glasgow, on 4 November 2017. Another show was scheduled for the Fiddlers, Bristol, on 29 November; Smith travelled to Bristol but was then too unwell to leave his hotel room. The other members of the group made a brief appearance on stage and apologised to the people who had come to see The Fall. On 24 January 2018, Smith died at his home in Prestwich, Greater Manchester after a long illness. He was 60 years old. Smith had been diagnosed with terminal lung and kidney cancer, which his family confirmed had contributed to his death. The announcement of Smith's death was made by his partner and Fall manager Pamela Vander. Smith had struggled with alcoholism and periodic drug use throughout his adult life, and had undergone treatment on a number of occasions. His condition led to him falling and suffering bone fragmentation a number of times from the mid 2000s, leading to his performing several dates in a wheelchair and cast. A heavy smoker, Smith had long suffered from throat and respiratory problems; yet his work ethic or output never declined and he continued to release a new album close to once a year. Posthumous projects In August 2018, Cherry Red Records, The Fall's final label, announced they had purchased the rights to 40 Fall albums from Smith before his death, and plan to release a reissue series and box set sometime in the future. Smith's vocal style and lyrics Smith's vocal delivery was known for his tendency to end each phrase terminating in a consonant with an added schwa vocalisation ("ah"). He often speak-sang or sing-slurred his lyrics, especially from the mid-1990s. His delivery, particularly when playing live, could be described as "rambling", and he often interjected improvised rants. His lyrics, delivered in a heavy Mancunian accent, are often cryptic, absurdist and inscrutable, and were described by critic Simon Reynolds as "a kind of Northern English magic realism that mixed industrial grime with the unearthly and uncanny, voiced through a unique, one-note delivery somewhere between amphetamine-spiked rant and alcohol-addled yarn." Smith described his approach as wanting to combine "primitive music with intelligent lyrics". Thematically, his frequently densely layered lyrics often centre around descriptions of urban grotesques, gloomy landscapes, "crackpot history", and are infused with regional slang. Fragments of Smith's lyrics often appeared handwritten on early Fall album and single covers, along with collages he had put together. In a 1983 interview with Sounds, Smith said that he liked artwork to reflect the album content and that his graphic choices reflected his attitude to music. He mentioned how he was drawn to cheap and misspelled posters, amateur layouts of local papers and printed cash and carry signs with "inverted commas where you don't need them". Influence On the group’s influence, Stephen Thomas Erlewine of AllMusic wrote that “the Fall, like many cult bands, inspired a new generation of underground bands, ranging from waves of sound-alike indie rockers in the UK to acts in America and New Zealand, which is only one indication of the size and dedication of their small, devoted fan base.” The Fall have influenced groups and artists such as Pavement, Yung Lean, Happy Mondays, Sonic Youth, Steve Albini, the Pixies, These New Puritans, LCD Soundsystem, as well as the Russian group Grazhdanskaya Oborona. Sonic Youth covered three Fall songs (and “Victoria” by the Kinks, also covered by the Fall) in a 1988 Peel session, which was released in 1990 as an EP, “4 Tunna Brix”, on Sonic Youth’s own Goofin’ label. The Pixies covered “Big New Prinz” during their 2013 world tour. The 1990s indie acts Pavement (who recorded a version of “The Classical”) and Elastica (Smith contributed vocals to their final EP and album) showed an influence of the Fall, while Suede parodied the band with “Implement Yeah!”, a song found on the cassette edition of their 1999 single, “Electricity.” The Fall and Smith have been name-checked in songs, notably with the title track of Maple Leaves by Jens Lekman, "Southern Mark Smith" by The Jazz Butcher, “I’ve Never Been Hit by Mark E Smith” and “Bloody Proud” by I, Ludicrous and “I Am Mark E Smith” by Fat White Family. The experimental hip hop/punk band Death Grips also sampled the band’s song “Paranoia Man in Cheap Sh*t Room” on their song “Hahaha”. In 2001, when Texan post-hardcore band At The Drive-In played live at Australia’s music festival BDO the band’s singer Cedric Bixler-Zavala said this before they played their song “Pattern Against User”: “This is dedicated to a band from the U.K. called THE FALL. If you don’t know who THE FALL is, you’re listening to too much Hip Hop and Heavy Metal. This is for Mark E. Smith!” Discography Studio albums Members Since the Fall formed in 1976, Mark E. Smith was the only constant member. All other founding members had left by the end of 1979, although Martin Bramah returned to the band from 1989 to 1990. Of the 66 musicians who came and went over the band's 40-year existence, about one third played in the band for less than a year. The final line-up consisted of Smith, Pete Greenway, Dave Spurr, Keiron Melling and Michael Clapham. Melling, Spurr and Greenway joined the band in 2006. Smith once remarked, in an oft-quoted quip about the band's frequent lineup changes, "If it's me and your granny on bongos, it's The Fall." References Sources Bibliography Hanley, Steve. "The Big Midweek: Life Inside The Fall". London: Route, 2014. (released in paperback format as The Fallen: Life in and Out of Britain's Most Insane Group, )
of the three public releases, reducing the government's ownership of Telstra to 17%. The 17% remainder of Telstra was placed in Australia's Future Fund, a sovereign wealth fund established mainly to meet future liabilities for payment of superannuation to retired federal public servants. In 2009, the Future Fund sold off another $2.4 billion worth of shares, reducing the government's stake in Telstra to 10.9%. In August 2011, under Labor's Gillard Government, the Future Fund sold its remaining "above market weight" Telstra shares, effectively completing Telstra's privatisation. With more than one million shareholders, Telstra is currently the most widely held ASX-listed company. National Broadband Network On 26 November 2008, Telstra submitted a non-complying tender issued by the federal government to build a National Broadband Network, a 12-page letter proposing a $5 billion broadband network covering between 80 and 90 percent of the Australian population in major cities, despite the tender requiring 98 percent coverage. As a result, Telstra was removed from the National Broadband Network RFP process on 15 December 2008. In response, Telstra announced that it would raise speeds on its existing Next G network and HFC "cable" network so that they both offer higher speeds than the RFP for the NBN requires. Following Telstra's exclusion from the National Broadband Network bidding process Telstra's share price suffered the biggest one-day percentage fall in its history. NBN Co Limited signed a definitive agreement with Telstra on , estimated to be worth post-tax net present value, building upon the signing of a financial heads of agreement a year beforehand. Telstra agreed to "disconnect" its Internet customers from the copper and hybrid fibre-coaxial networks in areas where FTTP has been installed, and agreed to lease dark fibre, exchange space and ducts to NBN Co. As part of the agreement, Telstra would not be able to market their mobile network as an alternative to the NBN for a number of years. Telstra remains the owner of its networks. On 18 October 2011, Telstra shareholders overwhelmingly approved the deal. On 14 December 2014 it was announced that in a A$11b renegotiated deal Telstra will transfer ownership of its copper and hybrid fibre-coaxial (HFC) networks to NBN while disconnecting premises from these networks. This ownership allows NBN Co to use these networks "where it sees fit in for its multi-technology NBN rollout." David Thodey era: 2010–2015 Under the leadership of David Thodey, Telstra embarked upon a transformation agenda to become more sales and service focused. As part of that, an ambitious customer service agenda was defined. In 2014, Telstra was named "most respected company" by the Australian Financial Review newspaper. Market share recovery Early in 2010, Telstra announced the creation of a $1 billion "fighting fund" to be used in a concerted effort to win back market share in key product categories. This effort seems to have paid off with strong sales momentum announced in February 2011. Customer service recovery As part of its new strategy, Telstra announced that its "goal is for customer service to be fundamental to everything we do". In August 2011, Telstra Digital announced expansion of customer service into social media with 24/7 coverage. By November 2012, Telstra claimed 140,000 live chats for the month and a growth rate of this service of 600% p.a. In October 2013, Telstra announced that it had grown its Live Chat workforce to 600 and its social media workforce to 30. The following table shows total complaints handled by the Telecommunications Industry Ombudsman (TIO) 2010-2015, and of those, the ones made against Telstra. Telstra Digital In February 2011, Telstra announced the formation of Telstra Digital under the leadership of Gerd Schenkel who was hired from National Australia Bank/UBank. Telstra Digital's initial purpose was to improve the use of digital channels for customer service. In April 2011, Telstra Digital relaunched its web homepage design. In July 2011, Telstra Digital launched "CrowdSupport", an online forum to crowd source customer service. As of July 2017, Telstra's "CrowdSupport" had 463,000 posts. It was also cited as an example of "scaling at the edge" by Deloitte's Centre for the Edge. In September 2011, Telstra Digital launched a new account services portal to help achieve its goal of managing 35% of Telstra's transactions. In October 2011, Telstra Digital announced a new mobile smartphone optimised version of its website. In November 2011, Telstra Digital launched an iPhone app on a trial basis as well as a new online mobile phone shop. In July 2012, Telstra Digital launched smartphone and Facebook apps for customers to manage their Telstra accounts and in November 2012, Telstra claimed that over 700,000 customers had downloaded those apps. In August 2013, Telstra revealed that the apps reached 2.5 million downloads. At a results announcement, CEO David Thodey remarked that "the group's new online strategy was delivering" in the context of a 28% reduction of inbound service calls. Telstra estimated that its digital program will provide productivity benefits of $100 million in the 2013 financial year from lower printing costs, decreasing commissions to third parties, and reduced dependence on call center staff. In October 2012, Telstra's CEO David Thodey stated, "The rise of online and social media had 'fundamentally changed the way' which the company communicated with its customers". In a 2015 Deloitte report, Telstra disclosed that its "CrowdSupport" service community had generated 200,000 pieces of user-generated content. In August 2016, Telstra disclosed that "more than 60%" of visitors to "CrowdSupport" manage to find an answer on the community. In February 2013, Telstra introduced the ability to pay its bills via PayPal. And in June 2013, Telstra launched a new website, including the ability for customers to link their online accounts to their Facebook identity. In March 2014, Telstra announced a new digital development program called "Digital First" with a stated aim to conduct 65 to 70 percent of its transactions online. Telstra published a white paper sharing some key metrics of its digital program: In September 2014, Telstra announced the opening of a "Digital Transformation Centre" in Sydney to design and built new digital tools for its service systems. In June 2014, Telstra disclosed that it had 3 million customers on "electronic billing" saving it $3 million per month in costs. Telstra also mentioned that live chat accounted for 10% of total contact centre activity. In December 2015, Telstra Digital launched customer service on Periscope. In October 2016, the Executive Director of Telstra Digital Gerd Schenkel left Telstra to become CEO of a fintech company. Retail store network Telstra owns and operates a series of retail stores known as Telstra Stores. Some are directly owned and operated by the Telstra Corporation and some are operated by licensees. As of May 2016, Telstra has a total of 360 retail stores across Australia. This includes several new 'Discovery' stores, where Telstra has invested millions in redesigning key stores based on local requirements. These designs include new displays, accessory shops, digital tickets and free baristas. 109 of Telstra's stores are owned and operated by Vita Group, a publicly listed company with a market capitalisation of approximately $600m (June 2016). In February 2011, Telstra announced the creation of an additional 100 retail stores within three years. In August 2016, Telstra disclosed that "over 300" Telstra stores were equipped with low energy Bluetooth beacons. The carrier opened the world's first Android store, called "Androidland", on Bourke Street, Melbourne, Australia, in December 2011. These developments built on Telstra's T[life] concept stores it had launched in the early 2000s. New brand In October 2011, Telstra launched a new brand identity and color scheme. The new identity launched with the slogan "It's how we connect", and features the "T" from the previous logo in a variety of colors. This was followed by a "brand refresh" in February 2014 and again in 2016. In 2013, Telstra was assessed as Australia's third most valuable brand, after Woolworths and BHP Billiton. In 2016 Telstra became Australia's most valuable brand, which it maintained in 2017. Sponsorships Telstra sponsors numerous awards around Australia, including the Australian Business of the Year award, the MYOB Small Business Award, and the National Aboriginal & Torres Strait Islander Art Award (NATSIAA) which has become known as the Telstra Award. Notable past winners include Vaxine, APS Plastics, and eWAY. Telstra was a major sponsor of the V8 Supercars car racing championship through its BigPond brand and directly sponsored the Sydney Telstra 500 event, the final round of the series held at Sydney Olympic Park. The sport ended this deal at the conclusion of the 2012 season. Telstra had naming rights to the Docklands Stadium in Melbourne from 2000 until 2009. Telstra is also the naming rights sponsor of the National Rugby League Premiership. Telstra is also the principal sponsor of Swimming Australia. They also sponsored the Minardi team for the 2002 Formula One season, and the Rally Australia 2006 Championships. Telstra also had the naming rights (under TelstraClear) for the TelstraClear Pacific events centre in Manukau City, New Zealand. Share price development In November 1997, the Australian government sold the first tranche of its Telstra shares, 4.29 Billion shares, publicly at a price of $3.40 per share to institutional investors and $3.30 to retail investors. This sale is commonly referred to as "T1". In October 1999, the Australian government sold the second tranche of its Telstra shares under the "T2" program for $7.80 per share to institutional investors and $7.40 to retail investors. In November 2006, the government sold a third tranche of its shares, "T3", at $3.60 per share. Since its privatisation, Telstra shares have hit a low of just over $2.50 per share in late 2010. Since then, Telstra shares have risen to $5 per share in December 2013 and $6 per share in December 2014. On 17 May 2019 the shares closed on the ASX at $3.56 up from a twelve-month low of $2.547 per share In February 2014, Telstra raised its dividend from 14c to 14.5c per share. Amid the global pandemic crisis of the coronavirus in 2020, Telstra was one of three companies of the ASX 200 to gain in the week starting 15 March. It increased by 1.8 percent on the Australian Securities Exchange. Sale of Sensis In January 2014, Telstra announced its intention to sell 70% of Sensis to Platinum Equity for $454 million. Sensis was said to have once been "one of Telstra's most lucrative businesses" and reportedly "has been under pressure in recent years amid competition from more agile digital alternatives such as Google". In February 2014, Telstra was reportedly seeking to reduce Sensis employment by 400 to 1,000 positions. New health business unit In September 2013, Telstra launched a new health business unit – Telstra Health and hired Shane Solomon as the head. In September 2016, Telstra Health was awarded a $220m government contract amidst claims of "lack of transparency". Shane Solomon left Telstra in Nov 2016. Telstra Health Acquisitions National Broadband Network (NBN) In December 2014, Telstra signed an agreement with the federal government's A.C.N. 86 136 533 741 (NBN Co) Limited. This agreement is said to retain the $11b value for Telstra of the original agreement from October 2011 and will see the company progressively sell its copper and HFC networks to A.C.N. 86 136 533 741 (NBN Co) Limited. Andrew Penn era (2015–present) On 19 February 2015, Telstra announced that CEO David Thodey would retire on 1 May 2015 and be replaced by successor Andy Penn. Penn indicated new focus on growth in international markets, however this strategy experienced a setback with the failure of a joint venture to build a mobile phone network in the Philippines. On 14 March 2016, Telstra ended their talks between the company and the Philippine-based conglomerate San Miguel Corporation for a planned joint telecommunications venture in the Philippines due to several factors. In 2016, Telstra suffered a series of network outages for which the company apologised. In December of that year, Telstra announced the appointment of Robyn Denholm as its new COO, following the departure of Kate McKenzie who left after a series of network outages. In December, Telstra announced the hire of a new CTO to replace the predecessor who left amongst allegations of CV fraud. In 2016, the government raised the possibility that Telstra's regional mobile network may be forced to be opened to competitor' use under a roaming scheme. A prospect strongly being fought by Telstra. In February 2017, Telstra announced a that revenue had dropped 3.5%, Net Profit After Tax had dropped by over 14%. As a result, Telstra's share price dropped by 4.5% on the same day. In August 2017, Telstra announced that it would cut its dividend, leading to a drop in share price by over 10% in a single day to reach a 5-year low. Andy Penn's CEO tenure had been severely tarnished after $28.5b in Telstra's market value had been destroyed under his leadership. T22 Strategy In May 2018, Telstra issued a profit warning which lead to a decline in the company's share price of 4% on that day. In the weeks after the announcement, the share price continued to drop to a seven-year low, amidst speculation that the company may be forced to cut its dividend again. As a consequence, [CEO] [Andy Penn]'s tenure came into question with his presiding over a $46b loss of shareholder value. In June 2018, Telstra announced its Telstra2022 Strategy designed to face into headwinds from the NBN rollout and return the business to growth. Composed of four pillars, the strategy was designed to remove $1 billion of operating costs from the business, simplifying its overall structure and leading to six key outcomes: improve customer experiences, simplify its products and operating model, extend network superiority and 5G leadership, achieve global high performance in employee engagement, reduce net productivity costs, and attain a return on capital investment post the NBN rollout. On 20 June 2018, Telstra announced a reduction of 9,500 jobs (8,000 net job losses after considering 1,500 new roles to be created) as part of its "Telstra 2022" (T22) plan. The news was not well received: Telstra's share price dropped as much as 7.4% immediately. Unions, politicians, and the wider community condemned the move which was widely considered a last ditch attempt of Andy Penn to secure his own job. InfraCo Created on 1 July 2018, Telstra InfraCo would serve as the infrastructure business, owning an estimated $11 billion AUD in assets made up of data centres, non-mobiles related domestic fibre, copper, HFC, subsea cables, exchanges, poles, ducts, and pipes. InfraCo opened its dark fibre network across six Australian state capitals in February 2021 Telstra said the dark fibre network would open up a wealth of capabilities and control for its targeted audience of network operates and service providers such as global carriers, data centre operators, internet service producers and over the top providers. Retail Store Strategy In February 2021, Telstra announced plans to take back full ownership of its 337 retail stores. At the time of the announcement Telstra owned and operated 67 of its stores, Vita Group owned and operated 104 stores, and the remaining 166 were operated by individual licensees. The process of transitioning stores back to Telstra ownership will take around 12 to 18 months to complete. Products and services Fixed-line and mobile telephony Telstra is Australia's incumbent and largest provider of fixed-line services. These include home phone, business and other PSTN products. Telstra outsources a significant portion of network installation and maintenance to private contractors and joint ventures, such as ABB Communications and STCJV (Siemens Thiess Communications Joint Venture). Telstra also owns and maintains the majority of Australia's public telephones. In 2006, Telstra announced it would remove many of the phones, citing vandalism and the increasing adoption of mobile telephones. Telstra Mobile is Australia's largest mobile telephone service providers, in terms of both subscriptions and coverage. Telstra operates Australia's largest GSM and 3G UMTS (branded as Next G) mobile telephony networks in Australia, as well as holding a 50% stake in the 3GIS Ltd 2100 MHz UMTS network infrastructure, shared with Hutchison (Three). As of September 2007, Telstra had an estimated 9.3M mobile subscribers. Telstra Mobile services are available in post-paid and prepaid payment types, known as Telstra Pre-Paid (formerly communic8 Pre-Paid). Telstra's GSM network was the first digital mobile network in Australia. It was launched in April 1993 on the 900 MHz band as "Telstra MobileNet Digital". The GSM network has carried the majority of Telstra's mobile subscribers for the last 10 years and has seen numerous upgrades. 1800 MHz
Telstra also owns and maintains the majority of Australia's public telephones. In 2006, Telstra announced it would remove many of the phones, citing vandalism and the increasing adoption of mobile telephones. Telstra Mobile is Australia's largest mobile telephone service providers, in terms of both subscriptions and coverage. Telstra operates Australia's largest GSM and 3G UMTS (branded as Next G) mobile telephony networks in Australia, as well as holding a 50% stake in the 3GIS Ltd 2100 MHz UMTS network infrastructure, shared with Hutchison (Three). As of September 2007, Telstra had an estimated 9.3M mobile subscribers. Telstra Mobile services are available in post-paid and prepaid payment types, known as Telstra Pre-Paid (formerly communic8 Pre-Paid). Telstra's GSM network was the first digital mobile network in Australia. It was launched in April 1993 on the 900 MHz band as "Telstra MobileNet Digital". The GSM network has carried the majority of Telstra's mobile subscribers for the last 10 years and has seen numerous upgrades. 1800 MHz capacity channels were added to the network in the late 1990s as well as GPRS packet data transmission capabilities. As part of the UMTS Next G deployment, the GSM network was also upgraded to a full EDGE data transmission capability in 2006 providing data transmission capabilities greater than 40 kbit/s on its GSM network. In 1981, Telstra (then Telecom Australia) was the first company to provide mobile telephony services in Australia. The first automated mobile service operated in the major capital cities on 500 MHz using the '007' dialling prefix. This network only provided "car phone" capabilities to subscribers as portable hand-held terminals were not practical at that time. The first cellular system in Australia offering portable hand-held phones was launched by Telstra in 1987 using the AMPS analogue standard on the 800 MHz band. This network at its peak had over 1 million subscribers, but was mandated by the government to be closed down by the year 2000, partially due to privacy concerns which resulted from the AMPS technology, but also because of arrangements undertaken to secure sufficient interest in the GSM network licenses offered in 1992 to competitors. A license condition placed on Telstra to maintain an equivalent coverage footprint at the time resulted in Telstra deciding to deploy an IS-95 CDMA network in its place. Telstra operates over 7,400 Next G Base Stations. Internet Wholesale Telstra Wholesale provides products such as Data, Mobile, Voice, and other Facilities (including Co-location and Duct Access) to other companies and organisations for re-sale. Telstra Wholesale also provides operational support for its customers, and facilities for international customers such as International Data Transport and IP Transport. Due to Telstra's position as Australia's incumbent telecommunications provider, Telstra Wholesale is the incumbent and dominant wholesaler of ADSL services to other Internet Service Providers. Telstra installed the first DSLAMs in exchanges prior to 2000, and began wholesaling access in late 2000. Telstra Wholesale has a comprehensive network of ADSL DSLAMs (the largest in Australia) and allows competitors access to each Telstra DSLAM at up to ADSL2+ speeds if available, and at ADSL1 speeds should 2+ be unavailable. Since 2013, Telstra has wholesaled its 3G network. However the wholesale product only gives access to 7000 of Telstra's over 8000 base stations. Retail internet Telstra provides internet services for personal and business clients, through its internet service provider (ISP), BigPond. BigPond provides internet products over various delivery methods, including ADSL, Cable Internet, Dialup, Satellite, and Wireless Internet (through the Next G network). At the end of the 2007 financial year, BigPond had over two million broadband subscribers. In 2007 a survey of 14,000 people by PC Authority magazine found BigPond users rated poorly for customer service, and less than a third considered their service value for money. However, BigPond argued that the survey's structure had encouraged people to provide extreme opinions. In January 2009, Telstra was ranked as the top Australian ISP in terms of performance by Epitiro. Since 2013, the BigPond brand has been discontinued and merged with Telstra. Cable internet Cable – BigPond is Australia's largest provider of Cable Internet access, which covers parts of Australia's main cities (Melbourne, Brisbane, Perth, Sydney, Adelaide and the Gold Coast). Speeds available are 'Turbo' (8 Mbit/s downstream, 128 kbit/s upstream), 'Elite' (30 Mbit/s down, 1 Mbit/s up) and 'Ultimate' (100 Mbit/s down, 2 Mbit/s up). Telstra owned and operated the largest cable internet Hybrid Fibre cable network in Australia. Telstra Cable operates in selected cities and areas of Australia including (Melbourne, Brisbane, Canberra, Sydney, Perth, Adelaide and the Gold Coast), providing downstream speeds of up to 30 Mbit/s in selected areas. The upgrade to 100 Mbit/s was complete in Melbourne by Christmas 2009, and launched the new DOCSIS 3.0 services on 1 December 2009 before the deadline. This network has since been acquired by the National Broadband Network Company (NBNCo) for public cable broadband but is still used to distribute Cable TV under the Foxtel brand. ADSL internet ADSL – BigPond provides both ADSL and ADSL2+ services where available, with speeds ranging from 256 kbit/s down/64 kbit/s up to 20 Mbit/s down/1 Mbit/s up. The current speeds available on ADSL plans that BigPond offers are "up to" 1.5 Mbit/s down/256 kbit/s up, "up to" 8 Mbit/s down/384 kbit/s up and "up to" 20 Mbit/s down/1 Mbit/s up. Naked DSL – A six-week trial of two kinds of naked DSL to "assess customer demand" was launched on 1 June 2010. 'Pure DSL' having the ability to receive incoming calls and make emergency calls, and 'Naked DSL' being offered without a dial tone. On 10 November 2006, Telstra made two major changes to their ADSL network. The first was an increase of wholesale ADSL speeds from 1.5 Mbit/s/256 kbit/s to 8 Mbit/s/384 kbit/s. Telstra also released an ADSL2+ broadband service offering download speeds of up to 24 Mbit/s from exchanges where competitors were already offering ADSL2+ services. On 6 February 2008, Telstra announced that it would activate high-speed ADSL2+ broadband in a further 900 telephone exchanges serving 2.4 million consumers across every state and territory in Australia. Telstra also claimed that it has received assurances from the Government that it would not be forced to wholesale these services to other providers, and that the move came "after the Government made clear it did not consider a compelling case had been made for regulating third-party access to the service – an assurance sought by Telstra for more than one year". On 10 June 2008, it was announced that Telstra was in discussions with some wholesale customers in reference to wholesaling ADSL2+ services. Mobile broadband Mobile Broadband – Through Telstra's Next G network, BigPond provides the largest wireless network coverage in Australia, reaching 99% of the population. Download speeds on the 3G network range from 256 kbit/s to 3.5 Mbit/s in regional and interurban areas, and "up to" 21 Mbit/s in metropolitan and city areas. Download speeds on the 4G Network are "up to" 100Mbit/s. The Telstra mobile network now has 4GX and 5G in all capital CBDs and selected suburban and regional areas and is progressively rolling out. In other coverage areas around Australia, Mobile devices that are capable will automatically switch to the fastest available 5G 4G or 3G. Typical download speeds in 4GX areas are 5 -300Mbit/s with category 16 devices, 5–200Mbit/s with category 11 devices, 5–150Mbit/s with category 9 devices, 2–100Mbit/s with category 6 devices, and 2–75Mbit/s with category 4 devices. BigPond also provides wireless 'hot spots'. Satellite internet Satellite – Bigpond provides Satellite internet mainly for regional customers who are too far away from the exchange to get ADSL, and cannot get Cable. Satellite is delivered via 2 way Satellite with speeds ranging from 256 kbit/s down/64 kbit/s up to 800 kbit/s down/128 kbit/s up. Dial-up internet Dial-up – Telstra offered dialup internet from 1995 until early 2015. However they have now ceased selling the service, and existing retail and wholesale customers have been migrated off of Dial-up. Low-cost mobile and internet brand In October 2013 Telstra launched "Belong", a low-cost mobile and internet service provider. As of February 2020, Belong has over 600,000 services made up of almost 340,000 mobile services and around 300,000 broadband internet services. Belong is Australia's first carbon neutral telecommunications provider certified by Climate Active, a partnership between the Australian Government and businesses that encourages voluntary action to reduce the impacts of climate change. Subscription television Telstra's Hybrid Fibre Coax (HFC) (commonly referred to as "cable") network is one of the delivery systems used by the Australian Subscription Television provider Foxtel. Telstra owns 35% of Foxtel in a joint venture with News Corp Australia who own the remainder. Telstra also sell Foxtel's "iQ digital-video-recorder" to customers in Foxtel's service area (as "Foxtel from Telstra"). Telstra offers discounts for Telstra full-service fixed-line customers, with internet, pay TV and/or mobile services with Telstra. Such discounts can include free installation and the first month of the best Foxtel package (all channels) for free. Entertainment and content BigPond Music MOG, a subscription online music service and blog network, announced a partnership with Telstra offer their product in Australia – the first region outside of the United States to have access. Telstra and MOG launched under the BigPond Music branding on 21 June 2012, however ended this service in September 2014. They replaced it with bonus inclusions related to Apple Music. BigPond Games and GameArena GameArena was a website dedicated to video gaming operating under the BigPond brand that was managed by Mammoth Media and based on the east coast of Australia. The site provided news, downloads and servers primarily for the PC, and Mac, though it later branched out to include console sites. GameArena provided an online game shop GameNow, which sported various benefits to Telstra customers. Usage of the GameArena file library, gaming servers and booking service were freely available to anyone, but provided specific advantages to Telstra customers such as preference in downloads and unmetered usage, as well as various bonuses in competitions. In 2005, GameArena went through a new shift with the merging of GameNow and Gameshop into itself. The name became simply BigPond GameArena. GameArena once operated over 100 gaming servers, which were monitored by a volunteer force of administrators, known as GameOps. GameCreate was a service offered free of charge where users may book a server for a specific game for a 2-hour period of time. This server was private and could be used for either ladder training or social events. GameArena servers and its website closed on 20 October 2014. The Pond in Second Life Telstra BigPond owned and operated a number of virtual islands in the online game Second Life for approximately three years. BigPond closed its Second Life presence in December 2009. Facebook In 2011, Telstra launched "Blurtl", a Facebook application that allows the user to leave audio messages on their Facebook walls. Controversies On 20 March 2019, Telstra denied access to millions of Australians to the websites 4chan, 8chan, Zero Hedge, and Liveleak as a reaction to the Christchurch mosque shootings. In May 2021, the Federal Court of Australia ordered the company to pay a $50 million fine for mistreating their Indigenous customers. Mobile networks The following is a list of known active mobile networks used by Telstra: February 2011: Ericsson wins the LTE contract with Telstra. The LTE network is being deployed in capital city CBDs and select regional centres throughout 2011. It will operate at 1800 MHz and integrate with a HSPA+ service at 850 MHz. A dual mode (LTE/HSPA+) mobile broadband device has been developed for the network. January 2012: Initial major LTE rollout complete. Incremental rollout continues, widening the coverage in capital cities and introducing new LTE coverage to regional centres. July 2012: Telstra commences retailing a pocket-sized battery powered 4G WiFi router (ZTE MF91) for prepaid data customers, locked to Telstra, complementing its range of 4G-capable devices. Apart from the ZTE MF91, the Telstra 4G hardware range now comprises two dual mode (4G/3G) voice-capable handsets by HTC and ZTE (available for purchase outright or on a post-paid plan), a Sierra USB wireless modem (outright or post-paid plan), a ZTE USB wireless modem (prepaid, locked to Telstra) and a Sierra 4G Wifi battery powered pocket-sized router (outright or post-paid plan). Telstra is reported to now be operating LTE facilities from more than 3,500 transmission sites. August 2013: Telstra demonstrates the world's first ever LTE- Advanced Carrier Aggregation network using the 900 MHz and 1800 MHz spectrum bands in the Sunshine Coast. April 2014: Telstra introduced a mobile broadband device from Huawei (E5786) with LTE Advanced capability. May 2014: Telstra and Ericsson demonstrate world first 450 Mbit/s LTE-A downlink speeds in a commercial network with a Category 9 device. September 2015: Telstra, in collaboration with NETGEAR, Ericsson and Qualcomm Technologies announce that it is bringing the world's first 4G LTE Advanced 600 Mbit/s Category 11 device to customers. September 2016: Telstra conducts the first live 5G trial in Australia with Ericsson, demonstrating 5G capabilities in a real world environment, including speed and beam steering tests. December 2016: Telstra shuts down the 900 MHz GSM/EDGE network on 1 December. Prior to this, EDGE data capabilities were available on 100% of the GSM networks used. January 2017: Telstra launches world's first Gigabit LTE-Advanced mobile network. March 2019: Telstra closed the 2100 MHz (Band 1) section of its 3G network on 25 March. May 2020: Telstra made available Australia's first 5G network using 3500 MHz spectrum. April 2021: Telstra purchased via Auction 800 MHz of 26 GHz (26,000 MHz) Spectrum nationally for 5G mmWave technology. Next G Network In 2005, Telstra announced a plan to upgrade its ageing networks and systems; which includes a new 3G network to replace the then current CDMA mobile network. The network was built between November 2005 and September 2006, and launched in October 2006. , Next G was the largest mobile network in Australia, providing greater coverage than other 3G providers in Australia and over three times greater than any 2G provider in Australia. In December 2008, the Next G Network was also the fastest mobile network in the World, delivering theoretical network speeds of up to 21Mbit/s utilising features of HSPA+ and Dual-Carrier HSPA+. In February 2010, Telstra increased the speed up to 42Mbit/s making the Next G Network once again the fastest mobile network in the world. On 26 September 2011, Telstra launched its 4G 1800 MHz LTE network, claiming typical download speeds of up to 40Mbit/s. The network is used for BigPond's wireless broadband service and Telstra Mobile, which is Australia's
to become a gun shop owner, and sometimes took firearms to school to impress his classmates. He became intensely interested in gun rights as well as the Second Amendment to the United States Constitution after he graduated from high school, and read magazines such as Soldier of Fortune. He briefly attended Bryant & Stratton College before dropping out. After dropping out of college, McVeigh worked as an armored car guard and was noted by co-workers as being obsessed with guns. One co-worker recalled an instance when McVeigh came to work "looking like Pancho Villa" as he was wearing bandoliers. Military life In May 1988, at the age of 20, McVeigh enlisted in the United States Army and attended Basic Training and Advanced Individual Training at the U.S. Army Infantry School at Fort Benning, Georgia. While in the military, McVeigh used much of his spare time to read about firearms, sniper tactics, and explosives. McVeigh was reprimanded by the military for purchasing a "White Power" T-shirt at a Ku Klux Klan rally where they were objecting to black servicemen who wore "Black Power" T-shirts around a military installation (primarily Army). McVeigh was a top-scoring gunner with the 25mm cannon of the Bradley Fighting Vehicles used by the 1st Infantry Division and was promoted to sergeant. After being promoted, McVeigh earned a reputation of assigning undesirable work to black servicemen and using racial slurs. He was stationed at Fort Riley, Kansas, before being deployed on Operation Desert Storm. In an interview before his execution, McVeigh said that he decapitated an Iraqi soldier with cannon fire on his first day in the war and celebrated. He said he was later shocked to be ordered to execute surrendering prisoners and to see carnage on the road while leaving Kuwait City after U.S. troops routed the Iraqi army. McVeigh received several service awards, including the Bronze Star Medal, National Defense Service Medal, Southwest Asia Service Medal, Army Service Ribbon, and the Kuwaiti Liberation Medal. McVeigh aspired to join the United States Army Special Forces (SF). After returning from the Gulf War, he entered the selection program, but washed out on the second day of the 21-day assessment and selection course for the Special Forces. McVeigh decided to leave the Army and was honorably discharged in 1991. Post-military life McVeigh wrote letters to local newspapers complaining about taxes: McVeigh also wrote to Representative John J. LaFalce (D–New York), complaining about the arrest of a woman for carrying mace: While visiting friends in Decker, Michigan, McVeigh reportedly complained that the Army had implanted a microchip into his buttocks so that the government could keep track of him. McVeigh worked long hours in a dead-end job and felt that he did not have a home. He sought romance, but his advances were rejected by a co-worker and he felt nervous around women. He believed that he brought too much pain to his loved ones. He grew angry and frustrated at his difficulties in finding a girlfriend. He took up obsessive gambling. Unable to pay gambling debts, he took a cash advance and then defaulted on his repayments. He began looking for a state so that he could live without heavy government regulation or high taxes. He became enraged when the government told him that he had been overpaid $1,058 while in the Army and he had to pay back the money. He wrote an angry letter to the government, saying: McVeigh introduced his sister to anti-government literature, but his father had little interest in these views. He moved out of his father's house and into an apartment that had no telephone. This made it impossible for his employer to contact him for overtime assignments. He quit the National Rifle Association (NRA), believing that it was too weak on gun rights. 1993 Waco siege and gun shows In 1993, McVeigh drove to Waco, Texas, during the Waco siege to show his support. At the scene, he distributed pro-gun rights literature and bumper stickers bearing slogans such as, "When guns are outlawed, I will become an outlaw." He told a student reporter: For the five months following the Waco siege, McVeigh worked at gun shows and handed out free cards printed with Lon Horiuchi's name and address, "in the hope that somebody in the Patriot movement would assassinate the sharpshooter." Horiuchi is an FBI sniper and some of his official actions have drawn controversy, specifically his shooting and killing of Randy Weaver's wife while she held an infant child. McVeigh wrote hate mail to Horiuchi, suggesting that "what goes around, comes around". McVeigh later considered putting aside his plan to target the Murrah Building to target Horiuchi or a member of his family instead. McVeigh became a fixture on the gun show circuit, traveling to forty states and visiting about eighty gun shows. He found that the further west he went, the more anti-government sentiment he encountered, at least until he got to what he called "The People's Socialist Republic of California." McVeigh sold survival items and copies of The Turner Diaries. One author said: Arizona with Fortier McVeigh had a road atlas with hand-drawn designations of the most likely places for nuclear attacks and considered buying property in Seligman, Arizona, which he determined to be in a "nuclear-free zone." He lived with Michael Fortier in Kingman, Arizona, and the two became so close that he served as best man at Fortier's wedding. McVeigh experimented with cannabis and methamphetamine after first researching their effects in an encyclopedia. He was never as interested in drugs as Fortier was, and one of the reasons they parted ways was that McVeigh grew tired of Fortier's drug habits. With Nichols, Waco siege, and radicalization In April 1993, McVeigh headed for a farm in Michigan where former roommate Terry Nichols lived. In between watching coverage of the Waco siege on TV, Nichols and his brother began teaching McVeigh how to make explosives by combining household chemicals in plastic jugs. The destruction of the Waco compound enraged McVeigh and convinced him that it was time to take action. He was particularly angered by the government's use of CS gas on women and children; he had been exposed to the gas as part of his military training and was familiar with its effects. The disappearance of certain evidence, such as the bullet-riddled steel-reinforced front door to the complex, led him to suspect a cover-up. McVeigh's anti-government rhetoric became more radical. He began to sell Bureau of Alcohol, Tobacco, Firearms and Explosives (ATF) hats riddled with bullet holes, and a flare gun that he said could shoot down an "ATF helicopter". He produced videos detailing the government's actions at Waco and handed out pamphlets with titles such as "U.S. Government Initiates Open Warfare Against American People" and "Waco Shootout Evokes Memory of Warsaw '43." He began changing his answering machine greeting every couple of weeks to various quotes by Patrick Henry, such as "Give me liberty or give me death." He began experimenting with making pipe bombs and other small explosive devices. The government imposed new firearms restrictions in 1994 which McVeigh believed threatened his livelihood. McVeigh dissociated himself from his boyhood friend Steve Hodge by sending him a 23-page farewell letter. He proclaimed his devotion to the United States Declaration of Independence, explaining in detail what each sentence meant to him. McVeigh declared that: McVeigh felt the need to personally reconnoiter sites of rumored conspiracies. He visited Area 51 in order to defy government restrictions on photography and went to Gulfport, Mississippi, to determine the veracity of rumors about United Nations operations. These turned out to be false; the Russian vehicles on the site were being configured for use in U.N.-sponsored humanitarian aid efforts. Around this time, McVeigh and Nichols began making bulk purchases of ammonium nitrate, an agricultural fertilizer, for resale to survivalists, since rumors were circulating that the government was preparing to ban it. Plan against federal building or individuals McVeigh told Fortier of his plans to blow up a federal building, but Fortier declined to participate. Fortier also told his wife about the plans. McVeigh composed two letters to the Bureau of Alcohol, Tobacco and Firearms, the first titled "Constitutional Defenders" and the second "ATF Read." He denounced government officials as "fascist tyrants" and "storm troopers," and warned: McVeigh also wrote a letter to recruit a customer named Steve Colbern: McVeigh began announcing that he had progressed from the "propaganda" phase to the "action" phase. He wrote to his Michigan friend Gwenda Strider, "I have certain other 'militant' talents that are in short supply and greatly demanded." McVeigh later said he considered "a campaign of individual assassination," with "eligible" targets including Attorney General Janet Reno, Judge Walter S. Smith Jr. of Federal District Court, who handled the Branch Davidian trial; and Lon Horiuchi, a member of the FBI hostage-rescue team, who shot and killed Vicki Weaver in a standoff at a remote cabin at Ruby Ridge, Idaho, in 1992. He said he wanted Reno to accept "full responsibility in deed, not just words." Such an assassination seemed too difficult, and he decided that since federal agents had become soldiers, he should strike at them at their command centers. According to McVeigh's authorized biography, he decided that he could make the loudest statement by bombing a federal building. After the bombing, he was ambivalent about his act and the deaths he caused; as he said in letters to his hometown newspaper, he sometimes wished that he had carried out a series of assassinations against police and government officials instead. Oklahoma City bombing Working at a lakeside campground near McVeigh's old Army post, he and Nichols constructed an ANFO explosive device mounted in the back of a rented Ryder truck. The bomb consisted of about of ammonium nitrate and nitromethane. On April 19, 1995, McVeigh drove the truck to the front of the Alfred P. Murrah Federal Building just as its offices opened for the day. Before arriving, he stopped to light a two-minute fuse. At 09:02, a large explosion destroyed the north half of the building. It killed 168 people, including 19 children in the day care center on the second floor, and injured 684 others. McVeigh said that he had not known that there was a daycare center on the second floor, and that he might have chosen a different target if he had known about it. Nichols said that he and McVeigh did know about the daycare center in the building, and that they did not care. McVeigh's biographers, Lou Michel and Dan Herbeck, spoke with McVeigh in interviews totaling 75 hours. He said about the victims: During an interview in 2000 with Ed Bradley for television news magazine 60 Minutes, Bradley asked McVeigh for his reaction to the deaths of the nineteen children. McVeigh said: According to the Oklahoma City Memorial Institute for the Prevention of Terrorism (MIPT), more than 300 buildings in the city were damaged. More than 12,000 volunteers and rescue workers took part in the rescue, recovery and support operations following the bombing. In reference to theories that McVeigh had assistance from others, he responded with a well-known line from the film A Few Good Men, "You can't handle the truth!" He added, "Because the truth is, I blew up the Murrah Building and isn't it kind of scary that one man could wreak this kind of hell?" Arrest and trial By tracing the vehicle identification number of a rear axle found in the wreckage, the FBI identified the vehicle as a Ryder rental box truck rented from Junction City, Kansas. Workers at the agency assisted an FBI artist in creating a sketch of the renter, who had used the alias "Robert Kling". The sketch was shown in the area. Lea McGown, manager of the local Dreamland Motel, identified the sketch as Timothy McVeigh. Shortly after the bombing, while driving on Interstate 35
of Justice brought federal charges against McVeigh for causing the deaths of eight federal officers leading to a possible death penalty for McVeigh; they could not bring charges against McVeigh for the remaining 160 deaths in federal court because those deaths fell under the jurisdiction of the State of Oklahoma. Because McVeigh was convicted and sentenced to death, the State of Oklahoma did not file murder charges against McVeigh for the other 160 deaths. Before the sentence was formally pronounced by Judge Matsch, McVeigh addressed the court for the first time and said: "If the Court please, I wish to use the words of Justice [Louis] Brandeis dissenting in Olmstead [v. United States] to speak for me. He wrote, 'Our Government is the potent, the omnipresent teacher. For good or for ill, it teaches the whole people by its example.' That's all I have." Incarceration and execution McVeigh's death sentence was delayed pending an appeal. One of his appeals for , taken to the Supreme Court of the United States, was denied on March 8, 1999. McVeigh's request for a nationally televised execution was also denied. An Internet company unsuccessfully sued for the right to broadcast the execution. At USP Florence ADMAX, McVeigh and Nichols were housed in what was known as "bomber's row". Ted Kaczynski, Luis Felipe, and Ramzi Yousef were also housed in this cell block. Yousef made frequent, unsuccessful attempts to convert McVeigh to Islam. McVeigh said: "I am sorry these people had to lose their lives, but that's the nature of the beast. It's understood going in what the human toll will be." He said that if there turned out to be an afterlife, he would "improvise, adapt and overcome", noting: "If there is a hell, then I'll be in good company with a lot of fighter pilots who also had to bomb innocents to win the war." He also said: "I knew I wanted this before it happened. I knew my objective was state-assisted suicide and when it happens, it's in your face. You just did something you're trying to say should be illegal for medical personnel." The Federal Bureau of Prisons (BOP) transferred McVeigh from USP Florence ADMAX to the federal death row at USP Terre Haute in Terre Haute, Indiana, in 1999. McVeigh dropped his remaining appeals, saying that he would rather die than spend the rest of his life in prison. On January 16, 2001, the BOP set May 16 as McVeigh's execution date. McVeigh said that his only regret was not completely destroying the federal building. Six days prior to his scheduled execution, the FBI turned over thousands of documents of evidence it had previously withheld to McVeigh's attorneys. As a result, U.S. Attorney General John Ashcroft announced McVeigh's execution would be stayed for one month. The execution date was reset for June 11. McVeigh invited conductor David Woodard to perform Requiem Mass music on the eve of his execution. While acknowledging McVeigh's "horrible deed", Woodard consented, intending to "provide comfort". McVeigh also requested a Catholic chaplain. His last meal consisted of two pints of mint chocolate chip ice cream. McVeigh chose William Ernest Henley's poem "Invictus" as his final statement. Just before the execution, when he was asked if he had a final statement, he declined. Jay Sawyer, a relative of one of the victims, wrote, "Without saying a word, he got the final word." Larry Whicher, whose brother died in the attack, described McVeigh as having "a totally expressionless, blank stare. He had a look of defiance and that if he could, he'd do it all over again." McVeigh was executed by lethal injection at 7:14 a.m. on June 11, 2001, the first federal prisoner to be executed since Victor Feguer was executed in Iowa on March 15, 1963. On November 21, 1997, President Bill Clinton had signed S. 923, special legislation introduced by Senator Arlen Specter to bar McVeigh and other veterans convicted of capital crimes from being buried in any military cemetery. His body was cremated at Mattox Ryan Funeral Home in Terre Haute. His ashes were given to his lawyer, who "said that the final destination of McVeigh's remains would remain privileged forever." McVeigh had written that he considered having them dropped at the site of the memorial where the building once stood, but decided that would be "too vengeful, too raw, too cold." He had expressed willingness to donate organs, but was prohibited from doing so by prison regulations. Psychiatrist John Smith concluded that McVeigh was "a decent person who had allowed rage to build up inside him to the point that he had lashed out in one terrible, violent act." McVeigh's IQ was assessed at 126. Associations According to CNN, his only known associations were as a registered Republican while in Buffalo, New York, in the 1980s, and a membership in the National Rifle Association while in the Army, and there is no evidence that he ever belonged to any extremist groups. Religious beliefs McVeigh was raised Roman Catholic. During his childhood, he and his father attended Mass regularly. McVeigh was confirmed at the Good Shepherd Church in Pendleton, New York, in 1985. In a 1996 interview, McVeigh professed belief in "a God", although he said he had "sort of lost touch with" Catholicism and "I never really picked it up, however I do maintain core beliefs." In McVeigh's biography American Terrorist, released in 2002, he stated that he did not believe in a hell and that science is his religion. In June 2001, a day before the execution, McVeigh wrote a letter to the Buffalo News identifying himself as agnostic. However, he took the Last Rites, administered by a priest, just before his execution. Father Charles Smith ministered to McVeigh in his last moments on death row. Motivations for the bombing McVeigh claimed that the bombing was revenge against the government for the sieges at Waco and Ruby Ridge. McVeigh visited Waco during the standoff. While there, he was interviewed by student reporter Michelle Rauch, a senior journalism major at Southern Methodist University who was writing for the school paper. McVeigh expressed his objections over what was happening there. McVeigh frequently quoted and alluded to the white supremacist novel The Turner Diaries; he claimed to appreciate its interest in firearms. Photocopies of pages sixty-one and sixty-two of The Turner Diaries were found in an envelope inside McVeigh's car. These pages depicted a fictitious mortar attack upon the U.S. Capitol in Washington. In a 1,200-word essay dated March 1998, from the federal maximum-security prison at Florence, Colorado, McVeigh claimed that the terrorist bombing was "morally equivalent" to U.S. military actions against Iraq and other foreign countries. The handwritten essay, submitted to and published by the alternative national news magazine Media Bypass, was distributed worldwide by the Associated Press on May 29, 1998. This was written in the midst of the 1998 Iraq disarmament crisis and a few months before Operation Desert Fox. On April 26, 2001, McVeigh wrote a letter to Fox News, "I Explain Herein Why I Bombed the Murrah Federal Building in Oklahoma City", which explicitly laid out his reasons for the attack. McVeigh read the novel Unintended Consequences (1996), and said that if it had come out a few years earlier, he would have given serious consideration to using sniper attacks in a war of attrition against the government instead of bombing a federal building. Accomplices McVeigh's accomplice Terry Nichols was convicted and sentenced in federal court to life in prison for his role in the crime. At Nichols' trial, evidence was presented indicating that others may have been involved. Several residents of central Kansas, including real estate agent Georgia Rucker and a retired Army NCO, testified at Terry Nichols' federal trial that they had seen two trucks at Geary Lake State Park, where prosecutors alleged the bomb was assembled. The retired NCO said he visited the lake on April 18, 1995, but left after a group of surly men looked at him aggressively. The operator of the Dreamland Motel testified that two Ryder trucks had been parked outside her Grandview Plaza motel where McVeigh stayed in Room 26 the weekend before the bombing. Terry Nichols is incarcerated at ADX Florence in Florence, Colorado. Michael and Lori Fortier were also considered accomplices, due to their foreknowledge of the bombing. In addition to Michael assisting McVeigh in scouting the federal building, Lori had helped McVeigh laminate a fake driver's license which was used to rent the Ryder truck. Fortier agreed to testify against McVeigh and Nichols in exchange for a reduced sentence and immunity for his wife. He was sentenced on May 27, 1998, to twelve years in prison and fined $75,000 for failing to warn authorities about the bombing. On January 20, 2006, Fortier was released for good behavior into the Witness Protection Program and given a new identity. An ATF informant, Carol Howe, told reporters that shortly before the bombing she had warned her handlers that guests of Elohim City, Oklahoma, were planning a major bombing attack. McVeigh was issued a speeding ticket there at the same time. Other than this speeding ticket, there is no evidence of a connection between McVeigh and members of the Midwest Bank Robbers at Elohim City. Some witnesses claimed to have seen a second suspect, and there was a search for a "John Doe #2", but none was ever found. In popular culture In the 2012 alternate universe novel The Mirage, McVeigh is a CIA officer of the Evangelical Republic of Texas. Terry Nichols is mentioned as an associate. See also Capital punishment by the United States federal government Capital punishment in the United States List of people executed by the United States federal government References Notes Further reading Jones, Stephen, and Peter Israel (2001). Others Unknown: Timothy McVeigh and the Oklahoma City Bombing Conspiracy. 2nd ed. New York: PublicAffairs. . Madeira, Jody Lyneé (2012). Killing McVeigh: The Death Penalty and the Myth of Closure. New York: NYU Press. . Michel, Lou, and Dan Herbeck (2001). American Terrorist: Timothy McVeigh and the Oklahoma City Bombing. New York: ReganBooks/HarperCollins. . Stickney,
made with dog or donkey skin.
a characteristic folk instrument of Gavoi. References
rapidly with atomic number. As of 2008, the cost of weapons-grade plutonium was around $4,000/gram, and californium exceeded $60,000,000/gram. Einsteinium is the heaviest element that has been produced in macroscopic quantities. Transuranic elements that have not been discovered, or have been discovered but are not yet officially named, use IUPAC's systematic element names. The naming of transuranic elements may be a source of controversy. Discovery and naming of transuranium elements So far, essentially all the transuranium elements have been discovered at four laboratories: Lawrence Berkeley National Laboratory in the United States (elements 93–101, 106, and joint credit for 103–105), the Joint Institute for Nuclear Research in Russia (elements 102 and 114–118, and joint credit for 103–105), the GSI Helmholtz Centre for Heavy Ion Research in Germany (elements 107–112), and RIKEN in Japan (element 113). The Radiation Laboratory (now Lawrence Berkeley National Laboratory) at the University of California, Berkeley, led principally by Edwin McMillan, Glenn Seaborg, and Albert Ghiorso, during 1945-1974: 93. neptunium, Np, named after the planet Neptune, as it follows uranium and Neptune follows Uranus in the planetary sequence (1940). 94. plutonium, Pu, named after the then-planet Pluto, following the same naming rule as it follows neptunium and Pluto follows Neptune in the Solar System (1940). 95. americium, Am, named because it is an analog to europium, and so was named after the continent where it was first produced (1944). 96. curium, Cm, named after Pierre and Marie Curie, famous scientists who separated out the first radioactive elements (1944), as its lighter analog gadolinium was named after Johan Gadolin. 97. berkelium, Bk, named after the city of Berkeley, where the University of California, Berkeley is located (1949). 98. californium, Cf, named after the state of California, where the university is located (1950). 99. einsteinium, Es, named after the theoretical physicist Albert Einstein (1952). 100. fermium, Fm, named after Enrico Fermi, the physicist who produced the first controlled chain reaction (1952). 101. mendelevium, Md, named after the Russian chemist Dmitri Mendeleev, credited for being the primary creator of the periodic table of the chemical elements (1955). 102. nobelium, No, named after Alfred Nobel (1958). This discovery was also claimed by the JINR, which named it joliotium (Jl) after Frédéric Joliot-Curie. IUPAC concluded that the JINR had been the first to convincingly synthesise the element, but retained the name nobelium as deeply entrenched in the literature. 103. lawrencium, Lr, named after Ernest O. Lawrence, a physicist best known for development of the cyclotron, and the person for whom the Lawrence Livermore National Laboratory and the Lawrence Berkeley National Laboratory (which hosted the creation of these transuranium elements) are named (1961). This discovery was also claimed by the JINR, which proposed the name rutherfordium (Rf) after Ernest Rutherford. IUPAC concluded that credit should be shared, retaining the name lawrencium as entrenched in the literature. 104. rutherfordium, Rf, named after Ernest Rutherford, who was responsible for the concept of the atomic nucleus (1968). This discovery was also claimed by the Joint Institute for Nuclear Research (JINR) in Dubna, Russia (then the Soviet Union), led principally by Georgy Flyorov: they named the element kurchatovium (Ku), after Igor Kurchatov. IUPAC concluded that credit should be shared. 105. dubnium, Db, an element that is named after the city of Dubna, where the JINR is located. Originally named "hahnium" (Ha) in honor of Otto Hahn by the Berkeley group (1970) but renamed by the International Union of Pure and Applied Chemistry (1997). This discovery was also claimed by the JINR, which named it nielsbohrium (Ns) after Niels Bohr. IUPAC concluded that credit should be shared. 106. seaborgium, Sg, named after Glenn T. Seaborg. This name caused controversy because Seaborg was still alive, but eventually became accepted by international chemists (1974). This discovery was also claimed by the JINR. IUPAC concluded that the Berkeley team had been the first to convincingly synthesise the element. The Gesellschaft für Schwerionenforschung (Society for Heavy Ion Research) in Darmstadt, Hessen, Germany, led principally by Gottfried Münzenberg, Peter Armbruster, and Sigurd Hofmann, during 1980-2000: 107. bohrium, Bh, named after the Danish physicist Niels Bohr, important in the elucidation of the structure of the atom (1981). This discovery was also claimed by the JINR. IUPAC concluded that the GSI had been the first to convincingly synthesise the element. The GSI team had originally proposed nielsbohrium (Ns) to resolve the naming dispute on element 105,
with neptunium and plutonium later also discovered in nature. They are all radioactive, with a half-life much shorter than the age of the Earth, so any primordial atoms of these elements, if they ever were present at the Earth's formation, have long since decayed. Trace amounts of neptunium and plutonium form in some uranium-rich rock, and small amounts are produced during atmospheric tests of nuclear weapons. These two elements are generated from neutron capture in uranium ore with subsequent beta decays (e.g. 238U + n → 239U → 239Np → 239Pu). All elements heavier than plutonium are entirely synthetic; they are created in nuclear reactors or particle accelerators. The half lives of these elements show a general trend of decreasing as atomic numbers increase. There are exceptions, however, including several isotopes of curium and dubnium. Some heavier elements in this series, around atomic numbers 110–114, are thought to break the trend and demonstrate increased nuclear stability, comprising the theoretical island of stability. Heavy transuranic elements are difficult and expensive to produce, and their prices increase rapidly with atomic number. As of 2008, the cost of weapons-grade plutonium was around $4,000/gram, and californium exceeded $60,000,000/gram. Einsteinium is the heaviest element that has been produced in macroscopic quantities. Transuranic elements that have not been discovered, or have been discovered but are not yet officially named, use IUPAC's systematic element names. The naming of transuranic elements may be a source of controversy. Discovery and naming of transuranium elements So far, essentially all the transuranium elements have been discovered at four laboratories: Lawrence Berkeley National Laboratory in the United States (elements 93–101, 106, and joint credit for 103–105), the Joint Institute for Nuclear Research in Russia (elements 102 and 114–118, and joint credit for 103–105), the GSI Helmholtz Centre for Heavy Ion Research in Germany (elements 107–112), and RIKEN in Japan (element 113). The Radiation Laboratory (now Lawrence Berkeley National Laboratory) at the University of California, Berkeley, led principally by Edwin McMillan, Glenn Seaborg, and Albert Ghiorso, during 1945-1974: 93. neptunium, Np, named after the planet Neptune, as it follows uranium and Neptune follows Uranus in the planetary sequence (1940). 94. plutonium, Pu, named after the then-planet Pluto, following the same naming rule as it follows neptunium and Pluto follows Neptune in the Solar System (1940). 95. americium, Am, named because it is an analog to europium, and so was named after the continent where it was first produced (1944). 96. curium, Cm, named after Pierre and Marie Curie, famous scientists who separated out the first radioactive elements (1944), as its lighter analog gadolinium was named after Johan Gadolin. 97. berkelium, Bk, named after the city of Berkeley, where the University of California, Berkeley is located
and Perfect. He was the bass guitarist for Guns N' Roses beginning in 1998, replacing Duff McKagan from the band's "classic lineup" until leaving the band in 2016. In 2004, he released a solo CD, Village Gorilla Head, followed in 2011 by One Man Mutiny. Westerberg is a successful singer-songwriter signed to Vagrant Records and, under his alias Grandpaboy, to Fat Possum Records. His album Folker was released in September 2004, marking a return to the melodic low-fi of the Replacements. Dunlap kept a low national profile but remained active in the Twin Cities music scene until suffering a massive stroke in 2012, which left him without the ability to move or eat. Mars primarily works as a visual artist. In 1997, Reprise Records released the two CD set All for Nothing / Nothing for All. The All for Nothing disc collected cuts from Tim through All Shook Down; the Nothing for All disc is a collection of B-sides and tracks not previously released on albums. In 2002, in an interview with Rolling Stone, Westerberg mentioned that the Replacements had been considering a reunion. He said, "We'll get together again one day. It will take a while, or it might take a few legal swipes of the pen, but we ain't over." A partial reunion nearly occurred in March 2002, when Tommy Stinson planned to join Westerberg on a tour of the Midwest, but Stinson's prior commitments with Guns N' Roses prevented it from happening. On June 13, 2006, Rhino Records released the compilation album Don't You Know Who I Think I Was?, consisting of songs from the Twin/Tone and Sire-Reprise years and including two new songs, "Pool & Dive" and "Message to the Boys". The new songs were written by Westerberg and recorded by the band (Westerberg, Tommy Stinson and Mars) at Flowers Studio in Minneapolis. Session musician Josh Freese (the Vandals, ex-A Perfect Circle, ex-Guns N' Roses) played drums on the two tracks; Mars contributed backing vocals. Neither Slim Dunlap nor Steve Foley participated in the sessions. On April 22, 2008, Rhino released remastered deluxe editions of the band's four Twin/Tone albums with rare bonus tracks. On September 24, 2008, Rhino similarly released the four Sire albums in deluxe editions. Material recorded with Tom Waits in 1988 was released on the Westerberg solo album 3oclockreep in 2008. Foley died in 2008 from an accidental overdose of a prescription medication. Reunion (2012–2015) On October 3, 2012, it was announced that the Replacements had re-formed and that Westerberg and Tommy Stinson were in the studio recording an EP containing song cover versions. Titled Songs for Slim, the EP was sold in a 250-copy edition of 10" vinyl and auctioned online to benefit former bandmate Dunlap, who had suffered a stroke. In November 2012, the documentary filmmaker Gorman Bechard released Color Me Obsessed, a film which tells the band's story through the eyes of their most ardent fans. The Replacements played their first shows in 22 years at Riot Fest in Toronto (August 24 and 25, 2013), Chicago (September 13–15) and Denver (September 21 and 22). Dave Minehan, guitarist and vocalist of the Boston-based band the Neighborhoods, and drummer Josh Freese rounded out the lineup for these shows. Westerberg has said that the band does not rule out touring or recording a new album. The band played two sets at the Coachella Valley Music and Arts Festival, on April 11 and 18, 2014; Green Day front man Billie Joe Armstrong joined the band onstage on the second date. The band was also announced as one of the headliners of the September 2014 Boston Calling Music Festival, along with Lorde and the National. On September 9, 2014, the Replacements appeared as the musical guest on The Tonight Show, performing "Alex Chilton". On September 19, 2014, they played at Forest Hills Stadium. Monsoon rains cancelled the Summer Ends Music Festival in Tempe, Arizona, on September 27, 2014, resulting in their only indoor show of the tour when it was moved to the Marquee Theatre. On December 17, 2014, a 24-minute jazz improvisation track entitled "Poke Me in My Cage" was uploaded to the band's SoundCloud account. On February 9, 2015, the band announced a spring tour of the United States. On this tour, they debuted a new song called "Whole Foods Blues", and according to their co-manager Darren Hill, the band has "laid down seven or eight" for a possible new album. Towards the end of the tour, two shows in Columbus and Pittsburgh were initially postponed for medical reasons, but were subsequently cancelled outright. The Replacements performed for the first time in Spain and Portugal at the Primavera Sound festival on May 28, 2015, and June 5, 2015, respectively, as part of a brief European tour. On June 5, 2015, Westerberg announced onstage at the Primavera Sound festival in Porto, Portugal, that it was the band's final show. T-shirts Westerberg had worn to previous shows had hinted at this outcome: each shirt had two letters on it (one each on front and back), ultimately spelling out, "I have always loved you. Now I must whore my past." In a September 2015 interview, Stinson discussed the band working on new studio material, stating, "it was one of those things: We dipped our toe in the water, and it didn't feel so good." Stinson stated that he had reworked songs he wrote for the Replacements as material for his solo career. Live performances The Replacements gained local notoriety following their first live performance, because of Tommy Stinson's young age. Early shows were consistently tight and became more aggressive following the release of the Stink EP in 1982. As their stylistic repertoire began to expand with the writing and recording of Hootenanny the following year, the band's increasingly antagonistic stage show left them with a reputation for their rowdy, often drunken live shows. The band frequently went on stage too intoxicated to play. They were famously banned permanently from Saturday Night Live after performing drunk before a national television audience on January 18, 1986. As one reviewer succinctly observed, the band could quite often be "mouthing profanities into the camera, stumbling into each other, falling down, dropping their instruments, and generally behaving like the apathetic drunks they were." There emerged an element of unpredictability, as The Replacements—when sober—gained critical praise for their live shows. Part of the mystique of The Replacements was the fact that the audience never knew until the start of a concert if the band would be sober enough to play. It was not uncommon for the group to play entire sets of cover versions, ranging anywhere from Bryan Adams's "Summer of '69" to Dusty Springfield's "The Look of Love" to Led Zeppelin's "Black Dog." Legacy The band has been honored with a star on the outside mural of the Minneapolis nightclub First Avenue, recognizing performers that have played sold-out shows or have otherwise demonstrated a major contribution to the culture at the iconic venue. Receiving a star "might be the most prestigious public honor an artist can receive in Minneapolis," according to journalist Steve Marsh. Westerberg also has a star for his solo work, making him one of the few musicians to be honored with multiple stars on the mural. The Goo Goo Dolls' vocalist and guitarist Johnny Rzeznik cites Paul Westerberg as an "obvious influence" on his music. The Goo Goo Dolls toured in support for The Replacements' final tour. They also co-wrote the song "We Are the Normal" with Westerberg for their 1993 album Superstar Car Wash. Members of The Cribs have cited The Replacements as a key influence. Members of the alternative country groups Uncle Tupelo and Whiskeytown have said that The Replacements were an important influence on them. Brian Fallon of Gaslight Anthem said in a 2009 interview that "without The Replacements, there would be no Gaslight Anthem" and that they were inspired by the song "Left of the Dial". The band They Might Be Giants made a tribute song to them called "We're The Replacements". Film director Derek Wayne Johnson has stated in interviews that The Replacements are his favorite band of all-time. 1234 Go! Records released We'll Inherit the Earth: A Tribute to The Replacements on October 3, 2006. The album contains twenty-three covers of The Replacements songs by various rock, punk, pop and country artists. On October 16, 2013, the band was announced as one of the 2014 Rock and Roll Hall of Fame nominees, but they were not inducted. "Alex Chilton" appears as a playable song in Harmonix's music videogame Rock Band 2 for all consoles. "Kids Don't Follow" was also released for the game as downloadable content. Their songs have been used in many feature films. "Treatment Bound" was used in the official soundtrack for Jackass Number Two. The 1998 teen comedy film Can't Hardly Wait is named after their single, and the song itself plays over the end credits. The song "I Will Dare" is sung by Keanu Reeves and Cameron Diaz in the car in Feeling Minnesota. Lou and Nick contemplate their lives and the possibility of changing the past in the 2010 comedy Hot Tub Time Machine while "I Will Dare" plays in the background. "I'll Be You" plays during Jerry's bachelor party in the 1996 romantic comedy-drama sports film Jerry Maguire. The 2009 Greg Mottola film, Adventureland, opens with "Bastards of Young". The song "Unsatisfied" is also used in the film during
Out the Trash. Hootenanny was played on over two hundred radio stations across the country, with critics acclaiming the album. Robert Christgau, writing in the Village Voice, deemed it "the most critically independent album of 1983". By Hootenanny's release, the Replacements had begun to attract a following outside of Minneapolis. The band embarked on its first tour of the United States in April 1983, joined by Bill Sullivan, a young security guard, as roadie, who approached the band after a show at the Walker Art Center in Minneapolis. Tommy Stinson dropped out of the tenth grade to join the rest of the band on tour. The Replacements toured venues on the East Coast, including a tense gig at City Gardens, in Trenton, New Jersey, where numerous punks lined the edge of the stage as the band played. The band performed in Detroit, Cleveland and Philadelphia, but its intended destination was New York City, where they played at Gerde's Folk City; they also performed at Maxwell's, in Hoboken, New Jersey. The Replacements returned to New York in June 1983, playing at CBGB. The gig was a failure; the band were almost refused entry, Bob Stinson was thrown out as soon as he walked in the door, and the Replacements were the last of five bands, which meant they played in the early morning on a Monday night. The show at Folk City was not a success, because "The Replacements were so loud and obnoxious that the people just cleared right out," according to manager Jesperson. The band supported R.E.M. on an eight-date tour later that summer, deciding that they should alienate the audience as much as possible. It was not a successful tour; by the end, various members had threatened to leave the Replacements. Band morale was low, and Westerberg later stated, "We'd much rather play for fifty people who know us than a thousand who don't care." For the recording of their next studio album, the Replacements decided to return to Blackberry Way Studios in late 1983. The band considered R.E.M.'s guitarist Peter Buck as producer, but when they met him in Athens, Georgia, they did not have enough material to begin recording. Instead, Jesperson and Steve Fjelstad co-produced the album. By this time, the Replacements had grown tired of playing loud and fast exclusively; Westerberg stated, "Now we're softening a little where we can do something that's a little more sincere without being afraid that someone's not going to like it or the punks aren't going to be able to dance to it." The new material placed more of a focus on songwriting, and the music was influenced by heavy metal, arena rock and Chicago blues. Instruments such as piano, twelve-string guitar and mandolin were featured throughout the album. The new album included songs such as "I Will Dare", which featured Buck playing lead guitar; "Androgynous", with Westerberg on piano; and "Unsatisfied", in which, according to writer Michael Azerrad, Westerberg "had hit upon a moving new way to declare that he can't get no satisfaction." The band's album Let It Be was released in October 1984 to critical acclaim. Robert Christgau gave the album an A+, the first and only A+ Tommy Stinson would receive in his life, and the Seattle Rocket critic Bruce Pavitt called Let It Be "mature diverse rock that could well shoot these regional boys into the national mainstream". In 1989, Let It Be was ranked number 12 on Spin magazine's list of the "25 Greatest Albums of All Time" and number 15 on Rolling Stone magazine's list of the "100 Greatest Albums of the 1980s". Early major-label releases (1985–1988) Let It Be attracted the attention of major record labels, and by late 1984 several had expressed an interest in signing the Replacements. Financially, the band was not doing well; they were not selling enough records to recoup their expenses, and money from shows went to recording costs, hotels, travel, food and instrument repairs. Bob Stinson worked a day job as a pizza chef. Twin/Tone was not being paid reliably by distributors, and the sales of Let It Be were not high enough to justify extra promotion. "It was time for a major label to take over," according to the label's co-owner Stark. The band was close to a major-label contract but often alienated label representatives by intentionally performing badly in concert; their 1985 live album, The Shit Hits the Fans, was an example of their concert performances at the time. One label, the Warner Bros. Records subsidiary Sire Records, eventually signed the Replacements. The band admired the label head, Seymour Stein, who had managed the Ramones, and Stein recruited Tommy Ramone as producer for their first major-label album, Tim, released by Sire in October 1985. The band spent the remainder of 1985 and the first half of 1986 touring behind Tim. In mid-January 1986 the Replacements received a last-minute request to appear as the musical guests on the edition of January 18 of Saturday Night Live, replacing the scheduled act, the Pointer Sisters, who had been forced to cancel only days before the show. The invitation was partly thanks to the show's musical director of the time, G.E. Smith, who was a Replacements fan but, as a result of their shambolic and profanity-laced performance during the late-night live broadcast, SNL producer Lorne Michaels banned them from ever returning to the show (although Westerberg returned as a solo artist in 1993.) They performed "Kiss Me on the Bus" while completely intoxicated, and after playing an out-of-tune "Bastards of Young" (during which Westerberg audibly called out "Come on fucker" just off-mic) they returned to stage wearing mismatched iterations of each other's clothing. In a 2015 interview recorded for the Archive of American Television, G. E. Smith recalled that although the band had performed well for the early evening pre-taped dress rehearsal performance, one of the band's crew then smuggled alcohol into their dressing room and they spent the next few hours drinking (with the guest host, Harry Dean Stanton) and taking drugs. According to Smith, by the time of the late-night live broadcast they were so intoxicated that on their way to the stage to perform, Bob Stinson tripped in the corridor, fell over onto his guitar and broke it, and Smith had to hurriedly loan him one of the SNL house band's spare instruments. A few weeks later, on February 4, 1986, the band returned to the New York City area to perform at Maxwell's in Hoboken, New Jersey. That show was professionally recorded by a crew hired by the band's label Sire Records, for use in a possible live album. Over 30 years later, the recordings were finally released as the double album For Sale: Live at Maxwell's 1986. The tour ended abruptly in June 1986 because Westerberg injured his finger during a show at The Ritz in New York City. In August 1986, the Replacements either fired Bob Stinson from the band which he had founded, or he chose to leave, or a little of both. In either case, it was due to creative and personal differences between Stinson and the remainder of the band, aggravated by Stinson's alcohol and drug abuse issues. They also fired Jesperson the same year. "It was like being thrown out of a club that you helped start," Jesperson later commented. "Everybody was drinking and doing more drugs than they needed to." Bob Stinson preferred the louder, faster style of the band's early music, while Westerberg was exploring new territory in ballads like "Here Comes a Regular" and "Swingin' Party". The remaining Replacements carried on as a trio for Pleased to Meet Me (1987), recorded in Memphis with Big Star producer Jim Dickinson. Minneapolis guitarist Slim Dunlap took over on lead guitar for the subsequent tour and soon became a full member of the band. Don't Tell a Soul and All Shook Down (1989–1990) The band's next album, Don't Tell a Soul, was a quieter, less punky affair, largely considered an attempt at mainstream success. While the move cost the Replacements the appreciation of some hardcore fans, the album had some notable songs, such as "Achin' to Be" and "I'll Be You", the latter of which topped the Billboard Modern Rock chart. The band then made a second appearance on network television, on the short-lived ABC program International Rock Awards, for which they performed a typically energetic version of "Talent Show" and caused a minor controversy when Westerberg responded to the network's censoring of
United States Farmington; Bloomfield; and Aztec, New Mexico, United States Albany, Troy, and Schenectady, New York, United States, in the region known as the Capital District Binghamton; Endicott; and Johnson City, New York, United States, the cities' collective metropolitan area is often called the Triple Cities New York, New York; Newark; and Jersey City, New Jersey, United States Greensboro; Winston-Salem; and High Point, North Carolina, United States, the cities' collective metropolitan area is often called the Piedmont Triad Raleigh; Durham; and Chapel Hill, North Carolina, United States, the cities' collective metropolitan area is often called the Research Triangle Tuttle; Newcastle; and Blanchard, Oklahoma, United States, also known as the Tri-City Area Johnson City; Kingsport; and Bristol, Tennessee/Bristol, Virginia, United States, also known as Tri-Cities, Tennessee Beaumont; Port Arthur; and Orange, Texas, United States, also known as the Golden Triangle (Texas) Dallas; Fort Worth; and Arlington, Texas, United States Petersburg; Colonial Heights; and Hopewell, Virginia, United States, also known as Tri-Cities, Virginia Pasco; Richland; and Kennewick, Washington, United States, also known as Tri-Cities, Washington Quad cities China Xinhui, Taishan, Kaiping, and Enping together formed Siyi area in Jiangmen, Guangdong Finland Helsinki, Espoo, Kauniainen and Vantaa in Uusimaa, Finland; together form the largest metropolis in the country and its actual capital area. Thailand Pattaya-Chonburi Metropolitan Area consists of the City of Pattaya, Town of Chonburi, Portal town of Laem Chabang and Town of Sattahip on the west coast of Chonburi Province, Thailand United Kingdom The West Yorkshire Built-up Area consists of the cities of Leeds, Bradford and Wakefield, and the large town of Huddersfield, United Kingdom. United States The Florence-Muscle Shoals Metropolitan Area in Alabama, United States, is locally referred to as "the Quad Cities", with Florence, Muscle Shoals, Sheffield, and Tuscumbia, Alabama. Formerly, when Muscle Shoals was a mere village, this region was known as "Tri-Cities", Alabama. In fact, all except Florence are incorporated as towns. Quad Cities of Davenport and Bettendorf, Iowa, and Rock Island and Moline, Illinois, United States. It also includes a fifth member, East Moline, Illinois. Allentown/Bethlehem, Pennsylvania and Easton, Pennsylvania/Phillipsburg, New Jersey, United States; the collective area is often called the Lehigh Valley The Quad Cities of Minnesota, United States, consist of Virginia, Eveleth, Gilbert, and Mountain Iron. The cities of Pullman, Washington, Moscow, Idaho, Lewiston, Idaho and Clarkston, Washington, United States, have marketed themselves as "Quad Cities." More than four cities Denmark The Triangle Region (Denmark), consisting of Billund, Fredericia, Haderslev, Kolding, Middelfart, Vejen and Vejle, Denmark. Germany The Ruhr district (Germany): consisting of Dortmund, Essen, Duisburg, Bochum, Oberhausen, Mülheim, Bottrop, Gelsenkirchen and Herne in its core. India In India: the cities of New Delhi, Noida, Greater Noida, Ghaziabad, Gurgaon and Faridabad have formed a huge metropolitan area known as National Capital Region (India). Malaysia In Malaysia: the cities of Kuala Lumpur, Petaling Jaya, Subang Jaya, Puchong, Shah Alam, Klang, Port Klang, Putrajaya, Cyberjaya, and Kajang have formed a huge metropolitan area (around the size of Singapore) known as Greater Kuala Lumpur. United States In the US states of Illinois and Iowa: The cities of Davenport and Bettendorf in Iowa; Rock Island, Moline and East Moline in Illinois form a metropolitan area known as the Quad Cities. The Michiana area, in the states of Indiana and Michigan, consisting of the cities of South Bend, Mishawaka, Elkhart, Granger, Michigan City, Goshen, La Porte (Indiana), New Buffalo, Buchanan, Niles, Berrien Springs, St. Joseph, Benton Harbor, and Dowagiac (Michigan) In the US states of Michigan and Wisconsin sit the 6 cities of Iron Mountain, Kingsford, Quinnesec, Norway (in Michigan), Aurora, and Niagara (in Wisconsin). The area is collectively known as the Iron Mountain Area. In the US state of Virginia: Norfolk, Chesapeake, Hampton, Newport News, Portsmouth, Suffolk, and Virginia Beach; the cities' collective metropolitan area is often called Hampton Roads Examples of cities formed by amalgamation Asia India Delhi, India: What used to be Old Delhi, New Delhi, and a collection of smaller villages has now grown into the current megalopolis that is seen today, also known as the National Capital Region (NCR) In Telangana, India, the cities of Hyderabad and Secunderabad are merged to form Greater Hyderabad. Japan Fukuoka in Japan, a city of 1.4 million people, formerly the twin cities of Hakata and Fukuoka until the late 19th century. Kitakyushu in Japan, a city of 900,000 people, created in 1963 by the merger of Yahata, Kokura, Moji, Wakamatsu, and Tobata. Yahata and Kokura had formerly been major cities in their own right. Saitama in Japan, a city of 1.2 million people, created in 2001 by the merger of the cities of Urawa, Omiya, Yono, and later Iwatsuki. Urawa and Omiya could formerly have been considered twin cities. Pakistan Islamabad, the capital city of Pakistan, has been expanded to include smaller towns including Rawat in its territory. Lahore, the second largest city of Pakistan, has, as of 2013, grown out so much that small towns by this giant city, such as Shahdara, have been absorbed in its city limits. People's Republic of China Wuhan in China consists of the towns of Wuchang, Hankou, and Hanyang in Hubei Province. Taiwan The former cities of Taoyuan and Zhongli, Taiwan, which merged along with the entire county in 2014 to form a single municipality city of Taoyuan, the two cities sit directly next to each other and shares almost the same population. Thailand Bangkok, the capital and largest city of Thailand, was created in 1971, when the previous Bangkok province (Phra Nakhon) was merged with Thonburi province. Vietnam The cities of Saigon and Cholon merged in 1931 to form a single city named Saigon-Cholon; in 1956, the name Cholon was dropped and the city became known as Saigon (now Ho Chi Minh City), Vietnam. Europe Germany Berlin (Berlin and Cölln), in Germany Duisburg (Duisburg and Hamborn, 1929–1935 called Duisburg-Hamborn), in North Rhine-Westphalia, Germany Wuppertal (Barmen and Elberfeld), in North Rhine-Westphalia, Germany Greece Athens incorporated dozens of villages and towns and absorbed whole of Athens basin and parts outside of it, notably Piraeus. Hungary Budapest, Hungary is the amalgamation of Buda, Pest and Óbuda. The Netherlands Eindhoven, the Netherlands, merged with five neighbouring municipalities (Woensel, Tongelre, Stratum, Gestel en Blaarthem and Strijp) into the new Groot-Eindhoven ("Greater Eindhoven") in 1920. The prefix "Groot-" was later dropped. Spain Madrid, Spain, evolved by absorption of other towns (like Tetuán de las Victorias, Vallecas, Chamartín de la Rosa or Aravaca) United Kingdom Edinburgh, Scotland, absorbed a number of surrounding villages, but most notably the separate burgh of Leith. London, England, grew from its cores in the City of London and the City of Westminster to encompass many other towns and villages within neighbouring counties and absorbed almost the whole of Middlesex county. Manchester and the city of Salford, England in the Metropolitan County of Greater Manchester (formerly in Lancashire). Stoke-on-Trent, England was created in 1910 from the towns of Burslem, Hanley, Tunstall, Longton, Fenton and Stoke, taking its name from the latter. Neighbouring Newcastle-under-Lyme remains a separate town. North America Canada Port Alberni, British Columbia, Canada, was formed in 1967 when Alberni and Port Alberni, merged to become one city. Winnipeg, Manitoba, Canada, amalgamated with 12 surrounding municipalities and its metropolitan corporation in 1971 under what was referred to as unicity reforms in local government restructuring. Halifax and Dartmouth, Nova Scotia, Canada, were merged in 1996 along with Bedford and Halifax County to create the Halifax Regional Municipality. Greater Sudbury, Ontario, Canada, was formed in 2001 by the amalgamation of the former Regional Municipality of Sudbury, comprising the municipalities of Sudbury, Nickel Centre, Valley East, Capreol, Rayside-Balfour, Onaping Falls and Walden, plus a number of previously unamalgamated townships. The amalgamation made it the most populous city in the Northern Ontario region. Kingston, Ontario, Canada, was amalgamated in 1998 with the neighboring Kingston and Pittsburgh Townships. Ottawa, Ontario, Canada, was given its large area by the amalgamation in 2001 of the old City of Ottawa, the suburbs of Nepean, Kanata, Gloucester, Rockcliffe Park, Vanier and Cumberland, Orleans, and the rural townships of West Carleton, Osgoode, Rideau, and Goulbourn Toronto, Ontario, Canada, formed by an amalgamation of the Old Toronto with East York, Etobicoke, North York, Scarborough and York, which were themselves products of earlier amalgamations. Thunder Bay, Ontario, Canada (Fort William and Port Arthur). Gatineau, Quebec, Canada, formed by the amalgamation of the old City of Gatineau, City of Hull, City of Aylmer, City of Buckingham and the Municipality of Masson-Angers all facing the City of Ottawa, Ontario from the north shore of the Ottawa River. Montreal, Quebec, Canada, was merged with the other 27 communities on the Island of Montreal by an act in the Quebec Parliament in 2002. Following a change in the provincial government, several communities later voted via referendum to de-merge and there are now a total of 15, leaving Montreal merged with the other 12. Saguenay, Quebec, Canada (Chicoutimi, Jonquière, et al.) Lloydminster, Canada, on the Saskatchewan-Alberta border, was formed as a single entity in 1903, when both future provinces were part of the Northwest Territories, but was divided into two separate entities in 1905 because the border between the newly created provinces bisected the community. In 1930, the two towns were reunited as a single town under the shared jurisdiction of both provinces, and Lloydminster was reincorporated as a single city in 1958. United States Helena–West Helena, Arkansas was formed in 2006 by the merger of the previous cities of Helena and West Helena. Fremont, California was formed in 1956 by the combination of the five towns of Centerville, Irvington, Niles, Mission San Jose, and Warm Springs, California. The town of Newark has always refused to merge into Fremont, and Newark is completely surrounded by Fremont. Boston, Massachusetts is made up of the former towns of Boston, Dorchester, Brighton, Roxbury, Charlestown, and Hyde Park. Iron River, Michigan absorbed the nearby city of Stambaugh and village of Mineral Hills in July 2000. Minneapolis, Minnesota. St. Anthony (not to be confused with St. Anthony Village, a modern city which is a suburb) was a twin city to Minneapolis in the two cities' youth. Minneapolis annexed St. Anthony in the late 1800s. Park Hills, Missouri was formed in 1994 by a four-way municipal merger involving the cities of Flat
is often called the Piedmont Triad Raleigh; Durham; and Chapel Hill, North Carolina, United States, the cities' collective metropolitan area is often called the Research Triangle Tuttle; Newcastle; and Blanchard, Oklahoma, United States, also known as the Tri-City Area Johnson City; Kingsport; and Bristol, Tennessee/Bristol, Virginia, United States, also known as Tri-Cities, Tennessee Beaumont; Port Arthur; and Orange, Texas, United States, also known as the Golden Triangle (Texas) Dallas; Fort Worth; and Arlington, Texas, United States Petersburg; Colonial Heights; and Hopewell, Virginia, United States, also known as Tri-Cities, Virginia Pasco; Richland; and Kennewick, Washington, United States, also known as Tri-Cities, Washington Quad cities China Xinhui, Taishan, Kaiping, and Enping together formed Siyi area in Jiangmen, Guangdong Finland Helsinki, Espoo, Kauniainen and Vantaa in Uusimaa, Finland; together form the largest metropolis in the country and its actual capital area. Thailand Pattaya-Chonburi Metropolitan Area consists of the City of Pattaya, Town of Chonburi, Portal town of Laem Chabang and Town of Sattahip on the west coast of Chonburi Province, Thailand United Kingdom The West Yorkshire Built-up Area consists of the cities of Leeds, Bradford and Wakefield, and the large town of Huddersfield, United Kingdom. United States The Florence-Muscle Shoals Metropolitan Area in Alabama, United States, is locally referred to as "the Quad Cities", with Florence, Muscle Shoals, Sheffield, and Tuscumbia, Alabama. Formerly, when Muscle Shoals was a mere village, this region was known as "Tri-Cities", Alabama. In fact, all except Florence are incorporated as towns. Quad Cities of Davenport and Bettendorf, Iowa, and Rock Island and Moline, Illinois, United States. It also includes a fifth member, East Moline, Illinois. Allentown/Bethlehem, Pennsylvania and Easton, Pennsylvania/Phillipsburg, New Jersey, United States; the collective area is often called the Lehigh Valley The Quad Cities of Minnesota, United States, consist of Virginia, Eveleth, Gilbert, and Mountain Iron. The cities of Pullman, Washington, Moscow, Idaho, Lewiston, Idaho and Clarkston, Washington, United States, have marketed themselves as "Quad Cities." More than four cities Denmark The Triangle Region (Denmark), consisting of Billund, Fredericia, Haderslev, Kolding, Middelfart, Vejen and Vejle, Denmark. Germany The Ruhr district (Germany): consisting of Dortmund, Essen, Duisburg, Bochum, Oberhausen, Mülheim, Bottrop, Gelsenkirchen and Herne in its core. India In India: the cities of New Delhi, Noida, Greater Noida, Ghaziabad, Gurgaon and Faridabad have formed a huge metropolitan area known as National Capital Region (India). Malaysia In Malaysia: the cities of Kuala Lumpur, Petaling Jaya, Subang Jaya, Puchong, Shah Alam, Klang, Port Klang, Putrajaya, Cyberjaya, and Kajang have formed a huge metropolitan area (around the size of Singapore) known as Greater Kuala Lumpur. United States In the US states of Illinois and Iowa: The cities of Davenport and Bettendorf in Iowa; Rock Island, Moline and East Moline in Illinois form a metropolitan area known as the Quad Cities. The Michiana area, in the states of Indiana and Michigan, consisting of the cities of South Bend, Mishawaka, Elkhart, Granger, Michigan City, Goshen, La Porte (Indiana), New Buffalo, Buchanan, Niles, Berrien Springs, St. Joseph, Benton Harbor, and Dowagiac (Michigan) In the US states of Michigan and Wisconsin sit the 6 cities of Iron Mountain, Kingsford, Quinnesec, Norway (in Michigan), Aurora, and Niagara (in Wisconsin). The area is collectively known as the Iron Mountain Area. In the US state of Virginia: Norfolk, Chesapeake, Hampton, Newport News, Portsmouth, Suffolk, and Virginia Beach; the cities' collective metropolitan area is often called Hampton Roads Examples of cities formed by amalgamation Asia India Delhi, India: What used to be Old Delhi, New Delhi, and a collection of smaller villages has now grown into the current megalopolis that is seen today, also known as the National Capital Region (NCR) In Telangana, India, the cities of Hyderabad and Secunderabad are merged to form Greater Hyderabad. Japan Fukuoka in Japan, a city of 1.4 million people, formerly the twin cities of Hakata and Fukuoka until the late 19th century. Kitakyushu in Japan, a city of 900,000 people, created in 1963 by the merger of Yahata, Kokura, Moji, Wakamatsu, and Tobata. Yahata and Kokura had formerly been major cities in their own right. Saitama in Japan, a city of 1.2 million people, created in 2001 by the merger of the cities of Urawa, Omiya, Yono, and later Iwatsuki. Urawa and Omiya could formerly have been considered twin cities. Pakistan Islamabad, the capital city of Pakistan, has been expanded to include smaller towns including Rawat in its territory. Lahore, the second largest city of Pakistan, has, as of 2013, grown out so much that small towns by this giant city, such as Shahdara, have been absorbed in its city limits. People's Republic of China Wuhan in China consists of the towns of Wuchang, Hankou, and Hanyang in Hubei Province. Taiwan The former cities of Taoyuan and Zhongli, Taiwan, which merged along with the entire county in 2014 to form a single municipality city of Taoyuan, the two cities sit directly next to each other and shares almost the same population. Thailand Bangkok, the capital and largest city of Thailand, was created in 1971, when the previous Bangkok province (Phra Nakhon) was merged with Thonburi province. Vietnam The cities of Saigon and Cholon merged in 1931 to form a single city named Saigon-Cholon; in 1956, the name Cholon was dropped and the city became known as Saigon (now Ho Chi Minh City), Vietnam. Europe Germany Berlin (Berlin and Cölln), in Germany Duisburg (Duisburg and Hamborn, 1929–1935 called Duisburg-Hamborn), in North Rhine-Westphalia, Germany Wuppertal (Barmen and Elberfeld), in North Rhine-Westphalia, Germany Greece Athens incorporated dozens of villages and towns and absorbed whole of Athens basin and parts outside of it, notably Piraeus. Hungary Budapest, Hungary is the amalgamation of Buda, Pest and Óbuda. The Netherlands Eindhoven, the Netherlands, merged with five neighbouring municipalities (Woensel, Tongelre, Stratum, Gestel en Blaarthem and Strijp) into the new Groot-Eindhoven ("Greater Eindhoven") in 1920. The prefix "Groot-" was later dropped. Spain Madrid, Spain, evolved by absorption of other towns (like Tetuán de las Victorias, Vallecas, Chamartín de la Rosa or Aravaca) United Kingdom Edinburgh, Scotland, absorbed a number of surrounding villages, but most notably the separate burgh of Leith. London, England, grew from its cores in the City of London and the City of Westminster to encompass many other towns and villages within neighbouring counties and absorbed almost the whole of Middlesex county. Manchester and the city of Salford, England in the Metropolitan County of Greater Manchester (formerly in Lancashire). Stoke-on-Trent, England was created in 1910 from the towns of Burslem, Hanley, Tunstall, Longton, Fenton and Stoke, taking its name from the latter. Neighbouring Newcastle-under-Lyme remains a separate town. North America Canada Port Alberni, British Columbia, Canada, was formed in 1967 when Alberni and Port Alberni, merged to become one city. Winnipeg, Manitoba, Canada, amalgamated with 12 surrounding municipalities and its metropolitan corporation in 1971 under what was referred to as unicity reforms in local government restructuring. Halifax and Dartmouth, Nova Scotia, Canada, were merged in 1996 along with Bedford and Halifax County to create the Halifax Regional Municipality. Greater Sudbury, Ontario, Canada, was formed in 2001 by the amalgamation of the former Regional Municipality of Sudbury, comprising the municipalities of Sudbury, Nickel Centre, Valley East, Capreol, Rayside-Balfour, Onaping Falls and Walden, plus a number of previously unamalgamated townships. The amalgamation made it the most populous city in the Northern Ontario region. Kingston, Ontario, Canada, was amalgamated in 1998 with the neighboring Kingston and Pittsburgh Townships. Ottawa, Ontario, Canada, was given its large area by the amalgamation in 2001 of the old City of Ottawa, the suburbs of Nepean, Kanata, Gloucester, Rockcliffe Park, Vanier and Cumberland, Orleans, and the rural townships of West Carleton, Osgoode, Rideau, and Goulbourn Toronto, Ontario, Canada, formed by an amalgamation of the Old Toronto with East York, Etobicoke, North York, Scarborough and York, which were themselves products of earlier amalgamations. Thunder Bay, Ontario, Canada (Fort William and Port Arthur). Gatineau, Quebec, Canada, formed by the amalgamation of the old City of Gatineau, City of Hull, City of Aylmer, City of Buckingham and the Municipality of Masson-Angers all facing the City of Ottawa, Ontario from the north shore of the Ottawa River. Montreal, Quebec, Canada, was merged with the other 27 communities on the Island of Montreal by an act in the Quebec Parliament in 2002. Following a change in the provincial government, several communities later voted via referendum to de-merge and there are now a total of 15, leaving Montreal merged with the other 12. Saguenay, Quebec, Canada (Chicoutimi, Jonquière, et al.) Lloydminster, Canada, on the Saskatchewan-Alberta border, was formed as a single entity in 1903, when both future provinces were part of the Northwest Territories, but was divided into two separate entities in 1905 because the border between the newly created provinces bisected the community. In 1930, the two towns were reunited as a single town under the shared jurisdiction of both provinces, and Lloydminster was reincorporated as a single city in 1958. United States Helena–West Helena, Arkansas was formed in 2006 by the merger of the previous cities of Helena and West Helena. Fremont, California was formed in 1956 by the combination of the five towns of Centerville, Irvington, Niles, Mission San Jose, and Warm Springs, California. The town of Newark has always refused to merge into Fremont, and Newark is completely surrounded by Fremont. Boston, Massachusetts is made up of the former towns of Boston, Dorchester, Brighton, Roxbury, Charlestown, and Hyde Park. Iron River, Michigan absorbed the nearby city of Stambaugh and village of
The sea is bounded by the islands of Corsica and Sardinia (to the west), the Italian Peninsula (regions of Tuscany, Lazio, Campania, Basilicata, and Calabria) to the north and east, and the island of Sicily (to the south). The Tyrrhenian Sea also includes a number of smaller islands like Capri, Elba, Ischia and Ustica. The maximum depth of the sea is . The Tyrrhenian Sea is situated near where the African and Eurasian Plates meet; therefore mountain chains and active volcanoes such as Mount Marsili are found in its depths. The eight Aeolian Islands and Ustica are located in the southern part of the sea, north of Sicily. Extent The International Hydrographic Organization defines the limits of the Tyrrhenian Sea as follows: In the Strait of Messina: A line joining the North extreme of Cape Paci (15°42′E) with the East extreme of the Island of Sicily, Cape Peloro (38°16′N). On the Southwest: A line running from Cape Lilibeo (West extreme of Sicily) to the South extreme of Cape Teulada (8°38′E) in Sardinia. In the Strait of Bonifacio: A line joining the West extreme of Cape Testa (41°14′N) in Sardinia with the Southwest extreme of Cape Feno (41°23′N) in Corsica. On the North: A line joining Cape Corse (Cape Grosso, 9°23′E) in Corsica, with Tinetto Island () and thence through Tino and Palmaria islands to San Pietro Point () on the coast of Italy. Exits There are four exits from the Tyrrhenian Sea (north to south): Basins The Tyrrhenian Basin is divided into two basins (or plains), the Vavilov plain and the Marsili plain. They are separated by the undersea ridge known as the Issel Bridge, after
Italy. It is named for the Tyrrhenian people identified with the Etruscans of Italy. Geography The sea is bounded by the islands of Corsica and Sardinia (to the west), the Italian Peninsula (regions of Tuscany, Lazio, Campania, Basilicata, and Calabria) to the north and east, and the island of Sicily (to the south). The Tyrrhenian Sea also includes a number of smaller islands like Capri, Elba, Ischia and Ustica. The maximum depth of the sea is . The Tyrrhenian Sea is situated near where the African and Eurasian Plates meet; therefore mountain chains and active volcanoes such as Mount Marsili are found in its depths. The eight Aeolian Islands and Ustica are located in the southern part of the sea, north of Sicily. Extent The International Hydrographic Organization defines the limits of the Tyrrhenian Sea as follows: In the Strait of Messina: A line joining the North extreme of Cape Paci (15°42′E) with the East extreme of the Island of Sicily, Cape Peloro (38°16′N).
graduate school, he began to envision a computer-based writing system that would provide a lasting repository for the world's knowledge, and also permit greater flexibility of drawing connections between ideas. This came to be known as Project Xanadu. Much later in life, in 2002, he obtained his Ph.D. in media and governance from Keio University. Project Xanadu Nelson founded Project Xanadu in 1960, with the goal of creating a computer network with a simple user interface. The effort is documented in the books Computer Lib / Dream Machines (1974), The Home Computer Revolution (1977) and Literary Machines (1981). Much of his adult life has been devoted to working on Xanadu and advocating for it. Throughout his career, Nelson supported his work on the project through a variety of administrative, academic and research positions and consultancies, including stints at Harcourt Brace and Company (a technology consultancy and assistantship typified by the creation of the Xanadu moniker and an early meeting with Douglas Engelbart, who later became a close friend; 1966-1967), Brown University (a tumultuous consultancy on the Nelson-inspired Hypertext Editing System and File Retrieval and Editing System with Swarthmore friend Andries van Dam's group; c. 1967-1969), Bell Labs (classified hypertext-related defense research; 1968-1969), CBS Laboratories ("writing and photographing interactive slide shows for their AVS-10 instructional device"; 1968-1969), the University of Illinois at Chicago (an interdisciplinary staff position; 1973-1976) and Swarthmore College (a lectureship in computing; 1977). Nelson also conducted research and development under the auspices of the Nelson Organization (founder and president; 1968-1972) and the Computopia Corporation (co-founder; 1977-1978). Clients of the former firm included IBM, Brown University, Western Electric, the University of California, the Jewish Museum, the Fretheim Chartering Corporation and the Deering-Milliken Research Corporation. He has alleged that the Nelson Organization was envisaged as a clandestine funding conduit for the Central Intelligence Agency, which expressed interest in Project Xanadu at an early juncture; however, the promised funds failed to materialize after several benchmarks were met. From 1980 to 1981, he was the editor of Creative Computing. At the behest of Xanadu developers Mark S. Miller and Stuart Greene, Nelson joined San Antonio, Texas-based Datapoint as chief software designer (1981-1982), remaining with the company as a media specialist and technical writer until its Asher Edelman-driven restructuring in 1984. Following several San Antonio-based consultancies and the acquisition of Xanadu technology by Autodesk in 1988, he continued working on the project as a non-managerial Distinguished Fellow in the San Francisco Bay Area until the divestiture of the Xanadu Operating Group in 1992–1993. After holding visiting professorships in media and information science at Hokkaido University (1995-1996), Keio University (1996-2002), the University of Southampton and the University of Nottingham, he was a Fellow (2004-2006) and Visiting Fellow (2006-2008) of the Oxford Internet Institute in conjunction with Wadham College, Oxford. More recently, he has taught classes at Chapman University and the University of California, Santa Cruz. The Xanadu project itself failed to flourish, for a variety of reasons which are disputed. Journalist Gary Wolf published an unflattering history of Nelson and his project in the June 1995 issue of Wired, calling it "the longest-running vaporware project in the history of computing". On his own website, Nelson expressed his disgust with the criticisms, referring to Wolf as "Gory Jackal", and threatened to sue him. He also outlined his objections in a letter to Wired, and released a detailed rebuttal of the article. As early as 1972, a demonstration iteration developed by Cal Daniels failed to reach fruition when Nelson was forced to return the project's rented Data General Nova minicomputer due to financial exigencies. Nelson has stated that some aspects of his vision are being fulfilled by Tim Berners-Lee's invention of the World Wide Web, but he dislikes the World Wide Web, XML and all embedded markup – regarding Berners-Lee's work as a gross over-simplification of his original vision: HTML is precisely what we were trying to PREVENT— ever-breaking links, links going outward only, quotes you can't follow to their origins, no version management, no rights management. Jaron Lanier explains the difference between the World Wide Web and Nelson's vision, and the implications: A core technical difference between a Nelsonian network and what we have become familiar with online is that [Nelson's] network links were two-way instead of one-way. In a network with two-way links, each node knows what other nodes are linked to it. ... Two-way linking would preserve context. It's a small simple change in how online information should be stored that couldn't have vaster implications for culture and the economy. Other projects In 1957, while a student, Nelson co-wrote and co-produced what he describes as a pioneering Rock Musical. Entitled "Anything and Everything", it was produced and performed at Swarthmore College. In 1965, he presented the paper "Complex Information Processing: A File Structure for the Complex, the Changing, and the Indeterminate" at the ACM National Conference, in which he coined the term "hypertext". In 1976, Nelson co-founded and briefly served as the advertising director of the "itty bitty machine company", or "ibm", a small computer retail store that operated from 1977 to 1980 in Evanston, Illinois. The itty bitty machine company was one of the
Peter Schickele, scored the film. Following a year of graduate study in sociology at the University of Chicago, Nelson began graduate work in "Social Relations", then a department at Harvard University specializing in sociology. in 1960, ultimately earning an A.M. in sociology from the Department of Social Relations in 1962. After Harvard, Nelson was a photographer and filmmaker for a year at John C. Lilly's Communication Research Institute in Miami, Florida, where he briefly shared an office with Gregory Bateson. From 1964 to 1966, he was an instructor in sociology at Vassar College. During college and graduate school, he began to envision a computer-based writing system that would provide a lasting repository for the world's knowledge, and also permit greater flexibility of drawing connections between ideas. This came to be known as Project Xanadu. Much later in life, in 2002, he obtained his Ph.D. in media and governance from Keio University. Project Xanadu Nelson founded Project Xanadu in 1960, with the goal of creating a computer network with a simple user interface. The effort is documented in the books Computer Lib / Dream Machines (1974), The Home Computer Revolution (1977) and Literary Machines (1981). Much of his adult life has been devoted to working on Xanadu and advocating for it. Throughout his career, Nelson supported his work on the project through a variety of administrative, academic and research positions and consultancies, including stints at Harcourt Brace and Company (a technology consultancy and assistantship typified by the creation of the Xanadu moniker and an early meeting with Douglas Engelbart, who later became a close friend; 1966-1967), Brown University (a tumultuous consultancy on the Nelson-inspired Hypertext Editing System and File Retrieval and Editing System with Swarthmore friend Andries van Dam's group; c. 1967-1969), Bell Labs (classified hypertext-related defense research; 1968-1969), CBS Laboratories ("writing and photographing interactive slide shows for their AVS-10 instructional device"; 1968-1969), the University of Illinois at Chicago (an interdisciplinary staff position; 1973-1976) and Swarthmore College (a lectureship in computing; 1977). Nelson also conducted research and development under the auspices of the Nelson Organization (founder and president; 1968-1972) and the Computopia Corporation (co-founder; 1977-1978). Clients of the former firm included IBM, Brown University, Western Electric, the University of California, the Jewish Museum, the Fretheim Chartering Corporation and the Deering-Milliken Research Corporation. He has alleged that the Nelson Organization was envisaged as a clandestine funding conduit for the Central Intelligence Agency, which expressed interest in Project Xanadu at an early juncture; however, the promised funds failed to materialize after several benchmarks were met. From 1980 to 1981, he was the editor of Creative Computing. At the behest of Xanadu developers Mark S. Miller and Stuart Greene, Nelson joined San Antonio, Texas-based Datapoint as chief software designer (1981-1982), remaining with the company as a media specialist and technical writer until its Asher Edelman-driven restructuring in 1984. Following several San Antonio-based consultancies and the acquisition of Xanadu technology by Autodesk in 1988, he continued working on the project as a non-managerial Distinguished Fellow in the San Francisco Bay Area until the divestiture of the Xanadu Operating Group in 1992–1993. After holding visiting professorships in media and information science at Hokkaido University (1995-1996), Keio University (1996-2002), the University of Southampton and the University of Nottingham, he was a Fellow (2004-2006) and Visiting Fellow (2006-2008) of the Oxford Internet Institute in conjunction with Wadham College, Oxford. More recently, he has taught classes at Chapman University and the University of California, Santa Cruz. The Xanadu project itself failed to flourish, for a variety of reasons which are disputed. Journalist Gary Wolf published an unflattering history of Nelson and his project in the June 1995 issue of Wired, calling it "the longest-running vaporware project in the history of computing". On his own website, Nelson expressed his disgust with the criticisms, referring to Wolf as "Gory Jackal", and threatened to sue him. He also outlined his objections in a letter to Wired, and
all felt smart. Some twisters are amusing because they sound incorrect even when pronounced correctly: Are you copperbottoming those pans, my man? No, I'm aluminiuming 'em Ma'am. In 2013, MIT researchers claimed that this is the trickiest twister to date: Pad kid poured curd pulled cod Linguistics of tongue twisters Phonemes Based on the MIT confusion matrix of 1620 single phoneme errors, the phoneme with the greatest margin of speech error is l [l] mistaken for r [r]. Other phonemes that had a high level of speech error include s [s] mistaken for sh [ʃ], f [f] for p [p], l [l] for r [r] and r [r] for l [l], w [w] for r [r], and many more. These sounds are most likely to transform to a similar sound when placed in near vicinity of each other. Most of these mix-ups can be attributed to the two phonemes having similar areas of articulation in the mouth. Pronunciation difficulty is also theorized to have an effect on tongue twisters. For example, t [t] is thought to be easier to pronounce than ch [tʃ]. As a result, speakers may naturally transform ch [tʃ] to t [t] or when trying to pronounce certain tongue twisters. Fortis and lenis Fortis and lenis are the classification of strong and weak consonants. Some characteristics of strong consonants include: high frequency in a language earlier development in language acquisition lower placement on the phonological hierarchy It is common for more difficult sounds to be replaced with strong consonants in tongue twisters. This is partially determinant of which sounds are most likely to transform to other sounds with linguistic confusion. Related concepts Shibboleths Shibboleths, that is, phrases in a language that are difficult for someone who is not a native speaker of that language to say might be regarded as a type of tongue-twist. An example is Georgian baq'aq'i ts'q'alshi q'iq'inebs ("a frog croaks in the water"), in which q is a uvular ejective. Another example, the Czech and Slovak strč prst skrz krk ("stick a finger through the throat") is difficult for a non-native speaker due to the absence of vowels, although syllabic r is a common sound in Czech, Slovak and some other Slavic languages. Finger-fumblers The sign language equivalent of a tongue twister is called a finger-fumbler'''. According to Susan Fischer, the phrase Good blood, bad blood is a tongue twister in English as well as a finger-fumbler in ASL. One-syllable article One-syllable article is a form of Mandarin Chinese tongue twister, written in Classical Chinese. Due to Mandarin Chinese having only four tonal ranges (compared to nine in Cantonese, for example), these works sound like a work of one syllable in different tonal range when spoken in Mandarin, but are far more comprehensible when spoken in another dialect. In popular culture In 1951 Danny Kaye recorded a Sylvia Fine song titled "Tongue Twisters". The children's books by Dr. Seuss contain a significant number of tongue twisters, with Oh Say Can You Say?, and Fox in Socks being the most extreme cases. In the 1952 film Singin' in the Rain, movie star Don Lockwood (Gene Kelly) uses tongue twisters, such as Peter Piper, while learning proper diction so he can make the transition from silent films to "talkies" in 1920s Hollywood. He also turns one of them ("Moses supposes his toeses are roses") into a song and dance number along with his best friend Cosmo Brown (Donald O'Connor). In 1968, Jack Webb guested on The Tonight Show Starring Johnny Carson and took part in a parody of Dragnet. The premise was Webb (as Sgt. Joe Friday) grilling Carson about "kleptomaniac Claude Cooper from Cleveland, who copped clean copper clappers kept in a closet." It became one of the most famous sketches in the show's history and was regularly shown on anniversary specials. In the cartoon episode "You Said a Mouseful" from Pinky and the Brain, both Pinky and Brain go through a collage of tongue twisters that cover almost every category possible. The TV series BoJack Horseman contains increasingly convoluted tongue twisters as the show progresses. The lines are often delivered by Princess Carolyn, and a notable set involves
types of tongue twisters derive their humor from producing vulgar results only when performed incorrectly: Old Mother Hunt had a rough cut punt Not a punt cut rough, But a rough cut punt. One smart feller, he felt smart, Two smart fellers, they both felt smart, Three smart fellers, they all felt smart. Some twisters are amusing because they sound incorrect even when pronounced correctly: Are you copperbottoming those pans, my man? No, I'm aluminiuming 'em Ma'am. In 2013, MIT researchers claimed that this is the trickiest twister to date: Pad kid poured curd pulled cod Linguistics of tongue twisters Phonemes Based on the MIT confusion matrix of 1620 single phoneme errors, the phoneme with the greatest margin of speech error is l [l] mistaken for r [r]. Other phonemes that had a high level of speech error include s [s] mistaken for sh [ʃ], f [f] for p [p], l [l] for r [r] and r [r] for l [l], w [w] for r [r], and many more. These sounds are most likely to transform to a similar sound when placed in near vicinity of each other. Most of these mix-ups can be attributed to the two phonemes having similar areas of articulation in the mouth. Pronunciation difficulty is also theorized to have an effect on tongue twisters. For example, t [t] is thought to be easier to pronounce than ch [tʃ]. As a result, speakers may naturally transform ch [tʃ] to t [t] or when trying to pronounce certain tongue twisters. Fortis and lenis Fortis and lenis are the classification of strong and weak consonants. Some characteristics of strong consonants include: high frequency in a language earlier development in language acquisition lower placement on the phonological hierarchy It is common for more difficult sounds to be replaced with strong consonants in tongue twisters. This is partially determinant of which sounds are most likely to transform to other sounds with linguistic confusion. Related concepts Shibboleths Shibboleths, that is, phrases in a language that are difficult for someone who is not a native speaker of that language to say might be regarded as a type of tongue-twist. An example is Georgian baq'aq'i ts'q'alshi q'iq'inebs ("a frog croaks in the water"), in which q is a uvular ejective. Another example, the Czech and Slovak strč prst skrz krk ("stick a finger through the throat") is difficult for a non-native speaker due to the absence of vowels, although syllabic r is a common sound in Czech, Slovak and some other Slavic languages. Finger-fumblers The sign language equivalent of a tongue twister is called a finger-fumbler'''. According to Susan Fischer, the phrase Good blood, bad blood is a tongue twister in English as well as a finger-fumbler in ASL. One-syllable article One-syllable article is a form of Mandarin Chinese tongue twister, written in Classical Chinese. Due to Mandarin Chinese having only four tonal ranges (compared to nine in Cantonese, for example), these works sound like a work of one syllable in different tonal range when spoken in Mandarin, but are far more comprehensible when spoken in another dialect. In popular culture In 1951 Danny Kaye recorded a Sylvia Fine song titled "Tongue Twisters". The children's books by Dr. Seuss contain a significant number of tongue twisters, with Oh Say Can You Say?, and Fox in Socks being the most extreme cases. In the 1952 film Singin' in the Rain, movie star Don Lockwood (Gene Kelly) uses tongue twisters, such as Peter Piper, while learning proper diction so he can make the transition from silent films to "talkies" in 1920s Hollywood. He also turns one of them ("Moses supposes his toeses are roses") into a song and dance number along with his best friend Cosmo Brown (Donald O'Connor). In 1968, Jack Webb guested on The Tonight Show Starring Johnny Carson and took part in a parody of Dragnet. The premise was Webb (as Sgt. Joe Friday) grilling Carson about "kleptomaniac Claude Cooper from Cleveland, who copped clean copper clappers kept in a closet." It became one of the most famous sketches in the show's history and was regularly shown on anniversary specials. In the cartoon episode "You Said a Mouseful" from Pinky and the Brain, both Pinky and Brain go through a collage of tongue twisters that cover almost every category possible. The TV series BoJack Horseman contains increasingly convoluted tongue twisters as the show progresses. The lines are often delivered by Princess Carolyn, and a notable set involves the actress 'Courtney Portnoy', for example: "How would you enjoy joining Portnoy for a scorched soy porterhouse pork four-courser at Koi?" followed by "Glorify your source, but don’t
place. Compared to the late 1970s, Chapman did not reduce the amount of comedy, documentaries and news. Although as he did at 2SM, Chapman maintained and strengthened the station's commitment to live music. In the late 1980s Triple J was accused of ignoring the emerging hip hop scene and related genres, in favour of the more marketable rock-oriented grunge style that dominated American music at the same time. 1990s: Regional expansion The number of news comedy programs and documentaries remained essentially the same in the 1990s as it was during the 1980s. The key changes were new programmes replacing old. Throughout the 1990s, Triple J commenced expansion to more regional areas of Australia and, in 1994, it was extended to another 18 regional centres throughout the country. In 1996, the total was brought to 44, with the new additions including: Launceston, Tasmania; Albany, Western Australia; Bathurst, New South Wales and Mackay, Queensland. As of 2006, Triple J's most recent expansion was to Broome, Western Australia. 2000s: Transition to online content In May 2003, Arnold Frolows, the only remaining member of the original Double Jay staff of 1975, stepped down after 28 years as Triple J music director. He was replaced by presenter Richard Kingsmill. In 2004, the station began to release podcasts of some of its talkback shows, including Dr Karl, This Sporting Life, and Hack. In 2006, Triple J's coverage expanded when transmission began in Broome, Western Australia. As Broome was one of the largest towns in Australia to not receive Triple J to this point, the station celebrated with a concert featuring many local bands, also simulcast on the Live at the Wireless programme. Also in 2006, Triple J launched jtv, a series of television programs broadcast on ABC and ABC2, as well as being made available online. Programming included music videos, live concerts, documentaries, and comedy, as well as a behind-the-scenes look at Triple J's studios. In 2008 jtv was rebranded as Triple J TV. Triple J TV's first 'spin-off' series The Hack Half Hour premiered on 22 September 2008, hosted by Steve Cannane. As of February 2009 Triple J TV airs on 21:00 Mondays on ABC2, 23:00 Fridays on ABC1 and can be downloaded at triplej.net.au. The series is hosted by The Doctor aka Lindsay McDougall and it features Hack reports from Antoinette Chiha, comedy from Sam Simmons, and the film segment Flicked with Marc Fennell. 2010s: Digital radio, Double J, Beat The Drum In 2014, ABC's Dig Music digital radio station joined the Triple J family and was relaunched as Double J on 30 April 2014. The new station features both new music and material from Triple J interview and sound archives. Former Triple J announcer Myf Warhurst, who hosted the inaugural shift, said "it's for people who love music, and also love a bit of music history." The station celebrated its 40th anniversary on 16 January 2015 with the seven-hour "Beat The Drum" event at the Domain venue in Sydney. Hosted by Peter Garrett, an Australian musician with Midnight Oil and former federal Environment Minister, the list of performers, all of whom are the beneficiaries of the station's support, included: Hilltop Hoods, The Presets, The Cat Empire, You Am I, Daniel Johns, Joelistics, Ball Park Music, Adalita, Vance Joy, and Gotye. The majority of performers played a combination of their own music and cover versions, including Sarah Blasko and Paul Dempsey's rendition of Crowded House's "Distant Sun", and The Preatures covering "At First Sight" by The Stems and The Divinyls' "All the Boys in Town". In ratings released in August 2015, Triple J was the highest or equal first in Sydney, Melbourne, Brisbane, Adelaide and Perth in the 25–39 demographic. Programming Current programming mix Triple J frequently features new, alternative music and local Australian performers, and programming which used to show a bias against bubblegum pop and top 40 hits. Triple J has nightly specialist programs in different musical genres (see the programmes section below). It also covers news and current affairs from a youth-oriented perspective, although this facet of its programming has been reduced considerably since the station's inception. In common with other Australian radio stations, Triple J has also gradually increased the amount of talkback content in its programming. There are several reasons for this. Most importantly, it provides an inexpensive and popular source of program content, and also provides the appearance of listener interactivity and involvement. Like many other former 'all music' stations, Triple J has had to respond to the advent of music file-sharing, digital music players, and other digital music innovations, which have drastically reduced listeners' dependence on radio as a means of accessing music. Evolution of programming The evolution of Triple J's programming has always been contentious. In the Double Jay days, commercial stations and conservatives regularly cried foul over the station's free use of expletives on air and its ability to ignore the censorship restrictions that were in force for commercial radio. This situation stemmed from Double Jay's status as a special unit of the ABC which, at that time, was only answerable to the ABC Board and the Minister for Communications, unlike the commercial stations, which were subject to regulation by the old Broadcasting Control Board (now the Australian Communications and Media Authority) and by their own peak body, the Federation of Australian Commercial Broadcasters (FACB), now known as Commercial Radio Australia. Over the years the station gained considerable renown for breaking new local acts. Midnight Oil, the prime example of this, would almost certainly not have had the success they enjoyed without the help of Double Jay/Triple J. The station also broke countless overseas acts who were being ignored in their home countries. Double Jay was virtually the only 'pop' station in Australia in the late Seventies to play reggae, dub, punk rock, new wave, world music, electronic music, and ambient music. Over the years the station moved away from its early style, which featured a high level of news, features, documentaries, current affairs, and comedy, and was gradually steered towards a non-commercial version of the continuous music format that prevailed in commercial radio. Many original Double Jay segments including the nightly "What's On" gig guide, its extensive news and current affairs coverage, and its 'community noticeboard' segment, were gradually eliminated, as were almost all the character comedy spots that had been popular features in previous years. Effect on mainstream media The station also exerted a noticeable effect on local record companies. For many years, local record labels would only import recordings that they knew would earn a good commercial return, and they were often unwilling to take risks on local releases of unknown acts. Much new music was routinely available only as expensive imports in specialist shops. This began to change almost as soon as Double Jay came on air. A good example of the station's influence was in 1976 when Double Jay championed a new album, 801 Live, recorded by a one-off group that included former Roxy Music members Phil Manzanera and Brian Eno. Although the LP was hailed overseas as one of the best live recordings ever made, and set new standards of technical excellence, the Australian distributor at first refused to release it locally, in spite of the fact that it was one of the most requested items on the Double Jay playlist at the time. As a result of the import sales that were generated by Double Jay airplay – it became the highest selling import album that year – the company decided to release it locally. Triple J routinely championed many local and overseas acts whose early recordings were ignored by commercial radio including: Midnight Oil, Models, Paul Kelly, The Clash, Sex Pistols, Public Image Ltd, Nirvana, Foo Fighters, Pixies, Ben Folds Five, and hundreds more. As with the ABC's long-running pop TV show Countdown, the support of Triple J in Australia also had a strong effect on the success of emerging overseas acts. A case in point is American group The B-52's. It is believed that Double Jay was the first radio station in the world to play their debut single "Rock Lobster". The support of Double Jay/Triple J had a similarly significant effect on the worldwide success of many acts, including: Blondie, Devo, and more recently Ben Folds Five, Garbage, and especially Ben Harper, whose popularity in Australia, which was almost entirely the result of support from Triple J, was instrumental in breaking him back in his home country, the United States. It is also notable that Triple J was for many years routinely used as a free market research facility by commercial stations. As mainstream pop radio struggled to establish itself on the FM band, commercial stations like those owned by Austereo constantly monitored what songs and acts were doing well on Triple J and would then introduce the most 'saleable' of them into their own playlists. Acts like Talking Heads, The Police, and Nirvana unquestionably owed their commercial success in Australia to the early support of Double Jay/Triple J. In 1990, Triple J had been playing N.W.A's protest song "Fuck tha Police" for up to six months, before catching the attention of ABC management who subsequently banned it. As a result, the staff went on strike and put the group's song "Express Yourself" on continuous play for 24 hours, playing it roughly 360 times in a row. In 2014, when launching Double J on digital radio, the station played nothing but "Express Yourself" for 48 hours. Presenters Many Double Jay and early Triple J presenters went on to successful careers with commercial stations, the most notable being Doug Mulray, who honed his distinctive comedy-based style at the Jays before moving to rival FM rock station 2-MMM (Triple M) in the 1980s, where he became the most popular breakfast presenter in Sydney (and one of the highest-paid radio personalities in the country). Presenter Annette Shun Wah went on to host the popular Rock Around the World series on SBS and is now a program executive with SBS TV and producer of The Movie Show. Current presenters Bryce Mills Ebony Boadu Lucy Smith Dave Woodhead Lewis Hobba Michael Hing Avani Dias Bridget Hustwaite Declan Byrne Lochlan Watt Josh "Redbeard" Merriel Dr. Karl Hau Latukefu The Aston Shuffle Stacy Gougoulis Tyrone Pynor Jess Perkins Jade Zoe Andy Garvey Shantan Wantan Ichiban Nooky Richard Kingsmill Nat Tencic Tim Shiel Events Hottest 100 The Hottest 100 is an annual poll of the previous year's most popular songs, as voted by its listeners. It has been conducted for over two decades in its present form, and in 2016 attracted 2.26 million votes from 172 countries. It is promoted as the "world's greatest music democracy" and has also spawned a series of compilation CDs, and more recently, music DVDs, released via ABC Music. The countdown of the poll had regularly taken place on Australia Day from 1998 to 2017. In response to controversy surrounding Australia Day celebrations and an extensive poll of Triple J listeners, it was announced in November 2017 that future countdowns would be aired on the fourth weekend of January to avoid associations with the Australia Day holiday. Unearthed Unearthed, an ongoing project to find hidden talent, began in 1995. It originally focused on regional areas but now covers all of Australia. Many of these discoveries have been very successful. Some, such as Grinspoon, Killing Heidi, and Missy Higgins, have even been successful enough to receive commercial radio airplay. The Unearthed competition was inspired by the success of a talent search on SBS program Nomad called "Pick Me". This segment, co-produced by Triple J, discovered a trio from Newcastle called the "Innocent Criminals", who later gained international fame under the name Silverchair. On 5 October 2011 Triple J Unearthed ( styled triple j unearthed) was launched as a radio station available on digital radio and online. It allows listeners to rate and review songs uploaded by bands and musicians. Triple j unearthed runs a competition to select an Indigenous Australian artist to play the National Indigenous Music Awards, known as the Unearthed National Indigenous Music Awards Competition, Unearthed NIMAs Competition, or simply NIMA Unearthed. Past winners have included Dallas Woods, Thelma Plum, Baker Boy, Alice Skye, and Kuren. In 2021, Tilly Tjala Thomas won the award. Thomas sings in both Nukunu language and English, and performed her song "Ngai Yulku" in both languages. Beat the Drum Triple J occasionally runs a competition known as 'Beat the Drum' – named for their logo of three drumsticks hitting a drum. It is a competition designed to promote the logo, whereby, whoever displays it in the most prominent place would win a prize. Notable entries include: A girl who distributed postcards of herself with the Triple J logo painted on her naked buttocks A Triple J T-shirt being waved behind the final lap of, and the presentation of
1970s, culminating in an outdoor, all-day event in Parramatta Park, Sydney on 18 January 1981 to celebrate the end of Double J and the start of 2JJJ. Attended by 40,000 people, the historic concert featured Midnight Oil and Matt Finish. 1980s: National expansion On 1 August 1980 2JJ began broadcasting on the FM band at a frequency of 105.7 MHz (again restricted to within the greater Sydney region) and became 2JJJ (later, Triple J). Test transmissions in the lead-up to the FM launch used the innovative device of broadcasting stereo audio-verité recordings made by ABC staff, and, in a deliberate echo of the original Double Jay launch, the first song played on the new FM incarnation was another track then banned from commercial radio, "Gay Guys" by Dugites. Through the mid-to-late eighties, Triple J continued to pioneer new music and developed a wide range of special-interest programs including the Japanese pop show Nippi Rock Shop, Arnold Frolows' weekly late-night ambient music show Ambience, and Jaslyn Hall's world music show, the first of its kind on Australian mainstream radio.. For several years in the late 1970s and early 1980s the breakfast shift was presented by Doug Mulray, which featured regular input from Mulray's long-serving collaborator Ken Sterling, who regularly impersonated then Prime Minister Malcolm Fraser (as "The Prime Mincer"), while Mulray often performed a parody of TV scientist Julius Sumner-Miller. Stirling and Mulray also wrote and produced a popular series of parodic "anti-ads". One of the show's most popular features was the Doctor Who parody serial "Dr Poo", written and performed by comedians Lance Curtis, Geoff Kelso, Steve Johnstone and Ken Matthews, although the series was cancelled in 1981 following the station's transition to the FM band. Mulray continued on the Triple J breakfast shift until 1982, when he was poached by rival commercial FM rock station Triple M, where he became very popular, presenting their breakfast shift for the next ten years. On 19 January 1981, the AM transmissions ceased, and 2JJJ became an FM only station. It was not until the late 1980s that the ABC was finally able to begin development of the long-delayed national "youth network". Between October 1989 to the end of 1990, JJJ expanded to: Adelaide, Brisbane, Canberra, Darwin, Hobart, Melbourne, Newcastle, and Perth. In 1983, four Triple J presenters – Peter Doyle, Virginia Moncrieff, Tony Barrell and Clive Miller – began producing a fanzine with the inscrutable title of Alan. Designed in a manic collage style by David Art Wales, Alan featured programming information, pop trivia, and irreverent interviews with recording artists. Wales also supplied a comic strip featuring a boy sage named Guru Adrian. In a twist that added to the character's appeal, the Guru's face was that of a real child whose identity was never revealed, leading many to believe that he was in fact a real guru. Guru Adrian's philosophy, "Adrianetics", consisted of quixotic maxims, including: "Having fun is half the fun," "Gee, you are you" and "Realise your real eyes," which rapidly gained the character a cult following in Australia, with Wales making many radio and television appearances during the mid-1980s to discuss the Guru Adrian phenomenon. In 1984, Wales teamed with renowned Australian journalist Bruce Elder on the book Radio With Pictures: The History of Double Jay and Triple Jay. In the late 1980s, Barry Chapman (Programme Director 2SM 1977–80, and managing director EMI Music Publishing 1983–89) was appointed as general manager to oversee Triple J's network expansion. His tenure, and the expansion of the network, generated controversy, most notably in 1990, when a large portion of 2JJJ's Sydney-based on air staff was fired, (the so-called "Night of the long knives") including the most popular presenters Tony Biggs and Tim Ritchie, the station's dance-music maven. As details of the changes became public, there were accusations of a "JJJ Bland Out" (analogous to Harry Enfield's fictional British DJs Smashie and Nicey) and several protests were held outside its William Street studios. There was a public meeting that packed the Sydney Town Hall with angry listeners. The crowd spilled out onto the street as the hall was not big enough to hold everyone who felt that "their" beloved radio station had been hijacked. Concern was expressed about the introduction of a more highly programmed music format, and the appointment of Chapman was seen as an indication of a more commercial direction. Management responded that to launch a national network meant that the station must broaden its then almost-exclusive focus on the Sydney music scene, requiring the addition of new talent. When the dispute waned, the radio programming was not nearly as free-form as it had been before going national, but neither was it as highly programmed as its critics feared. In the pre-national era, there had been less emphasis on a structured playlist but the introduction of a tighter playlist allowed (at least initially) a degree of input from individual presenters that exceeded that usually permitted on a commercial station. The laissez-faire collective management style of the Double Jay days was gradually replaced by a more business-like top-down management style. Prior to the controversial appointment of Chapman, many of the 'old guard' were dismissed from the station and replaced by presenters who were more amenable to the increasingly structured format. Chapman oversaw a radical overhaul of Triple J's programming and marketing. This basic format, though not dissimilar to the old Sydney based Triple J, included: an early morning comedy breakfast program with duo presenters, a late morning talk and talkback program, and a light talk-and-comedy afternoon drive-time shift. Decades later the format remains substantially in place. Compared to the late 1970s, Chapman did not reduce the amount of comedy, documentaries and news. Although as he did at 2SM, Chapman maintained and strengthened the station's commitment to live music. In the late 1980s Triple J was accused of ignoring the emerging hip hop scene and related genres, in favour of the more marketable rock-oriented grunge style that dominated American music at the same time. 1990s: Regional expansion The number of news comedy programs and documentaries remained essentially the same in the 1990s as it was during the 1980s. The key changes were new programmes replacing old. Throughout the 1990s, Triple J commenced expansion to more regional areas of Australia and, in 1994, it was extended to another 18 regional centres throughout the country. In 1996, the total was brought to 44, with the new additions including: Launceston, Tasmania; Albany, Western Australia; Bathurst, New South Wales and Mackay, Queensland. As of 2006, Triple J's most recent expansion was to Broome, Western Australia. 2000s: Transition to online content In May 2003, Arnold Frolows, the only remaining member of the original Double Jay staff of 1975, stepped down after 28 years as Triple J music director. He was replaced by presenter Richard Kingsmill. In 2004, the station began to release podcasts of some of its talkback shows, including Dr Karl, This Sporting Life, and Hack. In 2006, Triple J's coverage expanded when transmission began in Broome, Western Australia. As Broome was one of the largest towns in Australia to not receive Triple J to this point, the station celebrated with a concert featuring many local bands, also simulcast on the Live at the Wireless programme. Also in 2006, Triple J launched jtv, a series of television programs broadcast on ABC and ABC2, as well as being made available online. Programming included music videos, live concerts, documentaries, and comedy, as well as a behind-the-scenes look at Triple J's studios. In 2008 jtv was rebranded as Triple J TV. Triple J TV's first 'spin-off' series The Hack Half Hour premiered on 22 September 2008, hosted by Steve Cannane. As of February 2009 Triple J TV airs on 21:00 Mondays on ABC2, 23:00 Fridays on ABC1 and can be downloaded at triplej.net.au. The series is hosted by The Doctor aka Lindsay McDougall and it features Hack reports from Antoinette Chiha, comedy from Sam Simmons, and the film segment Flicked with Marc Fennell. 2010s: Digital radio, Double J, Beat The Drum In 2014, ABC's Dig Music digital radio station joined the Triple J family and was relaunched as Double J on 30 April 2014. The new station features both new music and material from Triple J interview and sound archives. Former Triple J announcer Myf Warhurst, who hosted the inaugural shift, said "it's for people who love music, and also love a bit of music history." The station celebrated its 40th anniversary on 16 January 2015 with the seven-hour "Beat The Drum" event at the Domain venue in Sydney. Hosted by Peter Garrett, an Australian musician with Midnight Oil and former federal Environment Minister, the list of performers, all of whom are the beneficiaries of the station's support, included: Hilltop Hoods, The Presets, The Cat Empire, You Am I, Daniel Johns, Joelistics, Ball Park Music, Adalita, Vance Joy, and Gotye. The majority of performers played a combination of their own music and cover versions, including Sarah Blasko and Paul Dempsey's rendition of Crowded House's "Distant Sun", and The Preatures covering "At First Sight" by The Stems and The Divinyls' "All the Boys in Town". In ratings released in August 2015, Triple J was the highest or equal first in Sydney, Melbourne, Brisbane, Adelaide and Perth in the 25–39 demographic. Programming Current programming mix Triple J frequently features new, alternative music and local Australian performers, and programming which used to show a bias against bubblegum pop and top 40 hits. Triple J has nightly specialist programs in different musical genres (see the programmes section below). It also covers news and current affairs from a youth-oriented perspective, although this facet of its programming has been reduced considerably since the station's inception. In common with other Australian radio stations, Triple J has also gradually increased the amount of talkback content in its programming. There are several reasons for this. Most importantly, it provides an inexpensive and popular source of program content, and also provides the appearance of listener interactivity and involvement. Like many other former 'all music' stations, Triple J has had to respond to the advent of music file-sharing, digital music players, and other digital music innovations, which have drastically reduced listeners' dependence on radio as a means of accessing music. Evolution of programming The evolution of Triple J's programming has always been contentious. In the Double Jay days, commercial stations and conservatives regularly cried foul over the station's free use of expletives on air and its ability to ignore the censorship restrictions that were in force for commercial radio. This situation stemmed from Double Jay's status as a special unit of the ABC which, at that time, was only answerable to the ABC Board and the Minister for Communications, unlike the commercial stations, which were subject to regulation by the old Broadcasting Control Board (now the Australian Communications and Media Authority) and by their own peak body, the Federation of Australian Commercial Broadcasters (FACB), now known as Commercial Radio Australia. Over the years the station gained considerable renown for breaking new local acts. Midnight Oil, the prime example of this, would almost certainly not have had the success they enjoyed without the help of Double Jay/Triple J. The station also broke countless overseas acts who were being ignored in their home countries. Double Jay was virtually the only 'pop' station in Australia in the late Seventies to play reggae, dub, punk rock, new wave, world music, electronic music, and ambient music. Over the years the station moved away from its early style, which featured a high level of news, features, documentaries, current affairs, and comedy, and was gradually steered towards a non-commercial version of the continuous music format that prevailed in commercial radio. Many original Double Jay segments including the nightly "What's On" gig guide, its extensive news and current affairs coverage, and its 'community noticeboard' segment, were gradually eliminated, as were almost all the character comedy spots that had been popular features in previous years. Effect on mainstream media The station also exerted a noticeable effect on local record companies. For many years, local record labels would only import recordings that they knew would earn a good commercial return, and they were often unwilling to take risks on local releases of unknown acts. Much new music was routinely available only as expensive imports in specialist shops. This began to change almost as soon as Double Jay came on air. A good example of the station's influence was in 1976 when Double Jay championed a new album, 801 Live, recorded by a one-off group that included former Roxy Music members Phil Manzanera and Brian Eno. Although the LP was hailed overseas as one of the best live recordings ever made, and set new standards of technical excellence, the Australian distributor at first refused to release it locally, in spite of the fact that it was one of the most requested items on the Double Jay playlist at the time. As a result of the import sales that were generated by Double Jay airplay – it became the highest selling import album that year – the company decided to release it locally. Triple J routinely championed many local and overseas acts whose early recordings were ignored by commercial radio including: Midnight Oil, Models, Paul Kelly, The Clash, Sex Pistols, Public Image Ltd, Nirvana, Foo Fighters, Pixies, Ben Folds Five, and hundreds more. As with the ABC's long-running pop TV show Countdown, the support of Triple J in Australia also had a strong effect on the success of emerging overseas acts. A case in point is American group The B-52's. It is believed that Double Jay was the first radio station in the world to play their debut single "Rock Lobster". The support of Double Jay/Triple J had a similarly significant effect on the worldwide success of many acts, including: Blondie, Devo, and more recently Ben Folds Five, Garbage, and especially Ben Harper, whose popularity in Australia, which was almost entirely the
on 4 December 1932 in London, England. Educated at Framlingham College, Suffolk, and from 1945 to 1951 at Bromley Grammar School for Boys, now Ravensbourne School. From 1951 to 1953 he served in the Royal Air Force as an airman and in 1963 he graduated from the University of Leeds with a double honours degree in psychology and sociology; as a student at Leeds he was a member of the institution's University Challenge team. Australia Shortly after his graduation, he was recruited by the University of Western Australia Adult Education Board to run their community arts programme. In 1967 he joined the teaching staff of the newly opened School of Sociology at the University of New South Wales in Sydney. During the student upheavals, which began at this time, he created a direct action reform movement called Alf (Action for Love and Freedom) and implemented this with what he announced to be "The Fun Revolution". In a condition of considerable financial hardship, he was able to persuade the Melbourne University Union Activities Department to appoint him their unpaid "Cosmologer, Living Work of Art and Shaman". The vice-chancellor gave him the use of the Old Pathology Lecture Theatre for his classes in synthetic cosmology and the director of the National Gallery of Victoria accepted the offer of his live body as a living work of art. At this time, shocked when the student pacifist society sent money to the Viet Cong, he founded Alf's Imperial Army devoted to sensational but non-violent warfare and regularly organised battles on campus. He founded the Imperial British Conservative Party to provide a counterbalance to international capitalism and the various forms of Nazism. New Zealand In 1974, The Wizard migrated to Christchurch in New Zealand and began to speak on a ladder in Cathedral Square. The city council attempted to have him arrested, but he became so popular that they made the square a public speaking area. Wearing his costume as a false prophet of the Church of England, or his wizard's pointy hat, he has spoken there at lunchtimes in the summer months. He confronted Telecom over the colour of public telephone boxes, played for the local rugby team, heckled Christian evangelist Ray Comfort, evaded the compulsory census and performed rain dances in Canterbury, Auckland and the Australian outback. With the help of the mayor, Vicki Buck, the city of Christchurch hosted a wizards' conclave in 1995 when visiting colleagues gathered to help build a wizard's nest on top of the university library tower, to witness the New Zealand Wizard hatching from a giant egg in the city art gallery, sky diving whilst chanting a spell for a major rugby match and performing various rituals round the city. Soon afterwards, accompanied by 42 assistant wizards, he came down by gondola from the Port Hills with tablets bearing the address of his new website. In 1982, the New Zealand Art Gallery Directors Association issued a statement that in their opinion The Wizard was an authentic living work of art and the city council appointed him "Wizard of Christchurch". In 1990 the Prime Minister of New Zealand, Mike Moore, an old friend, appointed him the official "Wizard of New Zealand". He initially provided his services free. In 1998, the Christchurch City Council signed a contract with him to "provide
honours degree in psychology and sociology; as a student at Leeds he was a member of the institution's University Challenge team. Australia Shortly after his graduation, he was recruited by the University of Western Australia Adult Education Board to run their community arts programme. In 1967 he joined the teaching staff of the newly opened School of Sociology at the University of New South Wales in Sydney. During the student upheavals, which began at this time, he created a direct action reform movement called Alf (Action for Love and Freedom) and implemented this with what he announced to be "The Fun Revolution". In a condition of considerable financial hardship, he was able to persuade the Melbourne University Union Activities Department to appoint him their unpaid "Cosmologer, Living Work of Art and Shaman". The vice-chancellor gave him the use of the Old Pathology Lecture Theatre for his classes in synthetic cosmology and the director of the National Gallery of Victoria accepted the offer of his live body as a living work of art. At this time, shocked when the student pacifist society sent money to the Viet Cong, he founded Alf's Imperial Army devoted to sensational but non-violent warfare and regularly organised battles on campus. He founded the Imperial British Conservative Party to provide a counterbalance to international capitalism and the various forms of Nazism. New Zealand In 1974, The Wizard migrated to Christchurch in New Zealand and began to speak on a ladder in Cathedral Square. The city council attempted to have him arrested, but he became so popular that they made the square a public speaking area. Wearing his costume as a false prophet of the Church of England, or his wizard's pointy hat, he has spoken there at lunchtimes in the summer months. He confronted Telecom over the colour of public telephone boxes, played for the local rugby team, heckled Christian evangelist Ray Comfort, evaded the compulsory census and performed rain dances in Canterbury, Auckland and the Australian outback. With the help of the mayor, Vicki Buck, the city of Christchurch hosted a wizards' conclave in 1995 when visiting colleagues gathered to help build a wizard's nest on top of the university library tower, to witness the New Zealand Wizard hatching from a giant egg in the city art gallery, sky diving whilst chanting a spell for a major rugby match and performing various rituals round the city. Soon afterwards, accompanied by 42 assistant wizards, he came down by gondola from the Port Hills with tablets bearing the address of his new website. In 1982, the New Zealand Art Gallery Directors Association issued a statement that in their opinion The Wizard was an authentic living work of art and the city council appointed him "Wizard of Christchurch". In 1990 the Prime Minister of New Zealand, Mike Moore, an old friend, appointed him the official "Wizard of New Zealand". He initially provided his services free. In 1998, the Christchurch City Council signed a contract with him to "provide acts of wizardry and other wizard-like-services – as part of promotional work for the city of Christchurch" for an annual fee of $16000. The Wizard also received financial support from his partner, Alice Flett. On 8 September 2003 The Wizard's large wooden house was destroyed by a fire, which Christchurch police treated as
into the group. Arriving at the village, they work with the villagers to build fortifications and train them to defend themselves. They note the lack of women in the village until Chico stumbles upon Petra and discovers the women were hidden in fear that the gunmen would rape them. The gunmen begin to bond with the villagers, and Petra pursues Chico. When Bernardo points out that the gunmen are being given the choice food, the gunmen share it with the village children. Three of Calvera's men are dispatched to reconnoitre the village; due to a mistake by Chico, the seven are forced to kill all three rather than capture at least one. Some days later Calvera and his bandits arrive in force. The seven and the villagers kill another eight of their cohorts in a shootout and run them out of town. The villagers celebrate, believing Calvera will not return. But Chico infiltrates Calvera's camp and learns that Calvera must return, as his men are short of food. Some fearful villagers thereupon call for the gunfighters to leave. Even some of the seven waver, but Chris insists that they stay, even threatening to kill anyone who suggests giving up the fight. The seven ride out to make a surprise raid on Calvera's camp, but find it abandoned. Returning to the village, they are caught by Calvera and his men, who have colluded with some of the villagers to sneak in and take control. Calvera spares the seven's lives, believing they have learned the simple farmers are not worth fighting for and fearing reprisals from the gunfighters' "friends" across the border. Preparing to depart, Chris and Vin admit they have become emotionally attached to the village. Bernardo likewise gets angry when the boys he befriended call their parents cowards. Chico declares that he hates the villagers; when Chris points out he grew up as a farmer as well, Chico angrily responds that it is men like Calvera and Chris who made the villagers what they are. The seven gunmen are escorted some distance from the village, where their weapons are returned to them. They debate their next move and all but Harry, who believes the effort will be futile and suicidal, agree to return and fight. The gunmen infiltrate the village and a gunfight breaks out. Harry, who has had a change of heart, returns in time to save Chris's life but is himself fatally shot. Harry pleads to know what they were fighting for, and Chris lies about a hidden gold mine to let Harry believe he died for a fortune; Harry smiles before dying. Lee finds the nerve to burst into a house where several villagers are being held, shooting their captors and releasing the prisoners to join the fight, but is gunned down as he leaves the house. Bernardo, shot protecting the boys he befriended, tells them as he dies to see how bravely their fathers fought. Britt dies after shooting at many bandits but exposing himself from cover. Chris shoots Calvera, who asks him, "You came back... to a place like this? Why? A man like you? Why?" He dies without receiving an answer. The remaining bandits take flight. The three surviving gunmen ride out of town. As they stop atop a hill overlooking the village, Chico parts company with them, realizing he wants to stay with Petra. Chris and Vin bid farewell to the village elder, who tells them that only the villagers have really won, whereas the gunslingers are "like the wind, blowing over the land and passing on." As they pass the graves of their fallen comrades, Chris admits, "The Old Man was right. Only the farmers won. We lost. We'll always lose." Cast The Seven Yul Brynner as Chris Adams, a Cajun gunslinger, leader of the seven Steve McQueen as Vin Tanner, a drifter Horst Buchholz as Chico, the young, hot-blooded shootist Charles Bronson as Bernardo O'Reilly, the professional in need of money Robert Vaughn as Lee, the traumatized veteran Brad Dexter as Harry Luck, the fortune seeker James Coburn as Britt, the knife expert Others Eli Wallach as Calvera, the bandit chief Vladimir Sokoloff as the old man of the village Jorge Martínez de Hoyos as Hilario Rosenda Monteros as Petra Rico Alaniz as Sotero Pepe Hern as Tomás Natividad Vacío as Salvador Robert J. Wilke as Wallace John A. Alonzo as Miguel Roberto Contreras as Luis Whit Bissell as Chamlee, the undertaker Val Avery as Henry, the corset salesman Bing Russell as Robert, Henry's traveling companion Valentin de Vargas as Santos, a Calvera henchman Joseph Ruskin as Flynn Production Development Lou Morheim acquired rights to remake the film in the US for $2,500. He later signed a deal with Yul Brynner's production company who bought the rights from Morheim for $10,000 up front plus $1,000 a week as a producer and 5% of the net profits. Anthony Quinn was lined up to star with Brynner as director but later Martin Ritt was appointed as director with Brynner starring. Brynner approached producer Walter Mirisch with the idea of remaking Kurosawa's famous samurai film. However, once Mirisch had acquired the rights and finalized a deal with United Artists, Brynner was sued for breach of contract by Quinn, who claimed that he and Brynner had developed the concept together and had worked out many of the film's details before the two had a falling-out. Quinn ultimately lost his claim because there was nothing in writing. Writing Script credit was a subject of contention. Associate producer Morheim commissioned Walter Bernstein, a blacklisted scriptwriter, to produce the first draft "faithfully" adapted from the original script written by Shinobu Hashimoto, Hideo Oguni and Akira Kurosawa; when Mirisch and Brynner took over the production, they brought on Walter Newman, whose version "is largely what's on screen." When Newman was unavailable to be on-site during the film's principal photography in Mexico, William Roberts was hired, in part to make changes required by Mexican censors. When Roberts asked the Writers Guild of America for a co-credit, Newman asked that his name be removed from the credits. Casting Sturges was eager to cast Steve McQueen in the picture, having just worked with him on the 1959 film Never So Few, but McQueen could not get a release from actor/producer Dick Powell, who controlled McQueen's hit TV series Wanted Dead or Alive. On the advice of his agent, McQueen, an experienced race car driver, staged a car accident and claimed that he could not work on his series because he had suffered a whiplash injury and had to wear a neck brace. During the interval required for his "recuperation", he was free to appear in The Magnificent Seven. James Coburn was a great fan of the Japanese film Seven Samurai, having seen it 15 times, and was hired through the help of co-star and former classmate Robert Vaughn, after the role of the expert knifethrower had been rejected by actors Sterling Hayden and John Ireland. Robert Vaughn, who died on November 11, 2016, was the last surviving member of the seven; and Rosenda Monteros was the last surviving cast member until her death on December 29, 2018. Filming The film was shot by cinematographer Charles Lang in a 35mm anamorphic format using Panavision lenses. Location shooting began on March 1, 1960, in Mexico, where both the village and the U.S. border town were built for the film. The location filming was in Cuernavaca, Durango, and Tepoztlán and at the Churubusco Studios. The first scenes were the first part of the six gunfighters' journey to the Mexican village prior to Chico being brought into the group. During filming there was considerable tension between Brynner and McQueen, who was displeased at his character having only seven lines of dialogue in the original shooting script (Sturges had told McQueen that he would "give him the camera"). To compensate, McQueen took numerous opportunities to upstage Brynner and draw attention to himself, including shielding his eyes
the seven are forced to kill all three rather than capture at least one. Some days later Calvera and his bandits arrive in force. The seven and the villagers kill another eight of their cohorts in a shootout and run them out of town. The villagers celebrate, believing Calvera will not return. But Chico infiltrates Calvera's camp and learns that Calvera must return, as his men are short of food. Some fearful villagers thereupon call for the gunfighters to leave. Even some of the seven waver, but Chris insists that they stay, even threatening to kill anyone who suggests giving up the fight. The seven ride out to make a surprise raid on Calvera's camp, but find it abandoned. Returning to the village, they are caught by Calvera and his men, who have colluded with some of the villagers to sneak in and take control. Calvera spares the seven's lives, believing they have learned the simple farmers are not worth fighting for and fearing reprisals from the gunfighters' "friends" across the border. Preparing to depart, Chris and Vin admit they have become emotionally attached to the village. Bernardo likewise gets angry when the boys he befriended call their parents cowards. Chico declares that he hates the villagers; when Chris points out he grew up as a farmer as well, Chico angrily responds that it is men like Calvera and Chris who made the villagers what they are. The seven gunmen are escorted some distance from the village, where their weapons are returned to them. They debate their next move and all but Harry, who believes the effort will be futile and suicidal, agree to return and fight. The gunmen infiltrate the village and a gunfight breaks out. Harry, who has had a change of heart, returns in time to save Chris's life but is himself fatally shot. Harry pleads to know what they were fighting for, and Chris lies about a hidden gold mine to let Harry believe he died for a fortune; Harry smiles before dying. Lee finds the nerve to burst into a house where several villagers are being held, shooting their captors and releasing the prisoners to join the fight, but is gunned down as he leaves the house. Bernardo, shot protecting the boys he befriended, tells them as he dies to see how bravely their fathers fought. Britt dies after shooting at many bandits but exposing himself from cover. Chris shoots Calvera, who asks him, "You came back... to a place like this? Why? A man like you? Why?" He dies without receiving an answer. The remaining bandits take flight. The three surviving gunmen ride out of town. As they stop atop a hill overlooking the village, Chico parts company with them, realizing he wants to stay with Petra. Chris and Vin bid farewell to the village elder, who tells them that only the villagers have really won, whereas the gunslingers are "like the wind, blowing over the land and passing on." As they pass the graves of their fallen comrades, Chris admits, "The Old Man was right. Only the farmers won. We lost. We'll always lose." Cast The Seven Yul Brynner as Chris Adams, a Cajun gunslinger, leader of the seven Steve McQueen as Vin Tanner, a drifter Horst Buchholz as Chico, the young, hot-blooded shootist Charles Bronson as Bernardo O'Reilly, the professional in need of money Robert Vaughn as Lee, the traumatized veteran Brad Dexter as Harry Luck, the fortune seeker James Coburn as Britt, the knife expert Others Eli Wallach as Calvera, the bandit chief Vladimir Sokoloff as the old man of the village Jorge Martínez de Hoyos as Hilario Rosenda Monteros as Petra Rico Alaniz as Sotero Pepe Hern as Tomás Natividad Vacío as Salvador Robert J. Wilke as Wallace John A. Alonzo as Miguel Roberto Contreras as Luis Whit Bissell as Chamlee, the undertaker Val Avery as Henry, the corset salesman Bing Russell as Robert, Henry's traveling companion Valentin de Vargas as Santos, a Calvera henchman Joseph Ruskin as Flynn Production Development Lou Morheim acquired rights to remake the film in the US for $2,500. He later signed a deal with Yul Brynner's production company who bought the rights from Morheim for $10,000 up front plus $1,000 a week as a producer and 5% of the net profits. Anthony Quinn was lined up to star with Brynner as director but later Martin Ritt was appointed as director with Brynner starring. Brynner approached producer Walter Mirisch with the idea of remaking Kurosawa's famous samurai film. However, once Mirisch had acquired the rights and finalized a deal with United Artists, Brynner was sued for breach of contract by Quinn, who claimed that he and Brynner had developed the concept together and had worked out many of the film's details before the two had a falling-out. Quinn ultimately lost his claim because there was nothing in writing. Writing Script credit was a subject of contention. Associate producer Morheim commissioned Walter Bernstein, a blacklisted scriptwriter, to produce the first draft "faithfully" adapted from the original script written by Shinobu Hashimoto, Hideo Oguni and Akira Kurosawa; when Mirisch and Brynner took over the production, they brought on Walter Newman, whose version "is largely what's on screen." When Newman was unavailable to be on-site during the film's principal photography in Mexico, William Roberts was hired, in part to make changes required by Mexican censors. When Roberts asked the Writers Guild of America for a co-credit, Newman asked that his name be removed from the credits. Casting Sturges was eager to cast Steve McQueen in the picture, having just worked with him on the 1959 film Never So Few, but McQueen could not get a release from actor/producer Dick Powell, who controlled McQueen's hit TV series Wanted Dead or Alive. On the advice of his agent, McQueen, an experienced race car driver, staged a car accident and claimed that he could not work on his series because he had suffered a whiplash injury and had to wear a neck brace. During the interval required for his "recuperation", he was free to appear in The Magnificent Seven. James Coburn was a great fan of the Japanese film Seven Samurai, having seen it 15 times, and was hired through the help of co-star and former classmate Robert Vaughn, after the role of the expert knifethrower had been rejected by actors Sterling Hayden and John Ireland. Robert Vaughn, who died on November 11, 2016, was the last surviving member of the seven; and Rosenda Monteros was the last surviving cast member until her death on December 29, 2018. Filming The film was shot by cinematographer Charles Lang in a 35mm anamorphic format using Panavision lenses. Location shooting began on March 1, 1960, in Mexico, where both the village and the U.S. border town were built for the film. The location filming was in Cuernavaca, Durango, and Tepoztlán and at the Churubusco Studios. The first scenes were the first part of the six gunfighters' journey to the Mexican village prior to Chico being brought into the group. During filming there was considerable tension between Brynner and McQueen, who was displeased at his character having only seven lines of dialogue in the original shooting script (Sturges had told McQueen that he would "give him the camera"). To compensate, McQueen took numerous opportunities to upstage Brynner and draw attention to himself, including shielding his eyes with his hat, flipping a coin during one of Brynner's speeches, and rattling his shotgun shells. Brynner, who was only half an inch taller than McQueen, would often build up a little mound of earth to stand on when the two actors were on camera together, only to have McQueen surreptitiously kick the dirt out of place before retakes. When newspapers started reporting on the altercations on set between the two, Brynner issued a press statement, declaring, "I never feud with actors. I feud with studios." Music Soundtrack The film's score is by Elmer Bernstein. Along with the readily recognized main theme and effective support of the story line, the score also contains allusions to twentieth-century symphonic works, such as the reference to Bartok's Concerto for Orchestra, second movement, in the tense quiet scene just before the shoot out. The original soundtrack was not released at the time until reused and rerecorded by Bernstein for the soundtrack of Return of the Seven. Electric guitar cover versions by Al Caiola in the U.S. and John Barry in the U.K. were successful on the popular charts. A vocal theme not written by Bernstein was used in a trailer. In 1994, James Sedares conducted a re-recording of the score performed by The Phoenix Symphony Orchestra, which also included a suite from Bernstein's score for The Hallelujah Trail, issued by Koch Records; Bernstein himself conducted the Royal Scottish National Orchestra for a performance released by RCA in 1997, but the original film soundtrack was not released until the following year by Rykodisc. (Varèse Sarabande reissued this album in 2004.) Main Title and Calvera (3:56) Council (3:14) Quest (1:00) Strange Funeral/After The Brawl (6:48) Vin's Luck (2:03) And Then There Were Two (1:45) Fiesta (1:11) Stalking (1:20) Worst Shot (3:02) The Journey (4:39) Toro (3:24) Training (1:27) Calvera's Return (2:37) Calvera Routed (1:49) Ambush (3:10) Petra's Declaration (2:30) Bernardo (3:33) Surprise (2:08) Defeat (3:26) Crossroads (4:47) Harry's Mistake (2:48) Calvera Killed (3:33) Finale (3:27) At the 33rd Academy Awards, the score was nominated for Best Score of a Dramatic or Comedy Picture, losing to Ernest Gold's score for Exodus. Many decades later, however, the score for The Magnificent Seven was listed at 8 on the American Film Institute's list of the top 25 American film scores. In other media Bernstein's score has frequently been quoted in the media and popular culture. Starting in 1963, the theme was used in commercials in the U.S. for Marlboro cigarettes for many years. A similar-sounding (but different) tune was used
translates to "The Good [one], the Ugly [one], the Bad [one]". Supporting cast Production Pre-production After the success of For a Few Dollars More, executives at United Artists approached the film's screenwriter, Luciano Vincenzoni, to sign a contract for the rights to the film and for the next one. Producer Alberto Grimaldi, Sergio Leone and he had no plans, but with their blessing, Vincenzoni pitched an idea about "a film about three rogues who are looking for some treasure at the time of the American Civil War". The studio agreed, but wanted to know the cost for this next film. At the same time, Grimaldi was trying to broker his own deal, but Vincenzoni's idea was more lucrative. The two men struck an agreement with UA for a million-dollar budget, with the studio advancing $500,000 up front and 50% of the box-office takings outside of Italy. The total budget was eventually $1.2 million. Leone built upon the screenwriter's original concept to "show the absurdity of war ... the Civil War, which the characters encounter. In my frame of reference, it is useless, stupid: it does not involve a 'good cause.'" An avid history buff, Leone said, "I had read somewhere that 120,000 people died in Southern camps such as Andersonville. I was not ignorant of the fact that there were camps in the North. You always get to hear about the shameful behavior of the losers, never the winners." The Batterville Camp where Blondie and Tuco are imprisoned was based on steel engravings of Andersonville. Many shots in the film were influenced by archival photographs taken by Mathew Brady and Alexander Gardner. As the film took place during the Civil War, it served as a prequel for the other two films in the trilogy, which took place after the war. While Leone developed Vincenzoni's idea into a script, the screenwriter recommended the comedy-writing team of Agenore Incrucci and Furio Scarpelli to work on it with Leone and Sergio Donati. According to Leone, "I couldn't use a single thing they'd written. It was the grossest deception of my life." Donati agreed, saying, "There was next to nothing of them in the final script. They only wrote the first part. Just one line." Vincenzoni claims that he wrote the screenplay in eleven days, but he soon left the project after his relationship with Leone soured. The three main characters all contain autobiographical elements of Leone. In an interview he said, "[Sentenza] has no spirit, he's a professional in the most banal sense of the term. Like a robot. This isn't the case with the other two. On the methodical and careful side of my character, I'd be nearer il Biondo (Blondie), but my most profound sympathy always goes towards the Tuco side ... He can be touching with all that tenderness and all that wounded humanity." Film director Alex Cox suggests that the cemetery-buried gold hunted by the protagonists may have been inspired by rumors surrounding the anti-Communist Gladio terrorists, who hid many of their 138 weapons caches in cemeteries. Eastwood received a percentage-based salary, unlike the first two films, from which he received a straight fee. When Lee Van Cleef was again cast for another Dollars film, he joked, "the only reason they brought me back was because they forgot to kill me off in For a Few Dollars More". The film's working title was I due magnifici straccioni (The Two Magnificent Tramps). It was changed just before shooting began when Vincenzoni thought up Il buono, il brutto, il cattivo (The Good, the Ugly, the Bad), which Leone loved. In the United States, United Artists considered using the original Italian translation, River of Dollars, or The Man With No Name, but decided on The Good, the Bad and the Ugly. Filming Production began at the Cinecittà studio in Rome again in mid-May 1966, including the opening scene between Eastwood and Wallach when Blondie captures Tuco for the first time and sends him to jail. The production then moved on to Spain's plateau region near Burgos in the north, which doubled for the Southwestern United States, and again shot the western scenes in Almería in the south of Spain. This time, the production required more elaborate sets, including a town under cannon fire, an extensive prison camp, and an American Civil War battlefield; and for the climax, several hundred Spanish soldiers were employed to build a cemetery with several thousand gravestones to resemble an ancient Roman circus. The scene where the bridge was blown up had to be filmed twice, because all three cameras were destroyed in the first take by the explosion. Eastwood remembers, "They would care if you were doing a story about Spaniards and about Spain. Then they'd scrutinize you very tough, but the fact that you're doing a Western that's supposed to be laid in Southwest America or Mexico, they couldn't care less what your story or subject is." Top Italian cinematographer Tonino Delli Colli was brought in to shoot the film and was prompted by Leone to pay more attention to light than in the previous two films; Ennio Morricone composed the score once again. Leone was instrumental in asking Morricone to compose a track for the final Mexican stand-off scene in the cemetery, asking him to compose what felt like "the corpses were laughing from inside their tombs", and asked Delli Colli to create a hypnotic whirling effect interspersed with dramatic extreme close-ups, to give the audience the impression of a visual ballet. Filming concluded in July 1966. Eastwood was not initially pleased with the script, and was concerned he might be upstaged by Wallach. "In the first film, I was alone," he told Leone. "In the second, we were two. Here we are three. If it goes on this way, in the next one I will be starring with the American cavalry." As Eastwood played hard-to-get in accepting the role (inflating his earnings up to $250,000, another Ferrari and 10% of the profits in the United States when eventually released there), he was again encountering publicist disputes between Ruth Marsh, who urged him to accept the third film of the trilogy, and the William Morris Agency and Irving Leonard, who were unhappy with Marsh's influence on the actor. Eastwood banished Marsh from having any further influence in his career, and he was forced to sack her as his business manager via a letter sent by Frank Wells. For some time after, Eastwood's publicity was handled by Jerry Pam of Gutman and Pam. Throughout filming, Eastwood regularly socialized with actor Franco Nero, who was filming Texas, Adios at the time. Wallach and Eastwood flew to Madrid together, and between shooting scenes, Eastwood would relax and practice his golf swing. Wallach was almost poisoned during filming when he accidentally drank from a bottle of acid that a film technician had set next to his soda bottle. Wallach mentioned this in his autobiography and complained that while Leone was a brilliant director, he was very lax about ensuring the safety of his actors during dangerous scenes. For instance, in one scene, where he was to be hanged after a pistol was fired, the horse underneath him was supposed to bolt. While the rope around Wallach's neck was severed, the horse was frightened a little too well. It galloped for about a mile with Wallach still mounted and his hands bound behind his back. The third time Wallach's life was threatened was during the scene where Mario Brega and he—who are chained together—jump out of a moving train. The jumping part went as planned, but Wallach's life was endangered when his character attempts to sever the chain binding him to the (now dead) henchman. Tuco places the body on the railroad tracks, waiting for the train to roll over the chain and sever it. Wallach, and presumably the entire film crew, were not aware of the heavy iron steps that jutted one foot out of every box car. If Wallach had stood up from his prone position at the wrong time, one of the jutting steps could have decapitated him. The bridge in the film was constructed twice by sappers of the Spanish army and rigged for on-camera explosive demolition. On the first occasion, an Italian camera operator signaled that he was ready to shoot, which was misconstrued by an army captain as the similar-sounding Spanish word meaning "start". Nobody was injured in the resulting explosion. The army rebuilt the bridge while other shots were filmed. As the bridge was not a prop, but a rather heavy and sturdy functional structure, powerful explosives were required to destroy it. Leone said that this scene was, in part, inspired by Buster Keaton's silent film The General. As an international cast was employed, actors performed in their native languages. Eastwood, Van Cleef and Wallach spoke English, and were dubbed into Italian for the debut release in Rome. For the American version, the lead acting voices were used, but supporting cast members were dubbed into English. The result is noticeable in the bad synchronization of voices to lip movements on screen; none of the dialogue is completely in sync because Leone rarely shot his scenes with synchronized sound. Various reasons have been cited for this: Leone often liked to play Morricone's music over a scene and possibly shout things at the actors to get them in the mood. Leone cared more for visuals than dialogue (his English was limited at best). Given the technical limitations of the time, recording the sound cleanly would have been difficult in most of the extremely wide shots Leone frequently used. Also, it was standard practice in Italian films at this time to shoot silently and postdub. Whatever the actual reason, all dialogue in the film was recorded in postproduction. By the end of filming, Eastwood had finally had enough of Leone's perfectionist directorial traits. Leone insisted, often forcefully, on shooting scenes from many different angles, paying attention to the most minute of details, which often exhausted the actors. Leone, who was obese, prompted amusement through his excesses, and Eastwood found a way to deal with the stresses of being directed by him by making jokes about him and nicknamed him "Yosemite Sam" for his bad temper. After the film was completed, Eastwood never worked with Leone again, later turning down the role of Harmonica in Once Upon a Time in the West (1968), for which Leone had personally flown to Los Angeles to give him the script. The role eventually went to Charles Bronson. Years later, Leone exacted his revenge upon Eastwood during the filming of Once Upon a Time in America when he described Eastwood's abilities as an actor as being like a block of marble or wax and inferior to the acting abilities of Robert De Niro, saying, "Eastwood moves like a sleepwalker between explosions and hails of bullets, and he is always the same—a block of marble. Bobby first of all is an actor, Clint first of all is a star. Bobby suffers, Clint yawns." Eastwood later gave a friend the poncho he wore in the three films, where it was hung in a Mexican restaurant in Carmel, California. Cinematography In its depiction of violence, Leone used his signature long drawn and close-up style of filming, which he did by mixing extreme face shots and sweeping long shots. By doing so, Leone managed to stage epic sequences punctuated by extreme eyes and face shots, or hands slowly reaching for a holstered gun. This builds up the tension and suspense by allowing the viewers to savor the performances and character reactions, creating a feeling of excitement, as well as giving Leone the freedom to film beautiful landscapes. Leone also incorporated music to heighten the tension and pressure before and during the film's many gunfights. In filming the pivotal gunfights, Leone largely removes dialogue to focus more on the actions of the characters, which was important during the film's iconic Mexican standoff. This style can also be seen in one of the film's protagonists, Blondie (The Man with No Name), which is described by critics as more defined by his actions than his words. All three characters can be seen as anti-heroes, killing for their personal gain. Leone also employed trick shooting, such as Blondie shooting the hat off a person's head and severing a hangman's noose with a well-placed shot, in many of the film's noted shootouts. Music The score is composed by frequent Leone collaborator Ennio Morricone. The Good, the Bad and the Ugly broke previous conventions on how the two had previously collaborated. Instead of scoring the film in the post-production stage, they decided to work on the themes together before shooting had started, this was so that the music helped inspire the film instead of the film inspiring the music. Leone even played the music on set and coordinated camera movements to match the music. The distinct vocals of Edda Dell'Orso can be heard permeating throughout the composition "The Ecstasy of Gold". The distinct sound of guitarist Bruno Battisti D’Amorio can be heard on the compositions 'The Sundown' and 'Padre Ramirez'. Trumpet players Michele Lacerenza and Francesco Catania can be heard on 'The Trio'. The only song to have a lyric is 'The Story of a Soldier', the words of which were written by Tommie Connor. Morricone's distinctive original compositions, containing gunfire, whistling (by John O'Neill), and yodeling permeate the film. The main theme, resembling the howling of a coyote (which blends in with an actual coyote howl in the first shot after the opening credits), is a two-pitch melody that is a frequent motif, and is used for the three main characters. A different instrument was used for each: flute for Blondie, ocarina for Angel Eyes, and human voices for Tuco. The score complements the film's American Civil War setting, containing the mournful ballad, "The Story of a Soldier", which is sung by prisoners as Tuco is being tortured by Angel Eyes. The film's climax, a three-way Mexican standoff, begins with the melody of "The Ecstasy of Gold" and is followed by "The Trio" (which
is composed by frequent Leone collaborator Ennio Morricone. The Good, the Bad and the Ugly broke previous conventions on how the two had previously collaborated. Instead of scoring the film in the post-production stage, they decided to work on the themes together before shooting had started, this was so that the music helped inspire the film instead of the film inspiring the music. Leone even played the music on set and coordinated camera movements to match the music. The distinct vocals of Edda Dell'Orso can be heard permeating throughout the composition "The Ecstasy of Gold". The distinct sound of guitarist Bruno Battisti D’Amorio can be heard on the compositions 'The Sundown' and 'Padre Ramirez'. Trumpet players Michele Lacerenza and Francesco Catania can be heard on 'The Trio'. The only song to have a lyric is 'The Story of a Soldier', the words of which were written by Tommie Connor. Morricone's distinctive original compositions, containing gunfire, whistling (by John O'Neill), and yodeling permeate the film. The main theme, resembling the howling of a coyote (which blends in with an actual coyote howl in the first shot after the opening credits), is a two-pitch melody that is a frequent motif, and is used for the three main characters. A different instrument was used for each: flute for Blondie, ocarina for Angel Eyes, and human voices for Tuco. The score complements the film's American Civil War setting, containing the mournful ballad, "The Story of a Soldier", which is sung by prisoners as Tuco is being tortured by Angel Eyes. The film's climax, a three-way Mexican standoff, begins with the melody of "The Ecstasy of Gold" and is followed by "The Trio" (which contains a musical allusion to Morricone's previous work on For a Few Dollars More). "The Ecstasy of Gold" is the title of a song used within The Good, The Bad and the Ugly. Composed by Morricone, it is one of his most established works within the film's score. The song has long been used within popular culture. The song features the vocals of Edda Dell'Orso, an Italian female vocalist. Alongside vocals, the song features musical instruments such as the piano, drums and clarinets. The song is played in the film when the character Tuco is ecstatically searching for gold, hence the song's name, "The Ecstasy of Gold". Within popular culture, the song has been utilized by such artists as Metallica, who have used the song to open up their live shows and have even covered the song. Other bands such as the Ramones have featured the song in their albums and live shows. The song has also been sampled within the genre of Hip Hop, most notably by rappers such as Immortal Technique and Jay-Z. The Ecstasy of Gold has also been used ceremoniously by the Los Angeles Football Club to open home games. The main theme, also titled "The Good, the Bad and the Ugly", was a hit in 1968 with the soundtrack album on the charts for more than a year, reaching No. 4 on the Billboard pop album chart and No. 10 on the black album chart. The main theme was also a hit for Hugo Montenegro, whose rendition was a No. 2 Billboard pop single in 1968. In popular culture, the American new wave group Wall of Voodoo performed a medley of Ennio Morricone's movie themes, including the theme for this movie. The only known recording of it is a live performance on The Index Masters. Punk rock band the Ramones played this song as the opening for their live album Loco Live as well as in concerts until their disbandment in 1996. The British heavy metal band Motörhead played the main theme as the overture music on the 1981 "No sleep 'til Hammersmith" tour. American heavy metal band Metallica has run "The Ecstasy of Gold" as prelude music at their concerts since 1985 (except 1996–1998), and in 2007 recorded a version of the instrumental for a compilation tribute to Morricone. XM Satellite Radio's The Opie & Anthony Show also opens every show with "The Ecstasy of Gold". The American punk rock band The Vandals' song "Urban Struggle" begins with the main theme. British electronica act Bomb the Bass used the main theme as one of a number of samples on their 1988 single "Beat Dis", and used sections of dialogue from Tuco's hanging on "Throughout The Entire World", the opening track from their 1991 album Unknown Territory. This dialogue along with some of the mule dialogue from Fistful of Dollars was also sampled by Big Audio Dynamite on their 1986 single Medicine Show. The main theme was also sampled/re-created by British band New Order for the album version of their 1993 single "Ruined in a Day". A song from the band Gorillaz is named "Clint Eastwood", and features references to the actor, along with a repeated sample of the theme song; the iconic yell featured in The Good, the Bad and the Ugly'''s score is heard at the beginning of the music video. Themes Like many of his films, director Sergio Leone noted that the film is a satire of the western genre. He has noted the film's theme of emphasis on violence and the deconstruction of Old West romanticism. The emphasis on violence being seen in how the three leads (Blondie, Angel Eyes and Tuco) are introduced with various acts of violence. With Blondie, it is seen in his attempt to free Tuco which results in a gun battle. Angel Eyes is set up in a scene in which he carries out a hit on a former Confederate soldier called Stevens. After getting the information he needs from Stevens he is given money to kill Baker (his employer). He then proceeds to kill Stevens and his son. Upon returning to Baker he kills him too (fulfilling his title as 'The Bad'). Tuco is set up in a scene in which three bounty hunters try to kill him. In the film's opening scene three bounty hunters enter a building in which Tuco is hiding. After the sound of gunfire is heard Tuco escapes through a window. We then get a shot of the three corpses (fulfilling his title as 'The Ugly'). They are all after gold and will stop at nothing until they get it. Richard T. Jameson writes "Leone narrates the search for a cache of gold by three grotesquely unprincipled men sardonically classified by the movie's title (Clint Eastwood, Lee Van Cleef and Eli Wallach, respectively)". The film deconstructs Old West Romanticism by portraying the characters as antiheroes. Even the character considered by the film as 'The Good' can still be considered as not living up to that title in a moral sense. Critic Drew Marton describes it as a "baroque manipulation" that criticizes the American Ideology of the Western, by replacing the heroic cowboy popularized by John Wayne with morally complex antiheroes. Negative themes such as cruelty and greed are also given focus and are traits shared by the three leads in the story. Cruelty is shown in the character of Blondie in how he treats Tuco throughout the film. He is seen to sometimes be friendly with him and in other scenes double-cross him and throw him to the side. It is shown in Angel Eyes through his attitudes in the film and his tendency for committing violent acts throughout the film. For example, when he kills Stevens he also kills his son. It is also seen when he is violently torturing Tuco later in the film. It is shown in Tuco with how he shows concern for Blondie when he is heavily dehydrated but in truth, he is only keeping him alive to find the gold. It is also shown in his conversation with his brother which reveals that a life of cruelty is all he knows. Richard Aquila writes "The violent antiheroes of Italian westerns also fit into a folk tradition in southern Italy that honoured mafioso and vigilante who used any means to combat corrupt government of church officials who threatened the peasants of the Mezzogiorno". Greed is shown in the film through its main core plotline of the three characters wanting to find the $200,000 that Bill Carson has said is buried in a grave in Sad Hill Cemetery. The main plot concerns their greed as there is a series of double crossings and changing allegiances in order to get the gold. Russ Hunter writes that the film will "stress the formation of homosocial relationships as being functional only in the pursuit of wealth". This all culminates in the film's final set-piece which takes place in the cemetery. After the death of Angel Eyes, Tuco is strung up with a rope precariously placed around his neck as Blondie leaves with his share of the money. Many critics have also noticed the film's anti-war theme. 10 February 2013 Taking place in the American Civil War, the film takes the viewpoint of people such as civilians, bandits, and most notably soldiers, and presents their daily hardships during the war. This is seen in the film's rugged and rough aesthetic. The film has an air of dirtiness that can be attributed to the Civil War and in turn it affects the actions of people, showing how the war deep down has affected the lives of many people. As Brian Jenkins states "A union cordial enough to function peacefully could not be reconstructed after a massive blood-letting that left the North crippled by depopulation and debt and the south devastated". Although not fighting in the war, the three gunslingers gradually become entangled in the battles that ensue (similar to The Great War, a film that screenwriters Luciano Vincenzoni and Age & Scarpelli had contributed to). An example of this is how Tuco and Blondie blow up a bridge in order to disperse two sides of the battle. They need to clear a way to the cemetery and succeed in doing so. It is also seen in how Angel Eyes disguises himself as a union sergeant so he can attack and torture Tuco in order to get the information he needs, intertwining himself in the battle in the process. Release The Good, the Bad and the Ugly opened in Italy on 23 December 1966, and grossed $6.3 million at that time. In the United States, A Fistful of Dollars was released 18 January 1967; For a Few Dollars More was released 10 May 1967 (17 months); and The Good, the Bad and the Ugly was released 29 December 1967 (12 months). Thus, all three of Leone's Dollars Trilogy films were released in the United States during the same year. The original Italian domestic version was 177 minutes long, but the international version was shown at various lengths. Most prints, specifically those shown in the United States, had a runtime of 161 minutes, 16 minutes shorter than the Italian premiere version, but others, especially British prints, ran as short as 148 minutes. Critical reception On review aggregator Rotten Tomatoes, The Good, the Bad and the Ugly holds an approval rating of 97% based on 77 reviews, with an average rating of 8.8/10. The website's critical consensus reads, "Arguably the greatest of the spaghetti westerns, this epic features a compelling story, memorable performances, breathtaking landscapes, and a haunting score." Metacritic, which uses a weighted average, assigned the film a score of 90 out of 100 based on 7 reviews, indicating "universal acclaim." Upon release, The Good, the Bad and the Ugly received criticism for its depiction of violence. Leone explains that "the killings in my films are exaggerated because I wanted to make a tongue-in-cheek satire on run-of-the-mill westerns... The west was made by violent, uncomplicated men, and it is this strength and simplicity that I try to recapture in my pictures." To this day, Leone's effort to reinvigorate the timeworn Western is widely acknowledged. Critical opinion of the film on initial release was mixed, as many reviewers at that time looked down on "Spaghetti Westerns". In a negative review in The New York Times, critic Renata Adler said that the film "must be the most expensive, pious and repellent movie in the history of its peculiar genre." Charles Champlin of the Los Angeles Times wrote that the "temptation is hereby proved irresistible to call The Good, The Bad and the Ugly, now playing citywide, The Bad, The Dull, and the Interminable, only because it is." Roger Ebert, who later included the film in his list of Great Movies, retrospectively noted that in his original review he had "described a four-star movie, but only gave it three stars, perhaps because it was a 'Spaghetti Western' and so could not be art." Home media On 28 January 1998, the film was released on DVD by MGM Home Video. Its release from MGM contained 14 minutes of scenes that were cut from the film's North American release, including a scene which explains how Angel Eyes came to be waiting for Blondie and Tuco at the Union prison camp. In 2002, the film was restored with the 14 minutes of scenes cut for US release re-inserted into the film. Clint Eastwood and Eli Wallach were brought back in to dub their characters' lines more than 35 years after the film's original release. Voice actor Simon Prescott substituted for Lee Van Cleef who had died in 1989. Other voice actors filled in for actors who had since died. In 2004, MGM released this version in a two-disc special edition DVD. Disc 1 contains an audio commentary with writer and critic Richard Schickel. Disc 2 contains two documentaries, "Leone's West" and "The Man Who Lost The Civil War", followed by the featurette "Restoring 'The Good, the Bad, and the Ugly'"; an animated gallery of missing sequences titled "The Socorro Sequence: A Reconstruction"; an extended Tuco torture scene; a featurette called "Il Maestro"; an audio featurette named "Il Maestro, Part 2"; a French trailer; and a poster gallery. This DVD was generally well received, though some purists complained about the re-mixed stereo soundtrack with many completely new sound effects (notably, the gunshots were replaced), with no option for the original soundtrack. At least one scene that was re-inserted had been cut by Leone prior to the film's release in Italy, but had been shown once at the Italian premiere. According to Richard Schickel, Leone willingly cut the scene for pacing reasons; thus, restoring it was contrary to the director's wishes. MGM re-released the 2004 DVD edition in their "Sergio Leone Anthology" box set in 2007. Also included were the two other "Dollars" films, and Duck, You Sucker!. On 12 May 2009, the extended version of the film was released on Blu-ray. It contains the same special features as the 2004 special edition DVD, except that it includes an added commentary by film historian Sir Christopher Frayling. The film was re-released on Blu-ray in 2014 using a new 4K remaster, featuring improved picture quality and detail but a change of color timing, resulting in the film having a more yellow hue than on previous releases. It was re-released on Blu-ray and DVD by Kino Lorber Studio Classics on 15 August 2017, in a new 50th Anniversary release that featured both theatrical and extended cuts, as well as new bonus features, and an attempt to correct the yellow color timing from the earlier disc. On 27 April 2021, Kino released an Ultra HD Blu-ray version of the theatrical cut, using the same scan from the 2014 remaster, but with extensive color correction. Deleted scenes The following scenes were originally deleted by distributors from the British and American theatrical versions of the film, but were restored after the release of the 2004 Special Edition DVD. During his search for Bill Carson, Angel Eyes stumbles upon an embattled Confederate outpost after a massive artillery bombardment. Once there, after witnessing the wretched conditions of the survivors, he bribes a Confederate soldier (Víctor Israel, dubbed by Tom Wyner) for clues about Bill Carson. After being betrayed by Blondie, surviving the desert on his way to civilization and assembling a good revolver from the parts of worn-out guns being sold at a general store, Tuco meets with members of his gang in a distant cave, where he conspires with them to hunt and kill Blondie. The sequence with Tuco and Blondie crossing the desert has been extended: Tuco mentally tortures a severely dehydrated Blondie by eating and bathing in front of him. Tuco, transporting a dehydrated Blondie, finds a Confederate camp whose occupants tell him that Father Ramirez's monastery is nearby. Tuco and Blondie discuss their plans when departing in a wagon from Father Ramirez's monastery. A scene where Blondie and Angel Eyes are resting by a creek when a man appears and Blondie shoots him. Angel Eyes asks the rest of his men to come out of hiding. When the five men come out, Blondie counts them (including Angel Eyes), and concludes that six is the perfect number, implying one for each bullet in his gun. The sequence with Tuco, Blondie and Captain Clinton has been extended: Clinton asks for their names, which they are reluctant to give. The footage below is all featured within supplementary features of the 2004 DVD release Additional footage of the sequence where Tuco is tortured by Angel Eyes's henchman was discovered. The original negative of this footage was deemed too badly damaged to be used in the theatrical cut. Lost footage of the missing Socorro Sequence where Tuco continues his search for Blondie in a Texican pueblo while Blondie is in a hotel room with a Mexican woman (Silvana Bacci) is reconstructed with photos and unfinished snippets from the French trailer. Also, in the documentary "Reconstructing The Good, the Bad, and the Ugly", what looks to be footage of Tuco lighting cannons before the Ecstasy of Gold sequence appears briefly. None of these scenes or sequences appear in the 2004 re-release, but are featured in the supplementary features. Legacy Re-evaluation Despite the initial negative reception by some critics, the film has since accumulated very positive feedback. It is listed in Time's "100 Greatest Movies of the Last Century" as selected by critics Richard Corliss and Richard Schickel. The Good, the Bad and the Ugly has been described as European cinema's best Western, and Quentin Tarantino has called it "the best directed film of all time" and "the greatest achievement in the history of cinema". This was reflected in his votes for the 2002 and 2012 Sight & Sound magazine polls, in which he voted for The Good, the Bad and the Ugly as his choice for the best film ever made. Its main music theme from the soundtrack is regarded by Classic FM as one of the most iconic themes of all time. Variety magazine ranked the film number 49 on their list of the 50 greatest movies. In 2002, Film4 held a poll of the 100 Greatest Movies, on which The Good, the Bad and the Ugly was voted in at number 46. Premiere magazine included the film on their 100 Most Daring Movies Ever Made list. Mr. Showbiz ranked the film #81 on its 100 Best Movies of All Time list. Empire magazine added The Good, the Bad and the Ugly to their Masterpiece collection in the September 2007 issue, and in their poll of "The 500 Greatest Movies", The Good, the Bad and the Ugly was voted in at number 25. In 2014, The Good the Bad and the Ugly was ranked the 47th greatest film ever made on Empires list of "The 301 Greatest Movies Of All Time" as voted by the magazine's readers. It was also placed on a similar list of 1000 movies by The New York Times. In 2014, Time Out polled several film critics, directors, actors and stunt actors to list their top action films. The Good, The Bad and the Ugly placed 52nd on their list. An article on the BBC website considers the 'lasting legacy' of the film, and describes the trio scene as "one of the most riveting and acclaimed feature films sequences of all time". In popular culture The film's title has entered the English language as an idiomatic expression. Typically used when describing something thoroughly, the respective phrases refer to upsides, downsides and the parts that could, or should have been done better, but were not. Quentin Tarantino paid homage to the film's climactic standoff scene in his 1992 film Reservoir Dogs. The film was novelized in 1967 by Joe Millard as part of the "Dollars Western" series based on the "Man with No Name". The South Korean western movie The Good, the Bad, the Weird (2008) is inspired by the film, with much of its plot and character elements borrowed from Leone's film. In his introduction to the 2003 revised edition of his novel The Dark Tower: The Gunslinger, Stephen King said the film was a primary influence for the Dark Tower series, with Eastwood's character inspiring the creation of King's protagonist, Roland Deschain. In 1975, Willie Colón with Yomo Toro and Hector Lavoe, released an album titled The Good, the Bad, the Ugly. The album cover featured
triple voltages used by the 4116. 64K models use standard 4164 chips and have a control register at $FFDE/$FFDF to switch between the second 32K of RAM and the OS ROMs. With the ROMs banked out, the entire 64K of system RAM can be accessed. Upgraded BASIC ROMs add minor features and fix some bugs. A redesigned 5-volt disk controller was introduced with its own new Disk BASIC ROM (v1.1). It adds a new command, DOS, to auto-boot software from disk (this requires a disk with a special boot sector). This allows the use of software on copy protected disks or third-party operating systems, chiefly OS-9. Production was partially moved to Korea, with production in the US and Korea happening in parallel using the same part numbers. Later in the production run, the "melted" keyboard was replaced with a new, full-travel, typewriter-style keyboard. The final significant change in the life of the CoCo 2 (models 26-3134B, 26-3136B, and 26-3127B; 16 KB standard, 16 KB extended, and 64 KB extended respectively) was to use the enhanced VDG, the MC6847T1, allowing lowercase characters and changing the text screen border color. These features were not enabled in BASIC. Midway during the production run of these models, the nameplate was changed from "Radio Shack TRS-80 Color Computer 2" to "Tandy Color Computer 2". The red, green, and blue shapes were replaced with red, green, and blue parallelograms. Creative Computing wrote in December 1984 that the Color Computer was the best educational computer under $1000. The magazine said that it had fewer but better-quality educational software than the Commodore 64, and that Radio Shack was dedicated to the educational market while Commodore was not. Color Computer 3 (1986–1991) By 1985, Color Computer users worried that the company would abandon their computer in favor of the Tandy 1000. Tandy executive Ed Juge stated that year that "No home computer on the market today has the potential horsepower of the Color Computer ... we believe [it] also has a good future". On July 30, 1986, Tandy announced the Color Computer 3 at the Waldorf-Astoria Hotel in New York City. It came with which could be upgraded to 512 KB. The panel behind the keyboard and cartridge door plastic were changed from black to grey. The keyboard layout was revised, putting the arrow keys in a diamond configuration and adding CTRL, ALT, F1 and F2 keys. It sold in Radio Shack stores and Tandy Computer Centers for $219.95 (199 CAD in Canada later that year). The CoCo 3 is compatible with most older software and CoCo 2 peripherals. The 6809 in the CoCo 1 and 2 runs at 0.895 MHz. The CoCo 3 runs at that frequency by default, but is software controllable to run at twice that rate; OS-9 takes advantage of that capability. Taking the place of the graphics and memory hardware in the CoCo 1 and 2 is an application-specific integrated circuit called the GIME (Graphics Interrupt Memory Enhancement) chip. The GIME also provides: Output to a composite video monitor or analog RGB monitor, in addition to the CoCo 1 and 2's TV output. This improves the clarity of its output. A paged memory management unit breaks up the 6809's 64 KB address space into chunks. The scheme would later allow third party RAM upgrades of up to 2 MB (). Text display with real lowercase at 32, 40, 64, or 80 characters per line and between 16 and 24 lines per screen. Text character attributes, including 8 foreground and 8 background colors, underline, and blink. New graphics resolutions of 160, 256, 320 or 640 pixels wide by 192 to 225 lines. 320x192x4, 320x192x16, 640x192x2, and 640x192x4 from a palette of 64 colors. There are two palette modes - RGB (3 base colors with 3 levels of intensity and white, black and two gray tones) and Composite (16 distinct colors with 4 levels of intensity). Omitted from the GIME are the seldom-used SAM-created Semigraphics 8, 12, and 24 modes. A rumored 256-color mode (detailed in the original Tandy spec for the GIME) has never been found. Previous versions of the CoCo ROM were licensed from Microsoft, but Tandy could not convince them to provide further BASIC updates. Instead, Microware provided extensions to Extended Color BASIC to support the new display modes. To not violate the spirit of the licensing agreement between Microsoft and Tandy, Microsoft's unmodified BASIC is loaded in the CoCo 3's ROM. Upon startup, the ROM is copied to RAM and patched by Microware's code. The patched code has several bugs, and support for many of the new hardware features is incomplete. Microware also provided a version of the OS-9 Level 2 operating system shortly after launch. OS-9 uses memory-mapping (so each process has its own memory space up to 64K), windowed display, and a more extensive development environment that includes a copy of BASIC09. C and Pascal compilers were available. Members of the CoCo OS-9 community enhanced OS-9 Level 2 for the CoCo 3 at Tandy's request, but Tandy stopped production of the CoCo 3 before the upgrade was officially released. Most of the improvements made it into NitrOS-9, a major rewrite of OS-9/6809 Level 2 for the CoCo 3 to take advantage of the features and speed of the Hitachi 6309 (if available). A joystick adapter designed by Steve Bjork increases the resolution of the joystick/mouse interface by a factor of ten at the expense of CPU time. Hardware Internally the CoCo 1 and CoCo 2 models are functionally identical. The core of the system is virtually identical to the reference design included in the Motorola MC6883 data sheet and consists of five LSI chips: MC6809E Microprocessor Unit (MPU) MC6883/SN74LS783/SN74LS785 Synchronous Address Multiplexor (SAM) MC6847 Video Display Generator (VDG) Two Peripheral Interface Adapters (PIA), either MC6821 or MC6822 chips SAM The SAM is a multifunction device that performs the following functions: Clock generation and synchronization for the 6809E MPU and 6847 VDG Up to 64K Dynamic Random Access Memory (DRAM) control and refresh Device selection based on MPU memory address to determine if the MPU access is to DRAM, ROM, PIA, etc. Duplication of the VDG address counter to "feed" the VDG the data it is expecting The SAM was designed to replace numerous small LS/TTL chips into one integrated package. Its main purpose is to control the DRAM but, as outlined above, it integrates several other functions as well. It is connected to a crystal at 4 times the television colorburst frequency (14.31818 MHz for NTSC countries). This is divided by 4 internally and is fed to the VDG for its own internal timing (3.579545 MHz for NTSC). The SAM also divides the master clock by 16 (or 8 in certain cases) for the two phase MPU clock; in NTSC this is .89 MHz (or 1.8 MHz if divided by 8). Switching the SAM into 1.8 MHz operation gives the CPU the time ordinarily used by the VDG and refresh. As such, the display shows garbage; this mode was seldom used. However, an unusual mode available by the SAM is called the Address Dependent mode, where ROM reads (since they do not use the DRAM) occur at 1.8 MHz but regular RAM access occurs at .89 MHz. In effect, since the BASIC interpreter runs from ROM, putting the machine in this mode would nearly double the performance of a BASIC program while maintaining video display and DRAM refresh. Of course, this would throw off the software timing loops and I/O operations would be affected. Despite this, however, the "high speed POKE" was used by many CoCo BASIC programs even though it overclocked the hardware in the CoCo, which was only rated for 1 MHz operation. The SAM has no connection to the MPU data bus. As such, it is programmed in a curious manner; its 16-bit configuration register is spread across 32 memory addresses (FFC0-FFDF). Writing even bytes sets that register bit to 0, while writing odd bytes sets it to 1. The value (D7-D0) that is written is ignored. Due to limitations in 40-pin packaging, the SAM contains a duplicate of the VDG's internal 12-bit address counter. Normally this counter's settings are set to duplicate the VDG's display mode. However, this is not required and results in the creation of some new display modes not possible when the VDG is used in a system alone. Instead of the VDG requesting data from RAM by itself, the VDG is "fed" data by the SAM's internal copy of the VDG address counter. This process is called "Interleaved Direct Memory Access" (IDMA) by Motorola and ensures that the processor and VDG always have full access to this shared memory resource with no wait states or contention. There are two versions of the SAM. The early one is labeled MC6883 and/or SN74LS783; the later version is labeled SN74LS785. There are some minor timing differences, but the major difference is the support of an 8-bit refresh counter in the 785 version. This allowed for use of inexpensive 16K by 4-bit and certain 64K by 1-bit DRAMs. Some third-party bank-switching memory upgrades that used 256K DRAMs needed this 8-bit refresh counter to work. VDG The Motorola
ventilation scheme carried over to the CoCo 2. Some late versions of the CoCo have a modified keyboard, often referred to as the "melted" keyboard, with bigger keycaps. Peripherals included tape cassette storage, serial printers, a 5.25-inch floppy disk drive, a pen and graphics tablet called the X-Pad, speech and sound generators, and joysticks. Color Computer 2 (1983–1986) During the initial CoCo 1 production run, much of the discrete support circuitry had been re-engineered into a handful of custom integrated circuits, leaving much of the circuit board area of the CoCo 1 as empty space. To cut production costs, the case was shortened by about 25% and a new, smaller power supply and motherboard were designed. The "melted" keyboard from the white CoCo 1 and the TDP-100 style ventilation slots were carried over. Aside from the new look and the deletion of the 12 volt power supply to the expansion connector, the computer was compatible with the previous generation. The removal of the 12V power supply crippled some peripherals such as the original floppy disk controller, which then needed to be upgraded, installed in a Multi-Pak interface, or supplied with external power. The CoCo 2 was sold in 16K and 64K models. 16K models use 16Kx1 DRAMs, but the chips are not the common 4116; they are instead 6665 chips (Radio Shack P/N 8040517), which uses only +5V power rather than the triple voltages used by the 4116. 64K models use standard 4164 chips and have a control register at $FFDE/$FFDF to switch between the second 32K of RAM and the OS ROMs. With the ROMs banked out, the entire 64K of system RAM can be accessed. Upgraded BASIC ROMs add minor features and fix some bugs. A redesigned 5-volt disk controller was introduced with its own new Disk BASIC ROM (v1.1). It adds a new command, DOS, to auto-boot software from disk (this requires a disk with a special boot sector). This allows the use of software on copy protected disks or third-party operating systems, chiefly OS-9. Production was partially moved to Korea, with production in the US and Korea happening in parallel using the same part numbers. Later in the production run, the "melted" keyboard was replaced with a new, full-travel, typewriter-style keyboard. The final significant change in the life of the CoCo 2 (models 26-3134B, 26-3136B, and 26-3127B; 16 KB standard, 16 KB extended, and 64 KB extended respectively) was to use the enhanced VDG, the MC6847T1, allowing lowercase characters and changing the text screen border color. These features were not enabled in BASIC. Midway during the production run of these models, the nameplate was changed from "Radio Shack TRS-80 Color Computer 2" to "Tandy Color Computer 2". The red, green, and blue shapes were replaced with red, green, and blue parallelograms. Creative Computing wrote in December 1984 that the Color Computer was the best educational computer under $1000. The magazine said that it had fewer but better-quality educational software than the Commodore 64, and that Radio Shack was dedicated to the educational market while Commodore was not. Color Computer 3 (1986–1991) By 1985, Color Computer users worried that the company would abandon their computer in favor of the Tandy 1000. Tandy executive Ed Juge stated that year that "No home computer on the market today has the potential horsepower of the Color Computer ... we believe [it] also has a good future". On July 30, 1986, Tandy announced the Color Computer 3 at the Waldorf-Astoria Hotel in New York City. It came with which could be upgraded to 512 KB. The panel behind the keyboard and cartridge door plastic were changed from black to grey. The keyboard layout was revised, putting the arrow keys in a diamond configuration and adding CTRL, ALT, F1 and F2 keys. It sold in Radio Shack stores and Tandy Computer Centers for $219.95 (199 CAD in Canada later that year). The CoCo 3 is compatible with most older software and CoCo 2 peripherals. The 6809 in the CoCo 1 and 2 runs at 0.895 MHz. The CoCo 3 runs at that frequency by default, but is software controllable to run at twice that rate; OS-9 takes advantage of that capability. Taking the place of the graphics and memory hardware in the CoCo 1 and 2 is an application-specific integrated circuit called the GIME (Graphics Interrupt Memory Enhancement) chip. The GIME also provides: Output to a composite video monitor or analog RGB monitor, in addition to the CoCo 1 and 2's TV output. This improves the clarity of its output. A paged memory management unit breaks up the 6809's 64 KB address space into chunks. The scheme would later allow third party RAM upgrades of up to 2 MB (). Text display with real lowercase at 32, 40, 64, or 80 characters per line and between 16 and 24 lines per screen. Text character attributes, including 8 foreground and 8 background colors, underline, and blink. New graphics resolutions of 160, 256, 320 or 640 pixels wide by 192 to 225 lines. 320x192x4, 320x192x16, 640x192x2, and 640x192x4 from a palette of 64 colors. There are two palette modes - RGB (3 base colors with 3 levels of intensity and white, black and two gray tones) and Composite (16 distinct colors with 4 levels of intensity). Omitted from the GIME are the seldom-used SAM-created Semigraphics 8, 12, and 24 modes. A rumored 256-color mode (detailed in the original Tandy spec for the GIME) has never been found. Previous versions of the CoCo ROM were licensed from Microsoft, but Tandy could not convince them to provide further BASIC updates. Instead, Microware provided extensions to Extended Color BASIC to support the new display modes. To not violate the spirit of the licensing agreement between Microsoft and Tandy, Microsoft's unmodified BASIC is loaded in the CoCo 3's ROM. Upon startup, the ROM is copied to RAM and patched by Microware's code. The patched code has several bugs, and support for many of the new hardware features is incomplete. Microware also provided a version of the OS-9 Level 2 operating system shortly after launch. OS-9 uses memory-mapping (so each process has its own memory space up to 64K), windowed display, and a more extensive development environment that includes a copy of BASIC09. C and Pascal compilers were available. Members of the CoCo OS-9 community enhanced OS-9 Level 2 for the CoCo 3 at Tandy's request, but Tandy stopped production of the CoCo 3 before the upgrade was officially released. Most of the improvements made it into NitrOS-9, a major rewrite of OS-9/6809 Level 2 for the CoCo 3 to take advantage of the features and speed of the Hitachi 6309 (if available). A joystick adapter designed by Steve Bjork increases the resolution of the joystick/mouse interface by a factor of ten at the expense of CPU time. Hardware Internally the CoCo 1 and CoCo 2 models are functionally identical. The core of the system is virtually identical to the reference design included in the Motorola MC6883 data sheet and consists of five LSI chips: MC6809E Microprocessor Unit (MPU) MC6883/SN74LS783/SN74LS785 Synchronous Address Multiplexor (SAM) MC6847 Video Display Generator (VDG) Two Peripheral Interface Adapters (PIA), either MC6821 or MC6822 chips SAM The SAM is a multifunction device that performs the following functions: Clock generation and synchronization for the 6809E MPU and 6847 VDG Up to 64K Dynamic Random Access Memory (DRAM) control and refresh Device selection based on MPU memory address to determine if the MPU access is to DRAM, ROM, PIA, etc. Duplication of the VDG address counter to "feed" the VDG the data it is expecting The SAM was designed to replace numerous small LS/TTL chips into one integrated package. Its main purpose is to control the DRAM but, as outlined above, it integrates several other functions as well. It is connected to a crystal at 4 times the television colorburst frequency (14.31818 MHz for NTSC countries). This is divided by 4 internally and is fed to the VDG for its own internal timing (3.579545 MHz for NTSC). The SAM also divides the master clock by 16 (or 8 in certain cases) for the two phase MPU clock; in NTSC this is .89 MHz (or 1.8 MHz if divided by 8). Switching the SAM into 1.8 MHz operation gives the CPU the time ordinarily used by the VDG and refresh. As such, the display shows garbage; this mode was seldom used. However, an unusual mode available by the SAM is called the Address Dependent mode, where ROM reads (since they do not use the DRAM) occur at 1.8 MHz but regular RAM access occurs at .89 MHz. In effect, since the BASIC interpreter runs from ROM, putting the machine in this mode would nearly double the performance of a BASIC program while maintaining video display and DRAM refresh. Of course, this would throw off the software timing loops and I/O operations would be affected. Despite this, however, the "high speed POKE" was used by many CoCo BASIC programs even though it overclocked the hardware in the CoCo, which was only rated for 1 MHz operation. The SAM has no connection to the MPU data bus. As such, it is programmed in a curious manner; its 16-bit configuration register is spread across 32 memory addresses (FFC0-FFDF). Writing even bytes sets that register bit to 0, while writing odd bytes sets it to 1. The value (D7-D0) that is written is ignored. Due to limitations in 40-pin packaging, the SAM contains a duplicate of the VDG's internal 12-bit address counter. Normally this counter's settings are set to duplicate the VDG's display mode. However, this is not required and results in the creation of some new display modes not possible when the VDG is used in a system alone. Instead of the VDG requesting data from RAM by itself, the VDG is "fed" data by the SAM's internal copy of the VDG address counter. This process is called "Interleaved Direct Memory Access" (IDMA) by Motorola and ensures that the processor and VDG always have full access to this shared memory resource with no wait states or contention. There are two versions of the SAM. The early one is labeled MC6883 and/or SN74LS783; the later version is labeled SN74LS785. There are some minor timing differences, but the major difference is the support of an 8-bit refresh counter in the 785 version. This allowed for use of inexpensive 16K by 4-bit and certain 64K by 1-bit DRAMs. Some third-party bank-switching memory upgrades that used 256K DRAMs needed this 8-bit refresh counter to work. VDG The Motorola 6847 is display generator capable of displaying text and graphics contained within a roughly square display matrix 256 pixels wide by 192 lines high. It can display 9 colors: black, green, yellow, blue, red, buff (almost-but-not-quite white), cyan, magenta, and orange. Alphanumeric/Semigraphics display In alphanumeric mode, each character is a 5 dot wide by 7 dot high character in a box 8 dots wide and 12 lines high. This display mode occupies 512 bytes of memory from $400-$5FF and is a 32 character wide screen with 16 lines. The ROM character generator only holds 64 characters, so no lowercase characters are provided. "Lowercase" characters are rendered as uppercase with inverted color. On most CoCo generations it is green on very dark green. Semigraphics is a mode where alphanumerics and low resolution graphics can be mixed together. The 8th bit of a character determines if it is alphanumeric or treated as a 2×2 pixel grid. When the 8th bit is set, the next three bits determine the color and last 4 bits specify which quadrants of the character box are either the selected color or black. This allows a 64×32 graphics mode with 9 colors, the only mode where it is possible to display all 9 colors simultaneously. There are two colorsets. The default has black characters on a green background. The alternate has black characters on an orange background. The colorset selection does not affect semigraphics characters. The border is always black. The 6847 is capable of a Semigraphics 6 display mode, where two bits select a color and 6 bits determine which 1/6 of the character box is lit. Only 4 colors are possible, but the colorset bit of the VDG selects two groups of 4 colors. Only two colors are available in graphics blocks when using Semigraphics 6 on the CoCo. The default alphanumeric display for the CoCo is Semigraphics 4. Additional Semigraphics modes By setting the SAM such that it believes it is displaying a full graphics mode, but leaving the VDG in Alphanumeric/Semigraphics 4 mode, it is possible to subdivide the character box into smaller pieces. This creates the "virtual" modes Semigraphics 8, 12, and 24. In these modes it was possible to mix bits and pieces of different text characters as well as Semigraphics 4 characters. These modes were an interesting curiosity but not widely used, as the Semigraphics 24-screen consumed 6144 bytes of memory. These modes were not implemented on the CoCo 3. A programmer's reference manual for the CoCo states that due to a fire at Tandy's research lab, the papers relating to the semigraphics modes were shuffled, and so some of the semigraphics modes were never documented. CoCo enthusiasts created experimental programs to try to reverse engineer the modes, and were able to reconstruct the missing documentation. Bitmap modes Bitmap display modes are divided into two categories: resolution and color. In resolution modes, each pixel is addressable as either on or off. There are two colorsets available: black dots on a green background with a green border, and white dots on a black background with a white border. In color modes, each pixel uses two bits to select one of four colors, with the overall colors
World Bank's chief biodiversity advisor and the lead specialist for environment for Latin America and the Caribbean as well as senior advisor to the president of the United Nations Foundation. In 2008, he also was the first Biodiversity Chair of the H. John Heinz III Center for Science, Economics and the Environment to 2013. Previously he served as president of the Heinz Center since May 2002. Lovejoy introduced the term biological diversity to the scientific community in 1980. He was a past chair of the Scientific Technical Advisory Panel (STAP) for the Global Environment Facility (GEF), the multibillion-dollar funding mechanism for developing countries in support of their obligations under international environmental conventions. Biography Early life Thomas Eugene Lovejoy III was born on August 22, 1941, in Manhattan, New York, to Jeanne (Gillette) and Thomas Eugene Lovejoy, Jr. He attended Millbrook School, where he worked at The Trevor Zoo, under zoo founder Frank Trevor and his wife Janet. "The first three weeks were the key, and that's what flipped my switch in life and Biology. I was not prepared for the impact the Trevors world actually have on me in the classroom. And it was like my first three weeks and that was it. I'm going to be a biologist." He graduated from Millbrook in 1959. Education Lovejoy enrolled at Yale University, earning his bachelor’s degree in biology in 1964 while working as a zoological assistant at the Yale Peabody Museum of Natural History. He also received his Ph.D. in biology from Yale University. Conservation work As a tropical biologist and conservation biologist, Lovejoy has worked in the Amazon of Brazil since 1965. From 1973 to 1987 he directed the conservation program at World Wildlife Fund-U.S., and from 1987 to 1998 he served as assistant secretary for environmental and external affairs for the Smithsonian Institution in Washington, D.C., and in 1994 became counselor to the secretary for biodiversity and environmental affairs. From 1999 to 2002, he served as chief biodiversity adviser to the president of the World Bank. In 2010 and 2011, he served as chair of the Independent Advisory Group on Sustainability for the Inter-American Development Bank. He was senior adviser to the president of the United Nations Foundation, chair of the Yale Institute for Biospheric Studies, and was past president of the American Institute of Biological Sciences, past chairman of the United States Man and Biosphere Program, and past president of the Society for Conservation Biology. Lovejoy developed the debt-for-nature swaps, in which environmental groups purchase shaky foreign debt on the secondary market at the market rate, which is considerably discounted, and then convert this debt at its face value into the local currency to purchase biologically sensitive tracts of land in the debtor nation for purposes of environmental protection. Critics of the 'debt-for-nature' schemes, such as National Center for Public Policy Research, which distributes a wide variety of materials consistently justifying corporate freedom and environmental deregulation, aver that plans deprive developing nations of the extractable raw resources that are currently essential to further economic development. Economic stagnation and local resentment of "Yankee imperialism" can result, they warn. In reality, no debt-for-nature swap occurs without the approval of the country in question. Lovejoy has also supported the Forests Now Declaration, which calls for new market-based mechanisms to protect tropical forests. Lovejoy played a central role in the establishment of conservation biology, by initiating the idea and planning with B. A. Wilcox in June 1978 for The First International Conference on Research in Conservation Biology, that was held in La Jolla, in September 1978. The proceedings,
and then convert this debt at its face value into the local currency to purchase biologically sensitive tracts of land in the debtor nation for purposes of environmental protection. Critics of the 'debt-for-nature' schemes, such as National Center for Public Policy Research, which distributes a wide variety of materials consistently justifying corporate freedom and environmental deregulation, aver that plans deprive developing nations of the extractable raw resources that are currently essential to further economic development. Economic stagnation and local resentment of "Yankee imperialism" can result, they warn. In reality, no debt-for-nature swap occurs without the approval of the country in question. Lovejoy has also supported the Forests Now Declaration, which calls for new market-based mechanisms to protect tropical forests. Lovejoy played a central role in the establishment of conservation biology, by initiating the idea and planning with B. A. Wilcox in June 1978 for The First International Conference on Research in Conservation Biology, that was held in La Jolla, in September 1978. The proceedings, introduced conservation biology to the scientific community. Lovejoy founded the Biological Dynamics of Forest Fragments Project (BDFFP) near Manaus, Brazil, in 1979 to understand the effects of the fragmentation on tropical rainforests on ecosystems and wildlife. Lovejoy served on many scientific and conservation boards and advisory groups, is the author of numerous articles and books. As often misassociated, he is not the founder but served as an advisor in the early days of the public television series NATURE. He is no longer part of the creative team. He has served in an official capacity in the Reagan, George H.W. Bush, and Clinton administrations. Lovejoy predicted in 1980 (see quote below), that 10–20 percent of all species on earth would have gone extinct by the year 2020. Awards and recognitions In 1996, Lovejoy was elected to the American Academy of Arts and Sciences. Lovejoy was elected to the American Philosophical Society in 1999. In 2001, Lovejoy was the recipient of the University of Southern California's Tyler Prize for Environmental Achievement. Lovejoy has been granted the 2008 BBVA Foundation Frontiers of Knowledge Award in the Ecology and Conservation Biology category (ex aequo with William F. Laurance). In 2001, Lovejoy received the Golden Plate Award of the American Academy of Achievement presented by Awards Council member Peter H. Raven. In 2004, a new wasp species that acts as a parasite on butterfly larvae was discovered on the Pacific slope of the Talamanca mountain range in Costa Rica by Ronald Zúñiga, a specialist in bees, wasps and ants at the National Biodiversity Institute (INBio). INBio named the species Polycyrtus lovejoyi in honor of Lovejoy for his contributions in the world of biodiversity and support for INBio. On October 31, 2012, Lovejoy was awarded the Blue Planet Prize for being "the first scientist to academically clarify how humans are causing habitat fragmentation and pushing biological diversity towards crisis." Lovejoy served continuously on the board of directors, from 2000, of the Amazon Conservation Team, which works in partnership with indigenous people of tropical South America in conserving the biodiversity of the Amazon rainforest, as well as the culture and land of its indigenous people. He served on the board of directors from 2009 for the Amazon Conservation Association, whose mission is to conserve the biological diversity of the Amazon. He was also an emeritus member of the board of directors for Population Action International and served on the Scientific Board of SavingSpecies (dissolved July 2019), a conservation organization featured in a Nature magazine article about Thomas Lovejoy's scientific accomplishments. In 2016, he was selected as a U.S. Science
Is Sustainability Still Possible? State of the World 2014: Governing for Sustainability State of the World 2015: Confronting Hidden Threats to Sustainability State of the World 2016: Can a City Be Sustainable? State of the World 2017: Earth ED: Rethinking Education on a Changing Planet The 2010 edition discussed different ways of changing current cultures such that it felt as natural to live sustainably as living as a consumer felt at the time. The 2011 edition looked at the global food crisis and surrounding environmental and social problems, with a particular emphasis on global innovations that could help solve that worldwide problem. The 2012 edition showcased innovative projects, creative policies, and fresh approaches that were advancing sustainable development in the twenty-first century. The 2013 edition defined the term sustainability, and assessed attempts to cultivate it. Editions State of the World 1984 State of the World 1985 State of the
a Changing Planet The 2010 edition discussed different ways of changing current cultures such that it felt as natural to live sustainably as living as a consumer felt at the time. The 2011 edition looked at the global food crisis and surrounding environmental and social problems, with a particular emphasis on global innovations that could help solve that worldwide problem. The 2012 edition showcased innovative projects, creative policies, and fresh approaches that were advancing sustainable development in the twenty-first century. The 2013 edition defined the term sustainability, and assessed attempts to cultivate it. Editions State of the World 1984 State of the World 1985 State of the World 1986 State of the World 1987 State of the World 1988 State of the World 1989 State of the World 1990 State of the World 1991 State of the World 1992 State of the World 1993 State of the World 1994 State of the World 1995 State of the World 1996 State of the World 1997 State of the World 1998 State of the World 1999 State of the World 2000 State of the World 2001 State of the World 2002 State of the World 2003 State of the World 2004: Special Focus: The Consumer Society State
island was known in ancient times as Hermea. According to tradition, Pope St. Pontian died on Tavolara following his abdication and exile in 235. It is probably the island previously called Tolar, which was used by some Arab ships in 848–849 as a base to attack nearby coasts. Joachim Murat visited Tavolara in 1815 during his attempt to regain the Kingdom of Naples. At that time the island was uninhabited. In 1836 the imaginary kingdom of Tavolara was given to the Bertoleoni family by Charles Albert the King of Sardinia. After Italian unification, “King Paolo” actively sought recognition from Italy. During his “reign”, in 1868 the Italian government began operating a lighthouse on the northeast end of the island. The tomb of one of its members “Paolo I” is in the graveyard on the island, surmounted by a crown. VLF- Antenna The VLF-antenna of Tavolara VLF transmitter is spun between a 133-metre-tall mast at on Spalmatore di Fuori and 4 masts, which are situated on mountains southwards. They are situated at , at , at and at The two masts on the eastern mountain are tall, the two others are smaller. In popular culture Tavolara is the name given to a fictional island in the Philippines ruled by a cannibal king, in the 1902 Harvard comic opera "Queen Philippine." See also List of islands of Italy Kingdom of Tavolara References United States Hydrographic Office, Great Britain Hydrographic Office, Great Britain Admiralty, United States Navy Dept (1917), Mediterranean Pilot, v. 2, p. 416-417 External links CGI simulated aerial video of Tavolara Tavolara and Punta Coda Cavallo Marine
built and there are no longer any goats on the island. The critically endangered monk seal had a breeding colony here until the 1960s. Once the home of a thriving lobster industry, Tavolara now attracts divers who come to view the coral, sponges, sea anemones, bottlenose dolphins, and even a few specimens of Pinna nobilis, the rare giant clam whose byssus fibers were formerly used in the manufacture of sea silk for royal garments. History The island was known in ancient times as Hermea. According to tradition, Pope St. Pontian died on Tavolara following his abdication and exile in 235. It is probably the island previously called Tolar, which was used by some Arab ships in 848–849 as a base to attack nearby coasts. Joachim Murat visited Tavolara in 1815 during his attempt to regain the Kingdom of Naples. At that time the island was uninhabited. In 1836 the imaginary kingdom of Tavolara was given to the Bertoleoni family by Charles Albert the King of Sardinia. After Italian unification, “King Paolo” actively sought recognition from Italy. During his “reign”, in 1868 the Italian government began operating a lighthouse on the northeast end of the island. The tomb of one of its members “Paolo I” is in the graveyard on the island, surmounted by a crown. VLF- Antenna The VLF-antenna of Tavolara VLF transmitter is spun between a 133-metre-tall mast at on Spalmatore di Fuori and 4 masts, which are situated on mountains southwards. They are situated at , at , at and at The two masts on the eastern mountain are tall, the two others are smaller. In popular culture Tavolara is the name given to a fictional island in the Philippines ruled by a cannibal king, in the 1902 Harvard comic opera "Queen Philippine." See also List of islands of Italy Kingdom of Tavolara References United States Hydrographic Office, Great Britain Hydrographic Office, Great Britain Admiralty, United
to those guidelines. Military usage In military usage, a military tactic is used by a military unit of no larger than a division to implement a specific mission and achieve a specific objective, or to advance toward a specific target. The terms tactic and strategy are often confused: tactics are the actual means used to gain an objective, while strategy is the overall campaign plan, which may involve complex operational patterns, activity, and decision-making that govern tactical execution. The United States Department of Defense Dictionary of Military Terms defines the tactical level as "the level of war at which battles and engagements are planned and executed to accomplish military objectives assigned to tactical units or task forces. Activities at this
involve complex operational patterns, activity, and decision-making that govern tactical execution. The United States Department of Defense Dictionary of Military Terms defines the tactical level as "the level of war at which battles and engagements are planned and executed to accomplish military objectives assigned to tactical units or task forces. Activities at this level focus on the ordered arrangement and maneuver of combat elements in relation to each other and to the enemy to achieve combat objectives." If, for example, the overall goal is to win a war against another country, one strategy might be to undermine the other nation's ability to wage war by preemptively annihilating their military forces. The tactics involved might describe specific
could work up from cruising speed to full power. This strategy may seem an inexplicable blunder: Langsdorff could perhaps have manoeuvred to keep the British ships at a range where he could destroy them with his guns while remaining out of the effective range of their smaller 6 in and 8 in guns. On the other hand, he knew the British cruisers had a speed advantage over Graf Spee and could in principle stay out of range should they choose to do so – standard cruiser tactics in the presence of a superior force, while calling for reinforcements. The British executed their battle plan: Exeter turned north-west, while Ajax and Achilles, operating together, turned north-east to spread Graf Spees fire. Graf Spee opened fire on Exeter at with her six guns at 06:18. Exeter opened fire at 06:20, Achilles at 06:21, Exeters aft guns at 06:22 and Ajax at 06:23. Lieutenant-Commander Richard Jennings, Exeters gunnery officer remembers: As I was crossing the compass platform [to his Action Station in the Director Control Tower], the captain hailed me, not with the usual rigmarole of "Enemy in sight, bearing, etc", but with "There's the fucking Scheer! Open fire at her!" Throughout the battle the crew of the Exeter thought they were fighting the [sister ship] Scheer. But the name of the enemy ship was of course the Graf Spee. From her opening salvo, Graf Spee'''s gunfire proved fairly accurate, her third salvo straddling Exeter. At 06:23, a shell burst just short of Exeter, abreast the ship. Splinters from this shell killed the torpedo tubes' crews, damaged the ship's communications, riddled the ship's funnels and searchlights and wrecked the ship's Walrus aircraft, just as it was about to be launched for gunnery spotting. Three minutes later, Exeter suffered a direct hit on her "B" turret, putting it and its two guns out of action. Shrapnel swept the bridge, killing or wounding all bridge personnel except the captain and two others. Captain Bell's communications were wrecked. Communications from the aft conning position were also destroyed; the ship had to be steered via a chain of messengers for the rest of the battle. Meanwhile, Ajax and Achilles closed to and started making in front of Graf Spee, causing her to split her main armament at 06:30 and otherwise use her guns against them. Shortly after, Exeter fired two torpedoes from her starboard tubes but both missed. At 06:37, Ajax launched her Fairey Seafox spotter floatplane from its catapult. At 06:38, Exeter turned so that she could fire her port torpedoes and received two more direct hits from shells. One hit "A" turret and put it out of action, the other entered the hull and started fires. At this point, Exeter was severely damaged, having only "Y" turret still in action under "local" control, with Jennings on the roof shouting instructions to those inside. She also had a 7° list, was being flooded and being steered with the use of her small boat's compass. However, Exeter dealt the decisive blow; one of her 8-inch shells had penetrated two decks before exploding in Graf Spees funnel area, destroying her raw fuel processing system and leaving her with just 16 hours fuel, insufficient to allow her to return home. At this point, nearly one hour after the battle started, Graf Spee was doomed; she could not make fuel system repairs of this complexity under fire. Two-thirds of her anti-aircraft guns were knocked out, as well as one of her secondary turrets. There were no friendly naval bases within reach, nor were any reinforcements available. She was not seaworthy and could make only the neutral port of Montevideo.Graf Spee hauled round from an easterly course, now behind Ajax and Achilles, towards the north-west and laid smoke. This course brought Langsdorff roughly parallel to Exeter. By 06:50, Exeter listed heavily to starboard, taking water forward. Nevertheless, she still steamed at full speed and fired with her one remaining turret. Forty minutes later, water splashed in by a near-miss short-circuited her electrical system for that turret. Captain Bell was forced to break off the action. This would have been the opportunity to finish off Exeter. Instead, the combined fire of Ajax and Achilles drew Langsdorff's attention as both ships closed the German ship. Twenty minutes later, Ajax and Achilles turned to starboard to bring all their guns to bear, causing Graf Spee to turn away and lay a smoke screen. At 07:10, the two light cruisers turned to reduce the range from , even though this meant that only their forward guns could fire. At 07:16, Graf Spee turned to port and headed straight for the badly damaged Exeter, but fire from Ajax and Achilles forced her at 07:20 to turn and fire her guns at them, while they turned to starboard to bring all their guns to bear. Ajax turned to starboard at 07:24 and fired her torpedoes at a range of , causing Graf Spee to turn away under a smoke screen. At 07:25, Ajax was hit by a shell that put "X" turret out of action and jammed "Y" turret, causing some casualties. By 07:40, Ajax and Achilles were running low on resources, and the British decided to change tactics, moving to the east under a smoke screen. Harwood decided to shadow Graf Spee and try to attack at night, when he could attack with torpedoes and better use his advantages of speed and manoeuvrability, while minimising his deficiencies in armour. Ajax was again hit by a shell that destroyed her mast and caused more casualties; Graf Spee continued to the south-west. Pursuit The battle now turned into a pursuit. Captain Parry of Achilles wrote afterwards: "To this day I do not know why the Admiral Graf Spee did not dispose of us in the Ajax and the Achilles as soon as she had finished with the Exeter". The British and New Zealand cruisers split up, keeping about from Admiral Graf Spee. Ajax kept to the German's port and Achilles to the starboard. At 09:15, Ajax recovered her aircraft. At 09:46, Harwood signalled to Cumberland for reinforcement and the Admiralty also ordered ships within to proceed to the River Plate. At 10:05, Achilles had overestimated Admiral Graf Spees speed and she came into range of the German guns. Admiral Graf Spee turned and fired two three-gun salvoes with her fore guns. Achilles turned away under a smoke screen. According to Pope, at 11:03 a merchant ship was sighted close to Admiral Graf Spee. After a few minutes, Admiral Graf Spee called Ajax on W/T, probably on the international watchkeeping frequency of 500 kHz, using both ships' pre-war call-signs, with the signal: "please pick up lifeboats of English steamer". The German call-sign was DTGS, confirming to Harwood that the pocket-battleship he had engaged was indeed Admiral Graf Spee. Ajax did not reply but a little later the British flagship closed with SS Shakespeare with its lifeboats still hoisted and men still on board. Admiral Graf Spee had fired a gun and ordered them to stop but when they did not obey orders to leave the ship, Langsdorff decided to continue on his way and Shakespeare had a lucky escape. The shadowing continued for the rest of the day until 19:15, when Admiral Graf Spee turned and opened fire on Ajax, which turned away under a smoke screen. It was now clear that Admiral Graf Spee was entering the River Plate estuary. Since the estuary had sandbanks, Harwood ordered Achilles to shadow Admiral Graf Spee while Ajax would cover any attempt to double back through a different channel. The sun set at 20:48, with Admiral Graf Spee silhouetted against the sun. Achilles had again closed the range and Admiral Graf Spee opened fire, forcing Achilles to turn away. During the battle, a total of 108 men had been killed on both sides, including 36 on Admiral Graf Spee.Admiral Graf Spee entered Montevideo in neutral Uruguay, dropping anchor at about 00:10 on 14 December. This was a political error, since Uruguay, while neutral, had benefited from significant British influence during its development and it favoured the Allies. The British Hospital, for example (where the wounded from the battle were taken), was the leading hospital in the city. The port of Mar del Plata on the Argentine coast and south of Montevideo would have been a better choice for Admiral Graf Spee. Also, had Admiral Graf Spee left port at this time, the damaged Ajax and Achilles would have been the only British warships that it would encounter in the area. Trap of Montevideo In Montevideo, the 13th Hague Convention came into play. Under Article 12, "belligerent war-ships are not permitted to remain in the ports, roadsteads or territorial waters of the said Power for more than twenty-four hours". Under Article 14, "[a] belligerent war-ship may not prolong its stay in a neutral port beyond the permissible time except on account of damage". British diplomats duly pressed for the speedy departure of the Graf Spee. Also relevant was Article 16, of which part reads, "A belligerent war-ship may not leave a neutral port or roadstead until twenty-four hours
was aware that there were no significant British naval forces in the area, Millington-Drake continued to demand that Admiral Graf Spee leave. At the same time, he arranged for British and French merchant ships to steam from Montevideo at intervals of 24 hours, whether they had originally intended to do so or not, thus invoking Article 16. This kept Admiral Graf Spee in port and allowed more time for British forces to reach the area. At the same time, the British attempted to feed false intelligence to the Germans that an overwhelming British force was being assembled, including Force H (the aircraft carrier and the battlecruiser ) by broadcasting a series of signals, on frequencies known to be intercepted by German intelligence. In fact the two cruisers had been joined only by Cumberland which had arrived at 22:00 on 14 December, after steaming from the Falkland Islands in 34 hours, at an average of over 90% of her full trials speed attained over much shorter distances. The older and larger Cumberland was more powerful than Exeter, with an additional aft turret containing two more 8-inch guns, but was no match on paper for Admiral Graf Spee whose guns had significantly longer range and fired much heavier shells (660 lb against 256 lb). Overwhelming British forces (HMS Renown, Ark Royal, , , and ) were en route, but would not assemble until 19 December, although they could intercept earlier if Admiral Graf Spee headed north or north east from Montevideo shadowed by Cumberland and her smaller consorts. For the time being, the total force comprised the undamaged Cumberland with a full ammunition load, and the damaged Ajax and Achilles with depleted stocks of shells. To reinforce the propaganda effect, these ships — which were waiting just outside the three-mile limit — were ordered to make smoke, which could be clearly seen from the Montevideo waterfront. On 15 December 1939, Olynthus refuelled Ajax, which proved a difficult operation; the ship had to use hurricane hawsers to complete the replenishment. On 17 December Achilles was replenished from Olynthus off Rouen Bank. The Germans were entirely deceived, and expected to face a far superior force on leaving the River Plate. Admiral Graf Spee had also used two-thirds of her ammunition and had only enough left for approximately a further 20 minutes of firing. Such a reduced ammunition stock was hardly sufficient for the ship to fight her way out of Montevideo, let alone get back to Germany, when contrasted with the previously unengaged Cumberlands ability to fight at full capacity for about 90 minutes and pursue at equal or higher speed for at least another before requiring replenishment at sea. Meanwhile, as the Graf Spee remained in the bay, British diplomatic personnel based in Montevideo and Buenos Aires carefully watched it from shore 24 hours a day and the expectation of a potential breakout or resuming or the battle caused tensions and anxiety to surge to enormous levels among British sailors and diplomats. On the German side, while the ship was prevented from leaving the harbour, Captain Langsdorff consulted with his command in Germany. He received orders that permitted some options, but not internment in Uruguay. The Germans feared that Uruguay could be persuaded to join the Allied cause. Ultimately, he chose to scuttle his ship in the River Plate estuary on 17 December, to avoid unnecessary loss of life for no particular military advantage, a decision which infuriated Adolf Hitler. The crew of Admiral Graf Spee were taken to Buenos Aires, Argentina, where Captain Langsdorff committed suicide by gunshot on 19 December. He was buried there with full military honours, and several British officers who were present attended. Many of the crew members were reported to have moved to Montevideo with the help of local people of German origin. The German dead were buried in the Cementerio del Norte, Montevideo. Aftermath The German propaganda machine had reported that Admiral Graf Spee had sunk a heavy cruiser and heavily damaged two light cruisers while only being lightly damaged herself. Admiral Graf Spees scuttling however was a severe embarrassment and difficult to explain on the basis of publicly available facts. The battle was a major victory for the British, as the damage to Ajax and Achilles was not sufficient to reduce their fighting efficiency, while Exeter, as badly damaged as she was, was able to reach the Falkland Islands for emergency repairs, before returning to Devonport for a 13-month refit, thus enhancing the reputation of First Lord of the Admiralty Winston Churchill. Additionally, while being highly praised for his excellent performance in battle, Harwood also received criticism directed towards his lack of initiative and for not employing a more aggressive approach; these criticisms are mostly based on the fact that the Admiral Graf Spee was allowed to escape even though it was outgunned and outnumbered. Prisoners taken from merchant ships by Admiral Graf Spee who had been transferred to her supply ship Altmark were freed by a boarding party from the British destroyer , in the Altmark incident (16 February 1940)—whilst in Jøssingfjord, at the time neutral Norwegian waters. Prisoners who had not been transferred to Altmark had remained aboard Admiral Graf Spee during the battle; they were released on arrival in Montevideo. On 22 December 1939 over 1,000 sailors from Admiral Graf Spee were taken to Buenos Aires and interned there; at least 92 were transferred during 1940 to a camp in Rosario, some were transferred to Club Hotel de la Ventana in Buenos Aires Province and another group to Villa General Belgrano, a small town founded by German immigrants in 1932. Some of these sailors later settled there. After the war many German sailors settled permanently in various parts of Uruguay, some returning after being repatriated to Germany. Rows of simple crosses in the Cementerio del Norte, in the north of the city of Montevideo, mark the burial places of the German dead. Three sailors killed aboard Achilles were buried in the British Cemetery in Montevideo, while those who died on Exeter were buried at sea. Intelligence gathering and salvage Immediately after her scuttling, the wreck of Admiral Graf Spee rested in shallow water, with much of the ship's superstructure remaining above water level, but over the years, the wreck has subsided into the muddy bottom and afterwards only the tip of the mast remains above the surface. A radar expert was sent to Montevideo shortly after the scuttling and reported a rotating aerial, probably for gunlaying, transmitting on either 57 or 114 centimetres. In February 1940, the wreck was boarded by US Navy sailors from the light cruiser . Pieces and parts of the ship have also been displayed in museums and studied by scientists who have carried out tests like metallurgical analyses of the Graf Spee. In 1964 a memorial to the ship was erected in Montevideo's port. Part of it is Admiral Graf Spees anchor. In 1997, one of Admiral Graf Spees secondary gun mounts was raised and restored; it can now be seen outside Montevideo's National Maritime Museum. In February 2004, a salvage team began work raising the wreck. The operation is being funded in part by the government of Uruguay, in part by the private sector, as the wreck is now a hazard to navigation. The first major section, the heavy gunnery control station, was raised on 25 February 2004. It is expected to take several years to raise the entire wreck. James Cameron filmed the salvage operation. After it has been raised, it was planned that the ship may be restored and put on display at the National Marine Museum. Many German veterans did not approve of this restoration attempt, as they considered the wreck to be a war grave and an underwater historical monument that should be respected. One of them, Hans Eupel, a former specialist torpedo mechanic, 87 years old in 2005, said that "this is madness, too expensive and senseless. It is also dangerous, as one of the three explosive charges we placed did not explode". On 10 February 2006, the , 400 kg eagle and swastika crest of Admiral Graf Spee was recovered from the stern of the ship. This spread-wing statue of a Nazi eagle with a wreath in its talons containing a swastika was attached to the stern, not the bow like traditional figureheads. It was a common feature of prewar Nazi warships. In other cases, it was removed for a variety of practical reasons on the outbreak of the war, but because Admiral Graf Spee was already at sea when the war began, she went into action (and was scuttled) with it attached, thus permitting its recovery. To protect the feelings of those with painful memories of Nazi Germany, the swastika at the base of the figurehead was covered as it was pulled from the water. The figurehead was stored in a Uruguayan naval warehouse following German complaints about exhibiting "Nazi paraphernalia". Legacy In 1956, the film The Battle of the River Plate (US title: Pursuit of the Graf Spee) was made of the battle and Admiral Graf Spees end, with Peter Finch as Langsdorff and Anthony Quayle as Harwood. Finch portrays Langsdorff sympathetically as a gentleman. The Achilles, which had been recommissioned in 1948 as HMIS Delhi, flagship of the Royal Indian Navy, played herself in the film. HMS Ajax (twin turrets) was "played" by HMS Sheffield (triple turrets), HMS Exeter (twin turrets) by HMS Jamaica (triple turrets) and HMS Cumberland by herself (although de-gunned as a trials platform). Admiral Graf Spee (two turrets) was portrayed by the U.S. heavy cruiser (three turrets). The battle was for many years re-enacted with large-scale model boats throughout the summer season at Peasholm Park in the English seaside resort of Scarborough. The re-enactment now portrays an anonymous battle between a convoy of British ships and an unspecified enemy in possession of the nearby shore. After the battle, the new town of Ajax, Ontario, in Canada, constructed as a Second World War munitions production centre, was named after HMS Ajax. Many of its streets are named after Admiral Harwood's crewmen on Ajax, Exeter and Achilles. Its main street is named after Admiral Harwood, while a small street was named (after some controversy) for Captain Langsdorff. According to an article in the German language paper Albertaner on 6 October 2007, Steve Parish, the mayor of Ajax, defended the decision, declaring that Langsdorff had not been a typical Nazi officer. An accompanying photograph (in the "Aftermath" section above) from the funeral of crew members shows Langsdorff paying tribute with a traditional naval salute, while people beside and behind him—even some clergymen—are giving the Fascist salute. Also in Canada, the names of the ships, and the commander of Force G, have been used for Cadet Corps. The Royal Canadian Sea Cadet Corps (RCSCC) Ajax No. 89 in Guelph, Ontario; the Navy League Cadet Corps (NLCC) Achilles No. 34 in Guelph, Ontario; the Navy League Wrenette Corps (NLWC) Lady Exeter (now disbanded) and the camp shared by all three corps, called Camp Cumberland (this camp no longer exists; it was decommissioned around 1999). RCSCC Harwood No. 244 and NLCC Exeter No. 173 are situated in Ajax, Ontario. A number of streets in Nelson Bay, New South Wales, have been named after the battle including Montevideo Parade, Achilles Street, Ajax Avenue, Harwood Avenue, and Exeter Road (now called Shoal Bay Road). In Auckland, home port of the Royal New Zealand Navy, streets have been named for Achilles, Ajax and Exeter. Three streets in North Wollongong, New South Wales, are named Ajax Avenue, Exeter Avenue and Achilles Avenue. The battle is also significant as it was the first time the current Flag of New Zealand
and solid green leaves (not mottled). Species in this group are distributed across North America and Asia, as indicated below. Hybrids are common within this group (the only group of pedicellate-flowered trilliums with natural hybrids). Trillium apetalon – Japan, Kuril Islands, E Russia (Sakhalin) Trillium camschatcense – NE China (Jilin), Japan, Korea, Kuril Islands, E Russia (Primorsky Krai, Khabarovsk Krai, Kamchatka Peninsula, Sakhalin) Trillium cernuum – Manitoba, New Brunswick, Newfoundland, Nova Scotia, Ontario, Prince Edward Island, Quebec, Saskatchewan; Connecticut, Delaware, Illinois, Indiana, Iowa, Maine, Maryland, Massachusetts, Michigan, Minnesota, New Hampshire, New Jersey, New York, North Dakota, Ohio, Pennsylvania, Rhode Island, South Dakota, Vermont, Virginia, West Virginia, Wisconsin; Saint Pierre and Miquelon Trillium channellii – Japan (E Hokkaido) Trillium erectum – New Brunswick, Nova Scotia, Ontario, Quebec; Connecticut, Delaware, Georgia, Illinois, Indiana, Kentucky, Maine, Maryland, Massachusetts, Michigan, New Hampshire, New Jersey, New York, North Carolina, Ohio, Pennsylvania, Rhode Island, South Carolina, Tennessee, Vermont, Virginia, West Virginia Trillium flexipes – Ontario; Alabama, Arkansas, Delaware, Illinois, Indiana, Iowa, Kentucky, Maryland, Michigan, Minnesota, Missouri, New York, Ohio, Pennsylvania, South Dakota, Tennessee, Virginia, West Virginia, Wisconsin Trillium × hagae (Trillium camschatcense × Trillium tschonoskii) – Japan, E Russia (S Sakhalin) Trillium hibbersonii – British Columbia Trillium × komarovii (Trillium camschatcense × unknown) – Japan, E Russia (Primorsky Krai) Trillium × miyabeanum (Trillium apetalon × Trillium tschonoskii) – Japan Trillium rugelii – Alabama, Georgia, North Carolina, South Carolina, Tennessee Trillium simile – Georgia, North Carolina, Tennessee Trillium smallii – Japan, E Russia (S Sakhalin) Trillium sulcatum – Alabama, Georgia, Kentucky, North Carolina, Tennessee, Virginia, West Virginia Trillium taiwanense – E Taiwan Trillium tschonoskii – Bhutan, China (Anhui, Fujian, Gansu, Hubei, Shaanxi, Sichuan, Tibet Autonomous Region, Yunnan, Zhejiang), NE India (Sikkim), Japan, Korea, Kuril Islands, Myanmar, Russia (Sakhalin), Taiwan Trillium vaseyi – Alabama, Georgia, North Carolina, South Carolina, Tennessee Trillium × yezoense (Trillium apetalon × Trillium camschatcense) – Japan Grandiflorum group This group of species has pedicellate flowers (on a short stalk) and solid green leaves (except T. ovatum on the west coast of California, which occasionally has mottled leaves). The stigmas are fused together at their bases (basally connate) but lack a definite style. Species in this group are distributed across North America (but not Asia). Trillium crassifolium – Washington Trillium grandiflorum – Nova Scotia, Ontario, Quebec; Alabama, Connecticut, Delaware, District of Columbia, Georgia, Illinois, Indiana, Iowa, Kentucky, Maine, Maryland, Massachusetts, Michigan, Minnesota, New Hampshire, New Jersey, New York, North Carolina, Ohio, Pennsylvania, South Carolina, Tennessee, Vermont, Virginia, West Virginia, Wisconsin Trillium nivale – Illinois, Indiana, Iowa, Kentucky, Maryland, Michigan, Minnesota, Missouri, Nebraska, Ohio, Pennsylvania, South Dakota, West Virginia, Wisconsin Trillium ovatum – Alberta, British Columbia; California, Colorado, Idaho, Montana, Oregon, Washington, Wyoming Trillium scouleri – Alberta, British Columbia; Colorado, Idaho, Montana, Washington, Wyoming Trillium subgenus Delostylium This subgenus has pedicellate flowers (on a short stalk) with a definite style and solid green leaves (not mottled). Distribution is restricted to the southeastern and south central United States. Trillium catesbaei – Alabama, Georgia, North Carolina, South Carolina, Tennessee Trillium georgianum – Georgia Trillium persistens – Georgia, South Carolina Trillium pusillum – Alabama, Arkansas, Georgia, Kentucky, Louisiana, Maryland, Mississippi, Missouri, North Carolina, Oklahoma, South Carolina, Tennessee, Texas, Virginia, West Virginia Trillium subgenus Sessilium This subgenus (previously known as ) includes species with sessile flowers (no flower stalk), erect petals (except in T. stamineum), and mottled leaves (except in T. petiolatum and occasionally in plants of other sessile-flowered species). Trillium albidum – California, Oregon, Washington Trillium angustipetalum – California Trillium chloropetalum – California Trillium cuneatum – Alabama, Georgia, Kentucky, Mississippi, North Carolina, South Carolina, Tennessee Trillium decipiens – Alabama, Florida, Georgia Trillium decumbens – Alabama, Georgia, Tennessee Trillium delicatum – Georgia Trillium discolor – Georgia, North Carolina, South Carolina Trillium foetidissimum – Louisiana, Mississippi Trillium gracile – Louisiana, Texas Trillium kurabayashii – California, Oregon Trillium lancifolium – Alabama, Florida, Georgia, South Carolina, Tennessee Trillium ludovicianum – Louisiana, Mississippi, Texas Trillium luteum – District of Columbia, Georgia, Kentucky, North Carolina, Tennessee Trillium maculatum – Alabama, Florida, Georgia, South Carolina Trillium oostingii – South Carolina Trillium petiolatum – Idaho, Oregon, Washington Trillium recurvatum – Alabama, Arkansas, Illinois, Indiana, Iowa, Kentucky, Louisiana, Michigan, Mississippi, Missouri, Ohio, Tennessee, Texas, Wisconsin Trillium reliquum – Georgia, South Carolina Trillium sessile – Alabama, Arkansas, District of Columbia, Illinois, Indiana, Kansas, Kentucky, Maryland, Michigan, Missouri, New York, North Carolina, Ohio, Oklahoma, Pennsylvania, Tennessee, Virginia, West Virginia Trillium stamineum – Alabama, Mississippi, Tennessee Trillium underwoodii – Alabama, Florida, Georgia Trillium viride – Illinois, Missouri Trillium viridescens – Arkansas, Kansas, Missouri, Oklahoma, Texas Ungrouped taxa The following pair of taxa are widely accepted but do not fit into any of the above groups since they are markedly different from other Trillium species. There is evidence to support the segregation of these species into a separate genus (Trillidium) but the proposal is controversial. Trillium govanianum – NE Afghanistan, Bhutan, China (Tibet Autonomous Region, Yunnan), N + NE India (Himachal Pradesh, Jammu and Kashmir, Sikkim, Uttarakhand), Nepal, N Pakistan Trillium undulatum – New Brunswick, Nova Scotia, Ontario, Prince Edward Island, Quebec; Connecticut, Georgia, Kentucky, Maine, Maryland, Massachusetts, Michigan, New Hampshire, New Jersey, New York, North Carolina, Ohio, Pennsylvania, Rhode Island, South Carolina, Tennessee, Vermont, Virginia, West Virginia The following taxon is an intergeneric hybrid: Trillium × crockerianum (Trillium ovatum × Pseudotrillium rivale) – California Other taxa , Plants of the World Online does not accept these taxa: Trillium texanum , also known as Trillium pusillum var. texanum , are considered by some authorities to be synonyms for Trillium pusillum var. pusillum. Trillium tennesseense is considered by some authorities to be a synonym for Trillium lancifolium Trillium parviflorum is an accepted name by some authorities while others regard this name as a synonym of T. albidum subsp. parviflorum . The following taxon is of historical interest: Trillium rivale has been segregated to a monotypic genus as Pseudotrillium rivale . Distribution Trillium species are native to North America and Asia. North America More than three dozen Trillium species are found in North America, most of which are native to eastern North America. Just six species are native to western North America: T. albidum, T. angustipetalum, T. chloropetalum, T. kurabayashii, T. ovatum, and T. petiolatum. Of these, only T. ovatum is pedicellate-flowered. Canada Trillium species are found across Canada, from Newfoundland to southern British Columbia. The greatest diversity of species are found in Ontario, Quebec, and Nova Scotia. Alberta: T. ovatum, T. scouleri British Columbia: T. hibbersonii, T. ovatum, T. scouleri Manitoba: T. cernuum New Brunswick: T. cernuum, T. erectum, T. undulatum Newfoundland: T. cernuum Northwest Territories: none Nova Scotia: T. cernuum, T. erectum, T. grandiflorum, T. undulatum Nunavut: none Ontario: T. cernuum, T. erectum, T. flexipes, T. grandiflorum, T. undulatum Prince Edward Island: T. cernuum, T. undulatum Quebec: T. cernuum, T. erectum, T. grandiflorum, T. undulatum Saskatchewan: T. cernuum Yukon: none United States Except for the desert regions of the southwestern United States, Trillium species are found throughout the contiguous U.S. states. In the western United States, species are found from Washington to central California, east to the Rocky Mountains. In the eastern United States, species range from Maine to northern Florida, west to the Mississippi River valley. Trillium species are especially diverse in the southeastern United States, in Georgia, Tennessee, Alabama, North Carolina, and South Carolina. The state of Georgia is home to 21 species of trillium. Alabama: T. catesbaei, T. cuneatum, T. decipiens, T. decumbens, T. flexipes,
growing from rhizomes. There are three large leaf-like bracts arranged in a whorl about a scape that rises directly from the rhizome. There are no true aboveground leaves but sometimes there are scale-like leaves on the underground rhizome. The bracts are photosynthetic and are sometimes called leaves. The inflorescence is a single flower with three green or reddish sepals and three petals in shades of red, purple, pink, white, yellow, or green. At the center of the flower there are six stamens and three stigmas borne on a very short style, if any. The fruit is fleshy and capsule-like or berrylike. The seeds have large, oily elaiosomes. Occasionally individuals have four-fold symmetry, with four bracts (leaves), four sepals, and four petals in the blossom. Occasionally individuals have four-fold symmetry, with four bracts (leaves) and/or flower parts in groups of four. The tetramerous condition has been described for several species of Trillium including T. chloropetalum, T. erectum, T. grandiflorum, T. maculatum, T. sessile, and T. undulatum. Taxonomy In 1753, Swedish botanist Carl Linnaeus established the genus Trillium by recognizing three species, Trillium cernuum, Trillium erectum, and Trillium sessile. The type specimen Trillium cernuum described by Linnaeus was actually Trillium catesbaei, an oversight that subsequently led to much confusion regarding the type species of this genus. Initially the Trillium genus was placed in the family Liliaceae. In the nineteenth and early twentieth centuries it was sometimes placed in a smaller family, Trilliaceae. By 1981 Liliaceae had grown to about 280 genera and 4,000 species. As it became clearer that the very large version of Liliaceae was polyphyletic, some botanists preferred to place Trillium and related genera into that separate family. Others defined a larger family, Melanthiaceae, for a similar purpose, but included several other genera not historically recognized as close relatives of Trillium. This latter approach was followed in 1998 by the Angiosperm Phylogeny Group, which assigned the genus Trillium, along with its closest relatives, Paris and Pseudotrillium, to the family Melanthiaceae. However, other taxonomists have since preferred to break up the heterogenous Melanthiaceae into several smaller monophyletic families, each with more coherent morphological features, returning Trillium to a resurrected Trilliaceae. In 1850, German botanist Carl Sigismund Kunth segregated Trillium govanianum into genus Trillidium. Some authorities consider Trillidium to be a synonym for Trillium , while others recognize the taxon Trillidium govanianum based on morphological differences (with other Trillium species) and molecular evidence. Still others support the segregation of Trillium undulatum into genus Trillidium alongside Trillidium govanianum. Infrageneric taxa All names used in this section are taken from the International Plant Names Index. , Plants of the World Online (POWO) accepts 49 species and 5 named hybrids, all of which are listed below. The geographical locations are taken from POWO and the Flora of North America, except where noted. Subgenera The Trillium genus has traditionally been divided into two subgenera, Trillium subgenus Trillium and Trillium subgenus Sessilium, based on whether the flowers are pedicellate or sessile with respect to their attachment to the apex of the scape. The former is considered the more primitive group. Until recently the sessile-flowered subgenus was known by the name Phyllantherum, but the name Sessilium has precedence and should be used instead. has been shown to be a monophyletic group by molecular systematics but its segregation renders the remaining paraphyletic. In 1830, Rafinesque placed Trillium catesbaei into subgenus Delostylium. Since then Trillium persistens and all members of the Trillium pusillum species complex (including Trillium georgianum and Trillium texanum) have been added to this subgenus, which has been shown to be monophyletic. Members of are distinguished from other pedicellate-flowered trilliums by the presence of a definite style. The word Delostylium means "with a small but conspicuous style". Phylogenetic analysis confirms the monophyly of Trillidium and supports the inclusion of Trillium undulatum into that genus. Excluding Trillium govanianum and Trillium undulatum from the analysis, genus Trillium can be separated into four major lineages: Erectum group (15 species) Grandiflorum group (3 species) Trillium Trillium Since all four species groups are monophyletic, this leads to a four-part concept of Trillium that sharply constrasts with the traditional pedicellate vs. sessile dichotomy outlined previously. Erectum group This group of species has pedicellate flowers (on a short stalk) with three separate stigmas (no style) and solid green leaves (not mottled). Species in this group are distributed across North America and Asia, as indicated below. Hybrids are common within this group (the only group of pedicellate-flowered trilliums with natural hybrids). Trillium apetalon – Japan, Kuril Islands, E Russia (Sakhalin) Trillium camschatcense – NE China (Jilin), Japan, Korea, Kuril Islands, E Russia (Primorsky Krai, Khabarovsk Krai, Kamchatka Peninsula, Sakhalin) Trillium cernuum – Manitoba, New Brunswick, Newfoundland, Nova Scotia, Ontario, Prince Edward Island, Quebec, Saskatchewan; Connecticut, Delaware, Illinois, Indiana, Iowa, Maine, Maryland, Massachusetts, Michigan, Minnesota, New Hampshire, New Jersey, New York, North Dakota, Ohio, Pennsylvania, Rhode Island, South Dakota, Vermont, Virginia, West Virginia, Wisconsin; Saint Pierre and Miquelon Trillium channellii – Japan (E Hokkaido) Trillium erectum – New Brunswick, Nova Scotia, Ontario, Quebec; Connecticut, Delaware, Georgia, Illinois, Indiana, Kentucky, Maine, Maryland, Massachusetts, Michigan, New Hampshire, New Jersey, New York, North Carolina, Ohio, Pennsylvania, Rhode Island, South Carolina, Tennessee, Vermont, Virginia, West Virginia Trillium flexipes – Ontario; Alabama, Arkansas, Delaware, Illinois, Indiana, Iowa, Kentucky, Maryland, Michigan, Minnesota, Missouri, New York, Ohio, Pennsylvania, South Dakota, Tennessee, Virginia, West Virginia, Wisconsin Trillium × hagae (Trillium camschatcense × Trillium tschonoskii) – Japan, E Russia (S Sakhalin) Trillium hibbersonii – British Columbia Trillium × komarovii (Trillium camschatcense × unknown) – Japan, E Russia (Primorsky Krai) Trillium × miyabeanum (Trillium apetalon × Trillium tschonoskii) – Japan Trillium rugelii – Alabama, Georgia, North Carolina, South Carolina, Tennessee Trillium simile – Georgia, North Carolina, Tennessee Trillium smallii – Japan, E Russia (S Sakhalin) Trillium sulcatum – Alabama, Georgia, Kentucky, North Carolina, Tennessee, Virginia, West Virginia Trillium taiwanense – E Taiwan Trillium tschonoskii – Bhutan, China (Anhui, Fujian, Gansu, Hubei, Shaanxi, Sichuan, Tibet Autonomous Region, Yunnan, Zhejiang), NE India (Sikkim), Japan, Korea, Kuril Islands, Myanmar, Russia (Sakhalin), Taiwan Trillium vaseyi – Alabama, Georgia, North Carolina, South Carolina, Tennessee Trillium × yezoense (Trillium apetalon × Trillium camschatcense) – Japan Grandiflorum group This group of species has pedicellate flowers (on a short stalk) and solid green leaves (except T. ovatum on the west coast of California, which occasionally has mottled leaves). The stigmas are fused together at their bases (basally connate) but lack a definite style. Species in this group are distributed across North America (but not Asia). Trillium crassifolium – Washington Trillium grandiflorum – Nova Scotia, Ontario, Quebec; Alabama, Connecticut, Delaware, District of Columbia, Georgia, Illinois, Indiana, Iowa, Kentucky, Maine, Maryland, Massachusetts, Michigan, Minnesota, New Hampshire, New Jersey, New York, North Carolina, Ohio, Pennsylvania, South Carolina, Tennessee, Vermont, Virginia, West Virginia, Wisconsin Trillium nivale – Illinois, Indiana, Iowa, Kentucky, Maryland, Michigan, Minnesota, Missouri, Nebraska, Ohio, Pennsylvania, South Dakota, West Virginia, Wisconsin Trillium ovatum – Alberta, British Columbia; California, Colorado, Idaho, Montana, Oregon, Washington, Wyoming Trillium scouleri – Alberta, British Columbia; Colorado, Idaho, Montana, Washington, Wyoming Trillium subgenus Delostylium This subgenus has pedicellate flowers (on a short stalk) with a definite style and solid green leaves (not mottled). Distribution is restricted to the southeastern and south central United States. Trillium catesbaei – Alabama, Georgia, North Carolina, South Carolina, Tennessee Trillium georgianum – Georgia Trillium persistens – Georgia, South Carolina Trillium pusillum – Alabama, Arkansas, Georgia, Kentucky, Louisiana, Maryland, Mississippi, Missouri, North Carolina, Oklahoma, South Carolina, Tennessee, Texas, Virginia, West Virginia Trillium subgenus Sessilium This subgenus (previously known as ) includes species with sessile flowers (no flower stalk), erect petals (except in T. stamineum), and mottled leaves (except in T. petiolatum and occasionally in plants of other sessile-flowered species). Trillium albidum – California, Oregon, Washington Trillium angustipetalum – California Trillium chloropetalum – California Trillium cuneatum – Alabama, Georgia, Kentucky, Mississippi, North Carolina, South Carolina, Tennessee Trillium decipiens – Alabama, Florida, Georgia Trillium decumbens – Alabama, Georgia, Tennessee Trillium delicatum – Georgia Trillium discolor – Georgia, North Carolina, South Carolina Trillium foetidissimum – Louisiana, Mississippi Trillium gracile – Louisiana, Texas Trillium kurabayashii – California, Oregon Trillium lancifolium – Alabama, Florida, Georgia, South Carolina, Tennessee Trillium ludovicianum – Louisiana, Mississippi, Texas Trillium luteum – District of Columbia, Georgia, Kentucky, North Carolina, Tennessee Trillium maculatum – Alabama, Florida, Georgia, South Carolina Trillium oostingii – South Carolina Trillium petiolatum – Idaho, Oregon, Washington Trillium recurvatum – Alabama, Arkansas, Illinois, Indiana, Iowa, Kentucky, Louisiana, Michigan, Mississippi, Missouri, Ohio, Tennessee, Texas, Wisconsin Trillium reliquum – Georgia, South Carolina Trillium sessile – Alabama, Arkansas, District of Columbia, Illinois, Indiana, Kansas, Kentucky, Maryland, Michigan, Missouri, New York, North Carolina, Ohio, Oklahoma, Pennsylvania, Tennessee, Virginia, West Virginia Trillium stamineum – Alabama, Mississippi, Tennessee Trillium underwoodii – Alabama, Florida, Georgia Trillium viride – Illinois, Missouri Trillium viridescens – Arkansas, Kansas, Missouri, Oklahoma, Texas Ungrouped taxa The following pair of taxa are widely accepted but do not fit into any of the above groups since they are markedly different from other Trillium species. There is evidence to support the segregation of these species into a separate genus (Trillidium) but the proposal is controversial. Trillium govanianum – NE Afghanistan, Bhutan, China (Tibet Autonomous Region, Yunnan), N + NE India (Himachal Pradesh, Jammu and Kashmir, Sikkim, Uttarakhand), Nepal, N Pakistan Trillium undulatum – New Brunswick, Nova Scotia, Ontario, Prince Edward Island, Quebec; Connecticut, Georgia, Kentucky, Maine, Maryland, Massachusetts, Michigan, New Hampshire, New Jersey, New York, North Carolina, Ohio, Pennsylvania, Rhode Island, South Carolina, Tennessee, Vermont, Virginia, West Virginia The following taxon is an intergeneric hybrid: Trillium × crockerianum (Trillium ovatum × Pseudotrillium rivale) – California Other taxa , Plants of the World Online does not accept these taxa: Trillium texanum , also known as Trillium pusillum var. texanum , are considered by some authorities to be synonyms for Trillium pusillum var. pusillum. Trillium tennesseense is considered by some authorities to be a synonym for Trillium lancifolium Trillium parviflorum is an accepted name by some authorities while others regard this name as a synonym of T. albidum subsp. parviflorum . The following taxon is of historical interest: Trillium rivale has been segregated to a monotypic genus as Pseudotrillium rivale . Distribution Trillium species are native to North America and Asia. North America More than three dozen Trillium species are found in North America, most of which are native to eastern North America. Just six species are native to western North America: T. albidum, T. angustipetalum, T. chloropetalum, T. kurabayashii, T. ovatum, and T. petiolatum. Of these, only T. ovatum is pedicellate-flowered. Canada Trillium species are found across Canada, from Newfoundland to southern British Columbia. The greatest diversity of species are found in Ontario, Quebec, and Nova Scotia. Alberta: T. ovatum, T. scouleri British Columbia: T. hibbersonii, T. ovatum, T. scouleri Manitoba: T. cernuum New Brunswick: T. cernuum, T. erectum, T. undulatum Newfoundland: T. cernuum Northwest Territories: none Nova Scotia: T. cernuum, T. erectum, T. grandiflorum, T. undulatum Nunavut: none
gondoliers have a reputation as the best singers in the world, and customers expect it as part of the service, a tone-deaf gondolier is unacceptable, no matter how skilled he is with his oar.. As the story unfolds, his fiancee Laura Lorenzini breaks off her engagement, and marries a 'better suitor'. Though he is an awful singer, Luigi's friends are fond of him and his affable nature. It is agreed that although he cannot be a gondolier, he can work in the Tavern, the Gondoliers' exclusive haunt. But over time he becomes dissatisfied. Luigi disappears for many years, and is turned away from various singing teachers. Finally Piccoli agrees to teach him, although unbeknown to Luigi, Piccoli has not taught in many years and is deaf. Luigi eventually returns to Venice and sings, but his singing is even worse because it has become more powerful. When a 'killer storm' approaches, everyone is in danger. When the Church of Souls of Those Who Died for the Sea, the most sacred building to the Gondoliers, is struck by lightning, even the most skilled gondoliers in Venice are too overcome with fear to go
When the Church of Souls of Those Who Died for the Sea, the most sacred building to the Gondoliers, is struck by lightning, even the most skilled gondoliers in Venice are too overcome with fear to go out and call for the Great Fireboat of Venice to save their church from fire. Finally, Luigi manages to reach the Great Fireboat of Venice, which sets out to save the church. The other gondoliers notice that Luigi did not return with the fireboat, and discover him sailing on the turbulent waters of the Grand Canal. Covered by the noise of the storm, Luigi is finally able to realize his dream of singing on the Grand Canal, singing songs from Bellini and all the solos he knows. All the gondoliers witness this and they talk about it all night. After the storm, the Queen of Corsica visits. She requests a gondolier to sing for her on her royal boat. One gondelier starts to sing ’O sole mio, but sings terribly to the queen's disgust. It is discovered that all gondoliers have started to sing terribly from that moment on, and so no-one asks them to sing anymore. Luigi is reinstated as a gondolier, without the requirement to sing. After a long career and happy life, as with all gondoliers when they die, Luigi is set in his black boat and pushed out into the Adriatic Sea. Background Goldman says he got the idea to write the book when visiting Venice with his then-wife: We were on one of the water buses, Vaporettos, and a bunch of gondoliers came rowing down the canal and they were quiet. I suddenly turned to [my wife] Ilene and I said, 'I know why the gondoliers don't sing' and we got off the bus immediately and I went running back to the hotel. I wrote the story down in about five minutes on a piece of paper. Goldman says this was one of the few times that a novel had popped into his head "fully formed", the other being No Way to Treat a Lady. References Egan, Sean, William Goldman: The
Skarsgård. I think he's very clever. It'll be interesting to see what sort of clown face he puts on. because it's not an obvious clown face at all.[..] So I'm fascinated to see it." Voice acting Curry has appeared in such animated television series and films, starting with the performance of the Serpent in The Greatest Adventure: Stories from the Bible. Curry won a Daytime Emmy Award for his performance as Captain Hook in the Fox animated series Peter Pan and the Pirates. His longest-running animated role was as Nigel Thornberry in The Wild Thornberrys, which ran for five seasons on Nickelodeon. Curry was mainly known for villainous roles in animated series such as MAL in Captain Planet and the Planeteers, Skullmaster in Mighty Max, the Evil Manta in The Little Mermaid, Dr Anton Sevarius in Gargoyles, Kilokahn in Superhuman Samurai Syber-Squad, George Herbert Walker 'King' Chicken in Duckman, Taurus Bullba in Darkwing Duck, Lord Dragaunus in The Mighty Ducks, as various characters Dinosaurs, Scarlet Fever and Nick O'Teen in Ozzy & Drix, Professor Finbar Calamitous in The Adventures of Jimmy Neutron: Boy Genius, Slagar the Cruel in Redwall, Doctor Morocco in Transformers: Rescue Bots, G. Gordon Godfrey in Young Justice Konk in The Pirates of Dark Water and Auntie Whispers in Over the Garden Wall. He also became the voice of Palpatine in Star Wars: The Clone Wars upon the death of Ian Abercrombie. He also appeared in a number of animated films such as FernGully: The Last Rainforest, The Pebble and the Penguin, all three Rugrats films as side characters (excluding Rugrats Go Wild, where he reprises his role as Nigel Thornberry), Beauty and the Beast: The Enchanted Christmas, Scooby-Doo! and the Witch's Ghost, Barbie in the Nutcracker, The Wild Thornberrys Movie, The Cat Returns, Garfield: A Tail of Two Kitties, and many more. He also voiced Neville Baddington in the 2013 animated film Saving Santa. Curry has also lent his voice to numerous video games, such as playing the titular character in Gabriel Knight: Sins of the Fathers and Gabriel Knight 3: Blood of the Sacred, Blood of the Damned, Toonstruck, Sacrifice, Brütal Legend and Dragon Age: Origins. His audiobook work includes Lemony Snicket's A Series of Unfortunate Events, Geraldine McCaughrean's Peter Pan in Scarlet, Charles Dickens' A Christmas Carol, Bram Stoker's Dracula and the Abhorsen trilogy by Garth Nix. Music Aside from his performances on various soundtrack records, Curry has had some success as a solo musical artist. Curry received classical vocal training as a boy. He has mentioned that his musical influences included jazz vocalists such as Billie Holiday and Louis Armstrong and idolised the Beatles and the Rolling Stones as a teenager. In 1978, A&M Records released Curry's debut solo album Read My Lips. The album featured an eclectic range of songs (mostly covers) performed in diverse genres. Highlights of the album are a reggae version of the Beatles' song "I Will", a rendition of "Wake Nicodemus" featuring the Pipes and Drums of the 48th Highlanders of Canada, and a bar-room ballad, "Alan", composed by Canadian singer-songwriter Tony Kosinec. In 1979 he scored a hit with "I do the Rock" The following year, Curry released his second and most successful album Fearless. The LP was more rock-oriented than Read My Lips and mostly featured original songs rather than cover versions. The record included Curry's only US charting songs: "I Do the Rock" and "Paradise Garage". Curry's third and final album, Simplicity, was released in 1981, again by A&M Records. This record, which did not sell as well as the previous offerings, combined both original songs and cover versions. Still, it was the only Curry recording to hit the charts in Canada, reaching #45 on the album chart. The writing, production, and musician roster for Curry's solo albums included an impressive list of collaborators, including Bob Ezrin, Dick Wagner, and David Sanborn. In 1989, A&M released The Best of Tim Curry on CD and cassette, featuring songs from his albums (including a live version of "Alan") and a previously unreleased song, a live cover version of Bob Dylan's "Simple Twist of Fate". Curry toured North America and some European countries with his band between 1978 and 1980. In 1990 Curry performed as the Prosecutor in Roger Waters' production of The Wall – Live in Berlin. Although Curry's first album was released in 1978, he had previously recorded a nine-track album for Lou Adler's Ode Records in 1976. However, the album remained unreleased in its entirety until February 2010, when it was made available as a legal download entitled ...From the Vaults (though four tracks from these sessions had been released on a 1990 Rocky Horror box set). The album, produced by Adler, included Curry's rendition of The Supremes' hit "Baby Love". Personal life Curry has resided in Los Angeles since 1988. Curry has used a wheelchair since suffering a major stroke in July 2012. This has shifted his work mostly to voice acting, although he has continued to perform as a singer and make appearances at fan conventions. In October 2020, Curry reprised his role as Dr. Frank-N-Furter in a live table reading of The Rocky Horror Picture Show in support of the Democratic Party of Wisconsin to raise funds for Joe Biden's presidential campaign. Filmography Discography Albums Read My Lips (1978) Fearless (1979) Simplicity (1981) The Best of Tim Curry (1985) From the Vaults (recorded 1976, released 2010) Soundtracks and cast recordings The Rocky Horror Show (Original London cast) (1973) The Rocky Horror Show (Original Roxy cast) (1974) The Rocky Horror Picture Show (1975) Annie (1982) Ferngully: The Last Rainforest (1992) My Favorite Year (Original Broadway cast) (1993) The Pebble and the Penguin (1995) Muppet Treasure Island (1996) Beauty and the Beast: The Enchanted Christmas (1997) Spamalot (Original Broadway cast) (2005) The Rocky Horror Picture Show: Let's Do the Time Warp Again (2016) Others Spy (1979) – Backing vocals for "Vengeance" and "Pure Sin" The Wall – Live in Berlin (1990) – Live recording of "The Trial" Little Tramp (1992) – Concept album for musical Disney's Music From the Park (1996) – "The Ballad of Davy Crockett" Awards and nominations Notes References External links Tim Curry at Emmys.com |- 1946 births Living people Alumni of the University of Birmingham Audiobook narrators British expatriate male actors in the United States Daytime Emmy Award winners English expatriates in the United States English male film actors English male musical theatre actors English male Shakespearean actors English male singers English male stage actors English male television
as Winston Newquay. He also had recurring roles on the short-lived science fiction television series Earth 2 and the sitcom Rude Awakening. He has also guest starred on other series such as The Tracey Ullman Show, Roseanne, Tales from the Crypt (which earned him an Emmy award nomination), The Naked Truth, Lexx, Monk, Will & Grace, Psych, Agatha Christie's Poirot and Criminal Minds. Curry also performed in many television films and miniseries, including Three Men in a Boat, the titular role in Will Shakespeare, playing the role of Bill Sikes in a television adaptation of Oliver Twist, Blue Money, The Worst Witch, Titanic, Terry Pratchett's The Colour of Magic, Alice, Jackie's Back, Return to Cranford, and many more. Although Curry has appeared in numerous television series throughout his career he has only had lead roles in two live-action series: Over the Top, a sitcom that he also produced, and the revival series of Family Affair. Both were cancelled after one season. One of Curry's best-known television roles (and best-known roles overall) is as Pennywise the Clown in the 1990 horror miniseries Stephen King's It. Aside from one Fangoria interview in 1990, Curry never publicly acknowledged his involvement in It until an interview with Moviefone in 2015, where he called the role of Pennywise "a wonderful part", giving his blessing to successor Will Poulter; Poulter was set to play the character in the reboot, although ultimately dropped out. Bill Skarsgård replaced Poulter, and while being interviewed at Fan Expo Canada, Curry gave his approval, saying "I like [Bill] Skarsgård. I think he's very clever. It'll be interesting to see what sort of clown face he puts on. because it's not an obvious clown face at all.[..] So I'm fascinated to see it." Voice acting Curry has appeared in such animated television series and films, starting with the performance of the Serpent in The Greatest Adventure: Stories from the Bible. Curry won a Daytime Emmy Award for his performance as Captain Hook in the Fox animated series Peter Pan and the Pirates. His longest-running animated role was as Nigel Thornberry in The Wild Thornberrys, which ran for five seasons on Nickelodeon. Curry was mainly known for villainous roles in animated series such as MAL in Captain Planet and the Planeteers, Skullmaster in Mighty Max, the Evil Manta in The Little Mermaid, Dr Anton Sevarius in Gargoyles, Kilokahn in Superhuman Samurai Syber-Squad, George Herbert Walker 'King' Chicken in Duckman, Taurus Bullba in Darkwing Duck, Lord Dragaunus in The Mighty Ducks, as various characters Dinosaurs, Scarlet Fever and Nick O'Teen in Ozzy & Drix, Professor Finbar Calamitous in The Adventures of Jimmy Neutron: Boy Genius, Slagar the Cruel in Redwall, Doctor Morocco in Transformers: Rescue Bots, G. Gordon Godfrey in Young Justice Konk in The Pirates of Dark Water and Auntie Whispers in Over the Garden Wall. He also became the voice of Palpatine in Star Wars: The Clone Wars upon the death of Ian Abercrombie. He also appeared in a number of animated films such as FernGully: The Last Rainforest, The Pebble and the Penguin, all three Rugrats films as side characters (excluding Rugrats Go Wild, where he reprises his role as Nigel Thornberry), Beauty and the Beast: The Enchanted Christmas, Scooby-Doo! and the Witch's Ghost, Barbie in the Nutcracker, The Wild Thornberrys Movie, The Cat Returns, Garfield: A Tail of Two Kitties, and many more. He also voiced Neville Baddington in the 2013 animated film Saving Santa. Curry has also lent his voice to numerous video games, such as playing the titular character in Gabriel Knight: Sins of the Fathers and Gabriel Knight 3: Blood of the Sacred, Blood of the Damned, Toonstruck, Sacrifice, Brütal Legend and Dragon Age: Origins. His audiobook work includes Lemony Snicket's A Series of Unfortunate Events, Geraldine McCaughrean's Peter Pan in Scarlet, Charles Dickens' A Christmas Carol, Bram Stoker's Dracula and the Abhorsen trilogy by Garth Nix. Music Aside from his performances on various soundtrack records, Curry has had some success as a solo musical artist. Curry received classical vocal training as a boy. He has mentioned that his musical influences included jazz vocalists such as Billie Holiday and Louis Armstrong and idolised the Beatles and the Rolling Stones as a teenager. In 1978, A&M Records released Curry's debut solo album Read My Lips. The album featured an eclectic range of songs (mostly covers) performed in diverse genres. Highlights of the album are a reggae version of the Beatles' song "I Will", a rendition of "Wake Nicodemus" featuring the Pipes and Drums of the 48th Highlanders of Canada, and a bar-room ballad, "Alan", composed by Canadian singer-songwriter Tony Kosinec. In 1979 he scored a hit with "I do the Rock" The following year, Curry released his second and most successful album Fearless. The LP was more rock-oriented than Read My Lips and mostly featured original songs rather than cover versions. The record included Curry's only US charting songs: "I Do the Rock" and "Paradise Garage". Curry's third and final album, Simplicity, was released in 1981, again by A&M Records. This record, which did not sell as well as the previous offerings, combined both original songs and cover versions. Still, it was the only Curry recording to hit the charts in Canada, reaching #45 on the album chart. The writing, production, and musician roster for Curry's solo albums included an impressive list of collaborators, including Bob Ezrin, Dick Wagner, and David Sanborn. In 1989, A&M released The Best of Tim Curry on CD and cassette, featuring songs from his albums (including a live version of "Alan") and a previously unreleased song, a live cover version of Bob Dylan's "Simple Twist of Fate". Curry toured North America and some European countries with his band between 1978 and 1980. In 1990 Curry performed as the Prosecutor in Roger Waters' production of The Wall – Live in Berlin. Although Curry's first album was released in 1978, he had previously recorded a nine-track album for Lou Adler's Ode Records in 1976. However, the album remained unreleased in its entirety until February 2010, when it was made available as a legal download entitled ...From the Vaults (though four tracks from these sessions had been released on a 1990 Rocky Horror box set). The album, produced by Adler, included Curry's rendition of The Supremes' hit "Baby Love". Personal life Curry has resided in Los Angeles since 1988. Curry has used a wheelchair since suffering a major stroke in July 2012. This has shifted his work mostly to voice acting, although he has continued to perform as a singer and make appearances at fan conventions. In October 2020, Curry reprised his role as Dr. Frank-N-Furter in a live table reading of The Rocky
case the second strongest link answers first. Seven timed rounds are played in the 2021 revival, with question values and target totals increasing every two rounds. The final round is played for double value. The target begins at £2,500 in the first round and increases to £10,000 in the seventh (the real target of which is £20,000), allowing for a potential maximum bank of £50,000. Money chains Question and target values during the daytime and primetime runs of the series are displayed in the table below. Voting and elimination At the end of every round, contestants must vote one player out of the game. Until the beginning of the next round, only the television audience knows exactly who the strongest and weakest links are statistically due to Briggs' narration. While the contestants work as a team when answering questions, they are at this point encouraged to be ruthless with one another. Players often decide to vote off weaker rivals, but occasionally decide to eliminate stronger players as well, in hope that it then improves their chances of winning the game. After the revealing of the votes, the host will interrogate the players on their choice of voting, the reasons behind their choice, as well as their performance, background and their interests. After interrogation, the player with the most votes is given a stern "You are the weakest link. Goodbye!" or "With [#] votes, you are the weakest link. Goodbye!" and must walk off the stage in what is called the "Walk of Shame." The eliminated contestant then delivers a brief confessional, summing up the experience of the show and occasionally taunting the team for voting them off, as well as providing opinion as to who is voted off next, and who is likely to win. In the event of a tie or draw, the strongest link has the final decision about who is eliminated. If he or she voted for a tied player, there is the option of sticking with their vote or changing it. Strongest links usually stick with their original choice, unless another player in the tie has voted for them. Occasionally, the strongest link has voted for someone who is not in the tie, and so is forced to make a decision one way or the other. Final round The last two contestants work together in the eighth and final round identical to the previous ones, however, all money banked at the end of this round is tripled and added to the current money total, forming the final total for the game. At the end of this round, there is no elimination, with the game instead moving to the head to head round. "Head to head" round For the head to head round, the remaining 2 players are each required to answer 5 questions each in a penalty shootout format. The strongest link from the previous round chooses who goes first. Whoever has the most correct answers at the end of the round wins the game. In the event of a tie, the game goes to Sudden Death. Every player continues to be asked questions as usual, until 1 person answers a question correctly and the other incorrectly. The winner of the game is declared "the strongest link" and takes home all of the money accumulated in the prize pool for the game, and the loser leaves with nothing, like all previous eliminated players. In daytime episodes, the maximum possible winnings are £10,000; in primetime and special celebrity charity episodes, the maximum is £50,000. Special editions After the huge success of the show in its early evening slot on BBC Two, a prime-time edition was shown on BBC One, usually broadcast on Wednesday evenings. Originally, Weakest Link: Champions League, which featured 8 players who had won games on the daytime edition, battled off once again for £20,000 (with a money tree of £50-£100-£200-£500-£1,000-£1,500-£2,000-£2,500; with the 7th round being a double round for £5,000). The set was slightly altered, with electronic podiums being installed, as well as the adding of a studio audience. The Champions format was not successful, and instead new players competed for the money. A few months later, the contestants were cut down to seven, as well as the time from 45 min to 30, however, the
a "house" amount to give to their chosen charity, as well as their own fee for appearing on the show. In some celebrity editions, two celebrities have represented one position in the game, with the two conferring before giving their answer. There have also been several editions featuring entirely celebrity couples. A Christmas edition of the programme was also aired in some years. Some contestants, such as Christopher Biggins, Peter Duncan and Basil Brush, have appeared several times. A puppet edition also aired, which included a Robinson puppet introducing the show before twelve famous puppets played for charity. The daytime version has also seen its share of variance, as was the case in 2 particular episodes. An April Fools' Day show which aired in 2003 featured Robinson being strangely and uncharacteristically nice to the contestants and abandoning her traditional black wardrobe in favour of a metallic pink overcoat. The nice nature of the episode even extended to the normally stoic narrator being much more excited and optimistic in his narration. However, Anne did not remain kind to the contestants for the entire episode, resuming her old behaviour after declaring the winner and contestants as "so stupid". Another variant of the daytime show was the 1,000th episode, complete with an audience, a departure from the normally spectator-free background. Fan-favourites played again for £10,000, and some previous contestants also sat in the audience. The show's first winner, David Bloomfield was one of the returning contestants, and was asked the question: If there have been 1,000 episodes of The Weakest Link, each with 9 players, how many contestants in total have appeared on the show? He answered the question correctly (9,000) but banked prior to it being asked. He did not win any money on the 1,000th episode, and was voted off in only the 3rd round, despite having been the strongest link in the first two rounds. In the end, Miss Evans (who had previously appeared on the Strong Women special but had lost out to curate Emma Langley) defeated Basil Brush, winning £2,710, which she split with her co-finalist to give to charity. Robinson then announced that a bonus of £1,000 would be added to the final total, as it was the 1,000th episode, resulting in a final total of £3,710, or both contestants receiving £1,855 each. It also marked the first time that Anne Robinson did not say the phrase "...you leave with nothing." to the losing contestant. The final daytime episode (2012) The 1,693rd episode was titled "You are The Weakest Link - Goodbye" and aired on BBC One on 31 March 2012. Filming for the final original edition took place on 11 December 2011. The ending of the show was the only special part to the last edition. A normal daytime edition of the show was made, with some of Anne's favourite contestants from over the years taking part, and with no audience present during filming or changes to the money tree (see above). The first round of questions was notably different and was mainly about Weakest Link and the host, Anne Robinson. The last question asked was "If the Roman numeral 'X' is halved, the result can be represented by which other Roman numeral?", the answer being "V". The last UK winner was Archie Bland, the editor of The Independent newspaper's Saturday edition, who won £2,090. A short montage of clips from the show was shown at the end of the game. After saying goodbye, all of the lights turned off with Anne being the only person left in the studio. The programme was eventually replaced by the Alexander Armstrong-fronted Pointless as the big BBC teatime quiz (it had aired on the BBC for some years previously). Success Much of the show's success has been attributed to its host, Anne Robinson. She was already famous in the UK for her sarcasm while presenting Points of View and the consumer programme Watchdog, and Weakest Link saw her develop this further, particularly in her taunting of contestants. Her sardonic summary to the team, usually berating them for their lack of intelligence for not achieving the target became a trademark of the show, and her call of "You are the weakest link—goodbye!" became a popular catchphrase. The presence of elements inspired by Survivor and Who Wants to Be a Millionaire? differentiated the programme from most previous quiz shows, as it invites open conflict between players, and uses a host who is openly hostile to the competitors, rather than a positive figure. In autumn 2001, for the first time, Weakest Link was placed directly head-to-head with Millionaire
business. Dave Tandy had a son, Charles David Tandy, who was drafted into the business during his early twenties. Charles obtained a B.A degree at Texas Christian University then began attending the Harvard Business School to further expand his education. As World War II escalated Charles was called to serve his country in the military and relocated to Hawaii. He wrote to his father from overseas suggesting that leathercraft might offer new possibilities for growing the shoe finding business since the same supplies were used widely in Navy and Army hospitals and recreation centers. Leathercraft gave the men something useful to do and their handiwork, in addition to being therapeutic, had genuine value. Charles Tandy returned home from the service as a lieutenant commander in 1948 and negotiated to operate the fledgling leathercraft division himself. He had encouraged and followed the development of that venture through correspondence with his father. Within a short time Charles succeeded in opening the first of two retail stores in 1950 that specialized exclusively in leathercraft. Mr. Hinckley did not share the enthusiasm of Dave and Charles Tandy for the new leathercraft division. As a result, the two original founders came to an agreement in 1950 that Hinckley would continue to pursue the shoe findings business and the Tandy partners would specialize in promoting leathercrafts. The first Tandy Catalog, only 8 pages long, was mailed to readers of Popular Science magazine who had responded to two-inch test ads that were placed by Tandy. From 1950 forward Tandy operated retail mail order stores supported by direct mail advertising. This successful formula helped the company expand into a chain of some 150 leathercraft stores. A growing 'do-it-yourself movement' prompted by a shortage of consumer goods and high labor costs continued to gather momentum. The fifteen leathercraft stores opened during this division's first two years of operation became quite successful. Tandy began expanding by gaining new product lines; the first acquisition was with the American Handicrafts Company which featured a broad line of do-it-yourself handicraft products, two established retail stores in the New York market, and useful knowledge of school and institutional markets. Sixteen additional retail stores were opened in 1953, and by 1955 Tandy Leather was a thriving company with leased sales sites in 75 cities across the United States. Tandy Leather became an attractive commodity and was purchased in 1955 by the American Hide and Leather Company of Boston (name change in 1956 to General American Industries). Charles continued to maintain control of managing the Tandy Leather division while owned by GAI. During 1956, General American Industries acquired three other companies unrelated to the leather industry and a struggle for control of the parent company began. Charles saw the need to emancipate the company from continuing in the direction initiated by GAI. He used all his resources, raised additional money, and exercised his right to purchase the 500,000 shares of stock that were included in the original settlement. When the votes were counted on the day of that pivotal stockholders meeting, the Tandy group took management control of General American Industries. Acquisition of Merribee and RadioShack In 1961, the company name was changed to Tandy Corporation. The corporate headquarters were also moved to Fort Worth, Texas, where Charles D. Tandy became the President and Chairman of the Board. Tandy Leather was operating 125 stores in 105 cities of the United States and Canada and expansion was the name of the game. Tandy acquired the assets of Merribee Art Embroidery Co., manufacturer and retailer of needlecraft items, as well as give other companies, including Cleveland Crafts Inc. and brought on the owner, Werner Magnus, to help run the newly acquired Merribee division. The first Tandy Mart had twenty-eight different shops all devoted to craft and hobby merchandise and included American Handicraft, Tandy Leather, Electronics Crafts and Merribee in an area of about 40,000 square feet. Charles Tandy became intrigued with the potential for rapid growth that he saw in the electronics retail industry during 1962. He found RadioShack in Boston, a mail order company that had started in the twenties selling to ham operators and electronics buffs. By April 1963, the Tandy Corporation acquired management control of RadioShack Corporation and within two years, RadioShack's $4 million loss was turned into a profit under the leadership of Charles Tandy. Sales were going well for Tandy during this time. The "beads & fringe" days were in full swing with the hippie era and the "Nature-Tand" look was a big seller for belts, purses, sandals and wristbands. Under the leadership of Lloyd Redd (President) and Al Patten (VP of Operations), the company prospered. The number of Tandy store-fronts skyrocketed over the next five to six years by growing from 132 sites in 1969 to 269 sites in 1975. Ground broke in downtown Fort Worth for the construction of the Tandy Towers in 1975. The 18-story office building was initiated as Phase I of a massive downtown development with plans to cover eight city blocks, become the new headquarters of the Tandy Corp. It contained an upscale retail shopping center with an indoor ice skating rink and had its own privately owned subway system. The company's Board of Directors then announced a plan to separate Tandy's businesses into three distinct publicly held companies. The two new companies were named Tandycrafts, Inc. and Tex Tan-Hickok, Inc. This plan was publicized as a strategy to provide intensive leadership and tailored management of the three distinct and diverse businesses of the company, each of which recently had reached a substantial size. With this transition, RadioShack and Tandy Leather Company were no longer under the same corporate umbrella. Wray Thompson was promoted to President of Tandy Leather Company in 1976 and Dave Ferrill was promoted to the position of National Sales Manager; they oversaw 288 stores. Although they opened their 300th store that year, the popularity of Nature-Tand's products had begun to slide. Charles Tandy died on November 4, 1978, at the age of 60. Concurrently, key stakeholders began to question the direction of the company. Wray Thompson subsequently resigned from his position as President and later started The Leather Factory with Ron Morgan, which eventually purchased Tandy Leather Corporation in 2000. Computers Tandy was one of three companies
cycle". That year, Tandy was the leading Unix vendor by volume, selling almost 40,000 units of the 68000-based, multiuser Tandy Model 16 with Xenix, and began selling all computers using the Tandy brand because, an executive admitted, "we were told by customers that the Radio Shack name was a problem in the office". In the mid-1980s, it began selling peripherals compatible with non-Tandy products such as the IBM PC. The company also mandated in 1986 an IBM-like dress code for store employees. In 1987, BYTE wrote that "Tandy might now be offering the most extensive lines of computer products in the world", including the $99 Color Computer 2, $499 Model 102 notebook, various PC compatibles, and the $3,499 Tandy 6000 Xenix system. The company acquired GRiD Systems in March 1988. Grid Systems was a laptop manufacturer whose products included the GRiD Compass (1982), GRiDCase (1985), GRiDLite (1987), and GRiDPad (1989) tablet computer. Tandy also produced the short-lived Tandy 1100FD and Tandy 1100HD notebooks. Released in 1989, the 1100 Series was based on the popular NEC V20 processor clocked at 8 MHz. Tandy also produced software for its computers running DOS, in the form of Tandy Deskmate. That same year, Tandy introduced the WP-2, a solid-state notebook computer that was a rebadged Citizen CBM-10WP. Eventually, in the early 1990s, Tandy Corporation sold its computer-manufacturing business to AST Computers, and all Tandy computer lines were terminated. When that occurred, Radio Shack stores began selling computers made by other manufacturers, such as Compaq. In 1992, the company introduced the Tandy Zoomer, a predecessor to the Palm Pilot, designed by Jeff Hawkins. Also that year, the company produced an interactive, multimedia CD-ROM player called the Tandy Video Information System (VIS). Like the Tandy computers, it was based on the IBM PC architecture and used a version of Microsoft Windows. Tandy even produced a line of floppy disks, and continued producing IBM PC compatibles until the end of the Intel 486 era. Tandy stores In 1973, Tandy Corporation began an expansion program outside their home market of the US, opening a chain of RadioShack-style stores in Europe and Australia under the Tandy name. The first store to open was in Aartselaar, Belgium on August 9, 1973. The first UK store opened October 11, 1973, in Hall Green, Birmingham. Initially, these new stores were under direct ownership of Tandy Corporation. In 1986, Tandy Corporation formed its subsidiary InterTAN as separate entity though connections between them were still visible. For example, catalogue number compatibility was maintained so that the same catalogue number in both companies would refer to the same item. Tandy stores in the UK sold mainly own-brand goods under the 'Realistic' label and the shops were distinguished on the high street by continuing to use written sales receipts and a cash drawer instead of a till as late as the early 1990s. Staff were required to take the name and address of any customer who made a purchase, however small, in order to put them on the company's brochure mailing list, which often caused disgruntlement. A popular feature of Tandy stores was the free battery club, in which customers were allowed to claim a certain number of free batteries per year. In the early 1990s, the chain ran the 'Tandy Card' store credit card scheme and the 'Tandy Care' extended warranty policies which were heavily marketed by staff. In 1999, the UK stores were acquired by Carphone Warehouse, as a part of an expansion strategy that saw the majority of the Tandy stores converted either to Carphone Warehouse or Tecno photographic stores. In May 2000, the Tandy name was dropped and the official name became RadioShack Corporation. By 2001, all former Tandy stores had been converted or closed. A small number of the stores were sold to a new company called T2 Retail Ltd formed by former Tandy (Intertan UK) employees, Dave Johnson, Neil Duggins and Philip Butcher who continued the RadioShack-style theme for a while, but these stores also closed in 2005. A new company called T2 Enterprises now continues using the old T2 Retail web presence as an exclusively on-line retailer stocking a range of RadioShack products and other electronics. In 2012, Tandy Corporation Ltd, a UK company, acquired the UK rights to the Tandy brand from RadioShack. It now operates as an on-line retailer of electronic components and kits at tandyonline.com. In Australia: In 2001, Tandy Electronics stores were sold to Woolworths Limited. After Woolworths purchased Tandy Electronics, despite owning rival Dick Smith Electronics, both continued to trade as separate entities. In February 2009, Woolworths Limited announced that it would be closing all Tandy Electronics stores within the next two years. By the 24 June 2012, all Tandy Electronics stores had closed. In Canada, the InterTAN stores were sold to rival Circuit City Inc. The stores were branded as RadioShack, however, because Circuit City lost the naming rights. Later, all of these RadioShacks were re-branded as "The Source by Circuit City" (now called just The Source). Some of these stores have since closed. In 2009, Circuit City sold The Source to Bell Canada Enterprises (BCE). Other retail outlets Color Tile In 1975, Tandy spun off Color Tile, a chain of tile and flooring stores, along with its other non-electronic businesses in 1975 to TandyCrafts. McDuff Electronics, VideoConcepts In 1985, Tandy acquired two chains, McDuff Electronics and VideoConcepts; the latter was previously owned by Eckerd Corporation. Most of these stores were closed as part of a 1994 restructuring plan, with 33 converted to RadioShack or Computer City Express stores. Remaining McDuff stores were closed in 1996. The Edge in Electronics The Edge in Electronics, a now-defunct chain of boutique stores geared toward mall customers interested in fashionable personal and portable name brand electronics, debuted in 1990 and had 16 stores as of December 1993. One of the last stores open closed in San Antonio, Texas in 2001. Incredible Universe The Incredible Universe concept was Tandy's attempt to compete with other electronics giants such as Best Buy and Circuit City. A joint venture between Tandy Corporation and Trans World Entertainment, the first two stores, located in Arlington, Texas and Wilsonville, Oregon, opened in 1992. Each Incredible Universe store stocked more than 85,000 items, and the stores' sales personnel did not work on commission. Sales were below average compared to Tandy's profitable RadioShack line, and by late 1996, the company had decided to sell or close all 17 Incredible Universe stores. Many Incredible Universe stores were acquired by Fry's Electronics. Computer City Computer City was a supercenter concept featuring name-brand and private label computers, software and related products; acquired in 1991, these supplanted the original Radio Shack Computer Center chain, which closed that year. Computer City became the first International Computer Superstore with over 100 locations in six countries. In 1995, Computer City was recognized as the 2nd fastest retailer to hit $1 Billion in sales. In 1996, it was recognized as the 2nd fastest retailer to hit $2 Billion in sales. (Sam's Club was the fastest retailer to hit $1 Billion.) Alan Bush,
Old Town, a UNESCO World Heritage Site, is a major tourist attraction; others include the Seaplane Harbour of Estonian Maritime Museum, the Tallinn Zoo, Kadriorg Park, and the Estonian Open Air Museum. Most of the visitors come from Europe, though Tallinn has also become increasingly visited by tourists from Russia and the Asia-Pacific region. Tallinn Passenger Port is one of the busiest cruise destinations on the Baltic Sea, serving more than 520,000 cruise passengers in 2013. From year 2011 regular cruise turnarounds in cooperation with Tallinn Airport are organised. Eesti Energia, a large oil shale to energy company, has its headquarters in Tallinn. The city also hosts the headquarters of Elering, a national electric power transmission system operator and member of ENTSO-E, the Estonian natural gas company Eesti Gaas and energy holding company Alexela Energia, part of Alexela Group. Nord Pool Spot, the largest market for electrical energy in the world, established its local office in Tallinn. Tallinn is the financial centre of Estonia and also a strong economic centre in the Scandinavian-Baltic region. Many major banks, such as SEB, Swedbank, Nordea, DNB, have their local offices in Tallinn. LHV Pank, an Estonian investment bank, has its corporate headquarters in Tallinn. Two crypto-currencies exchanges officially recognized by the Estonian government, CoinMetro and DX.Exchange have their headquarters in Tallinn. Tallinn Stock Exchange, part of NASDAQ OMX Group, is the only regulated exchange in Estonia. Port of Tallinn is one of the biggest ports in the Baltic sea region. Old City Harbour has been known as a convenient harbour since the 10th century, but nowadays the cargo operations are shifted to Muuga Cargo Port and Paldiski Southern Port. There is a small fleet of oceangoing trawlers that operate out of Tallinn. Tallinn's industries include shipbuilding, machine building, metal processing, electronics, textile manufacturing. BLRT Grupp has its headquarters and some subsidiaries in Tallinn. Air Maintenance Estonia and AS Panaviatic Maintenance, both based in Tallinn Airport, provide MRO services for aircraft, largely expanding their operations in recent years. Liviko, the maker of Vana Tallinn liqueur, strongly associated with the city, is based in Tallinn. The headquarters of Kalev, a confectionery company and part of the industrial conglomerate Orkla Group, is located in Lehmja, southeast of Tallinn. Estonia is ranked third in Europe in terms of shopping centre space per inhabitant, ahead of Sweden and being surpassed only by Norway and Luxembourg. Notable headquarters Among others: NATO Cooperative Cyber Defence Centre of Excellence (CCDCOE) European Agency for the operational management of large-scale IT systems in the area of freedom, security and justice is based in Tallinn. Skype has its software development centre located in Tallinn. Telia Company has its IT development centre located in Tallinn. Kuehne + Nagel has its IT centre located in Tallinn. Arvato Financial Solutions has its global IT development and innovation centre located in Tallinn. Ericsson has one of its biggest production facilities in Europe located in Tallinn, focusing on the production of 4G communication devices. Equinor has announced moving the group's financial centre to Tallinn. Education Institutions of higher education and science include: Baltic Film and Media School Estonian Academy of Arts Estonian Academy of Security Sciences Estonian Academy of Music and Theatre Estonian Business School Estonian Maritime Academy Institute of Theology of the Estonian Evangelical Lutheran Church National Institute of Chemical Physics and Biophysics Tallinn University Tallinn University of Technology Tallinn University of Applied Sciences Culture Tallinn was a European Capital of Culture for 2011, along with Turku, Finland. Museums Tallinn is home to more than 60 museums and galleries. Most of them are located in Kesklinn, the central district of the city, and cover Tallinn's rich history. One of the most visited historical museums in Tallinn is the Estonian History Museum, located in Great Guild Hall at Vanalinn, the old part of the city. It covers Estonia's history from prehistoric times up until the end of the 20th century. It features film and hands-on displays that show how Estonian dwellers lived and survived. The Estonian Maritime Museum provides a detailed overview of nation's seafaring past. This museum in also located in city's Old Town, where it occupies one of Tallinn's former defensive structures – Fat Margaret's Tower. Another historical museum that can be found at city's Old Town, just behind the Town Hall, is Tallinn City Museum. It covers Tallinn's history from pre-history until 1991, when Estonia regained its independence. Tallinn City Museum owns nine more departments and museums around the city, one of which is Tallinn's Museum of Photography, also located just behind the Town Hall. It features permanent exhibition that covers 100 years of photography in Estonia. Estonia's Vabamu Museum of Occupations and Freedom is yet another historical museum located in Tallinn's central district. It covers the 52 years when Estonia was occupied by the Soviet Union and Nazi Germany. Not far away is another museum related to the Soviet occupation of Estonia, the KGB Museum, which occupies the 23rd floor of Sokos Hotel Viru. It features equipment, uniforms, and documents of Russian Secret Service agents. Tallinn is also home to two major natural science museums – Estonian Museum of Natural History and Estonian Health Care Museum, both located in Old Town. The Estonian Museum of Natural Science features several seasonal and temporary themed exhibitions that provide an overview of wildlife in Estonia and around the world. The Estonian Health Care Museum features permanent exhibitions on anatomy and health care; its collections and displays cover the history of medicine in Estonia. Estonia's capital is also home to many art and design museums. The Estonian Art Museum, the country's biggest art museum, now consists of four branches – Kumu Art Museum, Kadriorg Art Museum, Mikkel Museum, and Niguliste Museum. Kumu Art Museum features the country's largest collection of contemporary and modern art. It also displays Estonian art starting from the early 18th century. Those who are interested in Western European and Russian art may enjoy Kadriorg Art Museum collections, located in Kadriorg Palace, a beautiful Baroque building erected by Peter the Great. It stores and displays about 9,000 works of art from the 16th to 20th centuries. The Mikkel Museum, in Kadriorg Park, displays a collection of mainly Western art – ceramics and Chinese porcelain donated by Johannes Mikkel in 1994. The Niguliste Museum occupies former St. Nicholas' Church; it displays collections of historical ecclesiastical art spanning nearly seven centuries from the Middle Ages to post-Reformation art. Those that are interested in design and applied art may enjoy the Estonian Museum of Applied Art and Design collection of Estonian contemporary designs. It displays up to 15.000 pieces of work made of textile art, ceramics, porcelain, leather, glass, jewellery, metalwork, furniture, and product design. To experience more relaxed, culture-oriented exhibits, one may turn to Museum of Estonian Drinking Culture. This museum showcases the historic Luscher & Matiesen Distillery as well as the history of Estonian alcohol production. Lauluväljak The Estonian Song Festival (in Estonian: Laulupidu) is one of the largest choral events in the world, listed by the UNESCO as a Masterpiece of the Oral and Intangible Heritage of Humanity. It is held every five years in July on the Tallinn Song Festival Grounds (Lauluväljak) simultaneously with the Estonian Dance Festival. The joint choir has comprised more than 30,000 singers performing to an audience of 80,000. Often referred to as The Singing Nation, the Estonians have one of the biggest collections of folk songs in the world, with written records of about 133,000 folk songs. From 1987, a cycle of mass demonstrations featuring spontaneous singing of national songs and hymns that were strictly forbidden during the years of the Soviet occupation to peacefully resist the illegal oppression. In September 1988, a record 300,000 people, more than a quarter of all Estonians, gathered in Tallinn for a song festival. Tallinn Black Nights Film Festival Tallinn Black Nights Film Festival (Estonian: Pimedate Ööde Filmifestival, or PÖFF), is an annual film festival held since 1997 in Tallinn, the capital city of Estonia. PÖFF is the only festival in the Nordic and Baltic region with a FIAPF (International Federation of Film Producers Association) accreditation for holding an international competition programme in the Nordic and Baltic region with 14 other non-specialised festivals, such as Cannes, Berlin, Venice. With over 250 feature films screened each year and over 77500 attendances (2014), PÖFF is one of the largest film events of Northern Europe and cultural events in Estonia in the winter season. During its 19th edition in 2015 the festival screened more than 600 films (including 250+ feature-length films from 80 different countries), bringing over 900 screenings to an audience of over 80, 000 people as well as over 700 accredited guests and journalists from 50 different countries. In 2010 the festival held the European Film Awards ceremony in Tallinn. Cuisine The traditional cuisine of Tallinn reflects culinary traditions of north Estonia, the role of the city as a fishing port, and historical German influences. Numerous cafés have played a major role in a social life of the city since the 19th century, as have bars, especially in the Kesklinn district. The marzipan industry in Tallinn has a very long history. The production of marzipan started in the Middle Ages, almost simultaneously in Tallinn and Lübeck, both member cities of the Hanseatic League. In 1695, marzipan was mentioned as a medicine, under the designation of Panis Martius, in the price lists of the Tallinn Town Hall Pharmacy. The modern era of marzipan in Tallinn began in 1806, when the Swiss confectioner Lorenz Caviezel set up his confectionery on Pikk Street. In 1864 it was bought and expanded by Georg Stude and now is known as the Maiasmokk café. In the late 19th century marzipan figurines made by Reval confectioners were supplied to the Russian imperial family. Today, along with mass production, unique projects are made, such as a 12 kg scale model of the Estonia Theatre. The most symbolic seafood dish of Tallinn is "Vürtsikilu" – spicy sprats, pickled with a distinctive set of spices including black pepper, allspice and cloves. Making vürtsikilu presumably originated from the city outskirts, beginning in the late 18th or the early 19th century. In 1826 Tallinn merchants exported nearly 40,000 cans of vürtsikilu to Saint Petersburg, then the capital of the Russian Empire. A closely associated dish is a "Kiluvõileib" – a traditional rye bread open sandwich with a thin layer of butter and a layer of vürtsikilu as a topping. Boiled egg slices, mayonnaise and culinary herbs are optional extra toppings. Alcoholic beverages produced in the city include beers, vodkas, and liqueurs, the latter (such as Vana Tallinn) being the most characteristic. Also, the number of craft beer breweries has expanded sharply in Tallinn over the last decade, entering local and regional markets. Tourism What can arguably be considered to be Tallinn's main attractions are located in the old town of Tallinn (divided into a "lower town" and Toompea hill) which is easily explored on foot. The eastern parts of the city, notably Pirita (with Pirita Convent) and Kadriorg (with Kadriorg Palace) districts, are also popular destinations, and the Estonian Open Air Museum in Rocca al Mare, west of the city, preserves aspects of Estonian rural culture and architecture. The historical wooden suburbs like Kalamaja, Pelgulinn, Kassisaba and Kelmiküla and revitalized industrial areas like Rotermanni Quarter, Noblessner and Dvigatel are also unique places to visit. Toompea – Upper Town This area was once an almost separate town, heavily fortified, and has always been the seat of whatever power that has ruled Estonia. The hill occupies an easily defensible site overlooking the surrounding districts. The major attractions are the medieval Toompea Castle (today housing the Estonian Parliament, the Riigikogu), the Lutheran St Mary's Cathedral, also known as the Dome Church (), and the Russian Orthodox Alexander Nevsky Cathedral. All-linn – Lower Town This area is one of the best preserved medieval towns in Europe and the authorities are continuing its rehabilitation. Major sights include the Town Hall square (), the city wall and towers (notably "Fat Margaret" and "Kiek in de Kök") as well as a number of medieval churches, including St Olaf's, St. Nicholas' and the Church of the Holy Ghost. The Catholic Cathedral of St Peter and St Paul is also in the Lower Town. Kadriorg Kadriorg is east of the city centre and is served by buses and trams. Kadriorg Palace, the former palace of Peter the Great, built just after the Great Northern War, now houses the foreign art department of the Art Museum of Estonia, the presidential residence and the surrounding grounds include formal gardens and woodland. The main building of the Art Museum of Estonia, Kumu (, Art Museum), was built in 2006 and lies in Kadriorg park. It houses an encyclopaedic collection of Estonian art, including paintings by Carl Timoleon von Neff, Johann Köler, Eduard Ole, Jaan Koort, Konrad Mägi, Eduard Wiiralt, Henn Roode and Adamson-Eric, among others. Pirita This coastal district is a further 2 kilometres north-east of Kadriorg. The marina was built for the Moscow Olympics of 1980, and boats can be hired on the Pirita River. Two kilometres inland are the Botanic Gardens and the Tallinn TV Tower. Music culture Tallinn has a few music venues for live music such as Kultuurikatel, Tapper, EKKM – Museum and nightlife, DM Baar. Yearly festivals like Tallinn Music Week and Stalker Festival take place. Transport City transport The city operates a system of bus (73 lines), tram (4 lines) and trolley-bus (4 lines) routes to all districts; the long tram system is the only tram network in Estonia. A flat-fare system is used. The ticket-system is based on prepaid RFID cards available in kiosks and post offices. In January 2013, Tallinn became the first European capital to offer a fare-free service on buses, trams and trolleybuses within the city limits. This service is available to residents who register with the municipality. Air The Lennart Meri Tallinn Airport is about from Town Hall square (). There is a tram (Line Number: 4) and local bus connection between the airport and the edge of the city centre (bus no. 2). The nearest railway station Ülemiste is only from the airport. The construction of the new section of the airport began in 2007 and was finished in summer 2008. Ferry Several ferry operators, Viking Line, Tallink and Eckerö Line, connect Tallinn to Helsinki, Mariehamn, Stockholm, and St. Petersburg. Passenger lines connect Tallinn to Helsinki ( north of Tallinn) in approximately 2–3.5 hours by cruiseferries. Railroad The Elron railway company operates train services from Tallinn to Tartu, Valga, Türi, Viljandi, Tapa, Narva,
are appointed by the city government on the nomination of the mayor and after having heard the opinion of the administrative councils. The function of the administrative councils is to recommend to the city government and commissions of the city council how the districts should be administered. The administrative districts are further divided into subdistricts or neighbourhoods (). Their names and borders are officially defined. There are 84 subdistricts in Tallinn. Demographics The population of Tallinn on 1 January 2021 was 438,841. According to Eurostat, in 2004, Tallinn had one of the largest number of non-EU nationals of all EU member states' capital cities with Russians forming a significant minority (about 34% belong to the Russian ethnic group, but a majority now hold Estonian citizenship). Ethnic Estonians made up over 52% of the population (). Tallinn was one of the urban areas with industrial and military significance in north Estonia that during the period of Soviet occupation (1944–1991) underwent extensive russification of its ethnic composition due to large influx of immigrants from Russia and other parts of the former USSR. Whole new city districts were built where the main intent of the then Soviet authorities was to accommodate Russian-speaking immigrants: Mustamäe, Väike-Õismäe, Pelguranna, and most notably, Lasnamäe, which in 1980s became, and is to this day, the most populous district of Tallinn. Indigenous ethnic Estonians made up over 80% of Tallinn's population before World War II, but make up only 52% in 2020. Tallinners made up about 30% of Estonia's population in 2009. The official language of Tallinn is Estonian. In 2011, 206,490 (50.1%) spoke Estonian as their native language and 192,199 (46.7%) spoke Russian as their native language. Other spoken languages include Ukrainian, Belarusian, and Finnish. Economy Tallinn is the financial and business capital of Estonia. The city has a highly diversified economy with particular strengths in information technology, tourism and logistics. Over half of the Estonian GDP is created in Tallinn. In 2008, the GDP per capita of Tallinn stood at 172% of the Estonian average. In addition to longtime functions as seaport and capital city, Tallinn has seen development of an information technology sector; in its 13 December 2005, edition, The New York Times characterised Estonia as "a sort of Silicon Valley on the Baltic Sea". One of Tallinn's sister cities is the Silicon Valley town of Los Gatos, California. Skype is one of the best-known of several Estonian start-ups originating from Tallinn. Many start-ups have originated from the Institute of Cybernetics. In recent years, Tallinn has gradually been becoming one of the main IT centres of Europe, with the Cooperative Cyber Defence Centre of Excellence (CCD COE) of NATO, the EU Agency for large-scale IT systems and the IT development centres of large corporations, such as TeliaSonera and Kuehne + Nagel being based in the city. Smaller start-up incubators like Garage48 and Game Founders have helped to provide support to teams from Estonia and around the world looking for support, development and networking opportunities. Tallinn receives 4.3 million visitors annually, a figure that has grown steadily over the past decade. The Finns are especially a common sight in Tallinn; on average, about 20,000–40,000 Finnish tourists visit the city between June and October. The cheaper price of alcohol products in particular is one of the main reasons for Finns to visit Tallinn. Tallinn's Old Town, a UNESCO World Heritage Site, is a major tourist attraction; others include the Seaplane Harbour of Estonian Maritime Museum, the Tallinn Zoo, Kadriorg Park, and the Estonian Open Air Museum. Most of the visitors come from Europe, though Tallinn has also become increasingly visited by tourists from Russia and the Asia-Pacific region. Tallinn Passenger Port is one of the busiest cruise destinations on the Baltic Sea, serving more than 520,000 cruise passengers in 2013. From year 2011 regular cruise turnarounds in cooperation with Tallinn Airport are organised. Eesti Energia, a large oil shale to energy company, has its headquarters in Tallinn. The city also hosts the headquarters of Elering, a national electric power transmission system operator and member of ENTSO-E, the Estonian natural gas company Eesti Gaas and energy holding company Alexela Energia, part of Alexela Group. Nord Pool Spot, the largest market for electrical energy in the world, established its local office in Tallinn. Tallinn is the financial centre of Estonia and also a strong economic centre in the Scandinavian-Baltic region. Many major banks, such as SEB, Swedbank, Nordea, DNB, have their local offices in Tallinn. LHV Pank, an Estonian investment bank, has its corporate headquarters in Tallinn. Two crypto-currencies exchanges officially recognized by the Estonian government, CoinMetro and DX.Exchange have their headquarters in Tallinn. Tallinn Stock Exchange, part of NASDAQ OMX Group, is the only regulated exchange in Estonia. Port of Tallinn is one of the biggest ports in the Baltic sea region. Old City Harbour has been known as a convenient harbour since the 10th century, but nowadays the cargo operations are shifted to Muuga Cargo Port and Paldiski Southern Port. There is a small fleet of oceangoing trawlers that operate out of Tallinn. Tallinn's industries include shipbuilding, machine building, metal processing, electronics, textile manufacturing. BLRT Grupp has its headquarters and some subsidiaries in Tallinn. Air Maintenance Estonia and AS Panaviatic Maintenance, both based in Tallinn Airport, provide MRO services for aircraft, largely expanding their operations in recent years. Liviko, the maker of Vana Tallinn liqueur, strongly associated with the city, is based in Tallinn. The headquarters of Kalev, a confectionery company and part of the industrial conglomerate Orkla Group, is located in Lehmja, southeast of Tallinn. Estonia is ranked third in Europe in terms of shopping centre space per inhabitant, ahead of Sweden and being surpassed only by Norway and Luxembourg. Notable headquarters Among others: NATO Cooperative Cyber Defence Centre of Excellence (CCDCOE) European Agency for the operational management of large-scale IT systems in the area of freedom, security and justice is based in Tallinn. Skype has its software development centre located in Tallinn. Telia Company has its IT development centre located in Tallinn. Kuehne + Nagel has its IT centre located in Tallinn. Arvato Financial Solutions has its global IT development and innovation centre located in Tallinn. Ericsson has one of its biggest production facilities in Europe located in Tallinn, focusing on the production of 4G communication devices. Equinor has announced moving the group's financial centre to Tallinn. Education Institutions of higher education and science include: Baltic Film and Media School Estonian Academy of Arts Estonian Academy of Security Sciences Estonian Academy of Music and Theatre Estonian Business School Estonian Maritime Academy Institute of Theology of the Estonian Evangelical Lutheran Church National Institute of Chemical Physics and Biophysics Tallinn University Tallinn University of Technology Tallinn University of Applied Sciences Culture Tallinn was a European Capital of Culture for 2011, along with Turku, Finland. Museums Tallinn is home to more than 60 museums and galleries. Most of them are located in Kesklinn, the central district of the city, and cover Tallinn's rich history. One of the most visited historical museums in Tallinn is the Estonian History Museum, located in Great Guild Hall at Vanalinn, the old part of the city. It covers Estonia's history from prehistoric times up until the end of the 20th century. It features film and hands-on displays that show how Estonian dwellers lived and survived. The Estonian Maritime Museum provides a detailed overview of nation's seafaring past. This museum in also located in city's Old Town, where it occupies one of Tallinn's former defensive structures – Fat Margaret's Tower. Another historical museum that can be found at city's Old Town, just behind the Town Hall, is Tallinn City Museum. It covers Tallinn's history from pre-history until 1991, when Estonia regained its independence. Tallinn City Museum owns nine more departments and museums around the city, one of which is Tallinn's Museum of Photography, also located just behind the Town Hall. It features permanent exhibition that covers 100 years of photography in Estonia. Estonia's Vabamu Museum of Occupations and Freedom is yet another historical museum located in Tallinn's central district. It covers the 52 years when Estonia was occupied by the Soviet Union and Nazi Germany. Not far away is another museum related to the Soviet occupation of Estonia, the KGB Museum, which occupies the 23rd floor of Sokos Hotel Viru. It features equipment, uniforms, and documents of Russian Secret Service agents. Tallinn is also home to two major natural science museums – Estonian Museum of Natural History and Estonian Health Care Museum, both located in Old Town. The Estonian Museum of Natural Science features several seasonal and temporary themed exhibitions that provide an overview of wildlife in Estonia and around the world. The Estonian Health Care Museum features permanent exhibitions on anatomy and health care; its collections and displays cover the history of medicine in Estonia. Estonia's capital is also home to many art and design museums. The Estonian Art Museum, the country's biggest art museum, now consists of four branches – Kumu Art Museum, Kadriorg Art Museum, Mikkel Museum, and Niguliste Museum. Kumu Art Museum features the country's largest collection of contemporary and modern art. It also displays Estonian art starting from the early 18th century. Those who are interested in Western European and Russian art may enjoy Kadriorg Art Museum collections, located in Kadriorg Palace, a beautiful Baroque building erected by Peter the Great. It stores and displays about 9,000 works of art from the 16th to 20th centuries. The Mikkel Museum, in Kadriorg Park, displays a collection of mainly Western art – ceramics and Chinese porcelain donated by Johannes Mikkel in 1994. The Niguliste Museum occupies former St. Nicholas' Church; it displays collections of historical ecclesiastical art spanning nearly seven centuries from the Middle Ages to post-Reformation art. Those that are interested in design and applied art may enjoy the Estonian Museum of Applied Art and Design collection of Estonian contemporary designs. It displays up to 15.000 pieces of work made of textile art, ceramics, porcelain, leather, glass, jewellery, metalwork, furniture, and product design. To experience more relaxed, culture-oriented exhibits, one may turn to Museum of Estonian Drinking Culture. This museum showcases the historic Luscher & Matiesen Distillery as well as the history of Estonian alcohol production. Lauluväljak The Estonian Song Festival (in Estonian: Laulupidu) is one of the largest choral events in the world, listed by the UNESCO as a Masterpiece of the Oral and Intangible Heritage of Humanity. It is held every five years in July on the Tallinn Song Festival Grounds (Lauluväljak) simultaneously with the Estonian Dance Festival. The joint choir has comprised more than 30,000 singers performing to an audience of 80,000. Often referred to as The Singing Nation, the Estonians have one of the biggest collections of folk songs in the world, with written records of about 133,000 folk songs. From 1987, a cycle of mass demonstrations featuring spontaneous singing of national songs and hymns that were strictly forbidden during the years of the Soviet occupation to peacefully resist the illegal oppression. In September 1988, a record 300,000 people, more than a quarter of all Estonians, gathered in Tallinn for a song festival. Tallinn Black Nights Film Festival Tallinn Black Nights Film Festival (Estonian: Pimedate Ööde Filmifestival, or PÖFF), is an annual film festival held since 1997 in Tallinn, the capital city of Estonia. PÖFF is the only festival in the Nordic and Baltic region with a FIAPF (International Federation of Film Producers Association) accreditation for holding an international competition programme in the Nordic and Baltic region with 14 other non-specialised festivals, such as Cannes, Berlin, Venice. With over 250 feature films screened each year and over 77500 attendances (2014), PÖFF is one of the largest film events of Northern Europe and cultural events in Estonia in the winter season. During its 19th edition in 2015 the festival screened more than 600 films (including 250+ feature-length films from 80 different countries), bringing over 900 screenings to an audience of over 80, 000 people as well as over 700 accredited guests and journalists from 50 different countries. In 2010 the festival held the European Film Awards ceremony in Tallinn. Cuisine The traditional cuisine of Tallinn reflects culinary traditions of north Estonia, the role of the city as a fishing port, and historical German influences. Numerous cafés have played a major role in a social life of the city since the 19th century, as have bars, especially in the Kesklinn district. The marzipan industry in Tallinn has a very long history. The production of marzipan started in the Middle Ages, almost simultaneously in Tallinn and Lübeck, both member cities of the Hanseatic League. In 1695, marzipan was mentioned as a medicine, under the designation of Panis Martius, in the price lists of the Tallinn Town Hall Pharmacy. The modern era of marzipan in Tallinn began in 1806, when the Swiss confectioner Lorenz Caviezel set up his confectionery on Pikk Street. In 1864 it was bought and expanded by Georg Stude and now is known as the Maiasmokk café. In the late 19th century marzipan figurines made by Reval confectioners were supplied to the Russian imperial family. Today, along with mass production, unique projects are made, such as a 12 kg scale model of the Estonia Theatre. The most symbolic seafood dish of Tallinn is "Vürtsikilu" – spicy sprats, pickled with a distinctive set of spices including black pepper, allspice and cloves. Making vürtsikilu presumably originated from the city outskirts, beginning in the late 18th or the early 19th century. In 1826 Tallinn merchants exported nearly 40,000 cans of vürtsikilu to Saint Petersburg, then the capital of the Russian Empire. A closely associated dish is a "Kiluvõileib" – a traditional rye bread open sandwich with a thin layer of butter and a layer of vürtsikilu as a topping. Boiled egg slices, mayonnaise and culinary herbs are optional extra toppings. Alcoholic beverages produced in the city include beers, vodkas, and liqueurs, the latter (such as Vana Tallinn) being the most characteristic. Also, the number of craft beer breweries has expanded sharply in Tallinn over the last decade, entering local and regional markets. Tourism What can arguably be considered to be Tallinn's main attractions are located in the old town of Tallinn (divided into a "lower town" and Toompea hill) which is easily explored on foot. The eastern parts of the city, notably Pirita (with Pirita Convent) and Kadriorg (with Kadriorg Palace) districts, are also popular destinations, and the Estonian Open Air Museum in Rocca al Mare, west of the city, preserves aspects of Estonian rural culture and architecture. The historical wooden suburbs like Kalamaja, Pelgulinn, Kassisaba and Kelmiküla and revitalized industrial areas like Rotermanni Quarter, Noblessner and Dvigatel are also unique places to visit. Toompea – Upper Town This area was once an almost separate town, heavily fortified, and has always been the seat of whatever power that has ruled Estonia. The hill occupies an easily defensible site overlooking the surrounding districts. The major attractions are the medieval Toompea Castle (today housing the Estonian Parliament, the Riigikogu), the Lutheran St Mary's Cathedral, also known as the Dome Church (), and the Russian Orthodox Alexander Nevsky Cathedral. All-linn – Lower Town This area is one of the best preserved medieval towns in Europe and the authorities are continuing its rehabilitation. Major sights include the Town Hall square (), the city wall and towers (notably "Fat Margaret" and "Kiek in de Kök") as well as a number of medieval churches, including St Olaf's, St. Nicholas' and the Church of the Holy Ghost. The Catholic Cathedral of St Peter and St Paul is also in the Lower Town. Kadriorg Kadriorg is east of the city centre and is served by buses and trams. Kadriorg Palace, the former palace of Peter the Great, built just after the Great Northern War, now houses the foreign art department of the Art Museum of Estonia, the presidential residence and the surrounding grounds include formal gardens and woodland. The main building of the Art Museum of Estonia, Kumu (, Art Museum), was built in 2006 and lies in Kadriorg park. It houses an encyclopaedic collection of Estonian art, including paintings by Carl Timoleon von Neff, Johann Köler, Eduard Ole, Jaan Koort, Konrad Mägi, Eduard Wiiralt, Henn Roode and Adamson-Eric, among others. Pirita This coastal district is a further 2 kilometres north-east of Kadriorg. The marina was built for the Moscow Olympics of 1980, and boats can be hired on the Pirita River. Two kilometres inland are the Botanic Gardens and the Tallinn TV Tower. Music culture Tallinn has a few music venues for live music such as Kultuurikatel, Tapper, EKKM – Museum and nightlife, DM Baar. Yearly festivals like Tallinn Music Week and Stalker Festival take place. Transport City transport The city operates a system of bus (73 lines), tram (4 lines) and trolley-bus (4 lines) routes to all districts; the long tram system is the only tram network in Estonia. A flat-fare system is used. The ticket-system is based on prepaid RFID cards available in kiosks and post offices. In January 2013, Tallinn became the first European capital to offer a fare-free service on buses, trams and trolleybuses within the city limits. This service is available to residents who register with the municipality. Air The Lennart Meri Tallinn Airport is about from Town Hall square (). There is a tram (Line Number: 4) and local bus connection between the airport and the edge of the city centre (bus no. 2). The nearest railway station Ülemiste is only from the airport. The construction of the new section of the airport began in 2007 and was finished in summer 2008. Ferry Several ferry operators, Viking Line, Tallink and Eckerö Line, connect Tallinn to Helsinki, Mariehamn, Stockholm, and St. Petersburg. Passenger lines connect Tallinn to Helsinki ( north of Tallinn) in approximately 2–3.5 hours by cruiseferries. Railroad The Elron railway company operates train services from Tallinn to Tartu, Valga, Türi, Viljandi, Tapa, Narva, Koidula. Buses are also available to all these and various other destinations in Estonia, as well as to Saint Petersburg in Russia and Riga, Latvia. The Russian railways company operates a daily international sleeper train service between Tallinn – Moscow. Tallinn also has a commuter rail service running from Tallinn's main rail station in two main directions: east (Aegviidu) and to several western destinations (Pääsküla, Keila, Riisipere, Turba, Paldiski, and Kloogaranna). These are electrified lines and are used by the Elron railroad company. Stadler FLIRT EMU and DMU units are in service since July 2013. The first electrified train service in Tallinn was opened in 1924 from Tallinn to Pääsküla, a distance of . The Rail Baltica project, which will link Tallinn with Warsaw via Latvia and Lithuania, will connect Tallinn with the rest of the European rail network. A undersea tunnel has been proposed between Tallinn and Helsinki, though it remains at a planning phase. Roads The Via Baltica motorway (part of European route E67 from Helsinki to Prague) connects Tallinn to the Lithuanian/Polish border through Latvia. Frequent and affordable long-distance bus routes connect Tallinn with other parts of Estonia. In 2013, the 320-meter-long Ülemiste tunnel was first opened. Notable people Pre 1900 Michael Sittow (ca. 1469–1525), Estonian-born painter, trained in the tradition of Early Netherlandish painting, significant Flemish painter of the era Count Jacob De la Gardie (1583–1652), statesman and a field marshal of Sweden Jacob Johan Hastfer (1647–1695), officer and governor of the Livonia province between 1687 and 1695 Alexander Friedrich von Hueck (1802–1842), professor of anatomy at University of Tartu, a notable estophile Julius Gottlieb Iversen (1823–1900), phalerist (scholar of medals), professor of Greek and Latin. Carl Wilhelm Hiekisch (1840–1901), geographer Edmund August Friedrich Russow (1841–1897), biologist, researcher of plant anatomy and histology Anton Hansen (pseudonym A. H. Tammsaare) (1878–1940), writer, his pentalogy Truth and Justice (Tõde ja õigus) is considered "The Estonian Novel" Marie Under (1883–1980), poet, nominated for the Nobel prize in literature multiple times Alfred Rosenberg (1893–1946), leading Nazi German ideologue, head of Reich Ministry for the Occupied Eastern Territories, executed for war crimes 1900 to 1930 Ants Oras (1900–1982), translator and writer, studied pause patterns in English Renaissance dramatic blank verse Vidrik "Frits" Rootare (1906–1981), chess player Andrus Johani (1906–1941), painter Miliza Korjus (1909-1980), Polish-Estonian-American opera singer, Hollywood film actress, nominee for Academy Award for Best Supporting Actress in 1938 Edmund S. Valtman (1914–2005), Estonian-American cartoonist, won the 1962 Pulitzer Prize for Editorial Cartooning Evald Okas (1915–2011), painter, probably best known for his portraits of nudes Evi Rauer (1915–2004), stage, film and television actress and television director Paul Kuusberg (1916–2003), writer, particularly of novellas Ellen Liiger (1918–1987), stage, TV, radio and film actress and theatre teacher Udo Kasemets (1919–2014), Estonian-born Canadian composer of orchestral, vocal, piano and electroacoustic works Jaan Kross (1920–2007), novelist, nominated for the Nobel prize in literature
is a Scottish song, frequently performed at special occasions and sporting events as an unofficial national anthem of Scotland. The song was composed in the mid-1960s by Roy Williamson of the folk group the Corries. It was first heard publicly in a 1967 BBC television series. The words refer to the victory of the Scots, led by Robert the Bruce, over Edward II of England at the Battle of Bannockburn in 1314. Although there is no official national anthem of Scotland, "Flower of Scotland" is one of a number of songs which are used, along with the older "Scotland the Brave". The song was composed and is sung in English, typically with Scots pronunciation of a few words (e.g. "Tae" as opposed to "To"). Popular use The song has been used as an anthem by the Scotland rugby union team, ever since the winger, Billy Steele, encouraged his team-mates to sing it on the British Lions tour of South Africa in 1974. The song was adopted as the pre-game anthem for the deciding match of the 1990 Five Nations Championship between Scotland and England, which Scotland won 13–7 to win the Grand Slam. The Scottish Football Association adopted "Flower of Scotland" as its pre-game national anthem in 1997 although it was first used by them in 1993.
and was sung following a Scottish gold medal. It was sung 4 times when Team Scotland won 4 gold medals in the opening day. In July 2006, the Royal Scottish National Orchestra conducted an online poll (publicised by Reporting Scotland) in which voters could choose a national anthem from one of five candidates. 10,000 people took part in the poll in which Flower of Scotland came out the winner with 41% of the votes. At the 2012 Summer Olympics opening ceremony, the song was sung at Edinburgh Castle by 53 Scottish children selected from schools across Scotland. Paris Saint-Germain fans sing the chant Ô Ville Lumière (City of Light) to the tune of Flower of Scotland. References External links The Flower of Scotland – Translation
seeing British boys exhibiting such feral, warlike behaviour before turning to stare awkwardly at his own warship. Themes At an allegorical level, the central theme is the conflicting human impulses toward civilisation and social organisation—living by rules, peacefully and in harmony—and toward the will to power. Themes include the tension between groupthink and individuality, between rational and emotional reactions, and between morality and immorality. How these play out and how different people feel their influence form a major subtext of Lord of the Flies, with the central themes addressed in an essay by American literary critic Harold Bloom. The name "Lord of the Flies" is a literal translation of Beelzebub, from . Reception The book, originally entitled Strangers from Within, was initially rejected by an in-house reader, Miss Perkins, at London based publishers Faber and Faber as "Rubbish & dull. Pointless". The title was considered "too abstract and too explicit". Following a further review, the book was eventually published as Lord of the Flies. A turning point occurred when E. M. Forster chose Lord of the Flies as his "outstanding novel of the year." Other reviews described it as "not only a first-rate adventure but a parable of our times". In February 1960, Floyd C. Gale of Galaxy Science Fiction rated Lord of the Flies five stars out of five, stating that "Golding paints a truly terrifying picture of the decay of a minuscule society ... Well on its way to becoming a modern classic". In his book Moral Minds: How Nature Designed Our Universal Sense of Right and Wrong, Marc D. Hauser says the following about Golding's Lord of the Flies: "This riveting fiction, standard reading in most intro courses to English literature, should be standard reading in biology, economics, psychology, and philosophy." Its stances on the already controversial subjects of human nature and individual welfare versus the common good earned it position 68 on the American Library Association's list of the 100 most frequently challenged books of 1990–1999. The book has been criticized as "cynical" and portraying humanity exclusively as "selfish creatures". It has been linked with "Tragedy of the commons" by Garrett Hardin and books by Ayn Rand, and countered by "Management of the Commons" by Elinor Ostrom. Parallels have been drawn between the "Lord of the Flies" and an actual incident from 1965 when a group of schoolboys who sailed a fishing boat from Tonga were hit by a storm and marooned on the uninhabited island of ʻAta, considered dead by their relatives in Nuku‘alofa. The group not only managed to survive for over 15 months but "had set up a small commune with food garden, hollowed-out tree trunks to store rainwater, a gymnasium with curious weights, a badminton court, chicken pens and a permanent fire, all from handiwork, an old knife blade and much determination". As a result, when ship captain Peter Warner found them, they were in good health and spirits. Dutch historian Rutger Bregman, writing about this situation said that Golding's portrayal was unrealistic. It was awarded a place on both lists of Modern Library 100 Best Novels, reaching number 41 on the editor's list, and 25 on the reader's list. In 2003, the novel was listed at number 70 on the BBC's survey The Big Read. In 2005, the novel was chosen by Time magazine as one of the 100 best English-language novels from 1923 to 2005. Time also included the novel in its list of the 100 Best Young-Adult Books of All Time. Popular in schools, especially in the English-speaking world, a 2016 UK poll saw Lord of the Flies ranked third in the nation's favourite books from school, behind George Orwell’s Animal Farm and Charles Dickens’ Great Expectations. On 5 November 2019, BBC News listed Lord of the Flies on its list of the 100 most influential novels. In other media Film There have been three film adaptations based on the book: Lord of the Flies (1963), directed by Peter Brook Alkitrang Dugo (1975), a Filipino film, directed by Lupita A. Concio Lord of the Flies (1990), directed by Harry Hook A fourth adaptation, to feature an all-female cast, was announced by Warner Bros. in August 2017, but was subsequently abandoned. In July 2019, director Luca Guadagnino was said to be in negotiations for a conventionally cast version. Ladyworld, an all-female adaptation, was released in 2018. Stage Nigel Williams adapted the text for the stage. It was debuted by the Royal Shakespeare Company in July 1996. The Pilot Theatre Company has toured it extensively in the United Kingdom and elsewhere. In October 2014 it was announced that the 2011 production of Lord of the Flies would return to conclude the 2015 season at the Regent's Park Open Air Theatre ahead of a major UK tour. The production was to be directed by the Artistic Director Timothy Sheader who won the 2014 Whatsonstage.com Awards Best Play Revival for To Kill a Mockingbird. Kansas-based Orange Mouse Theatricals and Mathew Klickstein produced a topical, gender-bending adaptation called Ladies of the Fly that was co-written by a group of young girls (ages 8–16) based on both the original text and their own lives. The production was performed by the girls themselves as an immersive live-action show in August 2018. Radio In June 2013, BBC Radio 4 Extra broadcast a dramatisation by Judith Adams in four 30-minute episodes directed by Sasha Yevtushenko. The cast included Ruth Wilson as "The Narrator", Finn Bennett as "Ralph", Richard Linnel as "Jack", Caspar
failure of the boys to attract potential rescuers, Ralph considers relinquishing his position as leader, but is persuaded not to do so by Piggy, who both understands Ralph's importance and fears what will become of him should Jack take total control. One night, an aerial battle occurs near the island while the boys sleep, during which a fighter pilot ejects from his plane and dies in the descent. His body drifts down to the island in his parachute; both get tangled in a tree near the top of the mountain. Later on, while Jack continues to scheme against Ralph, the twins Sam and Eric, now assigned to the maintenance of the signal fire, see the corpse of the fighter pilot and his parachute in the dark. Mistaking the corpse for the beast, they run to the cluster of shelters that Ralph and Simon have erected, to warn the others. This unexpected meeting again raises tensions between Jack and Ralph. Shortly thereafter, Jack decides to lead a party to the other side of the island, where a mountain of stones, later called Castle Rock, forms a place where he claims the beast resides. Only Ralph and a quiet suspicious boy, Roger, Jack's closest supporter, agree to go; Ralph turns back shortly before the other two boys but eventually all three see the parachutist, whose head rises via the wind. They then flee, now believing the beast is real. When they arrive at the shelters, Jack calls an assembly and tries to turn the others against Ralph, asking them to remove Ralph from his position. Receiving no support, Jack storms off alone to form his own tribe. Roger immediately sneaks off to join Jack, and slowly an increasing number of older boys abandon Ralph to join Jack's tribe. Jack's tribe continues to lure recruits from the main group by promising feasts of cooked pig. The members begin to paint their faces and enact bizarre rites, including sacrifices to the beast. One night, Ralph and Piggy decide to go to one of Jack's feasts. Simon, who faints frequently and is probably an epileptic, has a secret hideaway where he goes to be alone. One day while he is there, Jack and his followers erect an offering to the beast nearby: a pig's head, mounted on a sharpened stick and soon swarming with scavenging flies. Simon conducts an imaginary dialogue with the head, which he dubs the "Lord of the Flies". The head mocks Simon's notion that the beast is a real entity, "something you could hunt and kill", and reveals the truth: they, the boys, are the beast; it is inside them all. The Lord of the Flies also warns Simon that he is in danger, because he represents the soul of man, and predicts that the others will kill him. Simon climbs the mountain alone and discovers that the "beast" is the dead parachutist. He rushes down to tell the other boys, who are engaged in a ritual dance. The frenzied boys mistake Simon for the beast, attack him, and beat him to death. Both Ralph and Piggy participate in the melee, and they become deeply disturbed by their actions after returning from Castle Rock. Jack and his rebel band decide that the real symbol of power on the island is not the conch, but Piggy's glasses—the only means the boys have of starting a fire. They raid Ralph's camp, confiscate the glasses, and return to their abode on Castle Rock. Ralph, now deserted by most of his supporters, journeys to Castle Rock to confront Jack and secure the glasses. Taking the conch and accompanied only by Piggy, Sam, and Eric, Ralph finds the tribe and demands that they return the valuable object. Confirming their total rejection of Ralph's authority, the tribe capture and bind the twins under Jack's command. Ralph and Jack engage in a fight which neither wins before Piggy tries once more to address the tribe. Any sense of order or safety is permanently eroded when Roger, now sadistic, deliberately drops a boulder from his vantage point above, killing Piggy and shattering the conch. Ralph manages to escape, but Sam and Eric are tortured by Roger until they agree to join Jack's tribe. Ralph secretly confronts Sam and Eric, who warn him that Jack and Roger hate him and that Roger has sharpened a stick at both ends, intimating that the tribe intends to hunt him like a pig and behead him. The following morning, Jack orders his tribe to begin a hunt for Ralph. Jack's savages set fire to the forest while Ralph desperately weighs his options for survival. Following a long chase, most of the island is consumed in flames. With the hunters closely behind him, Ralph trips and falls. He looks up at a uniformed adult—a British naval officer whose party has landed from a passing cruiser to investigate the fire. Ralph bursts into tears over the death of Piggy and the "end of innocence". Jack and the other boys, filthy and unkempt, also revert to their true ages and erupt into sobs. The officer expresses his disappointment at seeing British boys exhibiting such feral, warlike behaviour before turning to stare awkwardly at his own warship. Themes At an allegorical level, the central theme is the conflicting human impulses toward civilisation and social organisation—living by rules, peacefully and in harmony—and toward the will to power. Themes include the tension between groupthink and individuality, between rational and emotional reactions, and between morality and immorality. How these play out and how different people feel their influence form a major subtext of Lord of the Flies, with the central themes addressed in an essay by American literary critic Harold Bloom. The name "Lord of the Flies" is a literal translation of Beelzebub, from . Reception The book, originally entitled Strangers from Within, was initially rejected by an in-house reader, Miss Perkins,
a town Thornapple (community), Wisconsin, an unincorporated community Thornapple River, Michigan Thornapple River (Wisconsin) Thornapple Trail, Michigan Other uses Brutus P. Thornapple, the main character in the
in the US Thornapple Township, Michigan Thornapple, Wisconsin, a town Thornapple (community), Wisconsin, an unincorporated community Thornapple River, Michigan Thornapple River (Wisconsin) Thornapple Trail,
(including his 40-game streak in 1911). He had six hitting streaks of at least 20 games in his career, second only to Pete Rose's eight. Also in 1917, Cobb starred in the motion picture Somewhere in Georgia for a sum of $25,000 plus expenses (equivalent to approximately $ today ). Based on a story by sports columnist Grantland Rice, the film casts Cobb as "himself," a small-town Georgia bank clerk with a talent for baseball. Broadway critic Ward Morehouse called the movie "absolutely the worst flicker I ever saw, pure hokum." In October 1918, Cobb enlisted in the Chemical Corps branch of the United States Army and was sent to the Allied Expeditionary Forces headquarters in Chaumont, France. He served approximately 67 days overseas before receiving an honorable discharge and returning to the United States. He was given the rank of captain underneath the command of Major Branch Rickey, the president of the St. Louis Cardinals. Other baseball players serving in this unit included Captain Christy Mathewson and Lieutenant George Sisler. All of these men were assigned to the Gas and Flame Division, where they trained soldiers in preparation for chemical attacks by exposing them to gas chambers in a controlled environment, which was eventually responsible for Mathewson's contracting tuberculosis, leading to his premature death on the eve of the 1925 World Series. On August 19, 1921, in the second game of a doubleheader against Elmer Myers of the Boston Red Sox, Cobb collected his 3,000th hit. Aged 34 at the time, he is still the youngest ballplayer to reach that milestone, and in the fewest at-bats (8,093). By 1920, Babe Ruth, sold to the renamed New York Yankees from the Boston Red Sox, had established himself as a power hitter, something Cobb was not considered to be. When his Tigers showed up in New York to play the Yankees for the first time that season, writers billed it as a showdown between two stars of competing styles of play. Ruth hit two homers and a triple during the series, compared to Cobb's one single. As Ruth's popularity grew, Cobb became increasingly hostile toward him. He saw the Babe not only as a threat to his style of play, but also to his style of life. Perhaps what angered him the most about Ruth was that despite Babe's total disregard for his physical condition and traditional baseball, he was still an overwhelming success and brought fans to the ballparks in record numbers to see him challenge his own slugging records. On May 5, 1925, Cobb told a reporter that, for the first time in his career, he was going to try to hit home runs, saying he wanted to show that he could hit home runs but simply chose not to. That day, he went 6 for 6, with two singles, a double and three homers. The 16 total bases set a new AL record, which stood until May 8, 2012, when Josh Hamilton of the Texas Rangers hit four home runs and a double for a total of 18 bases. The next day Cobb had three more hits, two of which were home runs. The single his first time up gave him nine consecutive hits over three games, while his five homers in two games tied the record set by Cap Anson of the old Chicago NL team in 1884. By the end of the series Cobb had gone 12 for 19 with 29 total bases, and afterwards reverted to his old playing style. Even so, when asked in 1930 by Grantland Rice to name the best hitter he'd ever seen, Cobb answered, "You can't beat the Babe. Ruth is one of the few who can take a terrific swing and still meet the ball solidly. His timing is perfect. [No one has] the combined power and eye of Ruth." Cobb as player/manager Tiger owner Frank Navin tapped Cobb to take over for Hughie Jennings as manager for the 1921 season, a deal he signed on his 34th birthday for $32,500 (equivalent to approximately $ in today's funds). The signing surprised the baseball world. Although Cobb was a legendary player, he was disliked throughout the baseball community, even by his own teammates. The closest Cobb came to winning another pennant was in 1924, when the Tigers finished in third place, six games behind the pennant-winning Washington Senators. The Tigers had also finished third in 1922, but 16 games behind the Yankees. Cobb blamed his lackluster managerial record (479 wins against 444 losses) on Navin, who was arguably even more frugal than he was, passing up several quality players Cobb wanted to add to the team. In fact, he had saved money by hiring Cobb to both play and manage. In 1922, Cobb tied a batting record set by Wee Willie Keeler, with four five-hit games in a season. This has since been matched by Stan Musial, Tony Gwynn and Ichiro Suzuki. On May 10, 1924, Cobb was honored at ceremonies before a game in Washington, D.C., by more than 100 dignitaries and legislators. He received 21 books, one for each year in professional baseball. At the end of 1925, Cobb was again embroiled in a batting title race, this time with one of his teammates and players, Harry Heilmann. In a doubleheader against the St. Louis Browns on October 4, 1925, Heilmann got six hits to lead the Tigers to a sweep of the doubleheader and beat Cobb for the batting crown, .393 to .389. Cobb and Browns player-manager George Sisler each pitched in the final game, Cobb pitching a perfect inning. Move to Philadelphia Cobb announced his retirement after a 22-year career as a Tiger in November 1926, and headed home to Augusta, Georgia. Shortly thereafter, Tris Speaker also retired as player-manager of the Cleveland Indians. The retirement of two great players at the same time sparked some interest, and it turned out that the two were coerced into retirement because of allegations of game-fixing brought about by Dutch Leonard, a former pitcher managed by Cobb. Leonard accused former pitcher and outfielder Smoky Joe Wood and Cobb of betting on a Tiger–Indian game played in Detroit on September 25, 1919, in which they allegedly orchestrated a Tiger victory to win the bet. Leonard claimed proof existed in letters written to him by Cobb and Wood. Commissioner Kenesaw Mountain Landis held a secret hearing with Cobb, Speaker and Wood. A second secret meeting among the AL directors led to the unpublicized resignations of Cobb and Speaker; however, rumors of the scandal led Judge Landis to hold additional hearings in which Leonard subsequently refused to participate. Cobb and Wood admitted to writing the letters, but claimed that a horse-racing bet was involved and that Leonard's accusations were in retaliation for Cobb's having released him from the Tigers, thereby demoting him to the minor leagues. Speaker denied any wrongdoing. On January 27, 1927, Judge Landis cleared Cobb and Speaker of any wrongdoing because of Leonard's refusal to appear at the hearings. Landis allowed both Cobb and Speaker to return to their original teams, but each team let them know that they were free agents and could sign with any club they wanted. Speaker signed with the Washington Senators for 1927, and Cobb with the Philadelphia Athletics. Speaker then joined Cobb in Philadelphia for the 1928 season. Cobb said he had come back only to seek vindication and say he left baseball on his own terms. Cobb played regularly in 1927 for a young and talented team that finished second to one of the greatest teams of all time, the 110–44 1927 Yankees, returning to Detroit to a tumultuous welcome on May 10 and doubling his first time up to the cheers of Tiger fans. On July 18, Cobb became the first member of the 4,000 hit club when he doubled off former teammate Sam Gibson, still pitching for the Tigers, at Navin Field. Cobb returned for the 1928 season but played less frequently due to his age and the blossoming abilities of the young A's, who were again in a pennant race with the Yankees. On September 3, Ty Cobb pinch-hit in the ninth inning of the first game of a doubleheader against the Senators and doubled off Bump Hadley for his last career hit although his last at-bat wasn't until September 11 against the Yankees, popping out off Hank Johnson and grounding out to shortstop Mark Koenig. He then announced his retirement, effective the end of the season, after batting .300 or higher in 23 consecutive seasons (the only season under .300 being his rookie season), a major league record that is unlikely to be broken. Despite not being known as a slugger, he led the AL in slugging percentage eight times in his 11 seasons from 1907 to 1917. He also ended his career with a rather dubious record. When Cobb retired, he led AL outfielders for most errors all-time with 271, which still stands today. Nineteenth-century player Tom Brown holds the major league record with 490 errors committed as an outfielder, while the National League record is held by 19th-century player George Gore with 346 errors. Cobb ranks 14th on the all-time list for errors committed by an outfielder. Post professional career Cobb retired a wealthy and successful man. He toured Europe with his family, went to Scotland for some time and then returned to his farm in Georgia. He spent his retirement pursuing his off-season avocations of hunting, golfing, polo and fishing. His other pastime was trading stocks and bonds, increasing his immense personal wealth. He was a major stockholder in the Coca-Cola Corporation, which by itself would have made him wealthy. In the winter of 1930, Cobb moved into a Spanish ranch estate on Spencer Lane in the affluent town of Atherton located south of San Francisco, California on the San Francisco Peninsula. At the same time, his wife Charlie filed the first of several divorce suits; but withdrew the suit shortly thereafter. The couple eventually divorced in 1947 after 39 years of marriage; the last few years of which Mrs. Cobb lived in nearby Menlo Park. The couple had three sons and two daughters: Tyrus Raymond Jr, Shirley Marion, Herschel Roswell, James Howell and Beverly. Cobb never had an easy time as husband and father. His children found him to be demanding, yet also capable of kindness and extreme warmth. He expected his sons to be exceptional athletes in general and baseball players in particular. Tyrus Raymond, Jr. flunked out of Princeton (where he had played on the varsity tennis team), much to his father's dismay. The elder Cobb subsequently traveled to the Princeton campus and beat his son with a whip to ensure against future academic failure. Tyrus Raymond, Jr. then entered Yale University and became captain of the tennis team while improving his academics, but was then arrested twice in 1930 for drunkenness and left Yale without graduating. Cobb helped his son deal with his pending legal problems, but then permanently broke off with him. Even though Tyrus Raymond, Jr. finally reformed and eventually earned an M.D. from the Medical College of South Carolina and practiced obstetrics and gynecology in Dublin, Georgia, until his premature death at 42 on September 9, 1952, from a brain tumor, his father remained distant. In February 1936, when the first Hall of Fame election results were announced, Cobb had been named on 222 of 226 ballots, outdistancing Babe Ruth, Honus Wagner, Christy Mathewson and Walter Johnson, the only others to earn the necessary 75% of votes to be elected that first year. His 98.2% stood as the record until Tom Seaver received 98.8% of the vote in 1992. Those incredible results show that although many people disliked him personally, they respected the way he had played and what he had accomplished. In 1998, Sporting News ranked him as third on the list of 100 Greatest Baseball Players. Of major league stars of the 1940s and 1950s, he had positive things to say about Stan Musial, Phil Rizzuto, and Jackie Robinson, but few others. Even so, he was known to help out young players. He was instrumental in helping Joe DiMaggio negotiate his rookie contract with the New York Yankees. According to sportswriter Grantland Rice, he and Cobb were returning from the Masters golf tournament in the late 1940s and stopped at a Greenville, South Carolina, liquor store. Cobb noticed that the man behind the counter was "Shoeless" Joe Jackson, who had been banned from baseball almost 30 years earlier following the Black Sox scandal. Jackson did not appear to recognize him, and after making his purchase an incredulous Cobb asked, "Don't you know me, Joe?" "Sure, I know you, Ty" replied Jackson, "but I wasn't sure you wanted to know me. A lot of them don't." Cobb was mentioned in the poem "Line-Up for Yesterday" by Ogden Nash: Later life At the age of 62, Cobb married a second time in 1949. His new wife was 40-year-old Frances Fairbairn Cass, a divorcée from Buffalo, New York. Their childless marriage also failed, ending with a divorce in 1956. At this time, Cobb became generous with his wealth, donating $100,000 in his parents' name for his hometown to build a modern 24-bed hospital, Cobb Memorial Hospital, which is now part of the Ty Cobb Healthcare System. He also established the Cobb Educational Fund, which awarded scholarships to needy Georgia students bound for college, by endowing it with a $100,000 donation in 1953 (equivalent to approximately $ in current year dollars ). He knew that another way he could share his wealth was by having biographies written that would both set the record straight on him and teach young players how to play. John McCallum spent some time with Cobb to write a combination how-to and biography titled The Tiger Wore Spikes: An Informal Biography of Ty Cobb that was published in 1956. In December 1959, he was diagnosed with prostate cancer, diabetes, high blood pressure, and Bright's disease. It was also during his final years that Cobb began work on his autobiography, My Life in Baseball: The True Record, with writer Al Stump. Later Stump would claim the collaboration was contentious, and after Cobb's death Stump published two more books and a short story giving what he claimed was the "true story." One of these later books was used as the basis for the 1994 film Cobb (a box office flop starring Tommy Lee Jones as Cobb and directed by Ron Shelton). In 2010, an article by William R. "Ron" Cobb (no relation to Ty) in the peer-reviewed The National Pastime (the official publication of the Society for American Baseball Research) accused Stump of extensive forgeries of Cobb-related documents and diaries. The article further accused Stump of numerous false statements about Cobb in his last years, most of which were sensationalistic in nature and intended to cast Cobb in an unflattering light. Death In his last days, Cobb spent some time with the old movie comedian Joe E. Brown, talking about the choices he had made in his life. According to Brown, Cobb said he felt that he had made mistakes and that he would do things differently if he could. He had played hard and lived hard all his life, had no friends to show for it at the end, and regretted it. Publicly, however, he claimed to have no regrets: "I've been lucky. I have no right to be regretful of what I did." He was taken to Emory University Hospital for the last time in June 1961 after falling into a diabetic coma. His first wife, Charlie, his son Jimmy and other family members came to be with him for his final days. He died there on July 17, 1961, at age 74. Approximately 150 friends and relatives attended a brief service in Cornelia, Georgia, and drove to the Cobb family mausoleum in Royston for the burial. Cobb's family kept the event private, not trusting the media to report accurately on it. Baseball's only representatives at his funeral were three old-time players, Ray Schalk, Mickey Cochrane and Nap Rucker, along with Sid Keener, the director of the Baseball Hall of Fame, but messages of condolences numbered in the hundreds and included notes from Joe DiMaggio and Ted Williams. Family in attendance included Cobb's former wife Charlie, his two daughters, his surviving son Jimmy, his two sons-in-law, his daughter-in-law Mary Dunn Cobb and her two children. At the time of his death, Cobb's estate was reported to be worth at least $11.78 million (equivalent to $ today), including $10 million worth of General Motors stock and $1.78 million in The Coca-Cola Company stock. His will left a quarter of his estate to the Cobb Educational Fund, and distributed the rest among his children and grandchildren. Cobb is interred in the Rose Hill Cemetery in Royston, Georgia. As of April 2021, the Ty Cobb Educational Foundation has distributed $19.2 million in college scholarships to needy Georgians. Legacy The historian Steven Elliott Tripp has explored the public's reaction to Cobb as a pioneer sports celebrity and "a player fans loved to hate." Tripp writes that Cobb was both loved and hated as a representative of a particular kind of masculinity on the field, inviting male spectators to participate in the contest through taunts directed at opposing players. Cobb's own sense of manhood, according to Tripp, was a product of his Southern upbringing that prized individualism, excitement, and family honor. Russo wrote, "There is no denying that Cobb ranks as one of baseball's greatest players, if not the game's fiercest competitor." Many of baseball's greatest players were friends
to both play and manage. In 1922, Cobb tied a batting record set by Wee Willie Keeler, with four five-hit games in a season. This has since been matched by Stan Musial, Tony Gwynn and Ichiro Suzuki. On May 10, 1924, Cobb was honored at ceremonies before a game in Washington, D.C., by more than 100 dignitaries and legislators. He received 21 books, one for each year in professional baseball. At the end of 1925, Cobb was again embroiled in a batting title race, this time with one of his teammates and players, Harry Heilmann. In a doubleheader against the St. Louis Browns on October 4, 1925, Heilmann got six hits to lead the Tigers to a sweep of the doubleheader and beat Cobb for the batting crown, .393 to .389. Cobb and Browns player-manager George Sisler each pitched in the final game, Cobb pitching a perfect inning. Move to Philadelphia Cobb announced his retirement after a 22-year career as a Tiger in November 1926, and headed home to Augusta, Georgia. Shortly thereafter, Tris Speaker also retired as player-manager of the Cleveland Indians. The retirement of two great players at the same time sparked some interest, and it turned out that the two were coerced into retirement because of allegations of game-fixing brought about by Dutch Leonard, a former pitcher managed by Cobb. Leonard accused former pitcher and outfielder Smoky Joe Wood and Cobb of betting on a Tiger–Indian game played in Detroit on September 25, 1919, in which they allegedly orchestrated a Tiger victory to win the bet. Leonard claimed proof existed in letters written to him by Cobb and Wood. Commissioner Kenesaw Mountain Landis held a secret hearing with Cobb, Speaker and Wood. A second secret meeting among the AL directors led to the unpublicized resignations of Cobb and Speaker; however, rumors of the scandal led Judge Landis to hold additional hearings in which Leonard subsequently refused to participate. Cobb and Wood admitted to writing the letters, but claimed that a horse-racing bet was involved and that Leonard's accusations were in retaliation for Cobb's having released him from the Tigers, thereby demoting him to the minor leagues. Speaker denied any wrongdoing. On January 27, 1927, Judge Landis cleared Cobb and Speaker of any wrongdoing because of Leonard's refusal to appear at the hearings. Landis allowed both Cobb and Speaker to return to their original teams, but each team let them know that they were free agents and could sign with any club they wanted. Speaker signed with the Washington Senators for 1927, and Cobb with the Philadelphia Athletics. Speaker then joined Cobb in Philadelphia for the 1928 season. Cobb said he had come back only to seek vindication and say he left baseball on his own terms. Cobb played regularly in 1927 for a young and talented team that finished second to one of the greatest teams of all time, the 110–44 1927 Yankees, returning to Detroit to a tumultuous welcome on May 10 and doubling his first time up to the cheers of Tiger fans. On July 18, Cobb became the first member of the 4,000 hit club when he doubled off former teammate Sam Gibson, still pitching for the Tigers, at Navin Field. Cobb returned for the 1928 season but played less frequently due to his age and the blossoming abilities of the young A's, who were again in a pennant race with the Yankees. On September 3, Ty Cobb pinch-hit in the ninth inning of the first game of a doubleheader against the Senators and doubled off Bump Hadley for his last career hit although his last at-bat wasn't until September 11 against the Yankees, popping out off Hank Johnson and grounding out to shortstop Mark Koenig. He then announced his retirement, effective the end of the season, after batting .300 or higher in 23 consecutive seasons (the only season under .300 being his rookie season), a major league record that is unlikely to be broken. Despite not being known as a slugger, he led the AL in slugging percentage eight times in his 11 seasons from 1907 to 1917. He also ended his career with a rather dubious record. When Cobb retired, he led AL outfielders for most errors all-time with 271, which still stands today. Nineteenth-century player Tom Brown holds the major league record with 490 errors committed as an outfielder, while the National League record is held by 19th-century player George Gore with 346 errors. Cobb ranks 14th on the all-time list for errors committed by an outfielder. Post professional career Cobb retired a wealthy and successful man. He toured Europe with his family, went to Scotland for some time and then returned to his farm in Georgia. He spent his retirement pursuing his off-season avocations of hunting, golfing, polo and fishing. His other pastime was trading stocks and bonds, increasing his immense personal wealth. He was a major stockholder in the Coca-Cola Corporation, which by itself would have made him wealthy. In the winter of 1930, Cobb moved into a Spanish ranch estate on Spencer Lane in the affluent town of Atherton located south of San Francisco, California on the San Francisco Peninsula. At the same time, his wife Charlie filed the first of several divorce suits; but withdrew the suit shortly thereafter. The couple eventually divorced in 1947 after 39 years of marriage; the last few years of which Mrs. Cobb lived in nearby Menlo Park. The couple had three sons and two daughters: Tyrus Raymond Jr, Shirley Marion, Herschel Roswell, James Howell and Beverly. Cobb never had an easy time as husband and father. His children found him to be demanding, yet also capable of kindness and extreme warmth. He expected his sons to be exceptional athletes in general and baseball players in particular. Tyrus Raymond, Jr. flunked out of Princeton (where he had played on the varsity tennis team), much to his father's dismay. The elder Cobb subsequently traveled to the Princeton campus and beat his son with a whip to ensure against future academic failure. Tyrus Raymond, Jr. then entered Yale University and became captain of the tennis team while improving his academics, but was then arrested twice in 1930 for drunkenness and left Yale without graduating. Cobb helped his son deal with his pending legal problems, but then permanently broke off with him. Even though Tyrus Raymond, Jr. finally reformed and eventually earned an M.D. from the Medical College of South Carolina and practiced obstetrics and gynecology in Dublin, Georgia, until his premature death at 42 on September 9, 1952, from a brain tumor, his father remained distant. In February 1936, when the first Hall of Fame election results were announced, Cobb had been named on 222 of 226 ballots, outdistancing Babe Ruth, Honus Wagner, Christy Mathewson and Walter Johnson, the only others to earn the necessary 75% of votes to be elected that first year. His 98.2% stood as the record until Tom Seaver received 98.8% of the vote in 1992. Those incredible results show that although many people disliked him personally, they respected the way he had played and what he had accomplished. In 1998, Sporting News ranked him as third on the list of 100 Greatest Baseball Players. Of major league stars of the 1940s and 1950s, he had positive things to say about Stan Musial, Phil Rizzuto, and Jackie Robinson, but few others. Even so, he was known to help out young players. He was instrumental in helping Joe DiMaggio negotiate his rookie contract with the New York Yankees. According to sportswriter Grantland Rice, he and Cobb were returning from the Masters golf tournament in the late 1940s and stopped at a Greenville, South Carolina, liquor store. Cobb noticed that the man behind the counter was "Shoeless" Joe Jackson, who had been banned from baseball almost 30 years earlier following the Black Sox scandal. Jackson did not appear to recognize him, and after making his purchase an incredulous Cobb asked, "Don't you know me, Joe?" "Sure, I know you, Ty" replied Jackson, "but I wasn't sure you wanted to know me. A lot of them don't." Cobb was mentioned in the poem "Line-Up for Yesterday" by Ogden Nash: Later life At the age of 62, Cobb married a second time in 1949. His new wife was 40-year-old Frances Fairbairn Cass, a divorcée from Buffalo, New York. Their childless marriage also failed, ending with a divorce in 1956. At this time, Cobb became generous with his wealth, donating $100,000 in his parents' name for his hometown to build a modern 24-bed hospital, Cobb Memorial Hospital, which is now part of the Ty Cobb Healthcare System. He also established the Cobb Educational Fund, which awarded scholarships to needy Georgia students bound for college, by endowing it with a $100,000 donation in 1953 (equivalent to approximately $ in current year dollars ). He knew that another way he could share his wealth was by having biographies written that would both set the record straight on him and teach young players how to play. John McCallum spent some time with Cobb to write a combination how-to and biography titled The Tiger Wore Spikes: An Informal Biography of Ty Cobb that was published in 1956. In December 1959, he was diagnosed with prostate cancer, diabetes, high blood pressure, and Bright's disease. It was also during his final years that Cobb began work on his autobiography, My Life in Baseball: The True Record, with writer Al Stump. Later Stump would claim the collaboration was contentious, and after Cobb's death Stump published two more books and a short story giving what he claimed was the "true story." One of these later books was used as the basis for the 1994 film Cobb (a box office flop starring Tommy Lee Jones as Cobb and directed by Ron Shelton). In 2010, an article by William R. "Ron" Cobb (no relation to Ty) in the peer-reviewed The National Pastime (the official publication of the Society for American Baseball Research) accused Stump of extensive forgeries of Cobb-related documents and diaries. The article further accused Stump of numerous false statements about Cobb in his last years, most of which were sensationalistic in nature and intended to cast Cobb in an unflattering light. Death In his last days, Cobb spent some time with the old movie comedian Joe E. Brown, talking about the choices he had made in his life. According to Brown, Cobb said he felt that he had made mistakes and that he would do things differently if he could. He had played hard and lived hard all his life, had no friends to show for it at the end, and regretted it. Publicly, however, he claimed to have no regrets: "I've been lucky. I have no right to be regretful of what I did." He was taken to Emory University Hospital for the last time in June 1961 after falling into a diabetic coma. His first wife, Charlie, his son Jimmy and other family members came to be with him for his final days. He died there on July 17, 1961, at age 74. Approximately 150 friends and relatives attended a brief service in Cornelia, Georgia, and drove to the Cobb family mausoleum in Royston for the burial. Cobb's family kept the event private, not trusting the media to report accurately on it. Baseball's only representatives at his funeral were three old-time players, Ray Schalk, Mickey Cochrane and Nap Rucker, along with Sid Keener, the director of the Baseball Hall of Fame, but messages of condolences numbered in the hundreds and included notes from Joe DiMaggio and Ted Williams. Family in attendance included Cobb's former wife Charlie, his two daughters, his surviving son Jimmy, his two sons-in-law, his daughter-in-law Mary Dunn Cobb and her two children. At the time of his death, Cobb's estate was reported to be worth at least $11.78 million (equivalent to $ today), including $10 million worth of General Motors stock and $1.78 million in The Coca-Cola Company stock. His will left a quarter of his estate to the Cobb Educational Fund, and distributed the rest among his children and grandchildren. Cobb is interred in the Rose Hill Cemetery in Royston, Georgia. As of April 2021, the Ty Cobb Educational Foundation has distributed $19.2 million in college scholarships to needy Georgians. Legacy The historian Steven Elliott Tripp has explored the public's reaction to Cobb as a pioneer sports celebrity and "a player fans loved to hate." Tripp writes that Cobb was both loved and hated as a representative of a particular kind of masculinity on the field, inviting male spectators to participate in the contest through taunts directed at opposing players. Cobb's own sense of manhood, according to Tripp, was a product of his Southern upbringing that prized individualism, excitement, and family honor. Russo wrote, "There is no denying that Cobb ranks as one of baseball's greatest players, if not the game's fiercest competitor." Many of baseball's greatest players were friends with Cobb. Mathewson and Walter Johnson were some of his closest friends. Others included Joe DiMaggio, Ted Williams, Home Run Baker, and Eddie Collins. Following his retirement, Cobb even befriended greatest of all time rival Babe Ruth, whose wife Claire was from Georgia. Cobb has been judged by some historians and journalists as the best player of the dead-ball era, and is generally seen as one of the greatest players of all time. Some historians, including Wesley Fricks, Dan Holmes, and Charles Leerhsen, have defended Cobb against unfair portrayals of him in popular culture since his death. A noted case is the book written by sportswriter Al Stump in the months after Cobb died in 1961. Stump was later discredited when it became known that he had stolen items belonging to Cobb and also betrayed the access Cobb gave him in his final months. As a result of the movie Cobb which starred Tommy Lee Jones, there are many myths surrounding Cobb's life, including one that he sharpened his spikes to inflict wounds on opposing players. This accusation was common for many decades before the movie Cobb. Writing in The Journal of American Culture, Hunter M.
cables, one for each direction of transmission. Each cable was produced and laid in three sections, two shallow-water armored sections, and one continuous central section long. The electronic repeaters were designed by the Bell Telephone Laboratories of the United States and they were inserted into the cable at intervals – a total of 51 repeaters in the central section. The armored cables were manufactured southeast of London, at a factory in Erith, Kent, owned by Submarine Cables Ltd. (owned jointly by Siemens Brothers & Co, Ltd, and The Telegraph Construction & Maintenance Company, Ltd). The cables were laid over the summers of 1955 and 1956, with the majority of the work done by the cable ship HMTS Monarch. At the land-end in Gallanach Bay near Oban, Scotland, the cable was connected to coaxial (and then 24-circuit carrier lines) carrying the transatlantic circuits via Glasgow and Inverness to the International Exchange at Faraday Building in London. At the cable landing point in Newfoundland the cable joined at Clarenville, then crossed the Cabot Strait by another submarine cable to Sydney Mines, Nova Scotia. From there the communications traffic was routed to the US border by a microwave radio relay link, and in Brunswick, Maine the route joined the main US network and branched to Montreal to connect with the Canadian network. Opened on September 25, 1956, TAT-1 carried 588 London-US calls and 119 London-Canada calls in the first 24 hours of public service. The original 36 channels were 4 kHz. The increase to 48 channels was accomplished by narrowing the bandwidth to 3 kHz. Later, an additional three channels were added by use of C Carrier equipment. Time-assignment speech interpolation (TASI) was implemented on the TAT-1 cable in June 1960 and effectively increased the cable's capacity from 37 (out of 51 available channels) to 72 speech circuits. TAT-1 carried the Moscow-Washington hotline between the American and Soviet heads of state, although using a teleprinter rather than voice calls as written communications were regarded as less likely to be misinterpreted. The link became operational on 13 July 1963 and was principally motivated as a result of the Cuban Missile Crisis where it took the US, for example, nearly 12 hours to receive and decode the initial settlement message that contained approx. 3,000 words. By the time the message was decoded and interpreted, and an answer had been prepared, another–more aggressive—message had been received. In May 1957, TAT-1 was used to transmit a concert by the singer and civil rights activist, Paul Robeson performing in New York to St Pancras Town Hall in London. Due
armored sections, and one continuous central section long. The electronic repeaters were designed by the Bell Telephone Laboratories of the United States and they were inserted into the cable at intervals – a total of 51 repeaters in the central section. The armored cables were manufactured southeast of London, at a factory in Erith, Kent, owned by Submarine Cables Ltd. (owned jointly by Siemens Brothers & Co, Ltd, and The Telegraph Construction & Maintenance Company, Ltd). The cables were laid over the summers of 1955 and 1956, with the majority of the work done by the cable ship HMTS Monarch. At the land-end in Gallanach Bay near Oban, Scotland, the cable was connected to coaxial (and then 24-circuit carrier lines) carrying the transatlantic circuits via Glasgow and Inverness to the International Exchange at Faraday Building in London. At the cable landing point in Newfoundland the cable joined at Clarenville, then crossed the Cabot Strait by another submarine cable to Sydney Mines, Nova Scotia. From there the communications traffic was routed to the US border by a microwave radio relay link, and in Brunswick, Maine the route joined the main US network and branched to Montreal to connect with the Canadian network. Opened on September 25, 1956, TAT-1 carried 588 London-US calls and 119 London-Canada calls in the first 24 hours of public service. The original 36 channels were 4 kHz. The increase to 48 channels was accomplished by narrowing the bandwidth to 3 kHz. Later, an additional three channels were added by use of C Carrier equipment. Time-assignment speech interpolation (TASI) was implemented on the TAT-1 cable in June 1960 and effectively increased the cable's capacity from 37 (out of 51 available channels) to 72 speech circuits. TAT-1 carried the Moscow-Washington hotline between the American and Soviet heads of state, although using a teleprinter rather than voice calls as written communications were regarded as less likely to be misinterpreted. The link became operational on 13 July 1963 and was principally motivated as a result of the Cuban Missile Crisis where it took the US, for example, nearly 12 hours to receive and decode the initial settlement message that contained approx. 3,000 words. By the time the message was decoded and interpreted, and an answer had been prepared, another–more aggressive—message had been received. In May 1957, TAT-1 was used to transmit a concert by the singer and civil rights activist, Paul Robeson performing in New York to St Pancras Town Hall in London. Due to McCarthyism, Robeson's passport had been withdrawn by the United States authorities in 1950. Unable to accept numerous invitations to perform abroad, he stated "We have to learn the hard way that there is another way to sing". The 15 minute connection, which required a music
analyze mathematically, and although Tipler suggested that a finite cylinder might produce closed timelike curves if the rotation rate were fast enough, he did not prove this. But Hawking points out that because of his theorem, "it can't be done with positive energy density everywhere! I can prove that to build a finite time machine, you need negative energy." This result comes from Hawking's 1992 paper on the chronology protection conjecture, where he examines "the case that the causality violations appear in a finite region of spacetime without curvature singularities" and proves that "there will be a Cauchy horizon that is compactly generated and that in general contains one or more closed null geodesics which will be incomplete. One can define geometrical quantities that measure the Lorentz boost and area increase on going round these closed null geodesics. If the causality violation developed from a noncompact initial surface, the averaged weak energy condition must be violated on the Cauchy horizon." This theorem does not rule out the possibility of time travel by means of time machines with the non-compactly generated Cauchy horizons (such as the Deutsch-Politzer time machine) or in regions which contain exotic matter, which would be used for traversable wormholes or the Alcubierre drive and black hole. Quantum physics No-communication theorem When a signal is sent from one location and received at another location, then as long as the signal is moving at the speed of light or slower, the mathematics of simultaneity in the theory of relativity show that all reference frames agree that the transmission-event happened before the reception-event. When the signal travels faster than light, it is received before it is sent, in all reference frames. The signal could be said to have moved backward in time. This hypothetical scenario is sometimes referred to as a tachyonic antitelephone. Quantum-mechanical phenomena such as quantum teleportation, the EPR paradox, or quantum entanglement might appear to create a mechanism that allows for faster-than-light (FTL) communication or time travel, and in fact some interpretations of quantum mechanics such as the Bohm interpretation presume that some information is being exchanged between particles instantaneously in order to maintain correlations between particles. This effect was referred to as "spooky action at a distance" by Einstein. Nevertheless, the fact that causality is preserved in quantum mechanics is a rigorous result in modern quantum field theories, and therefore modern theories do not allow for time travel or FTL communication. In any specific instance where FTL has been claimed, more detailed analysis has proven that to get a signal, some form of classical communication must also be used. The no-communication theorem also gives a general proof that quantum entanglement cannot be used to transmit information faster than classical signals. Interacting many-worlds interpretation A variation of Hugh Everett's many-worlds interpretation (MWI) of quantum mechanics provides a resolution to the grandfather paradox that involves the time traveler arriving in a different universe than the one they came from; it's been argued that since the traveler arrives in a different universe's history and not their own history, this is not "genuine" time travel. The accepted many-worlds interpretation suggests that all possible quantum events can occur in mutually exclusive histories. However, some variations allow different universes to interact. This concept is most often used in science-fiction, but some physicists such as David Deutsch have suggested that a time traveler should end up in a different history than the one he started from. On the other hand, Stephen Hawking has argued that even if the MWI is correct, we should expect each time traveler to experience a single self-consistent history, so that time travelers remain within their own world rather than traveling to a different one. The physicist Allen Everett argued that Deutsch's approach "involves modifying fundamental principles of quantum mechanics; it certainly goes beyond simply adopting the MWI". Everett also argues that even if Deutsch's approach is correct, it would imply that any macroscopic object composed of multiple particles would be split apart when traveling back in time through a wormhole, with different particles emerging in different worlds. Experimental results Certain experiments carried out give the impression of reversed causality, but fail to show it under closer examination. The delayed choice quantum eraser experiment performed by Marlan Scully involves pairs of entangled photons that are divided into "signal photons" and "idler photons", with the signal photons emerging from one of two locations and their position later measured as in the double-slit experiment. Depending on how the idler photon is measured, the experimenter can either learn which of the two locations the signal photon emerged from or "erase" that information. Even though the signal photons can be measured before the choice has been made about the idler photons, the choice seems to retroactively determine whether or not an interference pattern is observed when one correlates measurements of idler photons to the corresponding signal photons. However, since interference can be observed only after the idler photons are measured and they are correlated with the signal photons, there is no way for experimenters to tell what choice will be made in advance just by looking at the signal photons, only by gathering classical information from the entire system; thus causality is preserved. The experiment of Lijun Wang might also show causality violation since it made it possible to send packages of waves through a bulb of caesium gas in such a way that the package appeared to exit the bulb 62 nanoseconds before its entry, but a wave package is not a single well-defined object but rather a sum of multiple waves of different frequencies (see Fourier analysis), and the package can appear to move faster than light or even backward in time even if none of the pure waves in the sum do so. This effect cannot be used to send any matter, energy, or information faster than light, so this experiment is understood not to violate causality either. The physicists Günter Nimtz and Alfons Stahlhofen, of the University of Koblenz, claim to have violated Einstein's theory of relativity by transmitting photons faster than the speed of light. They say they have conducted an experiment in which microwave photons traveled "instantaneously" between a pair of prisms that had been moved up to apart, using a phenomenon known as quantum tunneling. Nimtz told New Scientist magazine: "For the time being, this is the only violation of special relativity that I know of." However, other physicists say that this phenomenon does not allow information to be transmitted faster than light. Aephraim Steinberg, a quantum optics expert at the University of Toronto, Canada, uses the analogy of a train traveling from Chicago to New York, but dropping off train cars at each station along the way, so that the center of the train moves forward at each stop; in this way, the speed of the center of the train exceeds the speed of any of the individual cars. Shengwang Du claims in a peer-reviewed journal to have observed single photons' precursors, saying that they travel no faster than c in a vacuum. His experiment involved slow light as well as passing light through a vacuum. He generated two single photons, passing one through rubidium atoms that had been cooled with a laser (thus slowing the light) and passing one through a vacuum. Both times, apparently, the precursors preceded the photons' main bodies, and the precursor traveled at c in a vacuum. According to Du, this implies that there is no possibility of light traveling faster than c and, thus, no possibility of violating causality. Absence of time travelers from the future Many have argued that the absence of time travelers from the future demonstrates that such technology will never be developed, suggesting that it is impossible. This is analogous to the Fermi paradox related to the absence of evidence of extraterrestrial life. As the absence of extraterrestrial visitors does not categorically prove they do not exist, so the absence of time travelers fails to prove time travel is physically impossible; it might be that time travel is physically possible but is never developed or is cautiously used. Carl Sagan once suggested the possibility that time travelers could be here but are disguising their existence or are not recognized as time travelers. Some versions of general relativity suggest that time travel might only be possible in a region of spacetime that is warped a certain way, and hence time travelers would not be able to travel back to earlier regions in spacetime, before this region existed. Stephen Hawking stated that this would explain why the world has not already been overrun by "tourists from the future". Several experiments have been carried out to try to entice future humans, who might invent time travel technology, to come back and demonstrate it to people of the present time. Events such as Perth's Destination Day or MIT's Time Traveler Convention heavily publicized permanent "advertisements" of a meeting time and place for future time travelers to meet. In 1982, a group in Baltimore, Maryland, identifying itself as the Krononauts, hosted an event of this type welcoming visitors from the future. These experiments only stood the possibility of generating a positive result demonstrating the existence of time travel, but have failed so far—no time travelers are known to have attended either event. Some versions of the many-worlds interpretation can be used to suggest that future humans have traveled back in time, but have traveled back to the meeting time and place in a parallel universe. Time dilation There is a great deal of observable evidence for time dilation in special relativity and gravitational time dilation in general relativity, for example in the famous and easy-to-replicate observation of atmospheric muon decay. The theory of relativity states that the speed of light is invariant for all observers in any frame of reference; that is, it is always the same. Time dilation is a direct consequence of the invariance of the speed of light. Time dilation may be regarded in a limited sense as "time travel into the future": a person may use time dilation so that a small amount of proper time passes for them, while a large amount of proper time passes elsewhere. This can be achieved by traveling at relativistic speeds or through the effects of gravity. For two identical clocks moving relative to each other without accelerating, each clock measures the other to be ticking slower. This is possible due to the relativity of simultaneity. However, the symmetry is broken if one clock accelerates, allowing for less proper time to pass for one clock than the other. The twin paradox describes this: one twin remains on Earth, while the other undergoes acceleration to relativistic speed as they travel into space, turn around, and travel back to Earth; the traveling twin ages less than the twin who stayed on Earth, because of the time dilation experienced during their acceleration. General relativity treats the effects of acceleration and the effects of gravity as equivalent, and shows that time dilation also occurs in gravity wells, with a clock deeper in the well ticking more slowly; this effect is taken into account when calibrating the clocks on the satellites of the Global Positioning System, and it could lead to significant differences in rates of aging for observers at different distances from a large gravity well such as a black hole. A time machine that utilizes this principle might be, for instance, a spherical shell with a diameter of five meters and the mass of Jupiter. A person at its center will travel forward in time at a rate four times slower than that of distant observers. Squeezing the mass of a large planet into such a small structure is not expected to be within humanity's technological capabilities in the near future. With current technologies, it is only possible to cause a human traveler to age less than companions on Earth by a few milliseconds after a few hundred days of space travel. Philosophy Philosophers have discussed the nature of time since at least the time of ancient Greece; for example, Parmenides presented the view that time is an illusion. Centuries later, Isaac Newton supported the idea of absolute time, while his contemporary Gottfried Wilhelm Leibniz maintained that time is only a relation between events and it cannot be expressed independently. The latter approach eventually gave rise to the spacetime of relativity. Presentism vs. eternalism Many philosophers have argued that relativity implies eternalism, the idea that the past and future exist in a real sense, not only as changes that occurred or will occur to the present. Philosopher of science Dean Rickles disagrees with some qualifications, but notes that "the consensus among philosophers seems to be that special and general relativity are incompatible with presentism". Some philosophers view time as a dimension equal to spatial dimensions, that future events are "already there" in the same sense different places exist, and that there is no objective flow of time; however, this view is disputed. Presentism is a school of philosophy that holds that the future and the past exist only as changes that occurred or will occur to the present, and they have no real existence of their own. In this view, time travel is impossible because there is no future or past to travel to. Keller and Nelson have argued that even if past and future objects do not exist, there can still be definite truths about past and future events, and thus it is possible that a future truth about a time traveler deciding to travel back to the present date could explain the time traveler's actual appearance in the present; these views are contested by some authors. Presentism in classical spacetime deems that only the present exists; this is not reconcilable with special relativity, shown in the following example: Alice and Bob are simultaneous observers of eventO. For Alice, some eventE is simultaneous withO, but for Bob, eventE is in the past or future. Therefore, Alice and Bob disagree about what exists in the present, which contradicts classical presentism. "Here-now presentism" attempts to reconcile this by only acknowledging the time and space of a single point; this is unsatisfactory because objects coming and going from the "here-now" alternate between real and unreal, in addition to the lack of a privileged "here-now" that would be the "real" present. "Relativized presentism" acknowledges that there are infinite frames of reference, each of them having a different set of simultaneous events, which makes it impossible to distinguish a single "real" present, and hence either all events in time are real—blurring the difference between presentism and eternalism—or each frame of reference exists in its own reality. Options for presentism in special relativity appear to be exhausted, but Gödel and others suspect presentism may be valid for some forms of
of his theorem, "it can't be done with positive energy density everywhere! I can prove that to build a finite time machine, you need negative energy." This result comes from Hawking's 1992 paper on the chronology protection conjecture, where he examines "the case that the causality violations appear in a finite region of spacetime without curvature singularities" and proves that "there will be a Cauchy horizon that is compactly generated and that in general contains one or more closed null geodesics which will be incomplete. One can define geometrical quantities that measure the Lorentz boost and area increase on going round these closed null geodesics. If the causality violation developed from a noncompact initial surface, the averaged weak energy condition must be violated on the Cauchy horizon." This theorem does not rule out the possibility of time travel by means of time machines with the non-compactly generated Cauchy horizons (such as the Deutsch-Politzer time machine) or in regions which contain exotic matter, which would be used for traversable wormholes or the Alcubierre drive and black hole. Quantum physics No-communication theorem When a signal is sent from one location and received at another location, then as long as the signal is moving at the speed of light or slower, the mathematics of simultaneity in the theory of relativity show that all reference frames agree that the transmission-event happened before the reception-event. When the signal travels faster than light, it is received before it is sent, in all reference frames. The signal could be said to have moved backward in time. This hypothetical scenario is sometimes referred to as a tachyonic antitelephone. Quantum-mechanical phenomena such as quantum teleportation, the EPR paradox, or quantum entanglement might appear to create a mechanism that allows for faster-than-light (FTL) communication or time travel, and in fact some interpretations of quantum mechanics such as the Bohm interpretation presume that some information is being exchanged between particles instantaneously in order to maintain correlations between particles. This effect was referred to as "spooky action at a distance" by Einstein. Nevertheless, the fact that causality is preserved in quantum mechanics is a rigorous result in modern quantum field theories, and therefore modern theories do not allow for time travel or FTL communication. In any specific instance where FTL has been claimed, more detailed analysis has proven that to get a signal, some form of classical communication must also be used. The no-communication theorem also gives a general proof that quantum entanglement cannot be used to transmit information faster than classical signals. Interacting many-worlds interpretation A variation of Hugh Everett's many-worlds interpretation (MWI) of quantum mechanics provides a resolution to the grandfather paradox that involves the time traveler arriving in a different universe than the one they came from; it's been argued that since the traveler arrives in a different universe's history and not their own history, this is not "genuine" time travel. The accepted many-worlds interpretation suggests that all possible quantum events can occur in mutually exclusive histories. However, some variations allow different universes to interact. This concept is most often used in science-fiction, but some physicists such as David Deutsch have suggested that a time traveler should end up in a different history than the one he started from. On the other hand, Stephen Hawking has argued that even if the MWI is correct, we should expect each time traveler to experience a single self-consistent history, so that time travelers remain within their own world rather than traveling to a different one. The physicist Allen Everett argued that Deutsch's approach "involves modifying fundamental principles of quantum mechanics; it certainly goes beyond simply adopting the MWI". Everett also argues that even if Deutsch's approach is correct, it would imply that any macroscopic object composed of multiple particles would be split apart when traveling back in time through a wormhole, with different particles emerging in different worlds. Experimental results Certain experiments carried out give the impression of reversed causality, but fail to show it under closer examination. The delayed choice quantum eraser experiment performed by Marlan Scully involves pairs of entangled photons that are divided into "signal photons" and "idler photons", with the signal photons emerging from one of two locations and their position later measured as in the double-slit experiment. Depending on how the idler photon is measured, the experimenter can either learn which of the two locations the signal photon emerged from or "erase" that information. Even though the signal photons can be measured before the choice has been made about the idler photons, the choice seems to retroactively determine whether or not an interference pattern is observed when one correlates measurements of idler photons to the corresponding signal photons. However, since interference can be observed only after the idler photons are measured and they are correlated with the signal photons, there is no way for experimenters to tell what choice will be made in advance just by looking at the signal photons, only by gathering classical information from the entire system; thus causality is preserved. The experiment of Lijun Wang might also show causality violation since it made it possible to send packages of waves through a bulb of caesium gas in such a way that the package appeared to exit the bulb 62 nanoseconds before its entry, but a wave package is not a single well-defined object but rather a sum of multiple waves of different frequencies (see Fourier analysis), and the package can appear to move faster than light or even backward in time even if none of the pure waves in the sum do so. This effect cannot be used to send any matter, energy, or information faster than light, so this experiment is understood not to violate causality either. The physicists Günter Nimtz and Alfons Stahlhofen, of the University of Koblenz, claim to have violated Einstein's theory of relativity by transmitting photons faster than the speed of light. They say they have conducted an experiment in which microwave photons traveled "instantaneously" between a pair of prisms that had been moved up to apart, using a phenomenon known as quantum tunneling. Nimtz told New Scientist magazine: "For the time being, this is the only violation of special relativity that I know of." However, other physicists say that this phenomenon does not allow information to be transmitted faster than light. Aephraim Steinberg, a quantum optics expert at the University of Toronto, Canada, uses the analogy of a train traveling from Chicago to New York, but dropping off train cars at each station along the way, so that the center of the train moves forward at each stop; in this way, the speed of the center of the train exceeds the speed of any of the individual cars. Shengwang Du claims in a peer-reviewed journal to have observed single photons' precursors, saying that they travel no faster than c in a vacuum. His experiment involved slow light as well as passing light through a vacuum. He generated two single photons, passing one through rubidium atoms that had been cooled with a laser (thus slowing the light) and passing one through a vacuum. Both times, apparently, the precursors preceded the photons' main bodies, and the precursor traveled at c in a vacuum. According to Du, this implies that there is no possibility of light traveling faster than c and, thus, no possibility of violating causality. Absence of time travelers from the future Many have argued that the absence of time travelers from the future demonstrates that such technology will never be developed, suggesting that it is impossible. This is analogous to the Fermi paradox related to the absence of evidence of extraterrestrial life. As the absence of extraterrestrial visitors does not categorically prove they do not exist, so the absence of time travelers fails to prove time travel is physically impossible; it might be that time travel is physically possible but is never developed or is cautiously used. Carl Sagan once suggested the possibility that time travelers could be here but are disguising their existence or are not recognized as time travelers. Some versions of general relativity suggest that time travel might only be possible in a region of spacetime that is warped a certain way, and hence time travelers would not be able to travel back to earlier regions in spacetime, before this region existed. Stephen Hawking stated that this would explain why the world has not already been overrun by
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English post-punk band , an Argentine public broadcaster , a Polish public broadcaster , a former Malaysian educational channel TV Patrol, a Philippine primetime newscast Science and technology Tricuspid valve prolapse, a heart-valve misalignment True vapor pressure, a
of the river Cher to create the districts of Rives du Cher and des Fontaines. At the time, this was one of the largest urban developments in Europe. In 1970, the François Rabelais University was founded; this is centred on the bank of the Loire in the downtown area, and not – as it was then the current practice – in a campus in the suburbs. The latter solution was also chosen by the twin university of Orleans. Royer's long term as Mayor was, however, not without controversy, as exemplified by the construction of the practical – but aesthetically unattractive – motorway which runs along the bed of a former canal just from the cathedral. Another bone of contention was the original Vinci Congress Centre by Jean Nouvel. This project incurred debts although it did, at least, make Tours one of France's principal conference centres. Jean Germain, a member of the Socialist Party, became Mayor in 1995 and made debt reduction his priority. Ten years later, his economic management was regarded as much wiser than that of his predecessor due to the financial stability of the city returning. However, the achievements of Jean Germain were criticized by the municipal opposition for a lack of ambition. There were no large building projects instituted under his double mandate. This position is disputed by those in power, who affirm their policy of concentrating on the quality of life, as evidenced by urban restoration, the development of public transport and cultural activities. Climate Tours has an oceanic climate that is very mild for such a northern latitude. Summers are influenced by its inland position, resulting in frequent days of or warmer, whereas winters are kept mild by Atlantic air masses. Sights Tours Cathedral The cathedral of Tours are dedicated to Saint Gatien, its canonized first bishop, was begun about 1170 to replace the cathedral that was burnt out in 1166, during the dispute between Louis VII of France and Henry II of England. The lowermost stages of the western towers belong to the 12th century, but the rest of the west end is in the profusely detailed Flamboyant Gothic of the 15th century, completed just as the Renaissance was affecting the patrons who planned the châteaux of Touraine. These towers were being constructed at the same time as, for example, the Château de Chenonceau. When the 15th-century illuminator Jean Fouquet was set the task of illuminating Josephus's Jewish Antiquities, his depiction of Solomon's Temple was modeled after the nearly-complete cathedral of Tours. The atmosphere of the Gothic cathedral close permeates Honoré de Balzac's dark short novel of jealousy and provincial intrigues, Le Curé de Tours (The Curate of Tours) and his medieval story Maître Cornélius opens within the cathedral itself. Other points of interest Hôtel de Ville Jardin botanique de Tours, the municipal botanical garden Musée des Beaux-Arts de Tours Hôtel Goüin Château de Tours Basilique St-Martin Place Plumereau, the old town Grand Théâtre, housing the Opéra de Tours Tour Charlemagne Language Before the French Revolution, the inhabitants of Tours (Les Tourangeaux) were known for speaking the "purest" form of French in the entire country. The pronunciation of Touraine was traditionally regarded as the most standard pronunciation of the French language, until the 19th century when the standard pronunciation of French shifted to that of the Parisian bourgeoisie. This is explained by the fact that the court of France was living in Touraine between 1430 and 1530. French, the language of the court, had become the official language of the entire kingdom. A Council of Tours in 813 decided that priests should preach sermons in different languages because the common people could no longer understand classical Latin. This was the first official recognition of an early French language distinct from Latin, and can be considered as the birth of French. The ordinance of Montils-lès-Tours, promulgated by Charles VII in 1454, made it mandatory to write laws and oral customs in the native language of the area. An ordinance of Charles VIII (born in Amboise, near Tours) in 1490 and one of Louis XII (born in Blois, near Tours) in 1510 broaden the scope of the ordinance of Charles VII. Finally the ordinance of Villers-Cotterêts, signed into law by Francis I in 1539, called for the use of French in all legal acts, notarized contracts and official legislation to avoid any linguistic confusion. Gregory of Tours wrote in the 6th century that some people in this area could still speak Gaulish. City The city of Tours has a population of 140,000 and is called "Le Jardin de la France" ("The Garden of France"). There are several parks located within the city. Tours is located between two rivers, the Loire to the north and the Cher to the south. The buildings of Tours are white with blue slate (called Ardoise) roofs; this style is common in the north of France, while most buildings in the south of France have terracotta roofs . Tours is famous for its original medieval district, called le Vieux Tours. Unique to the Old City are its preserved half-timbered buildings and la Place Plumereau, a square with busy pubs and restaurants, whose open-air tables fill the centre of the square. The Boulevard Beranger crosses the Rue Nationale at the Place Jean-Jaures and is the location of weekly markets and fairs. Tours is famous for its many bridges crossing the river Loire. One of them, the Pont Wilson, collapsed in 1978, but was rebuilt. In the garden of the ancient Palais des Archevêques (now Musée des Beaux-Arts) is a huge cedar tree said to have been planted by Napoleon. The garden also has a stuffed elephant named Fritz. He escaped from the Barnum and Bailey circus during their stay in Tours in 1902. He went mad and had to be shot down, but the city paid to honor him, and he was taxidermied as a result. Tours is home to University of Tours (formerly known as University François Rabelais of Tours), the site of one of the most important choral competitions, called Florilège Vocal de Tours International Choir Competition, and is a member city of the European Grand Prix for Choral Singing. Population The population data in the table and graph below refer to the commune of Tours proper, in its geography at the given years. The commune of Tours absorbed the former commune of Saint-Étienne in 1845 and Sainte-Radegonde-en-Touraine and Saint-Symphorien in 1964. Transportation Today, with extensive rail (including TGV) and autoroute connections linking to the rest of the country, Tours is a jumping-off point for tourist visits to the Loire Valley and the royal châteaux. Tours is on one of the main lines of the TGV. It is possible to travel to the west coast of Bordeaux in two and a half hours. From there, the line follows the Mediterranean coast via Avignon, and then to Spain and Barcelona. There are also lines to Lyon, Strasbourg and Lille. It takes less than one hour by train to get from Tours to Paris by TGV and one and a half hours to get to Charles de Gaulle Airport. Tours has two main stations: Gare de Tours, the central station, and Gare de Saint-Pierre-des-Corps, used by trains that do not terminate in Tours. Tours Loire Valley Airport connects the Loire Valley to European cities. Tours has a tram system, which began service at the end of August 2013. Twenty-one Alstom Citadis trams were ordered. There is also a bus service, the main central stop being Jean Jaures, next to the Hôtel de Ville, and rue Nationale, the high street of Tours. The tram and bus networks are operated by Fil Bleu and they share a ticketing system. A second tram line is scheduled for 2025. Tours does not have a metro rail system. Education École supérieure de commerce et management Sport The city's football team, Tours FC, currently play in Championnat National 3, the fifth level of French football. They also have a second team, CCSP Tours. CCSP's home stadium is the Stade des Tourettes and they play in the Division d'Honneur Regionale de Centre, the seventh tier of the French football league system. Tours has served as the finish location for Paris–Tours, a one-day road cycling classic race held almost every October since 1896. Tours also has a volleyball club named the Tours VB. Catholics from Tours Tours is a special place for Catholics who follow the devotion to the Holy Face of Jesus and the adoration of the Blessed Sacrament. In 1843, Sister Marie of St Peter of Tours reported a vision which started the devotion to the Holy Face of Jesus, in reparation for the many insults Christ suffered in His Passion. The Golden Arrow Prayer was first made public by her. The Venerable Leo Dupont also known as The Holy Man of Tours lived in Tours at about the same time. In 1849 he started the nightly adoration of the Blessed Sacrament, which spread throughout France. Upon hearing of Sister Marie of St Peter's reported visions, he started to burn a vigil lamp continuously before a picture of the Holy Face of Jesus. The devotion was eventually approved by Pope Pius XII in 1958 and he formally declared the Feast of the Holy Face of Jesus as Shrove Tuesday (the Tuesday before Ash Wednesday) for all Roman Catholics. The Oratory of the Holy Face on Rue St. Etienne in Tours receives many pilgrims every year. Tours was the site of the episcopal activity of St. Martin of Tours and has further Christian connotations in that the pivotal Battle of Tours in 732 is often considered the very first decisive victory over the invading Islamic forces, turning the tide against them. The battle also helped lay the foundations of the Carolingian Empire. Notable natives and residents 11th–18th century Berengarius of Tours (999–1088), theologian Bernard of Tours (fl. 1147, d. before 1178), philosopher and poet Walter of Compiègne (12th century), painter Jean Fouquet (1420–1481), painter Abraham Bosse (1604–1676), artist Louise de la Vallière (1644–1710), courtesan Philippe Néricault Destouches (1680–1754), dramatist Jean Baudrais (1749–1832), 18th-century French playwright Nicolas Heurteloup (1750–1812), surgeon Philippe Musard (1792–1859), conductor and composer Gabriel Lamé (1795–1870), mathematician Honoré de Balzac (1799–1850), novelist 19th century Louisa Emily Dobrée (fl. ca. 1877–1917), writer André-Michel Guerry (1802–1866), lawyer and statistician Théophile Archambault (1806–1863), psychiatrist Ernest Goüin (1815–1885), French engineer Marie of St Peter (1816–1848), mystic carmelite nun Philippe de Trobriand (1816–1897), author, American military officer Émile Delahaye (1843–1905), automobile pioneer Georges Courteline (1858–1929), dramatist and novelist Emile B. De
Tours, which saw the creation of the French Communist Party. Second World War Tours was also marked by the Second World War as the city suffered massive destruction in 1940. For four years it was a city of military camps and fortifications. From 10 to 13 June 1940, Tours was the temporary seat of the French government before its move to Bordeaux. German incendiary bombs caused a huge fire which blazed out of control from 20 to 22 June and destroyed part of the city centre. Some architectural masterpieces of the 16th and 17th centuries were lost, as was the monumental entry to the city. The Wilson Bridge that carried a water main which supplied the city was dynamited to slow the progress of the German advance. With the water main severed, nobody was able to extinguish the inferno, therefore inhabitants had no option but to flee to safety. More heavy air raids by Allied forces devastated the area around the railway station in 1944, causing several hundred deaths. Post-war developments A plan for the rebuilding of the downtown area drawn up by the local architect Camille Lefèvre was adopted even before the end of the war. The plan was for 20 small quadrangular blocks of housing to be arranged around the main road (la rue Nationale), which was widened. This regular layout attempted to echo, yet simplify, the 18th-century architecture. Pierre Patout succeeded Lefèvre as the architect in charge of rebuilding in 1945. At one time there was talk of demolishing the southern side of the rue Nationale in order to make it in keeping with the new development. The recent history of Tours is marked by the personality of Jean Royer, who was Mayor for 36 years and helped save the old town from demolition by establishing one of the first Conservation Areas. This example of conservation policy would later inspire the Malraux Law for the safeguarding of historic city centres. In the 1970s, Jean Royer also extended the city to the south by diverting the course of the river Cher to create the districts of Rives du Cher and des Fontaines. At the time, this was one of the largest urban developments in Europe. In 1970, the François Rabelais University was founded; this is centred on the bank of the Loire in the downtown area, and not – as it was then the current practice – in a campus in the suburbs. The latter solution was also chosen by the twin university of Orleans. Royer's long term as Mayor was, however, not without controversy, as exemplified by the construction of the practical – but aesthetically unattractive – motorway which runs along the bed of a former canal just from the cathedral. Another bone of contention was the original Vinci Congress Centre by Jean Nouvel. This project incurred debts although it did, at least, make Tours one of France's principal conference centres. Jean Germain, a member of the Socialist Party, became Mayor in 1995 and made debt reduction his priority. Ten years later, his economic management was regarded as much wiser than that of his predecessor due to the financial stability of the city returning. However, the achievements of Jean Germain were criticized by the municipal opposition for a lack of ambition. There were no large building projects instituted under his double mandate. This position is disputed by those in power, who affirm their policy of concentrating on the quality of life, as evidenced by urban restoration, the development of public transport and cultural activities. Climate Tours has an oceanic climate that is very mild for such a northern latitude. Summers are influenced by its inland position, resulting in frequent days of or warmer, whereas winters are kept mild by Atlantic air masses. Sights Tours Cathedral The cathedral of Tours are dedicated to Saint Gatien, its canonized first bishop, was begun about 1170 to replace the cathedral that was burnt out in 1166, during the dispute between Louis VII of France and Henry II of England. The lowermost stages of the western towers belong to the 12th century, but the rest of the west end is in the profusely detailed Flamboyant Gothic of the 15th century, completed just as the Renaissance was affecting the patrons who planned the châteaux of Touraine. These towers were being constructed at the same time as, for example, the Château de Chenonceau. When the 15th-century illuminator Jean Fouquet was set the task of illuminating Josephus's Jewish Antiquities, his depiction of Solomon's Temple was modeled after the nearly-complete cathedral of Tours. The atmosphere of the Gothic cathedral close permeates Honoré de Balzac's dark short novel of jealousy and provincial intrigues, Le Curé de Tours (The Curate of Tours) and his medieval story Maître Cornélius opens within the cathedral itself. Other points of interest Hôtel de Ville Jardin botanique de Tours, the municipal botanical garden Musée des Beaux-Arts de Tours Hôtel Goüin Château de Tours Basilique St-Martin Place Plumereau, the old town Grand Théâtre, housing the Opéra de Tours Tour Charlemagne Language Before the French Revolution, the inhabitants of Tours (Les Tourangeaux) were known for speaking the "purest" form of French in the entire country. The pronunciation of Touraine was traditionally regarded as the most standard pronunciation of the French language, until the 19th century when the standard pronunciation of French shifted to that of the Parisian bourgeoisie. This is explained by the fact that the court of France was living in Touraine between 1430 and 1530. French, the language of the court, had become the official language of the entire kingdom. A Council of Tours in 813 decided that priests should preach sermons in different languages because the common people could no longer understand classical Latin. This was the first official recognition of an early French language distinct from Latin, and can be considered as the birth of French. The ordinance of Montils-lès-Tours, promulgated by Charles VII in 1454, made it mandatory to write laws and oral customs in the native language of the area. An ordinance of Charles VIII (born in Amboise, near Tours) in 1490 and one of Louis XII (born in Blois, near Tours) in 1510 broaden the scope of the ordinance of Charles VII. Finally the ordinance of Villers-Cotterêts, signed into law by Francis I in 1539, called for the use of French in all legal acts, notarized contracts and official legislation to avoid any linguistic confusion. Gregory of Tours wrote in the 6th century that some people in this area could still speak Gaulish. City The city of Tours has a population of 140,000 and is called "Le Jardin de la France" ("The Garden of France"). There are several parks located within the city. Tours is located between two rivers, the Loire to the north and the Cher to the south. The buildings of Tours are white with blue slate (called Ardoise) roofs; this style is common in the north of France, while most buildings in the south of France have terracotta roofs . Tours is famous for its original medieval district, called le Vieux Tours. Unique to the Old City are its preserved half-timbered buildings and la Place Plumereau, a square with busy pubs and restaurants, whose open-air tables fill the centre of the square. The Boulevard Beranger crosses the Rue Nationale at the Place Jean-Jaures and is the location of weekly markets and fairs. Tours is famous for its many bridges crossing the river Loire. One of them, the Pont Wilson, collapsed in 1978, but was rebuilt. In the garden of the ancient Palais des Archevêques (now Musée des Beaux-Arts) is a huge cedar tree said to have been planted by Napoleon. The garden also has a stuffed elephant named Fritz. He escaped from the Barnum and Bailey circus during their stay in Tours in 1902. He went mad and had to be shot down, but the city paid to honor him, and he was taxidermied as a result. Tours is home to University of Tours (formerly known as University François Rabelais of Tours), the site of one of the most important choral competitions, called Florilège Vocal de Tours International Choir Competition, and is a member city of the European Grand Prix for Choral Singing. Population The population data in the table and graph below refer to the commune of Tours proper, in its geography at the given years. The commune of Tours absorbed the former commune of Saint-Étienne in 1845 and Sainte-Radegonde-en-Touraine and Saint-Symphorien in 1964. Transportation Today, with extensive rail (including TGV) and autoroute connections linking to the rest of the country, Tours is a jumping-off point for tourist visits to the Loire Valley and the royal châteaux. Tours is on one of the main lines of the TGV. It is possible to travel to the west coast of Bordeaux in two and a half hours. From there, the line follows the Mediterranean coast via Avignon, and then to Spain and Barcelona. There are also lines to Lyon, Strasbourg and Lille. It takes less than one hour by train to get from Tours to Paris by TGV and one and a half hours to get to Charles de Gaulle Airport. Tours has two main stations: Gare de Tours, the central station, and Gare de Saint-Pierre-des-Corps, used by trains that do not terminate in Tours. Tours Loire Valley Airport connects the Loire Valley to European cities. Tours has a tram system, which began service at the end of August 2013. Twenty-one Alstom Citadis trams were ordered. There is also a bus service, the main central stop being Jean Jaures, next to the Hôtel de Ville, and rue Nationale, the high street of Tours. The tram and bus networks are operated by Fil Bleu and they share a ticketing system. A second tram line is scheduled for 2025. Tours does not have a metro rail system. Education École supérieure de commerce et management Sport The city's football team, Tours FC, currently play in Championnat National 3, the fifth level of French football. They also have a second team, CCSP Tours. CCSP's home stadium is the Stade des Tourettes and they play in the Division d'Honneur Regionale de Centre, the seventh tier of the French football league system. Tours has served as the finish location for Paris–Tours, a one-day road cycling classic race held almost every October since 1896.
(EP) TNT (Brazilian band), a Brazilian rockabilly/pop rock band TNT I, their first self-titled debut album TNT II, their second self-titled album TNT (Tortoise album) TNT (Tanya Tucker album) Television TNT (American TV network) TNT (Australian TV station), Tasmania TNT (Russian TV channel) AEW TNT Championship, American wrestling Tawag ng Tanghalan, a singing competition in the Philippines Tuesday Night Titans, a 1980s wrestling TV show Digital terrestrial television in France (Television Numerique Terrestre) Other entertainment TNT (character), a 1940s superhero TNT (magazine), for non-citizen UK residents TnT (magazine), a 1980s Tunnels & Trolls fanzine Transsexual News Telegraph, a magazine T.N.T. (1997
1940s superhero TNT (magazine), for non-citizen UK residents TnT (magazine), a 1980s Tunnels & Trolls fanzine Transsexual News Telegraph, a magazine T.N.T. (1997 film), with Olivier Gruner Companies and organizations TNT Airways, later ASL Airlines Belgium TNT (clothing), Israel TNT Tropang Giga, a Philippine basketball team Tamil New Tigers, a Tamil organization Terror Against Terror (Hebrew: Terror Neged Terror), a terrorist organization in Israel Tried-N-True Pro Wrestling, a wrestling promotion TNT N.V., later PostNL, a Dutch mail delivery company Thomas Nationwide Transport, later TNT Limited, then TNT N.V. in 1998 TNT Express, split from TNT N.V. in 2011 Koninklijke TNT Post, the Netherlands, until 2011 Technology TNT (cellular service), in the Philippines TNT (instant messenger), a messaging client Template Numerical Toolkit, a C++ software library The NeWS Toolkit, an early Unix GUI library RIVA TNT, a computer graphics chipset by nVidia People Greg
fails to eradicate the hepatobiliary carriage, the gallbladder should be resected. Cholecystectomy is sometimes successful, especially in patients with gallstones, but is not always successful in eradicating the carrier state because of persisting hepatic infection. Resistance As resistance to ampicillin, chloramphenicol, trimethoprim-sulfamethoxazole, and streptomycin is now common, these agents are no longer used as first–line treatment of typhoid fever. Typhoid resistant to these agents is known as multidrug-resistant typhoid. Ciprofloxacin resistance is an increasing problem, especially in the Indian subcontinent and Southeast Asia. Many centres are shifting from ciprofloxacin to ceftriaxone as the first line for treating suspected typhoid originating in South America, India, Pakistan, Bangladesh, Thailand, or Vietnam. Also, it has been suggested that azithromycin is better at treating resistant typhoid than both fluoroquinolone drugs and ceftriaxone. Azithromycin can be taken by mouth and is less expensive than ceftriaxone, which is given by injection. A separate problem exists with laboratory testing for reduced susceptibility to ciprofloxacin; current recommendations are that isolates should be tested simultaneously against ciprofloxacin (CIP) and against nalidixic acid (NAL), that isolates sensitive to both CIP and NAL should be reported as "sensitive to ciprofloxacin", and that isolates sensitive to CIP but not to NAL should be reported as "reduced sensitivity to ciprofloxacin". But an analysis of 271 isolates found that around 18% of isolates with a reduced susceptibility to fluoroquinolones, the class which CIP belongs (MIC 0.125–1.0 mg/l), would not be detected by this method. Epidemiology In 2000, typhoid fever caused an estimated 21.7 million illnesses and 217,000 deaths. It occurs most often in children and young adults between 5 and 19 years old. In 2013, it resulted in about 161,000 deaths – down from 181,000 in 1990. Infants, children, and adolescents in south-central and Southeast Asia have the highest rates of typhoid. Outbreaks are also often reported in sub-Saharan Africa and Southeast Asia. In 2000, more than 90% of morbidity and mortality due to typhoid fever occurred in Asia. In the U.S., about 400 cases occur each year, 75% of which are acquired while traveling internationally. Before the antibiotic era, the case fatality rate of typhoid fever was 10%–20%. Today, with prompt treatment, it is less than 1%, but 3%–5% of people who are infected develop a chronic infection in the gall bladder. Since S. enterica subsp. enterica serovar Typhi is human-restricted, these chronic carriers become the crucial reservoir, which can persist for decades for further spread of the disease, further complicating its identification and treatment. Lately, the study of S. enterica subsp. enterica serovar Typhi associated with a large outbreak and a carrier at the genome level provides new insight into the pathogenesis of the pathogen. In industrialized nations, water sanitation and food handling improvements have reduced the number of typhoid cases. Developing nations, such as those in parts of Asia and Africa, have the highest rates. These areas lack access to clean water, proper sanitation systems, and proper health-care facilities. In these areas, such access to basic public-health needs is not expected in the near future. In 2004–2005 an outbreak in the Democratic Republic of Congo resulted in more than 42,000 cases and 214 deaths. Since November 2016, Pakistan has had an outbreak of extensively drug-resistant (XDR) typhoid fever. In Europe, a report based on data for 2017 retrieved from The European Surveillance System (TESSy) on the distribution of confirmed typhoid and paratyphoid fever cases found that 22 EU/EEA countries reported a total of 1,098 cases, 90.9% of which were travel-related, mainly acquired during travel to South Asia. Prevention Sanitation and hygiene are important to prevent typhoid. It can spread only in environments where human feces can come into contact with food or drinking water. Careful food preparation and washing of hands are crucial to prevent typhoid. Industrialization contributed greatly to the elimination of typhoid fever, as it eliminated the public-health hazards associated with having horse manure in public streets, which led to a large number of flies, which are vectors of many pathogens, including Salmonella spp. According to statistics from the U.S. Centers for Disease Control and Prevention, the chlorination of drinking water has led to dramatic decreases in the transmission of typhoid fever. Vaccination Two typhoid vaccines are licensed for use for the prevention of typhoid: the live, oral Ty21a vaccine (sold as Vivotif by Crucell Switzerland AG) and the injectable typhoid polysaccharide vaccine (sold as Typhim Vi by Sanofi Pasteur and Typherix by GlaxoSmithKline). Both are efficacious and recommended for travelers to areas where typhoid is endemic. Boosters are recommended every five years for the oral vaccine and every two years for the injectable form. An older, killed whole-cell vaccine is still used in countries where the newer preparations are not available, but this vaccine is no longer recommended for use because it has more side effects (mainly pain and inflammation at the site of the injection). To help decrease rates of typhoid fever in developing nations, the World Health Organization (WHO) endorsed the use of a vaccination program starting in 1999. Vaccination has proven effective at controlling outbreaks in high-incidence areas and is also very cost-effective: prices are normally less than US$1 per dose. Because the price is low, poverty-stricken communities are more willing to take advantage of the vaccinations. Although vaccination programs for typhoid have proven effective, they alone cannot eliminate typhoid fever. Combining vaccines with public-health efforts is the only proven way to control this disease. Since the 1990s, the WHO has recommended two typhoid fever vaccines. The ViPS vaccine is given by injection, and the Ty21a by capsules. Only people over age two are recommended to be vaccinated with the ViPS vaccine, and it requires a revaccination after 2–3 years, with a 55%–72% efficacy. The Ty21a vaccine is recommended for people five and older, lasting 5–7 years with 51%–67% efficacy. The two vaccines have proved safe and effective for epidemic disease control in multiple regions. A version of the vaccine combined with a hepatitis A vaccine is also available. Results of a phase 3 trial of typhoid conjugate vaccine (TCV) in December 2019 reported 81% fewer cases among children. History Early descriptions The plague of Athens, during the Peloponnesian War, was most likely an outbreak of typhoid fever. During the war, Athenians retreated into a walled-in city to escape attack from the Spartans. This massive influx of humans into a concentrated space overwhelmed the water supply and waste infrastructure, likely leading to unsanitary conditions as fresh water became harder to obtain and waste became more difficult to collect and remove beyond the city walls. In 2006, examining the remains for a mass burial site from Athens from around the time of the plague (~430 B.C.) revealed that fragments of DNA similar to modern day S. Typhi DNA were detected, whereas Yersinia pestis (plague), Rickettsia prowazekii (typhus), Mycobacterium tuberculosis, cowpox virus, and Bartonella henselae were not detected in any of the remains tested. It is possible that the Roman emperor Augustus Caesar suffered from either a liver abscess or typhoid fever, and survived by using ice baths and cold compresses as a means of treatment for his fever. There is a statue of the Greek physician, Antonius Musa, who treated his fever. Definition and evidence of transmission The French doctors Pierre-Fidele Bretonneau and Pierre-Charles-Alexandre Louis are credited with describing typhoid fever as a specific disease, unique from typhus. Both doctors performed autopsies on individuals who died in Paris due to fever – and indicated that many had lesions on the Peyer's patches which correlated with distinct symptoms before death. British medics were skeptical of the differentiation between typhoid and typhus because both were endemic to Britain at that time. However, in France only typhoid was present circulating in the population. Pierre-Charlles-Alexandre Louis also performed case studies and statistical analysis to demonstrate that typhoid was contagious - and that persons who already had the disease seemed to be protected. Afterward, several American doctors confirmed these findings, and then Sir William Jenner convinced any remaining skeptics that typhoid is a specific disease recognizable by lesions in the Peyer's patches by examining sixty six autopsies from fever patients and concluding that the symptoms of headaches, diarrhea, rash spots, and abdominal pain were only present in patients which then had intestinal lesions after death; which solidified the association of the disease with the intestinal tract and gave the first clue to the route of transmission. In 1847 William Budd learned of an epidemic of typhoid fever in Clifton, and identified that all 13 of 34 residents who had contracted the disease drew their drinking water from the same well. Notably, this observation was two years prior to John Snow discovering the route of contaminated water as the cause for a cholera outbreak. Budd later became health officer of Bristol and ensured a clean water supply, and documented further evidence of typhoid as a water-borne illness throughout his career. Cause Polish scientist Tadeusz Browicz described a short bacillus in the organs and feces of typhoid victims in 1874. Browicz was able to isolate and grow the bacilli but did not go as far as to insinuate or prove that they caused the disease. In April 1880, three months prior to Eberth's publication, Edwin Klebs described short and filamentous bacilli in the Peyer's patches in typhoid victims. The bacterium's role in disease was speculated but not confirmed. In 1880, Karl Joseph Eberth described a bacillus that he suspected was the cause of typhoid. Eberth is given credit for discovering the bacterium definitively by successfully isolating the same bacterium from 18 of 40 typhoid victims and failing to discover the bacterium present in any "control" victims of other diseases. In 1884, pathologist Georg Theodor August Gaffky (1850–1918) confirmed Eberth's findings. Gaffky isolated the same bacterium as Eberth from the spleen of a typhoid victim, and was able to grow the bacterium on solid media. The organism was given names such as Eberth's bacillus, Eberthella Typhi, and Gaffky-Eberth bacillus. Today, the bacillus that causes typhoid fever goes by the scientific name Salmonella enterica serovar Typhi. Chlorination of water Most developed countries had declining rates of typhoid fever throughout the first half of the 20th century due to vaccinations and advances in public sanitation and hygiene. In 1893 attempts were made to chlorinate the water supply in Hamburg, Germany and in 1897 Maidstone, England, was the first town to have its entire water supply chlorinated. In 1905, following an outbreak of typhoid fever, the City of Lincoln, England, instituted permanent water chlorination. The first permanent disinfection of drinking water in the US was made in 1908 to the Jersey City, New Jersey, water supply. Credit for the decision to build the chlorination system has been given to John L. Leal. The chlorination facility was designed by George W. Fuller. Outbreaks in traveling military groups led to the creation of the Lyster bag in 1915; a bag with a faucet which can be hung from a tree or pole, filled with water, and comes with a chlorination tablet to drop into the water. The Lyster bag was essential for the survival of American soldiers in the Vietnam War. Direct transmission and carriers There were several occurrences of milk delivery men spreading typhoid fever throughout the communities they served. Although typhoid is not spread through milk itself, there were several examples of milk distributors in many locations watering their milk down with contaminated water, or cleaning the glass bottles the milk was placed in with contaminated water. Boston had two such cases around the turn of the 20th century. In 1899 there were 24 cases of typhoid traced to a single milkman, whose wife had died of typhoid fever a week before the outbreak. In 1908, J.J. Fallon, who was also a milkman, died of typhoid fever. Following his death and confirmation of the typhoid fever diagnosis, the city conducted an investigation of typhoid symptoms and cases along his route and found evidence of a significant outbreak. A month after the outbreak was first reported, the Boston Globe published a short statement declaring the outbreak over, stating "[a]t Jamaica Plain there is a slight increase, the total being 272 cases. Throughout the city there is a total of 348 cases." There was at least one death reported during this outbreak: Mrs. Sophia S. Engstrom, aged 46. Typhoid continued to ravage the Jamaica Plain neighborhood in particular throughout 1908, and several more people were reported dead due to typhoid fever, although these cases were not explicitly linked to the outbreak. The Jamaica Plain neighborhood at that time was home to many working-class and poor immigrants, mostly from Ireland. The most notorious carrier of typhoid fever, but by no means the most destructive, was Mary Mallon, known as Typhoid Mary. Although other cases of human-to-human spread of typhoid were known at the time, the concept of an asymptomatic carrier, who was able to transmit disease, had only been hypothesized and not yet identified or proven. Mary Mallon became the first known example of an asymptomatic carrier of an infectious disease, making typhoid fever the first known disease being transmissible through asymptomatic hosts. The cases and deaths caused by Mallon were mainly upper-class families in New York City. At the time of Mallon's tenure as a personal cook for upper-class families, New York City reported 3,000 to 4,500 cases of typhoid fever annually. In the summer of 1906 two daughters of a wealthy family and maids working in their home became ill with typhoid fever. After investigating their home water sources and ruling out water contamination, the family hired civil engineer George Soper to conduct an investigation of the possible source of typhoid fever in the home. Soper described himself as an "epidemic fighter". His investigation ruled out many sources of food, and led him to question if the cook the family hired just prior to their household outbreak, Mallon, was
due to typhoid fever occurred in Asia. In the U.S., about 400 cases occur each year, 75% of which are acquired while traveling internationally. Before the antibiotic era, the case fatality rate of typhoid fever was 10%–20%. Today, with prompt treatment, it is less than 1%, but 3%–5% of people who are infected develop a chronic infection in the gall bladder. Since S. enterica subsp. enterica serovar Typhi is human-restricted, these chronic carriers become the crucial reservoir, which can persist for decades for further spread of the disease, further complicating its identification and treatment. Lately, the study of S. enterica subsp. enterica serovar Typhi associated with a large outbreak and a carrier at the genome level provides new insight into the pathogenesis of the pathogen. In industrialized nations, water sanitation and food handling improvements have reduced the number of typhoid cases. Developing nations, such as those in parts of Asia and Africa, have the highest rates. These areas lack access to clean water, proper sanitation systems, and proper health-care facilities. In these areas, such access to basic public-health needs is not expected in the near future. In 2004–2005 an outbreak in the Democratic Republic of Congo resulted in more than 42,000 cases and 214 deaths. Since November 2016, Pakistan has had an outbreak of extensively drug-resistant (XDR) typhoid fever. In Europe, a report based on data for 2017 retrieved from The European Surveillance System (TESSy) on the distribution of confirmed typhoid and paratyphoid fever cases found that 22 EU/EEA countries reported a total of 1,098 cases, 90.9% of which were travel-related, mainly acquired during travel to South Asia. Prevention Sanitation and hygiene are important to prevent typhoid. It can spread only in environments where human feces can come into contact with food or drinking water. Careful food preparation and washing of hands are crucial to prevent typhoid. Industrialization contributed greatly to the elimination of typhoid fever, as it eliminated the public-health hazards associated with having horse manure in public streets, which led to a large number of flies, which are vectors of many pathogens, including Salmonella spp. According to statistics from the U.S. Centers for Disease Control and Prevention, the chlorination of drinking water has led to dramatic decreases in the transmission of typhoid fever. Vaccination Two typhoid vaccines are licensed for use for the prevention of typhoid: the live, oral Ty21a vaccine (sold as Vivotif by Crucell Switzerland AG) and the injectable typhoid polysaccharide vaccine (sold as Typhim Vi by Sanofi Pasteur and Typherix by GlaxoSmithKline). Both are efficacious and recommended for travelers to areas where typhoid is endemic. Boosters are recommended every five years for the oral vaccine and every two years for the injectable form. An older, killed whole-cell vaccine is still used in countries where the newer preparations are not available, but this vaccine is no longer recommended for use because it has more side effects (mainly pain and inflammation at the site of the injection). To help decrease rates of typhoid fever in developing nations, the World Health Organization (WHO) endorsed the use of a vaccination program starting in 1999. Vaccination has proven effective at controlling outbreaks in high-incidence areas and is also very cost-effective: prices are normally less than US$1 per dose. Because the price is low, poverty-stricken communities are more willing to take advantage of the vaccinations. Although vaccination programs for typhoid have proven effective, they alone cannot eliminate typhoid fever. Combining vaccines with public-health efforts is the only proven way to control this disease. Since the 1990s, the WHO has recommended two typhoid fever vaccines. The ViPS vaccine is given by injection, and the Ty21a by capsules. Only people over age two are recommended to be vaccinated with the ViPS vaccine, and it requires a revaccination after 2–3 years, with a 55%–72% efficacy. The Ty21a vaccine is recommended for people five and older, lasting 5–7 years with 51%–67% efficacy. The two vaccines have proved safe and effective for epidemic disease control in multiple regions. A version of the vaccine combined with a hepatitis A vaccine is also available. Results of a phase 3 trial of typhoid conjugate vaccine (TCV) in December 2019 reported 81% fewer cases among children. History Early descriptions The plague of Athens, during the Peloponnesian War, was most likely an outbreak of typhoid fever. During the war, Athenians retreated into a walled-in city to escape attack from the Spartans. This massive influx of humans into a concentrated space overwhelmed the water supply and waste infrastructure, likely leading to unsanitary conditions as fresh water became harder to obtain and waste became more difficult to collect and remove beyond the city walls. In 2006, examining the remains for a mass burial site from Athens from around the time of the plague (~430 B.C.) revealed that fragments of DNA similar to modern day S. Typhi DNA were detected, whereas Yersinia pestis (plague), Rickettsia prowazekii (typhus), Mycobacterium tuberculosis, cowpox virus, and Bartonella henselae were not detected in any of the remains tested. It is possible that the Roman emperor Augustus Caesar suffered from either a liver abscess or typhoid fever, and survived by using ice baths and cold compresses as a means of treatment for his fever. There is a statue of the Greek physician, Antonius Musa, who treated his fever. Definition and evidence of transmission The French doctors Pierre-Fidele Bretonneau and Pierre-Charles-Alexandre Louis are credited with describing typhoid fever as a specific disease, unique from typhus. Both doctors performed autopsies on individuals who died in Paris due to fever – and indicated that many had lesions on the Peyer's patches which correlated with distinct symptoms before death. British medics were skeptical of the differentiation between typhoid and typhus because both were endemic to Britain at that time. However, in France only typhoid was present circulating in the population. Pierre-Charlles-Alexandre Louis also performed case studies and statistical analysis to demonstrate that typhoid was contagious - and that persons who already had the disease seemed to be protected. Afterward, several American doctors confirmed these findings, and then Sir William Jenner convinced any remaining skeptics that typhoid is a specific disease recognizable by lesions in the Peyer's patches by examining sixty six autopsies from fever patients and concluding that the symptoms of headaches, diarrhea, rash spots, and abdominal pain were only present in patients which then had intestinal lesions after death; which solidified the association of the disease with the intestinal tract and gave the first clue to the route of transmission. In 1847 William Budd learned of an epidemic of typhoid fever in Clifton, and identified that all 13 of 34 residents who had contracted the disease drew their drinking water from the same well. Notably, this observation was two years prior to John Snow discovering the route of contaminated water as the cause for a cholera outbreak. Budd later became health officer of Bristol and ensured a clean water supply, and documented further evidence of typhoid as a water-borne illness throughout his career. Cause Polish scientist Tadeusz Browicz described a short bacillus in the organs and feces of typhoid victims in 1874. Browicz was able to isolate and grow the bacilli but did not go as far as to insinuate or prove that they caused the disease. In April 1880, three months prior to Eberth's publication, Edwin Klebs described short and filamentous bacilli in the Peyer's patches in typhoid victims. The bacterium's role in disease was speculated but not confirmed. In 1880, Karl Joseph Eberth described a bacillus that he suspected was the cause of typhoid. Eberth is given credit for discovering the bacterium definitively by successfully isolating the same bacterium from 18 of 40 typhoid victims and failing to discover the bacterium present in any "control" victims of other diseases. In 1884, pathologist Georg Theodor August Gaffky (1850–1918) confirmed Eberth's findings. Gaffky isolated the same bacterium as Eberth from the spleen of a typhoid victim, and was able to grow the bacterium on solid media. The organism was given names such as Eberth's bacillus, Eberthella Typhi, and Gaffky-Eberth bacillus. Today, the bacillus that causes typhoid fever goes by the scientific name Salmonella enterica serovar Typhi. Chlorination of water Most developed countries had declining rates of typhoid fever throughout the first half of the 20th century due to vaccinations and advances in public sanitation and hygiene. In 1893 attempts were made to chlorinate the water supply in Hamburg, Germany and in 1897 Maidstone, England, was the first town to have its entire water supply chlorinated. In 1905, following an outbreak of typhoid fever, the City of Lincoln, England, instituted permanent water chlorination. The first permanent disinfection of drinking water in the US was made in 1908 to the Jersey City, New Jersey, water supply. Credit for the decision to build the chlorination system has been given to John L. Leal. The chlorination facility was designed by George W. Fuller. Outbreaks in traveling military groups led to the creation of the Lyster bag in 1915; a bag with a faucet which can be hung from a tree or pole, filled with water, and comes with a chlorination tablet to drop into the water. The Lyster bag was essential for the survival of American soldiers in the Vietnam War. Direct transmission and carriers There were several occurrences of milk delivery men spreading typhoid fever throughout the communities they served. Although typhoid is not spread through milk itself, there were several examples of milk distributors in many locations watering their milk down with contaminated water, or cleaning the glass bottles the milk was placed in with contaminated water. Boston had two such cases around the turn of the 20th century. In 1899 there were 24 cases of typhoid traced to a single milkman, whose wife had died of typhoid fever a week before the outbreak. In 1908, J.J. Fallon, who was also a milkman, died of typhoid fever. Following his death and confirmation of the typhoid fever diagnosis, the city conducted an investigation of typhoid symptoms and cases along his route and found evidence of a significant outbreak. A month after the outbreak was first reported, the Boston Globe published a short statement declaring the outbreak over, stating "[a]t Jamaica Plain there is a slight increase, the total being 272 cases. Throughout the city there is a total of 348 cases." There was at least one death reported during this outbreak: Mrs. Sophia S. Engstrom, aged 46. Typhoid continued to ravage the Jamaica Plain neighborhood in particular throughout 1908, and several more people were reported dead due to typhoid fever, although these cases were not explicitly linked to the outbreak. The Jamaica Plain neighborhood at that time was home to many working-class and poor immigrants, mostly from Ireland. The most notorious carrier of typhoid fever, but by no means the most destructive, was Mary Mallon, known as Typhoid Mary. Although other cases of human-to-human spread of typhoid
retirement at age 65." After Time magazine began publishing its weekly issues in March 1923, Roy Larsen was able to increase its circulation by using U.S. radio and movie theaters around the world. It often promoted both Time magazine and U.S. political and corporate interests. According to The March of Time, as early as 1924, Larsen had brought Time into the infant radio business with the broadcast of a 15-minute sustaining quiz show entitled Pop Question which survived until 1925". Then in 1928, Larsen "undertook the weekly broadcast of a 10-minute programme series of brief news summaries, drawn from current issues of Time magazine ... which was originally broadcast over 33 stations throughout the United States". Larsen next arranged for the 30-minute radio program The March of Time to be broadcast over CBS beginning on March 6, 1931. Each week, the program presented a dramatization of the week's news for its listeners; thus Time magazine itself was brought "to the attention of millions previously unaware of its existence", according to Time Inc.: The Intimate History of a Publishing Enterprise 1923–1941, leading to an increased circulation of the magazine during the 1930s. Between 1931 and 1937, Larsen's The March of Time radio program was broadcast over CBS radio, and between 1937 and 1945, it was broadcast over NBC radio – except between 1939 and 1941, when it was not aired. People magazine was based on Time "People" page. In 1987, Jason McManus succeeded Henry Grunwald as editor-in-chief, and oversaw the transition before Norman Pearlstine succeeded him in 1995. In 1989, when Time, Inc. and Warner Communications merged, Time became part of Time Warner, along with Warner Bros. In 2000, Time became part of AOL Time Warner, which reverted to the name Time Warner in 2003. In 2007, Time moved from a Monday subscription/newsstand delivery to a schedule where the magazine goes on sale Fridays, and is delivered to subscribers on Saturday. The magazine actually began in 1923 with Friday publication. In early 2007, the year's first issue was delayed for roughly a week due to "editorial changes", including the layoff of 49 employees. In 2009, Time announced that they were introducing Mine, a personalized print magazine mixing content from a range of Time Warner publications based on the reader's preferences. The new magazine was met with a poor reception, with criticism that its focus was too broad to be truly personal. The magazine has an online archive with the unformatted text for every article published. The articles are indexed and were converted from scanned images using optical character recognition technology. The minor errors in the text are remnants of the conversion into digital format. In January 2013, Time Inc. announced that it would cut nearly 500 jobs – roughly 6% of its 8,000 staff worldwide. Although Time magazine has maintained high sales, its ad pages have declined significantly over time. Also in January 2013, Time Inc. named Martha Nelson as the first female editor-in-chief of its magazine division. In September 2013, Nancy Gibbs was named as the first female managing editor of Time magazine. In November 2017, Meredith Corporation announced its acquisition of Time, Inc., backed by Koch Equity Development. In March 2018, only six weeks after the closure of the sale, Meredith announced that it would explore the sale of Time and sister magazines Fortune, Money and Sports Illustrated, since they did not align with the company's lifestyle brands. In 2017, editor and journalist Catherine Mayer, who also founded the Women's Equality Party in the UK, sued Time through attorney Ann Olivarius for sex and age discrimination. The suit was resolved in 2018. In September 2018, Meredith Corporation announced that it would re-sell Time to Marc Benioff and his wife Lynne for $190 million, a transaction completed on October 31. Although Benioff is the chairman and co-CEO of Salesforce.com, Time was to remain separate from that company and Benioff would not be involved in the magazine's daily operations. The sale was completed on October 31, 2018. Time USA LLC, the parent company of the magazine, is owned by Marc Benioff. Time Canada From 1942 until 1979, Time had a Canadian edition that included an insert of five pages of locally produced content as well as occasional Canadian covers. Following changes in the tax status of Canadian editions of American magazines, Time closed Canadian bureaus, except for Ottawa, and published identical content to the US edition but with Canadian advertising. In December 2008, Time discontinued publishing a Canadian advertiser edition. Circulation During the second half of 2009, the magazine had a 34.9% decline in newsstand sales. During the first half of 2010, another decline of at least one-third in Time magazine sales occurred. In the second half of 2010, Time magazine newsstand sales declined by about 12% to just over 79,000 copies per week. As of 2012, it had a circulation of 3.3 million, making it the 11th-most circulated magazine in the United States, and the second-most circulated weekly behind People. As of July 2017, its circulation was 3,028,013. In October 2017, Time cut its circulation to two million. The print edition has a readership of 1.6 million, 1 million of whom are based in the United States. Style Writing Time initially possessed a distinctively "acerbic, irreverent style", largely created by Haddon and sometimes called "Timestyle". Timestyle made regular use of inverted sentences, as famously parodied in 1936 by Wolcott Gibbs in The New Yorker: "Backward ran sentences until reeled the mind ... Where it all will end, knows God!" Time also coined or popularized many neologisms like "socialite", "guesstimate", "televangelist", "pundit", and "tycoon", as well as some less successful ones like "cinemactress" and "radiorator". Time introduced the name "World War II" in 1939. The false title construction was popularized by Time and indeed is sometimes called a "Time-style adjective". Sections
making it the 11th-most-circulated magazine in the United States and the second-most-circulated weekly behind People. In July 2017, its circulation was 3,028,013; this was cut down to 2 million by late 2017. The print edition has a readership of 1.6 million, 1 million of whom are based in the United States. Formerly published by New York City-based Time Inc., since November 2018 Time has been published by Time USA, LLC, owned by Marc Benioff, who acquired it from Meredith Corporation. History Time has been based in New York City since its first issue published on March 3, 1923, by Briton Hadden and Henry Luce. It was the first weekly news magazine in the United States. The two had previously worked together as chairman and managing editor, respectively, of the Yale Daily News. They first called the proposed magazine Facts, wanting to emphasize brevity so a busy man could read it in an hour. They changed the name to Time and used the slogan "Take Time – It's Brief". Hadden was considered carefree and liked to tease Luce. He saw Time as important but also fun, which accounted for its heavy coverage of celebrities and politicians, the entertainment industry and pop culture, criticizing it as too light for serious news. Time set out to tell the news through people, and until the late 1960s, the magazine's cover depicted a single person. More recently, Time has incorporated "People of the Year" issues which grew in popularity over the years. The first issue of Time featured Joseph G. Cannon, the retired Speaker of the House of Representatives, on its cover; a facsimile reprint of Issue No. 1, including all of the articles and advertisements contained in the original, was included with copies of the magazine's issue from February 28, 1938, in commemoration of its 15th anniversary. The cover price was 15¢ (equivalent to $ in ). On Hadden's death in 1929, Luce became the dominant man at Time and a major figure in the history of 20th century media. According to Time Inc.: The Intimate History of a Publishing Enterprise 1972–2004 by Robert Elson, "Roy Edward Larsen ... was to play a role second only to Luce's in the development of Time Inc". In his book The March of Time, 1935–1951, Raymond Fielding also noted that Larsen was "originally circulation manager and then general manager of Time, later publisher of Life, for many years president of Time Inc., and in the long history of the corporation the most influential and important figure after Luce". Around the time they were raising $100,000 from wealthy Yale alumni such as Henry P. Davison, partner of J.P. Morgan & Co., publicity man Martin Egan and J.P. Morgan & Co. banker Dwight Morrow; Henry Luce and Briton Hadden hired Larsen in 1922 – although Larsen was a Harvard graduate and Luce and Hadden were Yale graduates. After Hadden died in 1929, Larsen purchased 550 shares of Time Inc., using money he obtained from selling RKO stock he had inherited from his father, who was the head of the Benjamin Franklin Keith theater chain in New England. However, after Briton Hadden's death, the largest Time, Inc. stockholder was Henry Luce, who ruled the media conglomerate in an autocratic fashion; "at his right hand was Larsen", Time's second-largest stockholder, according to Time Inc.: The Intimate History of a Publishing Enterprise 1923–1941. In 1929, Roy Larsen was also named a Time Inc. director and vice president. J. P. Morgan retained a certain control through two directorates and a share of stocks, both over Time and Fortune. Other shareholders were Brown Brothers W. A. Harriman & Co., and the New York Trust Company (Standard Oil). The Time Inc. stock owned by Luce at the time of his death was worth about $109 million, and it had been yielding him a yearly dividend of more than $2.4 million, according to Curtis Prendergast's The World of Time Inc.: The Intimate History of a Changing Enterprise 1957–1983. The Larsen family's Time stock was worth around $80 million during the 1960s, and Roy Larsen was both a Time Inc. director and the chairman of its executive committee, later serving as Time's vice chairman of the board until the middle of 1979. On September 10, 1979, The New York Times wrote, "Mr. Larsen was the only employee in the company's history given an exemption from its policy of mandatory retirement at age 65." After Time magazine began publishing its weekly issues in March 1923, Roy Larsen was able to increase its circulation by using U.S. radio and movie theaters around the world. It often promoted both Time magazine and U.S. political and corporate interests. According to The March of Time, as early as 1924, Larsen had brought Time into the infant radio business with the broadcast of a 15-minute sustaining quiz show entitled Pop Question which survived until 1925". Then in 1928, Larsen "undertook the weekly broadcast of a 10-minute programme series of brief news summaries, drawn from current issues of Time magazine ... which was originally broadcast over 33 stations throughout the United States". Larsen next arranged for the 30-minute radio program The March of Time to be broadcast over CBS beginning on March 6, 1931. Each week, the program presented a dramatization of the week's news for its listeners; thus Time magazine itself was brought "to the attention of millions previously unaware of its existence", according to Time Inc.: The Intimate History of a Publishing Enterprise 1923–1941, leading to an increased circulation of the magazine during the 1930s. Between 1931 and 1937, Larsen's The March of Time radio program was broadcast over CBS radio, and between 1937 and 1945, it was broadcast over NBC radio – except between 1939 and 1941, when it was not aired. People magazine was based on Time "People" page. In 1987, Jason McManus succeeded Henry Grunwald as editor-in-chief, and oversaw the transition before Norman Pearlstine succeeded him in 1995. In 1989, when Time, Inc. and Warner Communications merged, Time became part of Time Warner, along with Warner Bros.
such as rules for camera placement, filling the audience with supporters, approved moderators, predetermined question selection, room temperature and others. The Commission maintains its own rules for admittance and has only admitted a single third-party candidate to a televised debate, Ross Perot in 1992. Some parts of the US have had their own party systems, distinct from the rest of the country. In Puerto Rico, there is a multi-party system with the Popular Democratic Party and New Progressive Party being the two strongest parties. Minor parties in the 2021 legislature include the Puerto Rican Independence Party, Citizens' Victory Movement and Project Dignity. In Guam, the Popular Party was the only political party from 1949-1954, and was dominant until 1967 when they became affiliated with the Democrats. Since then, the Democrats and Republicans have been the two main parties. In the Northern Mariana Islands, the Democrats and Republicans are the two main parties but as recently as 2013, the Governor was a member of the Covenant Party. In American Samoa, the American Samoa Fono (territorial legislature) is non-partisan, and on ballots only candidate names are displayed, not political parties. The Governor has typically been either Democrat or Republican. In the US Virgin Islands, the Democrats and Republicans have been the main two parties, but two Governors during the 1970s were part of the Independent Citizens Movement, and from 2015-2019 the Governor was an independent. Australia House of Representatives Since the 1920s, the Australian House of Representatives (and thus the federal government) has in effect been a two-party system. Since the end of World War II, Australia's House of Representatives has been dominated by 2 factions: the centre-left Australian Labor Party the centre-right Coalition. The Coalition has been in government about two-thirds of time, broken by 3 periods of Labor governments: 1971-1973, 1982-1996 and 2007-2012. The ALP is Australia's largest and oldest continuing political party, it was formed in 1891 from the Australian labour movement. The party has branches in every state and territory. The Coalition is a near-permanent alliance of several parties, primarily the Liberal Party of Australia (Australia's 2nd largest party) and National Party of Australia (4th largest). It was formed after the 1922 election, when the Nationalist Party (ancestor of today's Liberal Party) lost its absolute majority, and was only able to remain in government by allying with the Country Party (now called the National Party). Under the Coalition agreement, if the Coalition forms government then the Prime Minister will be the leader of the Liberals, and the Deputy Prime Minister will be the leader of the Nationals. In theory, disagreements between the Coalition's constituent parties would lead to the Coalition being broken. However, the last time that this has happened at the federal level was in 1939-1940. One reason for Australia's two-party system is because the House of Representatives (which chooses the Prime Minister) is elected through the instant-runoff voting electoral system. Although voters can preference third parties and independents above the major parties, and this does not lead to a spoiler effect, there is still only one member per electoral division (ie: a winner-take-all system) and so major parties tend to win the vast majority of seats (even if they need to rely on preferences to do so - for example, a Labor candidate may win a seat with 30% of the vote for Labor and 21% from Greens voters who ranked Labor second). Senate On the other hand, the Australian Senate is effectively a multi-party system. It uses single transferable vote with multiple Senators for each state/territory. This results in rough proportional representation and as a result, third parties have much more influence and often hold the balance of power. Since 2004, the Australian Greens have been the third largest party in the country, with 8-13% of the national vote and an equivalent amount of Senators. Prior to this, the Australian Democrats was the third largest party. Other current and past parties include One Nation, the Liberal Democrats and Family First. Some Australian States have seen the rise of minor parties at either the state or federal level (eg: Centre Alliance in South Australia, Katter's Australian Party in northern Queensland, and the Shooters, Fishers and Farmers Party in western New South Wales), while some have seen long periods of dominance by one party. Some parties are absent entirely in parts of the country. The Australian Capital Territory has had a Labor/Greens coalition government since 2012, opposed by the Liberals (Nationals not present). Labor was in government alone from 2001-2012. Notably, the ACT is the only state/territory where the Greens have been in power. In the Northern Territory, the two main parties are Labor and the Country Liberal Party (CLP), which aligns with the Coalition at the federal level. In Western Australia, the Liberal and National parties are not in a permanent coalition at the state level. At the 2021 Western Australian state election Labor won 53 out of 59 lower house seats in a landslide victory. The National Party won 4 seats making them the official opposition. The Liberals won only 2 seats, putting them on the crossbench. In New South Wales and Victoria, the main parties reflect the situation nationally: Labor versus the Coalition of the Liberals and Nationals. NSW is the only state where the Coalition has never split, but has also never merged into one party. In South Australia and Tasmania, the main parties are Labor and the Liberals, with the Nationals not holding any seats. In Queensland, the main parties are Labor and the Liberal-National Party (LNP). Historically, the Country Party was the largest Coalition member and they governed the state from 1957 until 1989. This was partially due to a malapportionment which heavily favoured rural seats. It had been originally designed by a Labor government, but ended up benefitting the Country Party as demographics shifted. Later, Premier Joh Bjelke-Petersen increased his power by using Queensland Police to suppress political dissent, and enacted the Bjelkemander, worsening malapportionment in order to reduce the power of the Liberals so his Country Party could rule alone. Eventually, media reports and the Fitzgerald Inquiry revealed wide-ranging corruption police and government. Bjelke-Petersen was forced to resign in disgrace, while many high-ranking police and politicians were criminally charged. Labor has been in power for most the time since then, with the state Country and Liberal parties merging into the LNP, which is a member of the Coalition federally. Latin America Most Latin American countries also have presidential systems very similar to the US often with winner takes all systems. Due to the common accumulation of power in the presidential office both the official party and the main opposition became important political protagonists causing historically two-party systems. Some of the first manifestations of this particularity was with the liberals and conservatives that often fought for power in all Latin America causing the first two-party systems in most Latin American countries which often lead to civil wars in places like Colombia, Ecuador, Mexico, Venezuela, the Central American Republic and Peru, with fights focusing specially on opposing/defending the privileges of the Catholic Church and the creole aristocracy. Other examples of primitive two-party systems included the Pelucones versus Pipiolos in Chile, Federalists versus Unitarians in Argentina, Colorados versus Liberals in Paraguay and Colorados versus Nationals in Uruguay. However, as in other regions, the original rivalry between liberals and conservatives was overtaken by a rivalry between center-left (often social-democratic) parties versus center-right liberal conservative parties, focusing more in economic differences than in cultural and religious differences as it was common during the liberal versus conservative period. Examples of this include National Liberation Party versus Social Christian Unity Party in Costa Rica, the peronista Justicialist Party versus Radical Civic Union in Argentina, Democratic Action versus COPEI in Venezuela, the Colombian Liberal Party versus the Colombian Conservative Party in Colombia, Democratic Revolutionary Party versus Panameñista Party in Panama and Liberal Party versus National Party in Honduras. After the democratization of Central America following the end of the Central American crisis in the 90s former far-left guerrillas and former right-wing authoritarian parties, now in peace, make some similar two-party systems in countries like Nicaragua between the Sandinista National Liberation Front and the Liberals and in El Salvador between the Farabundo Martí National Liberation Front and the Nationalist Republican Alliance. The traditional two-party dynamic started to break after a while, especially in early 2000s; alternative parties won elections breaking the traditional two-party systems including Rafael Caldera's (National Convergence) victory in Venezuela in 1993, Álvaro Uribe (Colombia First) victory in 2002, Tabaré Vázquez (Broad Front) victory in Uruguay in 2004, Ricardo Martinelli (Democratic Change) victory in 2009 in Panama, Luis Guillermo Solís (Citizens' Action Party ) victory in 2014 in Costa Rica, Mauricio Macri (Republican Proposal) victory in 2015 in Argentina and Nayib Bukele (Grand Alliance for National Unity) victory in 2019 in El Salvador, all of them from non-traditional third parties in their respective countries. In some countries like Chile and Venezuela the political system is now split in two large multi-party alliances or blocs, one on the left and one on the right of the spectrum (Concertación/New Majority versus Alliance in Chile, Democratic Unity Roundtable versus Great Patriotic Pole in Venezuela). Malta Malta is somewhat unusual in that while the electoral system is single transferable vote (STV), traditionally associated with proportional representation, minor parties have not had much success. Politics is dominated between the centre-left Labour Party and the centre-right Nationalist Party, with no third parties winning seats in Parliament between 1962 and 2017. South Korea South Korea has a multi-party system that has sometimes been described as having characteristics of a two-party system. Parties will have reconstructions based upon its leader, but the country continues to maintain two major parties. Currently these parties are the liberal Democratic Party of Korea and the conservative People Power Party. Taiwan Taiwan has a multi-party system that has sometimes been described as having characteristics of a two-party system. Currently these parties are the progressive Democratic Progressive Party and the conservative Kuomintang. Lebanon The Parliament of Lebanon is mainly made up of two bipartisan alliances. Although both alliances are made up of several political parties on both ends of the political spectrum the two-way political situation has mainly arisen due to strong ideological differences in the electorate. Once again this can mainly be attributed to the winner takes all thesis. Brazil During the imperial period, since 1840, two great parties with a national base alternated its dominance between legislatures: the Liberal and the Conservative. These parties were dissolved in 1889, after the republic was instituted in Brazil, in which the registration of party directories came under the jurisdiction of the states. Brazil also had a two-party system for most of its military dictatorship (1964–1985): on October 27, 1965, the Institutional Act 2 decree banned all existing parties and conditioned the creation of new parties to the quorum of 1/3 of the then-elected National Congress; resulting in the creation of two parties: a pro-government party, the National Renewal Alliance (ARENA) and an opposition party, the Brazilian Democratic Movement (MDB). Despite officially having a bipartisan system, complex electoral mechanisms, nominally neutral, were created to guarantee the prevalence of the ARENA in the National Congress, making Brazil, in practice, a dominant-party system in that period. The two parties were dissolved in 1979, when the regime allowed other parties to form. Spain A report in The Christian Science Monitor in 2008 suggested that Spain was moving towards a "greater two-party system" while acknowledging that Spain has "many small parties". However a 2015 article published by WashingtonPost.com written by academic Fernando Casal Bértoa noted the decline in support for the two main parties, the People's Party (PP) and the Spanish Socialist Workers' Party (PSOE) in recent years, with these two parties winning only 52
in Malta. Other parties in these countries may have seen candidates elected to local or subnational office, however. In some governments, certain chambers may resemble a two-party system and others a multi-party system. For example, the politics of Australia are largely two-party (the Liberal/National Coalition is often considered a single party at a national level due to their long-standing alliance in forming governments; they also rarely compete for the same seats) for the Australian House of Representatives, which is elected by instant-runoff voting, known within Australia as preferential voting. However, third parties are more common in the Australian Senate, which uses a proportional voting system more amenable to minor parties. In Canada, there is a multiparty system at the federal and provincial levels; however, some provinces have effectively become two-party systems in which only two parties regularly get members elected, while smaller parties largely fail to secure electoral representation, and two of the three territories are run under a non-partisan consensus government model rather than through a political party system. The provincial legislative assemblies of Alberta and Saskatchewan currently have only two parties; two-party representation has also historically been common in the legislative assemblies of British Columbia, New Brunswick and Prince Edward Island, although all did elect some third-party members in their most recent provincial elections. The English-speaking countries of the Caribbean while inheriting their basic political system from Great Britain have become two-party systems. The politics of Jamaica are between the People's National Party and the Jamaica Labour Party. The politics of Guyana are between the People's Progressive Party and APNU which is actually a coalition of smaller parties. The politics of Trinidad and Tobago are between the People's National Movement and the United National Congress. The Politics of Belize are between the United Democratic Party and the People's United Party. The Politics of the Bahamas are between the Progressive Liberal Party and the Free National Movement. The politics of Barbados are between the Democratic Labour Party and the Barbados Labour Party. The politics of Zimbabwe are effectively a two-party system between the Robert Mugabe founded Zimbabwe African National Union-Patriotic Front and the opposition coalition Movement for Democratic Change. United States The United States has two dominant political parties; historically, there have been few instances in which third party candidates won an election. In the First Party System, only Alexander Hamilton's Federalist Party and Thomas Jefferson's Democratic-Republican Party were significant political parties. Toward the end of the First Party System, the Democratic-Republicans were dominant (primarily under the Presidency of James Monroe). Under the Second Party System, the Democratic-Republican Party split during the election of 1824 into Adams' Men and Jackson's Men. In 1828, the modern Democratic Party formed in support of Andrew Jackson. The National Republicans were formed in support of John Quincy Adams. After the National Republicans collapsed, the Whig Party and the Free Soil Party quickly formed and collapsed. In 1854 began the Third Party System when the modern Republican Party formed from a loose coalition of former Whigs, Free Soilers and other anti-slavery activists. The Republicans quickly became the dominant party nationally, and Abraham Lincoln became the first Republican President in 1860. The Democrats held a strong, loyal coalition in the Solid South. This period saw the American Civil War where the South (which was mostly dominated by the Southern Democrats) attempted to secede, in an attempt to preserve racial slavery. The South lost the war and were forced to end slavery, and during the following Reconstruction Era the Republicans remained the most popular party nationally while the Democrats remained dominant in the South. During the Fourth Party System from about 1896 to 1932, the Republicans remained the dominant Presidential party, although Democrats Grover Cleveland and Woodrow Wilson were both elected to two terms. The 1932 United States elections saw the onset of the Fifth Party System and a long period of Democratic dominance due to the New Deal Coalition. Democrat President Franklin D. Roosevelt won landslides in four consecutive elections. Other than the two terms of Republican Dwight Eisenhower from 1953 to 1961, Democrats retained firm control of the Presidency until the mid-1960s. In Congress, Democrats retained majorities in both houses for 60 years until the mid-1990s, broken only by brief Republican majorities. There was a significant change in U.S. politics in 1960, and this is seen by some as a transition to a sixth party system. Since the mid-1960s, despite a number of landslides (such as Richard Nixon carrying 49 states and 61% of the popular vote over George McGovern in 1972; Ronald Reagan carrying 49 states and 58% of the popular vote over Walter Mondale in 1984), Presidential elections have been competitive between the predominant Republican and Democratic parties and no one party has been able to hold the Presidency for more than three consecutive terms. In the election of 2012, only 4% separated the popular vote between Barack Obama (51%) and Mitt Romney (47%), although Obama won the electoral vote (332–206). Throughout every American party system, no third party has won a Presidential election or majorities in either house of Congress. Despite that, third parties and third party candidates have gained traction and support. In the election of 1912, Theodore Roosevelt won 27% of the popular vote and 88 electoral votes running as a Progressive. In the 1992 Presidential election, Ross Perot won 19% of the popular vote but no electoral votes running as an Independent. Modern American politics, in particular the electoral college system, has been described as duopolistic since the Republican and Democratic parties have dominated and framed policy debate as well as the public discourse on matters of national concern for about a century and a half. Third Parties have encountered various blocks in getting onto ballots at different levels of government as well as other electoral obstacles, such as denial of access to general election debates. Since 1987, the Commission on Presidential Debates, established by the Republican and Democratic parties themselves, supplanted debates run since 1920 by the League of Women Voters. The League withdrew its support in protest in 1988 over objections of alleged stagecraft such as rules for camera placement, filling the audience with supporters, approved moderators, predetermined question selection, room temperature and others. The Commission maintains its own rules for admittance and has only admitted a single third-party candidate to a televised debate, Ross Perot in 1992. Some parts of the US have had their own party systems, distinct from the rest of the country. In Puerto Rico, there is a multi-party system with the Popular Democratic Party and New Progressive Party being the two strongest parties. Minor parties in the 2021 legislature include the Puerto Rican Independence Party, Citizens' Victory Movement and Project Dignity. In Guam, the Popular Party was the only political party from 1949-1954, and was dominant until 1967 when they became affiliated with the Democrats. Since then, the Democrats and Republicans have been the two main parties. In the Northern Mariana Islands, the Democrats and Republicans are the two main parties but as recently as 2013, the Governor was a member of the Covenant Party. In American Samoa, the American Samoa Fono (territorial legislature) is non-partisan, and on ballots only candidate names are displayed, not political parties. The Governor has typically been either Democrat or Republican. In the US Virgin Islands, the Democrats and Republicans have been the main two parties, but two Governors during the 1970s were part of the Independent Citizens Movement, and from 2015-2019 the Governor was an independent. Australia House of Representatives Since the 1920s, the Australian House of Representatives (and thus the federal government) has in effect been a two-party system. Since the end of World War II, Australia's House of Representatives has been dominated by 2 factions: the centre-left Australian Labor Party the centre-right Coalition. The Coalition has been in government about two-thirds of time, broken by 3 periods of Labor governments: 1971-1973, 1982-1996 and 2007-2012. The ALP is Australia's largest and oldest continuing political party, it was formed in 1891 from the Australian labour movement. The party has branches in every state and territory. The Coalition is a near-permanent alliance of several parties, primarily the Liberal Party of Australia (Australia's 2nd largest party) and National Party of Australia (4th largest). It was formed after the 1922 election, when the Nationalist Party (ancestor of today's Liberal Party) lost its absolute majority, and was only able to remain in government by allying with the Country Party (now called the National Party). Under the Coalition agreement, if the Coalition forms government then the Prime Minister will be the leader of the Liberals, and the Deputy Prime Minister will be the leader of the Nationals. In theory, disagreements between the Coalition's constituent parties would lead to the Coalition being broken. However, the last time that this has happened at the federal level was in 1939-1940. One reason for Australia's two-party system is because the House of Representatives (which chooses the Prime Minister) is elected through the instant-runoff voting electoral system. Although voters can preference third parties and independents above the major parties, and this does not lead to a spoiler effect, there is still only one member per electoral division (ie: a winner-take-all system) and so major parties tend to win the vast majority of seats (even if they need to rely on preferences to do so - for example, a Labor candidate may win a seat with 30% of the vote for Labor and 21% from Greens voters who ranked Labor second). Senate On the other hand, the Australian Senate is effectively a multi-party system. It uses single transferable vote with multiple Senators for each state/territory. This results in rough proportional representation and as a result, third parties have much more influence and often hold the balance of power. Since 2004, the Australian Greens have been the third largest party in the country, with 8-13% of the national vote and an equivalent amount of Senators. Prior to this, the Australian Democrats was the third largest party. Other current and past parties include One Nation, the Liberal Democrats and Family First. Some Australian States have seen the rise of minor parties at either the state or federal level (eg: Centre Alliance in South Australia, Katter's Australian Party in northern Queensland, and the Shooters, Fishers and Farmers Party in western New South Wales), while some have seen long periods of dominance by one party. Some parties are absent entirely in parts of the country. The Australian Capital Territory has had a Labor/Greens coalition government since 2012, opposed by the Liberals (Nationals not present). Labor was in government alone from 2001-2012. Notably, the ACT is the only state/territory where the Greens have been in power. In the Northern Territory, the two main parties are Labor and the Country Liberal Party (CLP), which aligns with the Coalition at the federal level. In Western Australia, the Liberal and National parties are not in a permanent coalition at the state level. At the 2021 Western Australian state election Labor won 53 out of 59 lower house seats in a landslide victory. The National Party won 4 seats making them the official opposition. The Liberals won only 2 seats, putting them on the crossbench. In New South Wales and Victoria, the main parties reflect the situation nationally: Labor versus the Coalition of the Liberals and Nationals. NSW is the only state where the Coalition has never split,
shots of what happens to a human body during a nuclear blast. Examples included people being set on fire, their flesh carbonizing, being burned to the bone, eyes melting, faceless heads, skin hanging, deaths from flying glass and debris, limbs torn off, being crushed, blown from buildings by the shockwave, and people in fallout shelters suffocating during the firestorm. Also cut were images of radiation sickness, as well as graphic post-attack violence from survivors such as food riots, looting, and general lawlessness as authorities attempted to restore order. One cut scene shows surviving students battling over food. The two sides were to be athletes versus the science students under the guidance of Professor Huxley. Another brief scene later cut related to a firing squad, where two U.S. soldiers are blindfolded and executed. In this scene, an officer reads the charges, verdict and sentence, as a bandaged chaplain reads the Last Rites. A similar sequence occurs in a 1965 UK-produced faux documentary, The War Game. In the initial 1983 broadcast of The Day After, when the U.S. president addresses the nation, the voice was an imitation of then-President Ronald Reagan (who later stated that he watched the film and was deeply moved). In subsequent broadcasts, that voice was overdubbed by a stock actor. Home video releases in the U.S. and internationally come in at various running times, many listed at 126 or 127 minutes; full screen (4:3 aspect ratio) seems to be more common than widescreen. RCA videodiscs of the early 1980s were limited to 2 hours per disc, so that full screen release appears to be closest to what originally aired on ABC in the US. A 2001 U.S. VHS version (Anchor Bay Entertainment, Troy, Michigan) lists a running time of 122 minutes. A 1995 double laser disc "director's cut" version (Image Entertainment) runs 127 minutes, includes commentary by director Nicholas Meyer and is "presented in its 1.75:1 European theatrical aspect ratio" (according to the LD jacket). Two different German DVD releases run 122 and 115 minutes; edits reportedly downplay the Soviet Union's role. A two disc Blu-ray special edition was released in 2018 by video specialty label Kino Lorber, presenting the film in high definition. The release contains both the 122-minute television cut, presented in a 4:3 aspect ratio as broadcast, as well as the 127-minute theatrical cut presented in a 16:9 widescreen aspect ratio. Reception On its original broadcast (Sunday, November 20, 1983), John Cullum warned viewers before the film was premiered that the film contains graphic and disturbing scenes, and encouraged parents who have young children watching, to watch together and discuss the issues of nuclear warfare. ABC and local TV affiliates opened 1-800 hotlines with counselors standing by. There were no commercial breaks after the nuclear attack. ABC then aired a live debate on Viewpoint, ABC's occasional discussion program hosted by Nightlines Ted Koppel, featuring scientist Carl Sagan, former Secretary of State Henry Kissinger, Elie Wiesel, former Secretary of Defense Robert McNamara, General Brent Scowcroft and commentator William F. Buckley Jr.. Sagan argued against nuclear proliferation, while Buckley promoted the concept of nuclear deterrence. Sagan described the arms race in the following terms: "Imagine a room awash in gasoline, and there are two implacable enemies in that room. One of them has nine thousand matches, the other seven thousand matches. Each of them is concerned about who's ahead, who's stronger." The film and its subject matter were prominently featured in the news media both before and after the broadcast, including on such covers as TIME, Newsweek, U.S. News & World Report, and TV Guide. Critics tended to claim the film was either sensationalizing nuclear war or that it was too tame. The special effects and realistic portrayal of nuclear war received praise. The film received 12 Emmy nominations and won two Emmy awards. It was rated "way above average" in Leonard Maltin's Movie Guide, until all reviews for movies exclusive to TV were removed from the publication. In the United States, 38.5 million households, or an estimated 100 million people, watched The Day After on its first broadcast, a record audience for a made-for-TV movie. Producers Sales Organization released the film theatrically around the world, in the Eastern Bloc, China, North Korea and Cuba (this international version contained six minutes of footage not in the telecast edition). Since commercials are not sold in these markets, Producers Sales Organization failed to gain revenue to the tune of an undisclosed sum. Years later this international version was released to tape by Embassy Home Entertainment. Actor and former Nixon adviser Ben Stein, critical of the movie's message (i.e. that the strategy of Mutual Assured Destruction would lead to a war), wrote in the Los Angeles Herald-Examiner what life might be like in an America under Soviet occupation. Stein's idea was eventually dramatized in the miniseries Amerika, also broadcast by ABC. The New York Post accused Meyer of being a traitor, writing, "Why is Nicholas Meyer doing Yuri Andropov's work for him?" Much press comment focused on the unanswered question in the film of who started the war. Richard Grenier in the National Review accused The Day After of promoting "unpatriotic" and pro-Soviet attitudes. Television critic Matt Zoller Seitz in his 2016 book co-written with Alan Sepinwall titled TV (The Book) named The Day After as the 4th greatest American TV-movie of all time, writing: "Very possibly the bleakest TV-movie ever broadcast, The Day After is an explicitly antiwar statement dedicated entirely to showing audiences what would happen if nuclear weapons were used on civilian populations in the United States." Effects on policymakers U.S. President Ronald Reagan watched the film more than a month before its screening, on Columbus Day, October 10, 1983. He wrote in his diary that the film was "very effective and left me greatly depressed," and that it changed his mind on the prevailing policy on a "nuclear war". The film was also screened for the Joint Chiefs of Staff. A government advisor who attended the screening, a friend of Meyer's, told him "If you wanted to draw blood, you did it. Those guys sat there like they were turned to stone." In 1987, Ronald Reagan and Mikhail Gorbachev signed the Intermediate-Range Nuclear Forces Treaty, which resulted in the banning and reducing of their nuclear arsenal. In Reagan's memoirs, he drew a direct line from the film to the signing. Reagan supposedly later sent Meyer a telegram after the summit, saying, "Don't think your movie didn't have any part of this, because it did." However, during an interview in 2010, Meyer said that this telegram was a myth, and that the sentiment stemmed from a friend's letter to Meyer; he suggested the story had origins in editing notes received from the White House during the production, which "...may have been a joke, but it wouldn't surprise me, him being an old Hollywood guy." The film also had impact outside the U.S. In 1987, during the era of Mikhail Gorbachev's glasnost and perestroika reforms, the film was shown on Soviet television. Four years earlier, Georgia Rep. Elliott Levitas and 91 co-sponsors introduced a resolution in the U.S. House of Representatives "[expressing] the sense of the Congress that the American Broadcasting Company, the Department of State, and the U.S. Information Agency should work to have the television movie The Day After aired to the Soviet public." Accolades The Day After won two Emmy Awards and received 10 other Emmy nominations. Emmy Awards won: Outstanding Film Sound Editing for a Limited Series or a Special Outstanding Achievement in Special Visual Effects Emmy Award nominations: Outstanding Achievement in Hairstyling Outstanding Achievement in Makeup Outstanding Art Direction for a Limited Series or a Special (Peter Wooley) Outstanding Cinematography for a Limited Series or a Special (Gayne Rescher) Outstanding Directing in a Limited Series or a Special (Nicholas Meyer) Outstanding Drama/Comedy Special (Robert Papazian) Outstanding Film Editing for a Limited Series or a Special (William Dornisch and Robert Florio) Outstanding Film Sound Mixing for a Limited Series or a Special Outstanding Supporting Actor in a Limited Series or a Special (John Lithgow) Outstanding Writing in a Limited Series or a Special (Edward Hume) See also Television Event, a documentary film about the making and release of the film Testament, a television film moved to theatrical release two weeks before The Day After aired Threads, a British television film that centres on a nuclear war and the societal after-effects List of nuclear holocaust fiction Nuclear weapons in popular culture References Further reading Cheers, Michael, "Search for TV Stars Not Yielding Right Types", Kansas City Times, July 19, 1982. Twardy, Chuck, "Moviemakers Cast About for Local Crowds", Lawrence Journal-World, August 16, 1982. Twardy, Chuck, "Fake Farmstead Goes Up in Flames for Film", Lawrence Journal-World, August 17, 1982. Laird, Linda, "The Days Before 'The Day After, Midway, the Sunday Magazine Section of the Topeka Capital-Journal, August 22, 1982. Twardy, Chuck, "Shooting on Schedule 'Day After' Movie", Lawrence Journal-World, August 23, 1982. Lazzarino, Evie, "From Production Crew to Extras, a Day in the Life of 'Day After, Lawrence Journal-World, August 29, 1982. Rosenberg, Howard, Humanizing' Nuclear Devastation in Kansas", Los Angeles Times, September 1, 1982. Schrenier, Bruce, The Day After' Filming Continues at KU", University Daily Kansan, September 2, 1982. Appelbaum, Sharon, "Lawrence Folks Are Dying for a Part in TV's Armageddon", The Kansas City Star, September 3, 1982. Hitchcock, Doug, "Movie Makeup Manufactures Medical Mess", Lawrence Journal-World, September 5, 1982. Twardy, Chuck, "Nicholas Meyer Tackles Biggest Fantasy", Lawrence Journal-World, September 5, 1982. Twardy, Chuck, "How to Spend $1 Million in Lawrence", Lawrence Journal-World, September 5, 1982. Twardy, Chuck, "Students Assume War-Torn Look as Film Shooting Winds Down", Lawrence Journal-World, September 8, 1982. Goodman, Howard, "KC 'Holocaust' a Mix of Horror and Hollywood", Kansas City Times, September 11, 1982. Jordan, Gerald B., "Local Filming of Nuclear Disaster Almost Fizzles", The Kansas City Star, September 13, 1982. Kindall, James, "Apocalypse Now", The Kansas City
asked what their plans for surviving nuclear war were, a FEMA official replied that they were experimenting with putting evacuation instructions in telephone books in New England. "In about six years, everyone should have them." This meeting led Meyer to later refer to FEMA as "a complete joke." It was during this time that the decision was made to change "Hampton" in the script to "Lawrence." Meyer and Hume figured since Lawrence was a real town, that it would be more believable and besides, Lawrence was a perfect choice to play a representative of Middle America. The town boasted a "socio-cultural mix," sat near the exact geographic center of the continental U.S., and Hume and Meyer's research told them that Lawrence was a prime missile target, because 150 Minuteman missile silos stood nearby. Lawrence had some great locations, and the people there were more supportive of the project. Suddenly, less emphasis was put on Kansas City, the decision was made to have the city completely annihilated in the script, and Lawrence was made the primary location in the film. Editing ABC originally planned to air The Day After as a four-hour "television event", spread over two nights with total running time of 180 minutes without commercials. Director Nicholas Meyer felt the original script was padded, and suggested cutting out an hour of material to present the whole film in one night. The network stuck with their two night broadcast plan, and Meyer filmed the entire three-hour script, as evidenced by a 172-minute work-print that has surfaced. Subsequently, the network found that it was difficult to find advertisers, considering the subject matter. ABC relented, and told Meyer he could edit the film for a one-night broadcast version. Meyer's original single-night cut ran two hours and twenty minutes, which he presented to the network. After this screening, many executives were deeply moved and some even cried, leading Meyer to believe they approved of his cut. Nevertheless, a further six-month struggle ensued over the final shape of the film. Network censors had opinions about the inclusion of specific scenes, and ABC itself, eventually intent on "trimming the film to the bone", made demands to cut out many scenes Meyer strongly lobbied to keep. Finally Meyer and his editor Bill Dornisch balked. Dornisch was fired, and Meyer walked away from the project. ABC brought in other editors, but the network ultimately was not happy with the results they produced. They finally brought Meyer back and reached a compromise, with Meyer paring down The Day After to a final running time of 120 minutes. Broadcast The Day After was initially scheduled to premiere on ABC in May 1983, but the post-production work to reduce the film's length pushed back its initial airdate to November. Censors forced ABC to cut an entire scene of a child having a nightmare about nuclear holocaust and then sitting up, screaming. A psychiatrist told ABC that this would disturb children. "This strikes me as ludicrous," Meyer wrote in TV Guide at the time, "not only in relation to the rest of the film, but also when contrasted with the huge doses of violence to be found on any average evening of TV viewing." In any case, they made a few more cuts, including to a scene where Denise possesses a diaphragm. Another scene, where a hospital patient abruptly sits up screaming, was excised from the original television broadcast but restored for home video releases. Meyer persuaded ABC to dedicate the film to the citizens of Lawrence, and also to put a disclaimer at the end of the film, following the credits, letting the viewer know that The Day After downplayed the true effects of nuclear war so they would be able to have a story. The disclaimer also included a list of books that provide more information on the subject. The Day After received a large promotional campaign prior to its broadcast. Commercials aired several months in advance, ABC distributed half a million "viewer's guides" that discussed the dangers of nuclear war and prepared the viewer for the graphic scenes of mushroom clouds and radiation burn victims. Discussion groups were also formed nationwide. Music Composer David Raksin wrote original music and adapted music from The River (a documentary film score by concert composer Virgil Thomson), featuring an adaptation of the hymn "How Firm a Foundation". Although he recorded just under 30 minutes of music, much of it was edited out of the final cut. Music from the First Strike footage, conversely, was not edited out. Deleted and alternative scenes Due to the film's being shortened from the original three hours (running time) to two, several planned special-effects scenes were scrapped, although storyboards were made in anticipation of a possible "expanded" version. They included a "bird's eye" view of Kansas City at the moment of two nuclear detonations as seen from a Boeing 737 airliner on approach to the city's airport, as well as simulated newsreel footage of U.S. troops in West Germany taking up positions in preparation of advancing Soviet armored units, and the tactical nuclear exchange in Germany between NATO and the Warsaw Pact, which follows after the attacking Warsaw Pact force breaks through and overwhelms the NATO lines. ABC censors severely toned down scenes to reduce the body count or severe burn victims. Meyer refused to remove key scenes but reportedly some eight and a half minutes of excised footage still exist, significantly more graphic. Some footage was reinstated for the film's release on home video. Additionally, the nuclear attack scene was longer and supposed to feature very graphic and very accurate shots of what happens to a human body during a nuclear blast. Examples included people being set on fire, their flesh carbonizing, being burned to the bone, eyes melting, faceless heads, skin hanging, deaths from flying glass and debris, limbs torn off, being crushed, blown from buildings by the shockwave, and people in fallout shelters suffocating during the firestorm. Also cut were images of radiation sickness, as well as graphic post-attack violence from survivors such as food riots, looting, and general lawlessness as authorities attempted to restore order. One cut scene shows surviving students battling over food. The two sides were to be athletes versus the science students under the guidance of Professor Huxley. Another brief scene later cut related to a firing squad, where two U.S. soldiers are blindfolded and executed. In this scene, an officer reads the charges, verdict and sentence, as a bandaged chaplain reads the Last Rites. A similar sequence occurs in a 1965 UK-produced faux documentary, The War Game. In the initial 1983 broadcast of The Day After, when the U.S. president addresses the nation, the voice was an imitation of then-President Ronald Reagan (who later stated that he watched the film and was deeply moved). In subsequent broadcasts, that voice was overdubbed by a stock actor. Home video releases in the U.S. and internationally come in at various running times, many listed at 126 or 127 minutes; full screen (4:3 aspect ratio) seems to be more common than widescreen. RCA videodiscs of the early 1980s were limited to 2 hours per disc, so that full screen release appears to be closest to what originally aired on ABC in the US. A 2001 U.S. VHS version (Anchor Bay Entertainment, Troy, Michigan) lists a running time of 122 minutes. A 1995 double laser disc "director's cut" version (Image Entertainment) runs 127 minutes, includes commentary by director Nicholas Meyer and is "presented in its 1.75:1 European theatrical aspect ratio" (according to the LD jacket). Two different German DVD releases run 122 and 115 minutes; edits reportedly downplay the Soviet Union's role. A two disc Blu-ray special edition was released in 2018 by video specialty label Kino Lorber, presenting the film in high definition. The release contains both the 122-minute television cut, presented in a 4:3 aspect ratio as broadcast, as well as the 127-minute theatrical cut presented in a 16:9 widescreen aspect ratio. Reception On its original broadcast (Sunday, November 20, 1983), John Cullum warned viewers before the film was premiered that the film contains graphic and disturbing scenes, and encouraged parents who have young children watching, to watch together and discuss the issues of nuclear warfare. ABC and local TV affiliates opened 1-800 hotlines with counselors standing by. There were no commercial breaks after the nuclear attack. ABC then aired a live debate on Viewpoint, ABC's occasional discussion program hosted by Nightlines Ted Koppel, featuring scientist Carl Sagan, former Secretary of State Henry Kissinger, Elie Wiesel, former Secretary of Defense Robert McNamara, General Brent Scowcroft and commentator William F. Buckley Jr.. Sagan argued against nuclear proliferation, while Buckley promoted the concept of nuclear deterrence. Sagan described the arms race in the following terms: "Imagine a room awash in gasoline, and there are two implacable enemies in that room. One of them has nine thousand matches, the other seven thousand matches. Each of them is concerned about who's ahead, who's stronger." The film and its subject matter were prominently featured in the news media both before and after the broadcast, including on such covers as TIME, Newsweek, U.S. News & World Report, and TV Guide. Critics tended to claim the film was either sensationalizing nuclear war or that it was too tame. The special effects and realistic portrayal of nuclear war received praise. The film received 12 Emmy nominations and won two Emmy awards. It was rated "way above average" in Leonard Maltin's Movie Guide, until all reviews for movies exclusive to TV were removed from the publication. In the United States, 38.5 million households, or an estimated 100 million people, watched The Day After on its first broadcast, a record audience for a made-for-TV movie. Producers Sales Organization released the film theatrically around the world, in the Eastern Bloc, China, North Korea and Cuba (this international version contained six minutes of footage not in the telecast edition). Since commercials are not sold in these markets, Producers Sales Organization failed to gain revenue to the tune of an undisclosed sum. Years later this international version was released to tape by Embassy Home Entertainment. Actor and former Nixon adviser Ben Stein, critical of the movie's message (i.e. that the strategy of Mutual Assured Destruction would lead to a war), wrote in the Los Angeles Herald-Examiner what life might be like in an America under Soviet occupation. Stein's idea was eventually dramatized in the miniseries Amerika, also broadcast by ABC. The New York Post accused Meyer of being a traitor, writing, "Why is Nicholas Meyer doing Yuri Andropov's work for him?" Much press comment focused on the unanswered question in the film of who started the war. Richard Grenier in the National Review accused The Day After of promoting "unpatriotic" and pro-Soviet attitudes. Television critic Matt Zoller Seitz in his 2016 book co-written with Alan Sepinwall titled TV (The Book) named The Day After as the 4th greatest American TV-movie of all time, writing: "Very possibly the bleakest TV-movie ever broadcast, The Day After is an explicitly antiwar statement dedicated entirely to showing audiences what would happen if nuclear weapons were used on civilian populations in the United States." Effects on policymakers U.S. President Ronald Reagan watched the film more than a month before its screening, on Columbus Day, October 10, 1983. He wrote in his diary that the film was "very effective and left me greatly depressed," and that it changed his
of the nine spaces in the grid. In the following example, the first player (X) wins the game in seven steps: There is no universally-agreed rule as to who plays first, but in this article the convention that X plays first is used. Players soon discover that the best play from both parties leads to a draw. Hence, tic-tac-toe is often played by young children who may not have discovered the optimal strategy. Because of the simplicity of tic-tac-toe, it is often used as a pedagogical tool for teaching the concepts of good sportsmanship and the branch of artificial intelligence that deals with the searching of game trees. It is straightforward to write a computer program to play tic-tac-toe perfectly or to enumerate the 765 essentially different positions (the state space complexity) or the 26,830 possible games up to rotations and reflections (the game tree complexity) on this space. If played optimally by both players, the game always ends in a draw, making tic-tac-toe a futile game. The game can be generalized to an m,n,k-game, in which two players alternate placing stones of their own color on an m-by-n board with the goal of getting k of their own color in a row. Tic-tac-toe is the 3,3,3-game. Harary's generalized tic-tac-toe is an even broader generalization of tic-tac-toe. It can also be generalized as an nd game, specifically one in which n equals 3 and d equals 2. It can be generalised even further by playing on an arbitrary incidence structure, where rows are lines and cells are points. Tic-tac-toe's incidence structure consists of nine points, three horizontal lines, three vertical lines, and two diagonal lines, with each line consisting of at least three points. History Games played on three-in-a-row boards can be traced back to ancient Egypt, where such game boards have been found on roofing tiles dating from around 1300 BC. An early variation of tic-tac-toe was played in the Roman Empire, around the first century BC. It was called terni lapilli (three pebbles at a time) and instead of having any number of pieces, each player had only three; thus, they had to move them around to empty spaces to keep playing. The game's grid markings have been found chalked all over Rome. Another closely related ancient game is three men's morris which is also played on a simple grid and requires three pieces in a row to finish, and Picaria, a game of the Puebloans. The different names of the game are more recent. The first print reference to "noughts and crosses" (nought being an alternative word for 'zero'), the British name, appeared in 1858, in an issue of Notes and Queries. The first print reference to a game called "tick-tack-toe" occurred in 1884, but referred to "a children's game played on a slate, consisting of trying with the eyes shut to bring the pencil down on one of the numbers of a set, the number hit being scored". "Tic-tac-toe" may also derive from "tick-tack", the name of an old version of backgammon first described in 1558. The US renaming of "noughts and crosses" to "tic-tac-toe" occurred in the 20th century. In 1952, OXO (or Noughts and Crosses), developed by British computer scientist Sandy Douglas for the EDSAC computer at the University of Cambridge, became one of the first known video games. The computer player could play perfect games of tic-tac-toe against a human opponent. In 1975, tic-tac-toe was also used by MIT students to demonstrate the computational power of Tinkertoy elements. The Tinkertoy computer, made out of (almost) only Tinkertoys, is able to play tic-tac-toe perfectly. It is currently on display at the Museum of Science, Boston. Combinatorics When considering only the state of the board, and after taking into account board symmetries (i.e. rotations and reflections), there are only 138 terminal board positions. A combinatorics study of the game shows that when "X" makes the first move every time, the game outcomes are as follows: 91 distinct positions are won by (X) 44 distinct positions are won by (O) 3 distinct positions are drawn (often called a "cat's game") Strategy A player can play a perfect game of tic-tac-toe (to win or at least draw) if, each time it is their turn to play, they choose the first available move from the following list, as used in Newell and Simon's 1972 tic-tac-toe program. Win: If the player has two in a row, they can place a third to get three in a row. Block: If the opponent has two in a row, the player must play the third themselves to block the opponent. Fork: Cause a scenario where the player has two ways to win (two non-blocked lines of 2). Blocking an opponent's fork: If there is only one possible fork for the opponent, the player should block it. Otherwise, the player should block all forks in any way that simultaneously allows them to make two in a row. Otherwise, the player should make a two in a row to force the opponent into defending, as long as it does not result in them producing a fork. For example, if "X" has two opposite corners and "O" has the center, "O" must not play a corner move to win. (Playing a corner move in this scenario produces a fork for "X" to win.) Center: A player marks the center. (If it is the first move of the game, playing a corner move gives the second player more opportunities to make a mistake and may therefore be the better choice; however, it makes no difference between perfect players.) Opposite corner: If the opponent is in the corner, the player plays the opposite corner. Empty corner: The player plays in a corner square. Empty side: The player plays in a middle square on any of the four sides. The first player, who shall be designated "X", has three possible strategically distinct positions to mark during the first turn. Superficially, it might seem that there are nine possible positions, corresponding to the nine squares in the grid. However, by rotating the board, we will find that, in the first turn, every corner mark is
X2, this game will be a draw. X1 → O5 → X6 → O8 → X2 → O3 → X7 → O4 → X9, this game will be a draw. X1 → O5 → X6 → O9, then X should not take 4, or O can take 7 to win, X should take 2, 3, 7 or 8. X1 → O5 → X6 → O9 → X2 → O3 → X7 → O4 → X8, this game will be a draw. X1 → O5 → X6 → O9 → X3 → O2 → X8 → O4 (7) → X7 (4), this game will be a draw. X1 → O5 → X6 → O9 → X7 → O4 → X2 (3) → O3 (2) → X8, this game will be a draw. X1 → O5 → X6 → O9 → X8 → O2 (3, 4, 7) → X4/7 (4/7, 2/3, 2/3) → O7/4 (7/4, 3/2, 3/2) → X3 (2, 7, 4), this game will be a draw. In both of these situations (X takes 9 or 6 as second move), X has a property to win. If X is not a perfect player, X may take 2 or 3 as second move. Then this game will be a draw, X cannot win. X1 → O5 → X2 → O3 → X7 → O4 → X6 → O8 (9) → X9 (8), this game will be a draw. X1 → O5 → X3 → O2 → X8 → O4 (6) → X6 (4) → O9 (7) → X7 (9), this game will be a draw. If X plays 1 opening move, and O is not a perfect player, the following may happen: Although O takes the only good position (5) as first move, but O takes a bad position as second move: X1 → O5 → X9 → O3 → X7, then X can take 4 or 8 to win. X1 → O5 → X6 → O4 → X3, then X can take 7 or 9 to win. X1 → O5 → X6 → O7 → X3, then X can take 2 or 9 to win. Although O takes good positions as the first two moves, but O takes a bad position as third move: X1 → O5 → X6 → O2 → X8 → O3 → X7, then X can take 4 or 9 to win. X1 → O5 → X6 → O2 → X8 → O4 → X9, then X can take 3 or 7 to win. O takes a bad position as first move (except of 5, all other positions are bad): X1 → O3 → X7 → O4 → X9, then X can take 5 or 8 to win. X1 → O9 → X3 → O2 → X7, then X can take 4 or 5 to win. X1 → O2 → X5 → O9 → X7, then X can take 3 or 4 to win. X1 → O6 → X5 → O9 → X3, then X can take 2 or 7 to win. Variations Many board games share the element of trying to be the first to get n-in-a-row, including three men's morris, nine men's morris, pente, gomoku, Qubic, Connect Four, Quarto, Gobblet, Order and Chaos, Toss Across, and Mojo. Tic-tac-toe is an instance of an m,n,k-game, where two players alternate taking turns on an m×n board until one of them gets k in a row. Harary's generalized tic-tac-toe is an even broader generalization. The game can be generalised even further by playing on an arbitrary hypergraph, where rows are hyperedges and cells are vertices. Other variations of tic-tac-toe include: 3-dimensional tic-tac-toe on a 3×3×3 board. In this game, the first player has an easy win by playing in the centre if 2 people are playing. One can play on a board of 4x4 squares, winning in several ways. Winning can include: 4 in a straight line, 4 in a diagonal line, 4 in a diamond, or 4 to make a square. Another variant, Qubic, is played on a 4×4×4 board; it was solved by Oren Patashnik in 1980 (the first player can force a win). Higher dimensional variations are also possible. In misère tic-tac-toe, the player wins if the opponent gets n in a row. A 3×3 game is a draw. More generally, the first player can draw or win on any board (of any dimension) whose side length is odd, by playing first in the central cell and then mirroring the opponent's moves. In "wild" tic-tac-toe, players can choose to place either X or O on each move. Number Scrabble or Pick15 is isomorphic to tic-tac-toe but on the surface appears completely different. Two players in turn say a number between one and nine. A particular number may not be repeated. The game is won by the player who has said three numbers whose sum is 15. If all the numbers are used and no one gets three numbers that add up to 15 then the game is a draw. Plotting these numbers on a 3×3 magic square shows that the game exactly corresponds with tic-tac-toe, since three numbers will be arranged in a straight line if and only if they total 15. Another isomorphic game uses a list of nine carefully chosen words, for instance "try", "be", "on", "any", "boat", "or", "mare", "by", and "ten". Each player picks one word in turn and to win, a player must select three words with the same letter. The words may be plotted on a tic-tac-toe grid in such a way that a three-in-a-row line wins. Numerical Tic Tac Toe is a variation invented by the mathematician Ronald Graham. The numbers 1 to 9 are used in this game. The first player plays
16 November 1931, and the first test landing was commenced by captain Reissar piloting Estonian Air Force Avro 594 Avian, tail number 120. The airport was opened officially on 20 September 1936, although it had been operational a good while before the official opening - LOT Polish Airlines, which commenced its first passenger flight from Tallinn on 18 August 1932 with Fokker F.VIIb/3m from Lasnamäe Airfield, later relocated the flights to Tallinn Airport and in 1935 the airport had 6 arrivals and departures on average every day. In April 1935 a ramp for seaplanes was built on a shore of Lake Ülemiste, together with a small arch bridge and a customs office, which allowed seaplanes to be relocated from a sea port. The same year the airport administration building was erected, which also served initially as a waiting place for travellers. The total cost of the whole airport project, including the cost of building flight hangars, was 25 million sents. As the very first runways had soft surface, it made them unavailable for takeoffs and landings during spring and autumn seasons. Therefore, only seaplanes stationed at Lake Ülemiste were able to carry out flights, and during winter months, it was possible to use the frozen surface of the lake as a runway for small airplanes. The concrete paved runways of the first stage, inaugurated together with the opening of the airport, were about 40 metres wide and 300 metres long. As they were arranged in a form of a triangle, they allowed takeoffs and landings in six directions. These were the first concrete-paved runway in Estonia, it was needed some 5,396 cubic meters of stone, 4,100 cubic meters of construction aggregate and 137 tons of cement to construct them. In addition, 3 km of pipeworks was laid for drainage purposes. Before World War II, Tallinn Airport had regular connections to abroad by at least Aerotransport (now part of the SAS Group), Deutsche Luft Hansa, LOT and the Finnish company Aero (now Finnair). On 5 April 1937 the Helsinki-Tallinn-Warsaw-Jerusalem route was inaugurated by Mr. Bobkowski, the assistant of the Polish Minister of Transport. The length of the route was and the journey time was 34 hours. Passengers and cargo numbers grew quickly, from 4,100 passengers and 6,730 kg of cargo in 1933 to 11,892 passengers and 14,726 kg of cargo in 1937. Preparation and design works for a new passenger terminal started in 1938. 14 various projects were submitted for the architectural contest of the new terminal building, with the one from the architect Artur Jürvetson winning the contest in February the same year. The construction costs were estimated at 300 thousand Estonian kroons. The first airplane of then the flag carrier of Estonia, AGO, arrived at Tallinn Airport on 5 October 1939, flying the route Dessau - Königsberg - Tallinn. As Estonia was occupied by Soviet Union, on 22 July 1940 the order was made by Soviet occupation authorities to transfer the airport to Soviet Air Forces. All aircraft, which were at the airport at that time, including interned Polish Lockheed 14, two Junkers Ju 52 of AGO and PTO-4 trainer aircraft of Estonian Airclub, were relocated to Lasnamäe Airfield. During the German occupation, regular international connections were announced on 16 October and already restored on 15 November 1941, when Deutsche Lufthansa and Aero O/Y started the route Helsinki-Tallinn-Riga-Königsberg-Berlin. From 1942 to 1944 Sonderstaffel Buschmann was based at Tallinn Airport. Soviet period Between 1945 and 1989, Aeroflot was the only airline that served Tallinn Airport. The construction of the new passenger terminal, which was put on hold due to war, resumed. The building, which was redesigned in accordance with the Stalinist architecture, was finished in 1954 and commissioned on 7 November 1955. Regular flights with jet aircraft began on 2 October 1962 with a maiden passenger flight from Moscow with a Tu-124, which was the latest Soviet airliner. As the terminal built in 1954 became obsolete and unable to cope with growing airport traffic, the construction of the current terminal building began in 1976 and the terminal was opened in 1980, prior to the 1980 Summer Olympics sailing event, which was held in the city. The architect of the new terminal was Mihhail Piskov, who took visual inspiration from traditional Estonian housebarns, and the interior designer was Maile Grünberg. The runway was also lengthened then. The first foreign airline since World War II to operate regular flights from Tallinn was SAS, whose first flight to the airport took place on 25 November 1989. Modern development The construction works of the first cargo terminal (Cargo 1), located in the middle of future cargo area on the north side of the airport, were carried out from September 1997 until March 1998. The passenger terminal building was completely modernised in 1999, increasing its capacity to 1.4 million passengers per year and after that greatly expanded in 2008. The growing demand for extra space for cargo operations, created a situation where there was need for cargo terminal expansion, Cargo 2. In order to meet the growing demand for new cargo facilities at Tallinn Airport, the number of cargo terminals was later expanded to four. In year 2012 a new aircraft maintenance hangar was opened and a number of passengers passed two million mark the first time in the history of the airport. On 11 January 2013 the airport was accepted into Airport Carbon Accreditation emission managing and reduction programme by ACI. The year 2013 saw an introduction of an automatic border control system and a start of construction of a new business aviation hangar complex. 2008 expansion The airport underwent a large expansion project between January 2006 and September 2008. The existing terminal was expanded by and the architects of the project were Jean Marie Bonnard, Pia Tasa and Inge Sirkel-Suviste. The terminal was expanded in three directions, resulting in 18 new gates, separate lounges for Schengen and non-Schengen passengers, 10 new check-in desks and a new restaurant and cafes. Due to the gallery that connects all the gates and was constructed in the middle of the terminal building the terminal became T-shaped. The projecting terminal section enables a two-level traffic for international passengers. The renewed terminal has nine passenger bridges. The extensions constructed at the ends of the terminal building became additional rooms for registering for the flights and for delivering arriving luggage. Outside the terminal, the apron was refurbished and expanded and a new taxiway was added. The new terminal allows the airport to handle twice as many passengers as it could handle before. The renovated terminal received the award "Concrete Building of the Year 2008" by the Estonian Concrete Association. Renaming After the death of former president of Estonia Lennart Meri on 14 March 2006, journalist Argo Ideon from Eesti Ekspress proposed to honour the president's memory by naming Tallinn Airport after him – "" (Lennart Meri International Airport), drawing parallels with John F. Kennedy International Airport, Charles de Gaulle Airport, Sabiha Gökçen International Airport etc. Ideon's article also mentioned the fact that Meri himself had shown concern for the condition of the then Soviet-era construction (in one memorable case Meri, having arrived from Japan, led the group of journalists that were expecting him, to the airport's toilets to do the interview there, in order to point out the shoddy condition of the facilities). The name change was discussed at a board meeting on 29 March 2006, and on the opening of the new terminal on 19 September 2008, Prime Minister Andrus Ansip officially announced the renaming would take place in March 2009 Baltic Sea cruise turnarounds In 2011 a new project of cruise turnarounds was launched in cooperation with Tallinn Passenger Port and Happy Cruises. More than 7,000 Spanish passengers travelled that year on charter flights to and from Tallinn Airport. As the airport is located only 5 km from the city center cruise quay, transfer time from airport to cruise ship is under an hour. In 2012, Pullmantur Air started its charter operations from Madrid–Barajas Airport with three Airbus 321s and two to three Boeing 747s. During the summer 2012 about 16,000 tourists were transferred. The company continued operations in 2013, transferring 25,000 tourists in five turnarounds, as well as there was one partial turnaround operation for the cruise ship MS Deutschland operated by Peter Deilmann Cruises. In 2015, cruise tourists were attended to by four airlines – Iberia, Iberia Express, Wamos Air, and Vueling. Some 5,000 passengers were expected during three turnarounds for Pullmantur Cruises cruise line. Tallinn Airport served 9,369 cruise turnaround passengers in 2015. No cruise turnarounds are expected in summer 2016 due to construction works, but the airport plans to continue them in 2017. Demise of Estonian Air On 7 November 2015, Estonian Air was liquidated following an adverse decision by the European Commission. This meant a significant temporary loss of business for the airport, as Estonian Air had been the largest carrier, accounting for one third of all capacity in 2014. Future expansion According to Erik Sakkov, board member of Tallinn Airport, the future plans include expanding the runway by 600–700 metres to serve regular long-haul flights, also building of a brand-new taxiway, new storage facilities, a new point-to-point terminal and expansion of the existing passenger terminal, so it can serve arriving and departing passengers on two different levels. On 21 February 2013 the environmental impact assessment of the airport development project started. The project includes the runway lengthening by 720 metres, installation of the ILS Category II equipment, also lengthening of the existing northern taxiway till the end of the expanded runway, constructing of a whole new taxiway and a new apron area on the southern side of the airport, installation of the new perimeter security systems and constructing of an engine test facility and dedicated snow storage and de-icing areas. Among other benefits the extension would enable planes to fly higher above the city of Tallinn by moving threshold of the runway further from Lake Ülemiste, thus reducing noise level. The public discussion of the runway extension environmental effects evaluation report took place on 16 December 2013 and the construction work to extend the runway has begun on 1 May 2016. The length of the renovated runway is 3480 meters, the construction contract was concluded with Lemminkäinen Eesti. On 17 November 2016 the airport administration reported, that the runway expansion works are completed, thus the runway became the longest one in the Baltic states. The runway and the main taxiway were extended to the east and a new system of navigation lights was installed. In the summer and autumn of 2016 the construction work caused restrictions on nighttime flight operations but had no impact on scheduled operations. The soil of the safety area around the extended runway was enforced to reduce potential risks to aircraft in the event of runway overrun or excursion. In the course of the expansion work in 2016 some 45,000 tons of asphalt and 4,000 m3 of concrete were laid down, also 60 kilometers of new duct access was built and 100 kilometers of new cables and 400 new navigation lights installed, as well as 10 kilometers of new rainwater removal infrastructure built. The expansion of the airstrip increased the airport's safety area by 41 hectares and five kilometers of new service roads were built. The whole expansion works must be completed by the end of 2017. On 12 June 2013 the City Administration of Tallinn approved a detailed planning for a 0.91 ha land plot, on which a new maintenance hangar is going to be built. Total five-year investment plan amounts of more than 100 million euros. The airport is investing €126 million during the 2015–2021 period. The most important project is the reconstruction of the runway infrastructure at cost of €75 million. Additional investment of €2.5 million would be made in flight terminal in order to change its layout and improve the terminal's security, capacity and VIP area. А multi-storey car park for 1,200 vehicles and 150 taxis would be built due to the consistently increasing need for parking spots around the airport. Work on the task and procurement conditions of the parking structure began in 2014. It will be located in front of the passenger terminal and should be completed in 2017 according to current plans. On 10 April 2019, Tallinn Airport announced plans to expand the airport terminal and build an airport city by 2035. The expanded terminal is planned to serve 6 to 8 million passengers per year with an expanded area of 85 000 m2 and 26 gates instead of 13. Planned Terminal 2 As the airport's current facilities could not serve more than 2.5 million passengers per year and the number of passengers is rapidly growing (38.2% in year 2011), a new terminal dedicated to low-cost airlines is planned to be built. On 12 April 2012 Tallinn Airport announced, that it will build next year a new terminal with five stands for low-cost airlines, which will be easily removable and extendable. The new terminal would be intended for low-cost airlines such as Ryanair, Easyjet and
of the runway, will be transferred to that exhibition. The whole museum plot will be separated from the airfield. The museum will have a direct access from E263 motorway (shares the same route with Estonian main road 2). Additionally, a platform with a view onto the runway will be constructed, giving good possibilities for aircraft spotting. The activity centre opened in 2016. Business aviation hangar complex On 20 March 2013 the airport authorities announced a public procurement for constructing a new hangar complex. The cornerstone of the new complex was laid on 27 September 2013. It has a surface area of , is located right next to the existing General Aviation Terminal and will be servicing aircraft within a distance of up to 3,000 kilometers from Tallinn. The complex is intended for accommodating a total of nine planes, eight of them are mid-size business jets and one aircraft the size of a large corporate aircraft. It consists of five hangars: the Hangar 1 for the large aircraft (such as Boeing 737, Airbus A318 or Airbus A319), hangars 2 to 5 are intended for smaller business jets (Bombardier Challenger 605, Learjet 60). The whole complex was opened on 15 April 2014 and its operator is Panaviatic, which is going to expand its business jet operations from Tallinn Airport. Apart from providing hangarage for business jets, the new complex also offers MRO services by Panaviatic's subsidiary AS Panaviatic Maintenance. The total investment was close to 5 million euros and the whole complex is the largest in the Baltic states. Aviation services Magnetic MRO has its facilities and headquarters on the airport property. On 6 September 2012 the company opened a new column-free three-bay hangar for Base Maintenance works of narrow-body aircraft, such as Boeing 737 and Airbus A320. The company has in total three main Base Maintenance lines, and two additional lines for lighter checks and modification works. With the addition of the new hangar, the maximum annual line maintenance capacity of the company boosted to 72 aircraft from the present 24. Magnetic MRO said the new hangar will allow it carry out a planned doubling of its workforce. On 21 December 2015 Magnetic MRO announced a launch of the second painting hangar, which will be built in co-operation with Tallinn Airport, in response to growing demand for painting services. The new hangar with further expansion possibilities will be capable of housing aircraft in size up to Boeing 737 MAX 9 and Airbus A321neo, as well as regional aircraft, and according to the agreement, the hangar is planned to be finalized and ready for use by 1 June 2017. Air freight Tallinn Airport has 4 cargo terminals with total warehouse space of ca 11,600 m2. The size of warehouse in Cargo 1 is 3601 m2 and 2066 m2 are dedicated for the office area. Cargo terminal is operated by different operators (including integrators) and Tallinn Airport Ltd. only acts as a lessor. The size of Cargo 2 warehouse is 1255 m2 and 758 m2 are dedicated for office space. Cargo 2 is operated by TNT Express Worldwide. Other logistics operators include DHL, UPS and FedEx. Airlines and destinations The following airlines operate scheduled year-round or seasonal routes at Tallinn Airport: Cargo Statistics Total passengers using the airport has increased on average by 14.2% annually since 1998. On 16 November 2012 Tallinn Airport has reached two million passenger landmark for the first time in its history. Passenger data reflects international and domestic flights combined, share of domestic flights compared to international flights was marginal. Passenger and cargo numbers exclude direct transit. Busiest routes Accolades Ground transportation Tram The best connection between downtown Tallinn and the airport is provided by tramline "4". The tram network extension to the airport terminal was opened on 1 September 2017. Trams mostly go with 6-minute intervals, the journey from downtown to the airport (and vice versa) takes 18–19 minutes. Trams run through the 150-metre long Ülemiste tram tunnel beneath the Tallinn-Narva railway. Like all public transportation in Tallinn, the tram is free to the city's residents. Bus The line "2" offers a connection to Mõigu subdistrict of Tallinn(Mõigu is located 1–2 km southeast from airport towards Tartu). On the returning route from Mõigu to Tallinn downtown (and further to Tallinn Passenger Port) the line "2" stops in Tartu Road (on the other side of parking house, not in public transportation terminal (or tram terminal)). Therefore, when going to city centre it is more convenient (easier) to take tram than bus "2". The line "2" buses go mostly with 20-minute intervals. The line "49" provides connections to Viimsi Parish, as well as to Iru subdistrict, Iru village and Pirita and Lasnamäe districts. The line "65" provides a connection to Lasnamäe district. Long-distance services include: intercity bus line "Täistunniekspress" (), operated by Lux Express, departs from Tallinn to Tartu. "Täistunniekspress" from Tartu arrives at the airport. intercity bus line "158", operated by SEBE, stops at the airport once a day. and departs from Tallinn to Tartu. The bus stops at Kose crossroad and the Mäo and Puhu crossroads. Rail The nearest station is Ülemiste train station, which lies about 800 metres from the airport, near Ülemiste Keskus. It provides access to regional rail and commuter rail lines of Elron. The station and Tallinn Airport are connected through the bus lines "49" and"65" and the tram line "4". Highway The airport is accessed by the E263 expressway (which shares the same route with the Estonian national road T2). The E20 expressway (which follows the T1) intersects with the E263 expressway away from the airport towards the city centre. The E67 expressway (Via Baltica, follows the Estonian national road T4) is easily accessible via the dual carriageway Järvevana Road, which provides a direct connection with E263 at the intersection. Incidents and accidents On 6 September 1938 at 5 p.m. EET, a Warsaw Aero Club RWD-10, piloted by , crashed into Lake Ülemiste during an aerobatic demonstration. The crash was caused by an error by the pilot, who misestimated the altitude during low-flight manoeuvres, and by muggy weather, which complicated the detection of a water surface. The depth of the crash site was only about 1 metre, which helped to absorb the shock but was too shallow for the pilot to drown. The pilot survived with head injuries. The plane's propeller and landing gear was damaged in the crash, but the plane was recovered and repaired by the staff of the seaplane terminal. On 8 January 1954, an Aeroflot Lisunov Li-2 flying from Tallinn to Leningrad-Shosseynaya Airport was hijacked by a man in a Soviet Air Force uniform and a woman. Both had guns and the woman had a knife. The flight engineer attempted to overpower the hijackers, but was killed by gunfire. Other crew members did succeed in overpowering the two. The aircraft turned back to Tallinn. In January 1966, an Ilyushin Il-14 flying from Kuressaare to Tallinn, made a landing on ice of Lake Ülemiste short of the runway 08 at its destination in nearly zero-visibility conditions. The incident was caused by an error of the air traffic controller, who misestimated the plane's altitude. The frontal landing gear was damaged during the unexpected landing, but the plane was otherwise intact. It was towed the same day to the airport. No injuries were reported, the passengers walked to the terminal across the frozen lake. On 16 November 1990, an Aeroflot Tupolev Tu-134 flying from Tallinn to Moscow was hijacked during a domestic flight by a hijacker who demanded to be taken to Sweden. The aircraft with 64 passengers aboard returned and landed at Tallinn Airport. Upon landing, the hijacker was arrested by Soviet authorities. No casualties were reported. On 18 September 1991 at 14:30 EEST (11:30 UTC), a Euro-Flite Dassault Falcon 20 business jet, carrying 2 crew and 10 passengers, landed on the runway of Tallinn Airport with its right main gear failed to lock in its extended position. The captain used ailerons and wheel brakes to hold the aircraft on the runway as far as possible until most speed was lost. Thereafter the aircraft came down smoothly on its right wing-tip while continuing to move turning to the right. At the end of the landing run the aircraft left the runway and stopped about 8 m outside the runway edge. There was no fire. The aircraft involved was OH-FFA and it got substantial damage, but was later repaired. The flight had departed from Helsinki Airport with Tallinn as its destination. No injuries were reported. On 20 February 1993 Aeroflot Flight 2134, a Tupolev Tu-134 flying from Tyumen to St.
frequently associated with polymyalgia rheumatica. The cause is unknown. The underlying mechanism involves inflammation of the small blood vessels that occur within the walls of larger arteries. This mainly affects arteries around the head and neck, though some in the chest may also be affected. Diagnosis is suspected based on symptoms, blood tests, and medical imaging, and confirmed by biopsy of the temporal artery. However, in about 10% of people the temporal artery is normal. Treatment is typical with high doses of steroids such as prednisone or prednisolone. Once symptoms have resolved the dose is then decreased by about 15% per month. Once a low dose is reached, the taper is slowed further over the subsequent year. Other medications that may be recommended include bisphosphonates to prevent bone loss and a proton-pump inhibitor to prevent stomach problems. It affects about 1 in 15,000 people over the age of 50 per year. The condition typically only occurs in those over the age of 50, being most common among those in their 70s. Females are more often affected than males. Those of northern European descent are more commonly affected. Life expectancy is typically normal. The first description of the condition occurred in 1890. Signs and symptoms Common symptoms of giant cell arteritis include: bruits fever headache tenderness and sensitivity on the scalp jaw claudication (pain in jaw when chewing) tongue claudication (pain in tongue when chewing) and necrosis reduced visual acuity (blurred vision) acute visual loss (sudden blindness) diplopia (double vision) acute tinnitus (ringing in the ears) stroke polymyalgia rheumatica (in 50%) The inflammation may affect blood supply to the eye; blurred vision or sudden blindness may occur. In 76% of cases involving the eye, the ophthalmic artery is involved, causing arteritic anterior ischemic optic neuropathy. Giant cell arteritis may present with atypical or overlapping features. Early and accurate diagnosis is important to prevent ischemic vision loss. Therefore, this condition is considered a medical emergency. While studies vary as to the exact relapse rate of giant cell arteritis, relapse of this condition can occur. It most often happens at low doses of prednisone (<20 mg/day), during the first year of treatment, and the most common signs of relapse are headache and polymyalgia rheumatica. Associated conditions The varicella-zoster virus (VZV) antigen was found in 74% of temporal artery biopsies that were GCA-positive, suggesting that the VZV infection may trigger the inflammatory cascade. The disorder may co-exist (in about half of cases) with polymyalgia rheumatica (PMR), which is characterized by sudden onset of pain and stiffness in muscles (pelvis, shoulder) of the body and is seen in the elderly. GCA and PMR are so closely linked that they are often considered to be different manifestations of the same disease process. PMR usually lacks the cranial symptoms, including headache, pain in the jaw while chewing, and vision symptoms, that are present in GCA. Giant cell arteritis can affect the aorta and lead to aortic aneurysm and aortic dissection. Up to 67% of people with GCA having evidence of an inflamed aorta, which can increase the risk of aortic aneurysm and dissection. There are arguments for the routine screening of each person with GCA for this possible life-threatening complication by imaging the aorta. Screening should be done on a case-by-case basis based on the signs
lacks the cranial symptoms, including headache, pain in the jaw while chewing, and vision symptoms, that are present in GCA. Giant cell arteritis can affect the aorta and lead to aortic aneurysm and aortic dissection. Up to 67% of people with GCA having evidence of an inflamed aorta, which can increase the risk of aortic aneurysm and dissection. There are arguments for the routine screening of each person with GCA for this possible life-threatening complication by imaging the aorta. Screening should be done on a case-by-case basis based on the signs and symptoms of people with GCA. Mechanism The pathological mechanism is the result of an inflammatory cascade that is triggered by an as of yet undetermined cause resulting in dendritic cells in the vessel wall recruiting T cells and macrophages to form granulomatous infiltrates. These infiltrates erode the middle and inner layers of the arterial tunica media leading to conditions such as aneurysm and dissection. Activation of T helper 17 (Th17) cells involved with interleukin (IL) 6, IL-17, IL-21 and IL-23 play a critical part; specifically, Th17 activation leads to further activation of Th17 through IL-6 in a continuous, cyclic fashion. This pathway is suppressed with glucocorticoids, and more recently it has been found that IL-6 inhibitors also play a suppressive role. Diagnosis Physical exam Palpation of the head reveals prominent temporal arteries with or without pulsation. The temporal area may be tender. Decreased pulses may be found throughout the body Evidence of ischemia may be noted on fundal exam. Bruits may be heard over the subclavian and axillary arteries Laboratory tests Erythrocyte sedimentation rate, an inflammatory marker, >60 mm/hour (normal 1–40 mm/hour). C-reactive protein, another inflammatory marker, may be elevated. LFTs, liver function tests, are abnormal particularly raised ALP- alkaline phosphatase Platelets may also be elevated. Biopsy The gold standard for diagnosing temporal arteritis is biopsy, which involves removing a small part of the vessel under local anesthesia and examining it microscopically for giant cells infiltrating the tissue. However, a negative result does not definitively rule out the diagnosis; since the blood vessels are involved in a patchy pattern, there may be unaffected areas on the vessel and the biopsy might have been taken from these parts. Unilateral biopsy of a 1.5–3 cm length is 85-90% sensitive (1 cm is the minimum). A Characterised as intimal hyperplasia and medial granulomatous inflammation with elastic lamina fragmentation with a CD 4+ predominant T cell infiltrate, currently biopsy is only considered confirmatory for the clinical diagnosis, or one of the diagnostic criteria. Medical imaging Radiological examination of the temporal artery with ultrasound yields a halo sign. Contrast-enhanced brain MRI and CT are generally negative in this disorder. Recent studies have shown that 3T MRI using super high resolution imaging and contrast injection can non-invasively diagnose this disorder with high specificity and sensitivity. Treatment GCA is considered a medical emergency due to the potential of irreversible vision loss. Corticosteroids, typically high-dose prednisone (1 mg/kg/day), should be started as soon as the diagnosis is suspected (even before the diagnosis is confirmed by biopsy) to prevent irreversible blindness secondary to ophthalmic artery occlusion. Steroids do not prevent the diagnosis from later being confirmed by biopsy, although certain changes in
the symptoms and looking for mimicking symptoms as described above. Bystanders can be very helpful in describing the symptoms and giving details about when they started and how long they lasted. The time course (onset, duration, and resolution), precipitating events, and risk factors are particularly important. Laboratory workup Laboratory tests should focus on ruling out metabolic conditions that may mimic TIA (e.g. hypoglycemia causing altered mental status), in addition to further evaluating a patient's risk factors for ischemic events. All patients should receive a complete blood count with platelet count, blood glucose, basic metabolic panel, prothrombin time/international normalized ratio, and activated partial thromboplastin time as part of their initial workup. These tests help with screening for bleeding or hypercoagulable conditions. Other lab tests, such as a full hypercoagulable state workup or serum drug screening, should be considered based on the clinical situation and factors, such as age of the patient and family history. A fasting lipid panel is also appropriate to thoroughly evaluate the patient's risk for atherosclerotic disease and ischemic events in the future. Other lab tests may be indicated based on the history and presentation; such as obtaining inflammatory markers (erythrocyte sedimentation rate and C-reactive protein) to evaluate for giant cell arteritis (which can mimic a TIA) in those presenting with headaches and monocular blindness. Cardiac rhythm monitoring An electrocardiogram is necessary to rule out abnormal heart rhythms, such as atrial fibrillation, that can predispose patients to clot formation and embolic events. Hospitalized patients should be placed on heart rhythm telemetry, which is a continuous form of monitoring that can detect abnormal heart rhythms. Prolonged heart rhythm monitoring (such as with a Holter monitor or implantable heart monitoring) can be considered to rule out arrhythmias like paroxysmal atrial fibrillation that may lead to clot formation and TIAs, however this should be considered if other causes of TIA have not been found. Imaging According to guidelines from the American Heart Association and American Stroke Association Stroke Council, patients with TIA should have head imaging "within 24 hours of symptom onset, preferably with magnetic resonance imaging, including diffusion sequences". MRI is a better imaging modality for TIA than computed tomography (CT), as it is better able to pick up both new and old ischemic lesions than CT. CT, however, is more widely available and can be used particularly to rule out intracranial hemorrhage. Diffusion sequences can help further localize the area of ischemia and can serve as prognostic indicators. Presence of ischemic lesions on diffusion weighted imaging has been correlated with a higher risk of stroke after a TIA. Vessels in the head and neck may also be evaluated to look for atherosclerotic lesions that may benefit from interventions, such as carotid endarterectomy. The vasculature can be evaluated through the following imaging modalities: magnetic resonance angiography (MRA), CT angiography (CTA), and carotid ultrasonography/transcranial doppler ultrasonography. Carotid ultrasonography is often used to screen for carotid artery stenosis, as it is more readily available, is noninvasive, and does not expose the person being evaluated to radiation. However, all of the above imaging methods have variable sensitivities and specificities, making it important to supplement one of the imaging methods with another to help confirm the diagnosis (for example: screen for the disease with ultrasonography, and confirm with CTA). Confirming a diagnosis of carotid artery stenosis is important because the treatment for this condition, carotid endarterectomy, can pose significant risk to the patient, including heart attacks and strokes after the procedure. For this reason, the U.S. Preventive Services Task Force (USPSTF) "recommends against screening for asymptomatic carotid artery stenosis in the general adult population". This recommendation is for asymptomatic patients, so it does not necessarily apply to patients with TIAs as these may in fact be a symptom of underlying carotid artery disease (see "Causes and Pathogenesis" above). Therefore, patients who have had a TIA may opt to have a discussion with their clinician about the risks and benefits of screening for carotid artery stenosis, including the risks of surgical treatment of this condition. Cardiac imaging can be performed if head and neck imaging do not reveal a vascular cause for the patient's TIA (such as atherosclerosis of the carotid artery or other major vessels of the head and neck). Echocardiography can be performed to identify patent foramen ovale (PFO), valvular stenosis, and atherosclerosis of the aortic arch that could be sources of clots causing TIAs, with transesophageal echocardiography being more sensitive than transthoracic echocardiography in identifying these lesions. Differential diagnosis Prevention Although there is a lack of robust studies demonstrating the efficacy of lifestyle changes in preventing TIA, many medical professionals recommend them. These include: Avoiding smoking Cutting down on fats to help reduce the amount of plaque buildup Eating a healthy diet including plenty of fruits and vegetables Limiting sodium in the diet, thereby reducing blood pressure Exercising regularly Moderating intake of alcohol, stimulants, sympathomimetics, etc. Maintaining a healthy weight In addition, it is important to control any underlying medical conditions that may increase the risk of stroke or TIA, including: Hypertension High cholesterol Diabetes mellitus Atrial fibrillation Treatment By definition, TIAs are transient, self-resolving, and do not cause permanent impairment. However, they are associated with an increased risk of subsequent ischemic strokes, which can be permanently disabling. Therefore, management centers on the prevention of future ischemic strokes and addressing any modifiable risk factors. The optimal regimen depends on the underlying cause of the TIA. Lifestyle modification Lifestyle changes have not been shown to reduce the risk of stroke after TIA. While no studies have looked at the optimal diet for secondary prevention of stroke, some observational studies have shown that a Mediterranean diet can reduce stroke risk in patients without cerebrovascular disease. A Mediterranean diet is rich in fruits, vegetables and whole grains, and limited in red meats and sweets. Vitamin supplementation has not been found to be useful in secondary stroke prevention. Antiplatelet medications The antiplatelet medications, aspirin and clopidogrel, are both recommended for secondary prevention of stroke after high-risk TIAs. The clopidogrel can generally be stopped after 10 to 21 days. An exception is TIAs due to blood clots originating from the heart, in which case anticoagulants are generally recommended. After TIA or minor stroke, aspirin therapy has been shown to reduce the short-term risk of recurrent stroke by 60–70%, and the long-term risk of stroke by 13%. The typical therapy may include aspirin alone, a combination of aspirin plus extended-release dipyridamole, or clopidogrel alone. Clopidogrel and aspirin have similar efficacies and side effect profiles. Clopidogrel is more expensive and has a slightly decreased risk of GI bleed. Another antiplatelet, ticlopidine, is rarely used due to increased side effects. Anticoagulant medications Anticoagulants may be started if the TIA is thought to be attributable to atrial fibrillation. Atrial fibrillation is an abnormal heart rhythm that may cause the formation of blood clots that can travel to the brain, resulting in TIAs or ischemic strokes. Atrial fibrillation increases stroke risk by five times, and is thought to cause 10-12% of all ischemic strokes in the US. Anticoagulant therapy can decrease the relative risk of ischemic stroke in those with atrial fibrillation by 67% Warfarin is a common anticoagulant used, but direct acting oral anticoagulants (DOACs), such as apixaban, have been shown to be equally effective while also conferring a lower risk of bleeding. Generally, anticoagulants and antiplatelets are not used in combination, as they result in increased bleeding risk without a decrease in stroke risk. However, combined antiplatelet and anticoagulant therapy may be warranted if the patient has symptomatic coronary artery disease in addition to atrial fibrillation. Sometimes, myocardial infarction ("heart attack") may lead to the formation of a blood clot in one of the chambers of the heart. If this is thought to be the cause of the TIA, people may be temporarily treated with warfarin or other anticoagulant to decrease the risk of future stroke. Blood pressure control Blood pressure control may be indicated after TIA to reduce the risk of ischemic stroke. About 70% of patients with recent ischemic stroke are found to have hypertension, defined as systolic blood pressure (SBP) > 140 mmHg, or diastolic blood pressure (DBP) > 90 mmHg. Until the first half of the 2010s, blood pressure goals have generally been SBP < 140 mmHg and DBP < 90 mmHg. However, newer studies suggest that a goal of SBP <130 mmHg may confer even greater benefit. Blood pressure control is often achieved using diuretics or a combination of diuretics and angiotensin converter enzyme inhibitors, although the optimal treatment regimen depends on the individual. Studies that evaluated the application of Blood pressure‐lowering drugs in people who suffered a TIA or stroke, concluded that this type of medication helps to reduce the possibility of a recurrent stroke, of a major vascular event and dementia. The effects achieved in stroke recurrence were mainly obtained through the ingestion of angiotensin-converting enzyme (ACE) inhibitor or a diuretic. Cholesterol control There is inconsistent evidence regarding the effect of LDL-cholesterol levels on stroke risk after TIA. Elevated cholesterol may increase ischemic stroke risk while decreasing the risk of hemorrhagic stroke. While its role in stroke prevention is currently unclear, statin therapy has been shown to reduce all-cause mortality and may be recommended after TIA. Diabetes control Diabetes mellitus increases the risk of ischemic stroke by 1.5-3.7 times, and may account for at least 8% of first ischemic strokes. While intensive glucose control can prevent certain complications of diabetes such as kidney damage and retinal damage, there has previously been little evidence that it decreases the risk of stroke or death. However, data from 2017 suggests that metformin, pioglitazone and semaglutide may reduce stroke risk. Surgery If the TIA affects an area that is supplied by the carotid arteries, a carotid ultrasound scan may demonstrate stenosis, or narrowing, of the carotid artery. For people with extra-cranial carotid stenosis, if 70-99% of the carotid artery is clogged, carotid endarterectomy can
TIAs used to be defined as ischemic events in the brain that last less than 24 hours, but given the variation in duration of symptoms, this definition holds less significance. A pooled study of 808 patients with TIAs from 10 hospitals showed that 60% lasted less than one hour, 71% lasted less than two hours, and 14% lasted greater than six hours. Importantly, patients with symptoms that last more than one hour are more likely to have permanent neurologic damage, making prompt diagnosis and treatment important to maximize recovery. Cause The most common underlying pathology leading to TIA and stroke is a cardiac condition called atrial fibrillation, where poor coordination of contraction leads to a formation of a clot in the atrial chamber that can become dislodged and travel to a cerebral artery. Unlike in stroke, the blood flow can become restored prior to infarction which leads to the resolution of neurologic symptoms. Another common culprit of TIA is an atherosclerotic plaque located in the common carotid artery, typically by the bifurcation between the internal and external carotids, that becomes an embolism to the brain vasculature similar to the clot in the prior example. A portion of the plaque can become dislodged and lead to embolic pathology in the cerebral vessels. In-situ thrombosis, an obstruction that forms directly in the cerebral vasculature unlike the remote embolism previously mentioned, is another vascular occurrence with possible presentation as TIA. Also, carotid stenosis secondary to atherosclerosis narrowing the diameter of the lumen and thus limiting blood flow is another common cause of TIA. Individuals with carotid stenosis may present with TIA symptoms, thus labeled symptomatic, while others may not experience symptoms and be asymptomatic. Risk factors Risk factors associated with TIA are categorized as modifiable or non-modifiable. Non-modifiable risk factors include age greater than 55, sex, family history, genetics, and race/ethnicity. Modifiable risk factors include cigarette smoking, hypertension (elevated blood pressure), diabetes, hyperlipidemia, level of carotid artery stenosis (asymptomatic or symptomatic) and activity level. The modifiable risk factors are commonly targeted in treatment options to attempt to minimize risk of TIA and stroke. Pathogenesis There are three major mechanisms of ischemia in the brain: embolism traveling to the brain, in situ thrombotic occlusion in the intracranial vessels supplying the parenchyma of the brain, and stenosis of vessels leading to poor perfusion secondary to flow-limiting diameter. Globally, the vessel most commonly affected is the middle cerebral artery. Embolisms can originate from multiple parts of the body. Common mechanisms of stroke and TIA: Diagnosis The initial clinical evaluation of a suspected TIA involves obtaining a history and physical exam (including a neurological exam). History taking includes defining the symptoms and looking for mimicking symptoms as described above. Bystanders can be very helpful in describing the symptoms and giving details about when they started and how long they lasted. The time course (onset, duration, and resolution), precipitating events, and risk factors are particularly important. Laboratory workup Laboratory tests should focus on ruling out metabolic conditions that may mimic TIA (e.g. hypoglycemia causing altered mental status), in addition to further evaluating a patient's risk factors for ischemic events. All patients should receive a complete blood count with platelet count, blood glucose, basic metabolic panel, prothrombin time/international normalized ratio, and activated partial thromboplastin time as part of their initial workup. These tests help with screening for bleeding or hypercoagulable conditions. Other lab tests, such as a full hypercoagulable state workup or serum drug screening, should be considered based on the clinical situation and factors, such as age of the patient and family history. A fasting lipid panel is also appropriate to thoroughly evaluate the patient's risk for atherosclerotic disease and ischemic events in the future. Other lab tests may be indicated based on the history and presentation; such as obtaining inflammatory markers (erythrocyte sedimentation rate and C-reactive protein) to evaluate for giant cell arteritis (which can mimic a TIA) in those presenting with headaches and monocular blindness. Cardiac rhythm monitoring An electrocardiogram is necessary to rule out abnormal heart rhythms, such as atrial fibrillation, that can predispose patients to clot formation and embolic events. Hospitalized patients should be placed on heart rhythm telemetry, which is a continuous form of monitoring that can detect abnormal heart rhythms. Prolonged heart rhythm monitoring (such as with a Holter monitor or implantable heart monitoring) can be considered to rule out arrhythmias like paroxysmal atrial fibrillation that may lead to clot formation and TIAs, however this should be considered if other causes of TIA have not been found. Imaging According to guidelines from the American Heart Association and American Stroke Association Stroke Council, patients with TIA should have head imaging "within 24 hours of symptom onset, preferably with magnetic resonance imaging, including diffusion sequences". MRI is a better imaging modality for TIA than computed tomography (CT), as it is better able to pick up both new and old ischemic lesions than CT. CT, however, is more widely available and can be used particularly to rule out intracranial hemorrhage. Diffusion sequences can help further localize the area of ischemia and can serve as prognostic indicators. Presence of ischemic lesions on diffusion weighted imaging has been correlated with a higher risk of stroke after a TIA. Vessels in the head and neck may also be evaluated to look for atherosclerotic lesions that may benefit from interventions, such as carotid endarterectomy. The vasculature can be evaluated through the following imaging modalities: magnetic resonance angiography (MRA), CT angiography (CTA), and carotid ultrasonography/transcranial doppler ultrasonography. Carotid ultrasonography is often used to screen for carotid artery stenosis, as it is more readily available, is noninvasive, and does not expose the person being evaluated to radiation. However, all of the above imaging methods have variable sensitivities and specificities, making it important to supplement one of the imaging methods with another to help confirm the diagnosis (for example: screen for the disease with ultrasonography, and confirm with CTA). Confirming a diagnosis of carotid artery stenosis is important because the treatment for this condition, carotid endarterectomy, can pose significant risk to the patient, including heart attacks and strokes after the procedure. For this reason, the U.S. Preventive Services Task Force (USPSTF) "recommends against screening for asymptomatic carotid artery stenosis in the general adult population". This recommendation is for asymptomatic patients, so it does not necessarily apply to patients with TIAs as these may in fact be a symptom of underlying carotid artery disease (see "Causes and Pathogenesis" above). Therefore, patients who have had a TIA may opt to have a discussion with their clinician about the risks and benefits of screening for carotid artery stenosis, including the risks of surgical treatment of this condition. Cardiac imaging can be performed if head and neck imaging do not reveal a vascular cause for the patient's TIA (such as atherosclerosis of the carotid artery or other major vessels of the head and neck). Echocardiography can be performed to identify patent foramen ovale (PFO), valvular stenosis, and atherosclerosis of the aortic arch that could be sources of clots causing TIAs, with transesophageal echocardiography being more sensitive than transthoracic echocardiography in identifying these lesions. Differential diagnosis Prevention Although there is a lack of robust studies demonstrating the efficacy of lifestyle changes in preventing TIA, many medical professionals recommend them. These include: Avoiding smoking Cutting down on fats to help reduce the amount of plaque buildup Eating a healthy diet including plenty of fruits and vegetables Limiting sodium in the diet, thereby reducing blood pressure Exercising regularly Moderating intake of alcohol, stimulants, sympathomimetics, etc. Maintaining a healthy weight In addition, it is important to control any underlying medical conditions that may increase the risk of stroke or TIA, including: Hypertension High cholesterol Diabetes
spinal cord. The underlying cause of TM is unknown. The spinal cord inflammation seen in TM has been associated with various infections, immune system disorders, or damage to nerve fibres, by loss of myelin. As opposed to leukomyelitis which affects only the white matter, it affects the entire cross-section of the spinal cord. Decreased electrical conductivity in the nervous system can result. Signs and symptoms Symptoms include weakness and numbness of the limbs, deficits in sensation and motor skills, dysfunctional urethral and anal sphincter activities, and dysfunction of the autonomic nervous system that can lead to episodes of high blood pressure. Symptoms typically develop over the course of hours to a few weeks. Sensory symptoms of TM may include a sensation of pins and needles traveling up from the feet. The degree and type of sensory loss will depend upon the extent of the involvement of the various sensory tracts, but there is often a "sensory level" at the spinal ganglion of the segmental spinal nerve, below which sensation to pain or light touch is impaired. Motor weakness occurs due to involvement of the pyramidal tracts and mainly affects the muscles that flex the legs and extend the arms. Disturbances in sensory nerves and motor nerves and dysfunction of the autonomic nervous system at the level of the lesion or below, are noted. Therefore, the signs and symptoms depend on the area of the spine involved. Back pain can occur at the level of any inflamed segment of the spinal cord. If the upper cervical segment of the spinal cord is involved, all four limbs may be affected and there is risk of respiratory failure – the phrenic nerve which is formed by the cervical spinal nerves C3, C4, and C5 innervates the main muscle of respiration, the diaphragm. Lesions of the lower cervical region (C5–T1) will cause a combination of upper and lower motor neuron signs in the upper limbs, and exclusively upper motor neuron signs in the lower limbs. Cervical lesions account for about 20% of cases. A lesion of the thoracic segment (T1–12) will produce upper motor neuron signs in the lower limbs, presenting as a spastic paraparesis. This is the most common location of the lesion, and therefore most individuals will have weakness of the lower limbs. A lesion of the lumbar segment, the lower part of the spinal cord (L1–S5) often produces a combination of upper and lower motor neuron signs in the lower limbs. Lumbar lesions account for about 10% of cases. Causes TM is a heterogeneous condition, that is, there are several identified causes. Sometimes the term Transverse myelitis spectrum disorders is used. In 60% of patients the cause is idiopathic. In rare cases, it may be associated with meningococcal meningitis When it appears as a comorbid condition with neuromyelitis optica (NMO), it is considered to be caused by NMO-IgG autoimmunity, and when it appears in multiple sclerosis (MS) cases, it is considered to be produced by the same underlying condition that produces the MS plaques. Other causes of TM include infections, immune system disorders, and demyelinating diseases. Viral infections known to be associated with TM include HIV, herpes simplex, herpes zoster, cytomegalovirus, and Epstein-Barr. Flavivirus infections such as Zika virus and West Nile virus have also been associated. Viral association of transverse myelitis could result from the infection itself or from the response to it. Bacterial causes associated with TM include Mycoplasma pneumoniae, Bartonella henselae, and the types of Borrelia that cause Lyme disease. Lyme disease gives rise to neuroborreliosis which is seen in a small percentage (4 to 5 per cent) of acute transverse myelitis cases. The diarrhea-causing bacteria Campylobacter jejuni is also a reported cause of transverse myelitis. Other associated causes include the helminth infection schistosomiasis, spinal cord injuries, vascular disorders that impede the blood flow through vessels of the spinal cord, and paraneoplastic syndrome. Pathophysiology This progressive loss of the fatty myelin sheath surrounding the nerves in the affected spinal cord occurs for unclear reasons following infections or due to multiple sclerosis. Infections may cause TM through direct tissue damage or by immune-mediated infection-triggered tissue damage. The lesions present are usually inflammatory. Spinal cord involvement is usually central, uniform, and symmetric in comparison to multiple sclerosis which typically affects the cord in a patchy way and the lesions are usually peripheral. The lesions in acute TM are mostly limited to the spinal cord with no involvement of other structures in the central nervous system. Longitudinally extensive transverse myelitis A proposed special
damage to nerve fibres, by loss of myelin. As opposed to leukomyelitis which affects only the white matter, it affects the entire cross-section of the spinal cord. Decreased electrical conductivity in the nervous system can result. Signs and symptoms Symptoms include weakness and numbness of the limbs, deficits in sensation and motor skills, dysfunctional urethral and anal sphincter activities, and dysfunction of the autonomic nervous system that can lead to episodes of high blood pressure. Symptoms typically develop over the course of hours to a few weeks. Sensory symptoms of TM may include a sensation of pins and needles traveling up from the feet. The degree and type of sensory loss will depend upon the extent of the involvement of the various sensory tracts, but there is often a "sensory level" at the spinal ganglion of the segmental spinal nerve, below which sensation to pain or light touch is impaired. Motor weakness occurs due to involvement of the pyramidal tracts and mainly affects the muscles that flex the legs and extend the arms. Disturbances in sensory nerves and motor nerves and dysfunction of the autonomic nervous system at the level of the lesion or below, are noted. Therefore, the signs and symptoms depend on the area of the spine involved. Back pain can occur at the level of any inflamed segment of the spinal cord. If the upper cervical segment of the spinal cord is involved, all four limbs may be affected and there is risk of respiratory failure – the phrenic nerve which is formed by the cervical spinal nerves C3, C4, and C5 innervates the main muscle of respiration, the diaphragm. Lesions of the lower cervical region (C5–T1) will cause a combination of upper and lower motor neuron signs in the upper limbs, and exclusively upper motor neuron signs in the lower limbs. Cervical lesions account for about 20% of cases. A lesion of the thoracic segment (T1–12) will produce upper motor neuron signs in the lower limbs, presenting as a spastic paraparesis. This is the most common location of the lesion, and therefore most individuals will have weakness of the lower limbs. A lesion of the lumbar segment, the lower part of the spinal cord (L1–S5) often produces a combination of upper and lower motor neuron signs in the lower limbs. Lumbar lesions account for about 10% of cases. Causes TM is a heterogeneous condition, that is, there are several identified causes. Sometimes the term Transverse myelitis spectrum disorders is used. In 60% of patients the cause is idiopathic. In rare cases, it may be associated with meningococcal meningitis When it appears as a comorbid condition with neuromyelitis optica (NMO), it is considered to be caused by NMO-IgG autoimmunity, and when it appears in multiple sclerosis (MS) cases, it is considered to be produced by the same underlying condition that produces the MS plaques. Other causes of TM include infections, immune system disorders, and demyelinating diseases. Viral infections known to be associated with TM include HIV, herpes simplex, herpes zoster, cytomegalovirus, and Epstein-Barr. Flavivirus infections such as Zika virus and West Nile virus have also been associated. Viral association of transverse myelitis could result from the infection itself or from the response to it. Bacterial causes associated with TM include Mycoplasma pneumoniae, Bartonella henselae, and the types of Borrelia that cause Lyme disease. Lyme disease gives rise to neuroborreliosis which is seen in a small percentage (4 to 5 per cent) of acute transverse myelitis cases. The diarrhea-causing bacteria Campylobacter jejuni is also a reported cause of transverse myelitis. Other associated causes include the helminth infection schistosomiasis, spinal cord injuries, vascular disorders that impede the blood flow through vessels of the spinal cord, and paraneoplastic syndrome. Pathophysiology This progressive loss of the fatty myelin sheath surrounding the nerves in the affected spinal cord occurs for unclear reasons following infections or due to multiple sclerosis. Infections may cause TM through direct tissue damage or by immune-mediated infection-triggered tissue damage. The lesions present are usually inflammatory. Spinal cord involvement is usually central, uniform, and symmetric in comparison to multiple sclerosis which
just like a reflection, everything is reversed, including logic (for example, running helps one remain stationary, walking away from something brings one towards it, chessmen are alive, nursery rhyme characters exist, and so on). Through the Looking-Glass includes such verses as "Jabberwocky" and "The Walrus and the Carpenter", and the episode involving Tweedledum and Tweedledee. The mirror above the fireplace that is displayed at Hetton Lawn in Charlton Kings, Gloucestershire (a house that was owned by Alice Liddell's grandparents, and was regularly visited by Alice and Lewis Carroll) resembles the one drawn by John Tenniel and is cited as a possible inspiration for Carroll. It was the first of the "Alice" stories to gain widespread popularity, and prompted a newfound appreciation for its predecessor when it was published. Plot summary Chapter One – Looking-Glass House: Alice is playing with a white kitten (whom she calls "Snowdrop") and a black kitten (whom she calls "Kitty") when she ponders what the world is like on the other side of a mirror's reflection. Climbing up onto the fireplace mantel, she pokes at the wall-hung mirror behind the fireplace and discovers, to her surprise, that she is able to step through it to an alternative world. In this reflected version of her own house, she finds a book with looking-glass poetry, "Jabberwocky", whose reversed printing she can read only by holding it up to the mirror. She also observes that the chess pieces have come to life, though they remain small enough for her to pick up. Chapter Two – The Garden of Live Flowers: Upon leaving the house (where it had been a cold, snowy night), she enters a sunny spring garden where the flowers can speak; they perceive Alice as being a "flower that can move about". Elsewhere in the garden, Alice meets the Red Queen, who is now human-sized, and who impresses Alice with her ability to run at breathtaking speeds. Chapter Three – Looking-Glass Insects: The Red Queen reveals to Alice that the entire countryside is laid out in squares, like a gigantic chessboard, and offers to make Alice a queen if she can move all the way to the eighth rank/row in a chess match. Alice is placed in the second rank as one of the White Queen's pawns, and begins her journey across the chessboard by boarding a train that jumps over the third row and directly into the fourth rank, thus acting on the rule that pawns can advance two spaces on their first move. She arrives in a forest where a depressed gnat teaches her about the looking glass insects, strange creatures part bug part object (e.g., bread and butterfly, rocking horse fly), before flying away sadly. Alice continues her journey and along the way, crosses the "wood where things have no names". There she forgets all nouns, including her own name. With the help of a fawn who has also forgotten his identity, she makes it to the other side, where they both remember everything. Realizing that he is a fawn, she is a human, and that fawns are afraid of humans, it runs off (to Alice's frustration). Chapter Four – Tweedledum and Tweedledee: She then meets the fat twin brothers Tweedledum and Tweedledee, whom she knows from the nursery rhyme. After reciting the long poem "The Walrus and the Carpenter", they draw Alice's attention to the Red King—loudly snoring away under a nearby tree—and maliciously provoke her with idle philosophical banter that she exists only as an imaginary figure in the Red King's dreams. Finally, the brothers begin suiting up for battle, only to be frightened away by an enormous crow, as the nursery rhyme about them predicts. Chapter Five – Wool and Water: Alice next meets the White Queen, who is very absent-minded but boasts of (and demonstrates) her ability to remember future events before they have happened. Alice and the White Queen advance into the chessboard's fifth rank by crossing over a brook together, but at the very moment of the crossing, the Queen transforms into a talking Sheep in a small shop. Alice soon finds herself struggling to handle the oars of a small rowboat, where the Sheep annoys her with (seemingly) nonsensical shouting about "crabs" and "feathers". Chapter Six – Humpty Dumpty: After crossing yet another brook into the sixth rank, Alice immediately encounters Humpty Dumpty, who, besides celebrating his unbirthday, provides his own translation of the strange terms in "Jabberwocky". In the process, he introduces Alice to the concept of portmanteau words, before his inevitable fall. Chapter Seven – The Lion and the Unicorn: "All the king's horses and all the king's men" come to Humpty Dumpty's assistance, and are accompanied by the White King, along with the Lion and the Unicorn, who again proceed to act out a nursery rhyme by fighting with each other. In this chapter, the March Hare and Hatter of the first book make a brief re-appearance in the guise of "Anglo-Saxon messengers" called "Haigha" and "Hatta". Chapter Eight – "It's my own Invention": Upon leaving the Lion and Unicorn to their fight, Alice reaches the seventh rank by crossing another brook into the forested territory of the Red Knight, who is intent on capturing the "white pawn"—Alice—until the White Knight comes to her rescue. Escorting her through the forest towards the final brook-crossing, the Knight recites a long poem of his own composition called Haddocks' Eyes, and repeatedly falls off his horse. Chapter Nine – Queen Alice: Bidding farewell to the White Knight, Alice steps across the last brook, and is automatically crowned a queen, with the crown materialising abruptly on her head (a reference to pawn promotion). She soon finds herself in the company of both the White and Red Queens, who relentlessly confound Alice by using word play to thwart her attempts at logical discussion. They then invite one another to a party that will be hosted by the newly crowned Alice—of which Alice herself had no prior knowledge. Chapter Ten – Shaking: Alice arrives and seats herself at her own party, which quickly turns into chaos. Alice finally grabs the Red Queen, believing her to be responsible for all the day's nonsense, and begins shaking her. Chapter Eleven – Waking: Alice awakes in her armchair to find herself holding the black kitten, who she deduces to have been the Red Queen all along, with the white kitten having been the White Queen. Chapter Twelve – Which dreamed it?: The story ends with Alice recalling the speculation of the Tweedle brothers, that everything may have been a dream of the Red King, and that Alice might herself be no more than a figment of his imagination. The book ends with the line "Life, what is it but a dream?" Characters Main characters Alice March Hare The Hatter Humpty Dumpty Red King Red Queen The Sheep Tweedledum and Tweedledee The Walrus and the Carpenter White King White Knight White Queen The Lion and the Unicorn Minor characters Symbolism Mirrors One of the key motifs of Through the Looking-Glass is that of mirrors, including the use of opposites, time running backwards, and so on, not to mention the title of the book itself. In fact, the themes and settings of the book make it somewhat of a mirror image to its predecessor, Alice's Adventures in Wonderland (1865). The first book begins in the warm outdoors, on 4 May; uses frequent changes in size as a plot device; and draws on the imagery of playing cards. The second book, however, opens indoors on a snowy, wintry night exactly six months later, on 4 November (the day before Guy Fawkes Night); uses frequent changes in time and spatial directions as a plot device; and draws on the imagery of chess. Chess While the first Alice novel took playing cards as a theme, Through the Looking-Glass instead used chess; most of the main characters are represented by chess pieces, with Alice being a pawn. The looking-glass world consists of square fields divided by brooks or streams, and the crossing of each brook typically signifies a change in scene, with Alice advancing one square. At the book's beginning, Carroll provided and explained a chess composition with descriptive notation, corresponding to the events of the story. Although the piece movements follow the rules of chess, other basic rules are ignored: one player (White) makes several consecutive moves while the (Red/Black) opponent's moves are skipped, and a late check (12... Qe8+) is left undealt with. Carroll also explained that certain items listed in the composition do not have corresponding piece moves but simply refer to the story, e.g. the "castling of the three Queens, which is merely a way of saying that they entered the palace". Despite these liberties, the final position is an authentic
the themes and settings of the book make it somewhat of a mirror image to its predecessor, Alice's Adventures in Wonderland (1865). The first book begins in the warm outdoors, on 4 May; uses frequent changes in size as a plot device; and draws on the imagery of playing cards. The second book, however, opens indoors on a snowy, wintry night exactly six months later, on 4 November (the day before Guy Fawkes Night); uses frequent changes in time and spatial directions as a plot device; and draws on the imagery of chess. Chess While the first Alice novel took playing cards as a theme, Through the Looking-Glass instead used chess; most of the main characters are represented by chess pieces, with Alice being a pawn. The looking-glass world consists of square fields divided by brooks or streams, and the crossing of each brook typically signifies a change in scene, with Alice advancing one square. At the book's beginning, Carroll provided and explained a chess composition with descriptive notation, corresponding to the events of the story. Although the piece movements follow the rules of chess, other basic rules are ignored: one player (White) makes several consecutive moves while the (Red/Black) opponent's moves are skipped, and a late check (12... Qe8+) is left undealt with. Carroll also explained that certain items listed in the composition do not have corresponding piece moves but simply refer to the story, e.g. the "castling of the three Queens, which is merely a way of saying that they entered the palace". Despite these liberties, the final position is an authentic checkmate. The most extensive treatment of the chess motif in Carroll's novel was made by Glen Downey in his master's thesis, later expanded and incorporated into his dissertation on the use of chess as a device in Victorian fiction. In the former piece, Downey gave the composition's moves in algebraic notation: 1... Qh5 2. d4 3. Qc4 4. Qc5 5. d5 6. Qf8 7. d6 8. Qc8 9. d7 Ne7+ 10. Nxe7 11. Nf5 12. d8=Q Qe8+ 13. Qa6 14. Qxe8#. In the latter piece, Downey treated the 21 items in the composition sequentially, identifying the above 16 coherent chess moves, and another five items as "non-moves" or pure story descriptors, per Carroll's qualification. The mating position nearly satisfies the conditions of a pure mate, a special type of checkmate where the mated king is prevented from moving to any of the adjacent squares in its field by exactly one enemy attack, among other conditions. The position is also nearly an ideal mate, a stronger form of pure mate in which every piece on the board of either color contributes to the checkmate. The one feature of the position which prevents it from being either a pure or an ideal mate is that the Red (Black) King is unable to move to e3 for two reasons: the knight's attack, and the (sustained) attack of the newly promoted, mating queen. Although pure and ideal mates are "incidental" in real games, they are objects of aesthetic interest to composers of chess problems. Language The White Queen offers to hire Alice as her lady's maid and to pay her "twopence a week, and jam every other day." Alice says that she doesn't want any jam today, to which the Queen replies, "you couldn't have it if you did want it. The rule is, jam tomorrow and jam yesterday—but never jam to-day." This is a reference to the rule in Latin that the word iam or jam—which means now, in the sense of already or at that time—cannot be used to describe now in the present, which is nunc in Latin. Therefore, "jam" is never available today. This exchange is also a demonstration of the logical fallacy of equivocation. Poems and songs Most poems and songs of the book do not include a title. "Introduction" (prelude; "Child of the pure unclouded brow…") "Jabberwocky" "Tweedledum and Tweedledee" "The Walrus and the Carpenter" "Humpty Dumpty" Humpty Dumpty's poem ("In Winter when the fields are white…") "The Lion and the Unicorn" "Haddocks' Eyes" (i.e., "A-sitting on a Gate") Red Queen's lullaby ("Hush-a-by lady, in Alice's lap…") "To the Looking-Glass world it was Alice that said…" White Queen's riddle ("'First, the fish must be caught'…") "A boat beneath a sunny sky"(postlude; acrostic poem in which putting the beginning letters of each line spell Alice Pleasance Liddell, the girl after whom the book's Alice is named). The Wasp in a Wig Lewis Carroll decided to suppress a scene involving what was described as "a wasp in a wig" (possibly a play on the commonplace expression "bee in the bonnet"). A biography of Carroll, written by Carroll's nephew, Stuart Dodgson Collingwood, suggests that one of the reasons for this suppression was a suggestion from his illustrator, John Tenniel, who wrote in a letter to Carroll dated 1 June 1870: For many years, no one had any idea what this missing section was or whether it had survived. In 1974, a document purporting to be the galley proofs of the missing section was auctioned at Sotheby's; the catalogue description, in part, read, "the proofs were bought at the sale of the author's…personal effects…Oxford, 1898." The document would be won by John Fleming, a Manhattan book dealer, for a bid of about . The contents were subsequently published in Martin Gardner's More Annotated Alice (1990), and is also available as a hardback book. The rediscovered section describes Alice's encounter with a wasp wearing a yellow wig, and includes a full previously unpublished poem. If included in the book, it would have followed, or been included at the end of, Chapter 8 – the chapter featuring the encounter with the White Knight. The discovery is generally accepted as genuine, but the proofs have yet to receive any physical examination to establish age and authenticity. The missing episode was included in the 1998 TV film adaptation Alice through the Looking Glass. Dramatic adaptations The book has been adapted several times, both in combination with Alice's Adventures in Wonderland and as a stand-alone feature. Stand-alone adaptations Alice Through a Looking Glass (1928), a silent movie directed by Walter Lang, would be one of the earliest stand-alone adaptations of the book. A dramatised audio-recorded version, directed by Douglas Cleverdon, was released in 1959 by Argo Records. The book is narrated by Margaretta Scott, starring Jane Asher as Alice, along with actors Frank Duncan (Humpty Dumpty, Red King, Frog), Tony Church, Norman Shelley, and Carleton Hobbs. Alice Through a Looking Glass (1966) was a NBC TV musical special, first airing on 6 November. The special includes music by Moose Charlap, and stars Ricardo Montalban, Agnes Moorehead, Jack Palance, Jimmy Durante, and the Smothers Brothers, along with Judi Rolin in the role of Alice. Alice Through the Looking Glass (1973) is a BBC TV movie, directed by James MacTaggart and starring Sarah Sutton as Alice. Alice in the Land in the Other Side of the Mirror (1982) is a 38-minute Soviet cutout-animated TV film produced by Kievnauchfilm studio and directed by Yefrem Pruzhanskiy. Despite its translated name, the film's original, Russian title is . Alice Through the Looking Glass (1987) is an animated TV movie starring Janet Waldo as the voice of Alice, as well as the voices of Mr. T as the Jabberwock, Jonathan Winters, and Phyllis Diller. Alice through the Looking Glass (1998) is a Channel 4 TV movie, starring Kate Beckinsale as the role of Alice, which restored the lost "Wasp in a Wig" episode. A 2-hour multimedia stage production (2007), conceived by Andy Burden, was produced by the Tobacco Factory. The show would be directed by Burden and written by Hattie Naylor, with music and lyrics by Paul Dodgson. Through the Looking Glass (2008) was a chamber opera composed by Alan John to a libretto by Andrew Upton. Alice Through the Looking Glass (2016), directed by James Bobin, is a sequel to the Tim-Burton-directed Disney reboot Alice in Wonderland (2010). It does not follow the plot of the book. The BBC Radio 4 show Saturday Drama broadcast an adaptation by Stephen Wyatt on 22 December 2011. The broadcast featured Lewis Carroll, voiced by Julian Rhind-Tutt, as both the narrator and an active character in the story. Other actors include Lauren Mote (Alice), Carole Boyd (Red Queen), Sally Phillips (White Queen), Nicholas Parsons (Humpty-Dumpty), Alistair McGowan (Tweedledum
Israel, comparing the Israelites and gentiles to tame and wild olive trees, respectively. Jacob is seven chapters long. Narrative According to the Book of Mormon, in 545 BCE the prophet Nephi grew old and transferred record keeping responsibility to Jacob. Jacob writes that all the Jacobites, Josephites, and Zoramites were called Nephites together with the actual Nephites, and opposed to them were all the Lemuelites and Ishmaelites who were called Lamanites together with the actual Lamanites. Despite being blessed by God, the Nephites became wicked. The book of Jacob contains numerous sermons by Jacob, calling the people of Nephi to repentance. Topics of the sermon included imparting of substance to the poor, admonitions against polygamy and concubines, and a lengthy allegory describing the Gathering of Israel in the last days. The final section in the book tells the story of an antichrist named Sherem,
Nephi, usually referred to as the Book of Jacob, is the third of fifteen books in the Book of Mormon. According to the text, it was written by the ancient prophet Jacob. The purpose of the book, in his own words, is to persuade all men to "come unto Christ" (Jacob 1:7). While this book contains some history of the Nephites, including the death of Nephi, it is mainly a record of Jacob's preachings to his people. Chapter 5 contains the Parable of the Olive Tree, which is
the group. He was given a vision of the history of the world, and inscribed prophecies, which were "sealed up" until the Lord decides to reveal them. The Lord told the brother of Jared to build unpowered submarines, termed "barges" or "vessels", to cross the ocean to the promised land. The barges could circulate fresh air because of openings in the top and bottom of the vessel. The hole in the top could be "stopped up" when the waves crashed over the vessel to prevent scuttling. The hole in the bottom is assumed to have been constructed as a sort of moon pool with the lip above the waterline so it would not flood the vessel. This would also allow wave action and the buoying of the vessel to pump fresh air in and out of the vessel when the upper opening was uncapped. Because the vessels could not sustain fire or windows for light, the brother of Jared went to a mountain and prayed for help. God touched several molten stones and made them shine. Because of the brother of Jared's great faith, he saw the finger of God. He then saw and spoke with Jehova. The people launched the vessels and traveled through great storms. After
original leaders and the divisions contend for many generations. The fortunes of the nations are dependent upon their obedience to God—righteousness brings prosperity and wickedness brings destruction (sometimes delayed). Ultimately, the wicked prevail and the nation is destroyed. These parallels are often emphasized in Mormonism as applicable to the present day. The Americas are still considered "the promised land" and the continued prosperity of the present nations are believed to be contingent on the righteousness of their people. Provenance As the story is told in the Book of Mormon, what later was named the Book of Ether was taken from a set of twenty-four plates written by Ether and discovered by the people of Limhi during the time of King Mosiah (son of King Benjamin). Joseph Smith claimed the book was abridged by Moroni onto the golden plates, which Joseph Smith claimed to translate into English. However, according to Daniel H. Ludlow, it is not clarified in the Book of Mormon whether Moroni made his abridgment of the record of Ether from Mosiah's earlier translation or whether Moroni took his account directly from the plates of Ether—in which case Joseph Smith would have needed to translate the record as well as abridge it. See also Archaeology and the Book of Mormon Anachronisms in the Book of Mormon Columbian Exchange Dené–Yeniseian languages Genetics and the Book of Mormon Historicity of the Book of
local bishop was imprisoned in Moscow, which effectively ended the period of local self-government. In the effect of the Truce of Jam Zapolski of 1582, the city along with southern regions of Livonian Confederation became part of the Polish–Lithuanian Commonwealth. In 1598 it became the capital of the Dorpat Voivodeship of the Duchy of Livonia. A Jesuit grammar school "Gymnasium Dorpatense" was established in 1583. In addition, a translators' seminary was organized in Tartu and the city received its red and white flag from the Polish king Stephen Báthory. The activities of both the grammar school and the seminary were stopped by the Polish–Swedish War. Already in late 1600 the forces of Charles IX of Sweden besieged the city defended by three banners of reiters and the city's burghers. Despite repeated assaults, the Swedes could not enter the city. Finally in 1601 Capt. Hermann Wrangel switched sides, assaulted the castellan and opened the gates for the Swedish forces. The town was retaken by Polish–Lithuanian Commonwealth on 13 April 1603 following a brief siege led by hetman Jan Karol Chodkiewicz; roughly 1000 Swedish soldiers surrendered and were escorted to Tallinn. In the effect of yet another Polish-Swedish War, in 1625 Tartu was once again captured by Sweden, this time for good. In the effect of the 1629 Truce of Altmark the city became part of the Dominions of Sweden, which led to the foundation of the University of Tartu in 1632 by king Gustavus Adolphus of Sweden. Imperial Russia In 1704 the town was taken by the Russian army in the presence of tsar Peter the Great himself. As a result, around a quarter of the town and much of the fortifications were damaged. In 1708 the remainder of the fortifications and houses, including the remains of bishops castle, were blown up, all movable property was looted and all citizens deported to Russia. With the Treaty of Nystad in 1721, the city became part of the Russian Empire and was known as Derpt. Fires in the 18th century destroyed much of the medieval architecture, the Great Fire of Tartu in 1775 removed most of the buildings in the centre. The city was rebuilt along Late Baroque and Neoclassical lines including the Tartu Town Hall which was built between 1782 and 1789. In 1783 the city became the centre of Derpt uyezd within the Governorate of Livonia. During the second half of the 19th century, Tartu was the cultural centre for Estonians in the era of Romantic nationalism. The city hosted Estonia's first song festival in 1869. Vanemuine, the first national theatre, was established in 1870. Tartu was also the setting for the foundation of the Society of Estonian Writers in 1872. Tartu railway station was opened in 1876 when Tapa–Tartu route was built. The station building was opened in 1877. In 1893, the city was officially retitled to the ancient Russian name Yuryev. The university was subsequently russified from 1895 on with the introduction of compulsory Russian in teaching. Much of the university property was relocated to Voronezh in 1918 and during the German occupation, the University worked under the name Landesuniversität Dorpat. During the Estonian War of Independence the university of Tartu was re-opened as an Estonian language university on 1 December 1919. First independence period With Estonian independence after World War I, the city officially became known by the Estonian name Tartu. At the end of Estonian War of Independence following World War I, a peace treaty between the Bolsheviks and Estonia was signed on 2 February 1920 in Tartu (Treaty of Tartu). The treaty meant that Soviet Russia renounced territorial claims to Estonia "for all time". The peace treaty between Soviet Russia and Finland was also signed in Tartu in 1920. During the interwar period Tähtvere neighbourhood was built, former Raadi Manor buildings started to house Estonian National Museum (destroyed during Tartu Offensive in 1944) and art school Pallas was opened. Soviet period During World War II, the Stalinist Soviet Union invaded and occupied Estonia and Tartu in 1940. A large part of the city as well as the historical Kivisild (Stone Bridge) (built by Catherine II of Russia in 1776–1778) over the Emajõgi river were destroyed by the retreating Soviet Army, partly in 1941 and almost completely in 1944 by then retreating German Army. Already heavily damaged Tartu was bombed by Soviet forces on 27 January 1943, 26 February 1944, 7–8 March 1944, and 25–26 March 1944. After the war ended, much of the historical downtown area was left in ruins. Even the less damaged buildings in entire city blocks were torn down by the order of the occupational authorities and large swathes of land turned into public parks. After the war, Tartu was declared a "closed town" to foreigners, as an airbase for bombers was constructed on Raadi Airfield, in the northeast outskirts of the city. It was one of the biggest military airbases in Eastern Europe and housed strategic bombers, that carried nuclear bombs. The location itself was where the Estonian 2nd Air Division was situated prior to the Soviet occupation. The concrete runway there now houses a large used cars market and is sometimes used for automotive racing. On one end of an older strip of the runway, the new building of Estonian National Museum was built. Tartu Airport was opened in the south of the city in 1946. Besides the airport Estonian Aviation Academy was established in 1993. Privately owned Estonian Aviation Museum, which is 5 km to the East from the airport (7 km by car), was opened to the public in 2002. During Soviet times the population of Tartu almost doubled from 57,000 to 100,000, partly due to mass immigration from other areas of the Soviet Union, mainly because of the military airbase. Modern era In 1988, after Estonia declared its sovereignty from the USSR, elections were held for a newly independent City Council. Its first chair was the lawyer, Aino-Eevi Lukas, who led the council from 1989 to 1993. Rebuilding from scratch, the council re-established the legal code and foreign relationships for in the post-independence era. Since Estonia regained its independence in 1991, the old town centre has been renovated. Notably, St. John's Church, in ruins since World War II, has been restored. Many new commercial and business buildings have been erected (Tartu Shopping Center, Tasku, Emajõe Commercial Center, Lõunakeskus, Kvartal etc.). The highest residential building and local landmark Tigutorn was opened in 2008. The AHHAA science centre relocated to a new building in
Manor buildings started to house Estonian National Museum (destroyed during Tartu Offensive in 1944) and art school Pallas was opened. Soviet period During World War II, the Stalinist Soviet Union invaded and occupied Estonia and Tartu in 1940. A large part of the city as well as the historical Kivisild (Stone Bridge) (built by Catherine II of Russia in 1776–1778) over the Emajõgi river were destroyed by the retreating Soviet Army, partly in 1941 and almost completely in 1944 by then retreating German Army. Already heavily damaged Tartu was bombed by Soviet forces on 27 January 1943, 26 February 1944, 7–8 March 1944, and 25–26 March 1944. After the war ended, much of the historical downtown area was left in ruins. Even the less damaged buildings in entire city blocks were torn down by the order of the occupational authorities and large swathes of land turned into public parks. After the war, Tartu was declared a "closed town" to foreigners, as an airbase for bombers was constructed on Raadi Airfield, in the northeast outskirts of the city. It was one of the biggest military airbases in Eastern Europe and housed strategic bombers, that carried nuclear bombs. The location itself was where the Estonian 2nd Air Division was situated prior to the Soviet occupation. The concrete runway there now houses a large used cars market and is sometimes used for automotive racing. On one end of an older strip of the runway, the new building of Estonian National Museum was built. Tartu Airport was opened in the south of the city in 1946. Besides the airport Estonian Aviation Academy was established in 1993. Privately owned Estonian Aviation Museum, which is 5 km to the East from the airport (7 km by car), was opened to the public in 2002. During Soviet times the population of Tartu almost doubled from 57,000 to 100,000, partly due to mass immigration from other areas of the Soviet Union, mainly because of the military airbase. Modern era In 1988, after Estonia declared its sovereignty from the USSR, elections were held for a newly independent City Council. Its first chair was the lawyer, Aino-Eevi Lukas, who led the council from 1989 to 1993. Rebuilding from scratch, the council re-established the legal code and foreign relationships for in the post-independence era. Since Estonia regained its independence in 1991, the old town centre has been renovated. Notably, St. John's Church, in ruins since World War II, has been restored. Many new commercial and business buildings have been erected (Tartu Shopping Center, Tasku, Emajõe Commercial Center, Lõunakeskus, Kvartal etc.). The highest residential building and local landmark Tigutorn was opened in 2008. The AHHAA science centre relocated to a new building in 2011 and the Estonian National Museum's new main building opened in 2016. Geography Climate Tartu lies within the temperate humid continental climate zone (Dfb). The climate is rather mild considering the high latitude, largely due to the proximity of the Baltic Sea and warm airflows from the Atlantic. Nevertheless, continental influence can be felt on hot summer days and cold spells in winter, when the temperature can occasionally (but rarely) drop below . Generally, summers are warm and winters are cold. The Tartu weather station is located in Tõravere village, which is about 20 kilometers from the city, so the actual temperature in the city may be slightly warmer than the official average temperatures. Economy Mostly known as a university town, Tartu is also a site of heavy industry. The food industry has traditionally been important for the town's economy and some bigger companies in the field include A. Le Coq, Tartu Mill and Salvest. Kroonpress is one of the leading printing press companies in the Baltics. At the beginning of the 21st century, many ICT enterprises and other high-tech companies have taken a foothold in Tartu. Notable examples include Playtech Estonia, Nortal (formerly Webmedia Group), ZeroTurnaround, Tarkon, Reach-U and Raintree Estonia. Skype has an office in Tartu. The university is one of the largest employers, which explains the large proportion of highly skilled professionals – researchers, professors, doctors, and Tartu University Clinic has been considered the largest employer of Tartu. Transport Tartu is connected to other Estonian cities by many bus routes and trains to Valga and Tallinn. Outside Estonia, Tartu can be reached by Lux Express, Ecolines and Simple Express buses to Riga, St. Petersburg, Pskov, Moscow and Minsk and by FlyBE Nordic flights to Helsinki. Population Tartu's historic population is presented in the following table, based on data from official censuses since 1881 and Estonian Statistical Office. Note that the data up to 2011 is not directly comparable to the most recent numbers, as the methodology of compiling population statistics has changed. Neighbourhoods Tartu is officially divided into 17 neighbourhoods, which carry no administrative purposes. Their names and borders are defined. Education and culture The city is best known for being home to the University of Tartu (formerly known as the University of Dorpat; ), founded under King Gustavus Adolphus of Sweden in 1632. Mainly for this reason, Tartu is also – tongue-in-cheek – known as "Athens of the Emajõgi" or as "Heidelberg of the North". Tartu is also the seat of the Estonian University of Life Sciences, the Baltic Defence College, Estonian Aviation Academy (formerly known as Tartu Aviation College), and the Estonian Ministry of Education and Research. Other notable institutions include the Supreme Court of Estonia (re-established in Tartu in autumn 1993), the Estonian Historical Archives, Estonian National Museum, Estonian Sports Museum as well as the oldest and renowned theatre in the country, Vanemuine, where they have a well-respected ballet company as well as theatre, opera and musical productions. In music, there exists the Tartu school of composition. Most of the sculptures in Tartu are dedicated to historical figures. Among them the most famous are the Barclay de Tolly monument on the Barclay Square in downtown, the Kissing Students monument on the town hall square and Gustav II Adolf´s monument on the Kuningaplats. Science Tartu has been an intellectual centre of both Estonia and the Baltic countries for several centuries. Scholars hailing from Tartu include the pioneer of embryology Karl Ernst von Baer, a pioneer of animal behaviour studies Jakob von Uexküll, and a cultural theorist and semiotician Juri Lotman. Johann Friedrich von Eschscholtz, a Baltic German physician, naturalist, and entomologist, was born in Tartu. He was one of the earliest scientific explorers of the Pacific region, making significant collections of flora and fauna in Alaska, California, and Hawaii. Nobel Chemistry Prize laureate Wilhelm Ostwald studied and worked in Tartu. The Tartu School is one of the leading scientific schools in semiotics. Main sights The architecture and city planning of historical Tartu mainly go back to the pre-independence period, with Germans forming the upper and middle classes of society, and therefore contributing many architects, professors and local politicians. Most notable are the old Lutheran St. John's Church (, ), the 18th-century town hall, the university building, ruins of the 13th-century cathedral, the botanical gardens, the main shopping street, many buildings around the town hall square and Barclay Square. The historical slum area called Supilinn (Soup Town) is located on the bank of river Emajõgi, near the town centre and is regarded as one of the few surviving "poor" neighbourhoods of 19th-century Europe. At the moment Supilinn is being rapidly renovated, undergoing a slow transformation from the historic slum into a prestigious high-class neighborhood. The active community embodied by the Supilinn Society is committed to preserving the heritage. The Second World War destroyed large parts of the city centre and during the Soviet occupation, many new buildings were erected – notably
in 1993, Rowlands and Simons completed work on their Fourteenth Century Sky EP, released in January 1994. It contained the groundbreaking "Chemical Beats", which epitomised the duo's genre-defining big beat sound. The EP also contained "One Too Many Mornings", which for the first time showed their less intense, more chilled-out side. Both "One Too Many Mornings" and "Chemical Beats" would later appear on their debut album. Fourteenth Century Sky was followed later in 1994 by the My Mercury Mouth EP. "Chemical Beats" was also part of the soundtrack for the first edition of the Wipeout video game series, having been featured in Wipeout for the PlayStation in 1995. In October 1994, the Dust Brothers became resident DJs at the small, but influential Heavenly Sunday Social Club at the Albany pub in London's Great Portland Street. Noel Gallagher, Paul Weller, James Dean Bradfield, and Tim Burgess were regular visitors. The Dust Brothers were subsequently asked to remix tracks by Manic Street Preachers and the Charlatans, plus Primal Scream's "Jailbird" and the Prodigy's "Voodoo People". These two remixes received television exposure, being playlisted by MTV Europe's "The Party Zone" in 1995. Early in 1994, the Dust Brothers were approached in the club one Sunday by Gallagher, from Oasis, who at the time were becoming one of the most prominent guitar bands in Britain. Gallagher told the duo that he had a Balearic-inspired track he had written that he would like them to remix. However, over time, Gallagher changed his mind, and in the end the Brothers did not remix it. In March 1995, the Dust Brothers began their first international tour, which included the United States – where they played with Orbital and Underworld – then a series of European festivals. Also around this time, objections were filed by the original Dust Brothers over the use of their name, and so Rowlands and Simons had to decide on a new name. They decided to call themselves The Chemical Brothers after "Chemical Beats" (Simons' grandmother had suggested they call themselves "The Grit Brothers"). In June 1995, they released their fourth single, the first under their new identity. "Leave Home" was released on Junior Boy's Own, as a preview of the imminent debut album and became the band's first chart hit, peaking at No. 17. 1995–1998: Exit Planet Dust and Dig Your Own Hole In July 1995, the Chemical Brothers released their debut album Exit Planet Dust (the title inspired by their name change) on Freestyle Dust/Junior Boy's Own. It entered the UK charts at No. 9 and featured guest vocalist Beth Orton on the song "Alive Alone". It eventually went on to sell over a million copies worldwide, and was used on the soundtrack of the science fiction TV series pilot Virtuality. Shortly after its release, the Chemical Brothers signed to Virgin Records, to which they took their own offshoot label, Freestyle Dust. For their next single, "Life Is Sweet", released in September 1995, they again used a guest vocalist, featuring their friend Tim Burgess, singer of the Charlatans. It reached No. 25 in the UK Singles Chart. The single was also Select magazine's "Single of the Month" for October. The release included a Daft Punk remix of "Life Is Sweet". The Stone Roses asked the duo to remix "Begging You", from their Second Coming album. After beginning work on a remix which they viewed as having potential, they later rejected the idea and the work was cancelled. In October 1995, the duo returned to the Heavenly Sunday Social for a second and final run of DJ dates. They then became residents of Heavenly Social on Saturdays at Turnmills and also in Liquid Rooms in Tokyo. In November, the Chemical Brothers played the Astoria Theatre in London. At this time the Brothers usually used a fusion of "Chemical Beats" and the Beatles' "Tomorrow Never Knows" as their encore. During the encore, however, Keith Flint from the Prodigy jumped up on stage to dance, wearing a T-shirt sporting the slogan "Occupation: mad bastard". A few from the crowd subsequently joined in. This resulted in a power cable being kicked loose, bringing the show to a temporary close. The Chemical Brothers confessed to not being too bothered; "because he's Keith from The Prodigy, and he can do whatever the fucking hell he likes". Just before Christmas 1995, they played their biggest gig to date, with the Prodigy, at the Brixton Academy. In January 1996, Exit Planet Dust was certified gold. The Chemical Brothers released their first new material in six months on Virgin, the Loops of Fury EP. The four-track release was limited to 20,000 copies, but is now available for digital download. It entered the UK charts at No. 13. NME described the lead track as "splashing waves of synths across hard-hitting beats". The EP also contained a Dave Clarke remix of "Chemical Beats", and two other new tracks, "Get Up on It Like This" and "(The Best Part Of) Breaking Up". In February 1996, Select magazine published a list of the 100 best albums of the 1990s thus far. Exit Planet Dust was listed at Number 39. In August 1996, the Chemical Brothers supported Oasis at Knebworth, where 125,000 people attended each of the two shows. During the 1995 Glastonbury Festival, Rowlands and Simons had another conversation with Noel Gallagher. Gallagher told them how much he liked Exit Planet Dust, and asked if he could sing on a future track, similar to the way Tim Burgess had worked on "Life Is Sweet". They did not think much of the offer at the time, given how busy Gallagher would be with the release of Oasis' (What's the Story) Morning Glory?, plus the complexities of dealing with each other's record companies. However, the duo later worked on a track which they thought would benefit from having a vocal on it. They sent Gallagher a tape of what they had done so far. He worked on it overnight, and left a message with them early the next morning that he was ready to record it. The track was called "Setting Sun" and was finally released in October 1996. It entered the UK charts at the top, giving the duo their first ever Number One single. "Setting Sun" was backed by a longer instrumental version, and also a new track "Buzz Tracks", which was not much more than a DJ tool. The three remaining members of the Beatles' lawyers later wrote to the Chemical Brothers, mistakenly claiming that they had sampled "Tomorrow Never Knows". Virgin Records hired a musicologist to prove that they did not sample the song. Meanwhile, in 1996, Live at the Social Volume 1 was released by Heavenly Records, which became the Chemical Brothers' first mix CD (excluding Xmas Dust Up, a free album that came in a 1994 issue of NME). It was also the duo's first live album (excluding the EP Live 05). In March 1997, the Chemical Brothers released the second track from their forthcoming album. "Block Rockin' Beats" went straight to No. 1 in the UK, possibly thanks, this time, to its Schoolly D vocal sample and re-working of the bass-line from 23 Skidoo's single "Coup". The NME named it "Single of the Week" and said "It throbs like your head might if you had just done a length underwater in a swimming pool full of amyl." It later won them a Grammy Award for Best Rock Instrumental Performance. In the US at this time, "Setting Sun" was sitting at Number 80 in the Billboard Top 100, after selling around 80,000 copies, an uncommon achievement for a European "dance" act. Sales from Exit Planet Dust were also around 150,000. On 7 April 1997, the Chemical Brothers released their second album, Dig Your Own Hole. It was recorded at the band's own south London studio, with the title taken from graffiti on the wall outside. The album was well received, with Mixmag rating it 10/10 and calling it "mad enough to be thrilling, slick enough for not even remotely trendy coffee tables". During the summer of 1997, the Chemical Brothers toured extensively, particularly in the United States. In August, the Chemical Brothers achieved a rapprochement with the US Dust Brothers, and asked them to remix the forthcoming single "Elektrobank". They themselves also became highly sought-after for remixes for other artists. In September, the next single from Dig Your Own Hole, "Elektrobank" was released. In November, the pair played at Dublin's Point Theatre, with support from Carl Cox. They also began a US tour in Detroit. At the end of the year, Dig Your Own Holes final track, the nine-minute-long "The Private Psychedelic Reel", gave rise to a limited-edition mini-EP of the same name. The B-side consisted of a live version of "Setting Sun", recorded at the Lowlands Festival, Netherlands on 24 August 1997. Also in December, following four sold-out US shows, the Chemical Brothers toured the UK, concluding in a sold-out show at Brixton Academy, London. In 1998, they concentrated more on DJing, although some remixes did see the light of day, including "I Think I'm in Love" from Spiritualized. Both a vocal remix and an instrumental remix were included in the single release. Each clocked in at over seven-and-a-half minutes. Another remix completed by the Chemical Brothers was "Delta Sun Bottleneck Stomp" by Mercury Rev. This was another extension in the association between the two bands, since Mercury Rev's Jonathon Donahue contributed to "The Private Psychedelic Reel" on Dig Your Own Hole. In September 1998, a second mix album, Brothers Gonna Work It Out, was released. It contains some of their own tracks and remixes, as well as songs from artists who have influenced their sound, such as Renegade Soundwave, Meat Beat Manifesto, Carlos "After Dark" Berrios, and Kenny 'Dope' Gonzales. 1999–2002: Surrender and Come with Us In May 1999, the Chemical Brothers played three UK dates, their first since December 1997. Also that month, they released their first new original material in two years, a track called "Hey Boy Hey Girl". This was more house-influenced than big beat. In interviews at the time, Rowlands and Simons indicated that the track was inspired by nights out at Sheffield club Gatecrasher. The track was also one of their more commercially accessible tracks and went to number 3 in the UK charts. Their third album, Surrender, was released in June 1999. It featured vocals from Noel Gallagher, Mercury Rev's Jonathan Donahue, and Mazzy Star's Hope Sandoval. As "Hey Boy Hey Girl" had suggested, the album was more house-oriented than the previous two. On one of the album's stand out tracks, "Out of Control", New Order's Bernard Sumner supported by Primal Scream's Bobby Gillespie provided vocals. It reached No. 1 in the UK album charts. The Michel Gondry-directed music video for "Let Forever Be", which utilised ground-breaking video and film effects in its depiction of a young woman's nightmares, also received a lot of attention. Later that summer, the Chemical Brothers performed at the Woodstock '99 concert on 24 July, with positive reception. They later headlined the Glastonbury dance tent on the Friday night, followed by a UK tour which ended in December and included Homelands Scotland on 4 September. In November, "Out of Control", featuring Sumner and Gillespie on vocals, was released as a single. The release also contained the Sasha remix. The final single from Surrender, in February 2000, was the five track "Music: Response" EP, containing the title track and two remixes, plus Electronic Battle Weapon 4, named "Freak of the Week", and a track called "Enjoyed", which was essentially a remix of "Out of Control" by the Chemical Brothers themselves. A CD copy of Surrender was placed in the third Blue Peter time capsule, buried in January 2000. That same month, they appeared on Primal Scream's album Xtrmntr at track 11 with a remix. In June 2000, they played the Pyramid stage at the Glastonbury Festival. In August 2000 they played to a large crowd at the main stage at Creamfields festival, Ireland. In December 2000, the Chemical Brothers aired one of their new tracks, "It Began in Afrika" at their New York DJ gigs, supporting U2. In 2001, they were active with releases and live performances. Early in the year, they began working on a fourth album, provisionally titled Chemical Four. The first track which fans got a taste of was "It Began in Afrika", as previously played in their DJ set in New York. The track would make its live debut in California in April 2001, at the Coachella Valley Music and Arts Festival. Another new track, "Galaxy Bounce", also got its public debut at Coachella. As had become customary for their releases and experiments, "It Began in Afrika" was first pressed as a promo, as part of the "Electronic Battle Weapon" series. It received much airplay on dance music radio shows in the UK, and became more and more popular in clubs over the course of the summer. It also became one of the "anthems" in Ibiza as the summer progressed. It was given a full commercial single release in September, reaching No. 8 in the UK singles chart, even though no promotional video was made for the track. Rowlands and Simons also remixed a track from Fatboy Slim's Halfway Between the Gutter and the Stars, entitled "Song for Shelter". This remix was released as a single on 3 September 2001 (one week before "It Began in Afrika") as the CD2 single for "Song for Shelter / Ya Mama". It reached No. 30 in the UK Singles Charts (sales were combined with the CD1 single). The Chemical Brothers finished work on another album, Come with Us, in October 2001. It featured collaborations with Richard Ashcroft of the Verve ("The Test"), and long-time collaborator Beth Orton ("The State We're In"). The album was released in January 2002, preceded by a single, "Star Guitar", a melodic Balearic beat number, with a promotional video by Michel Gondry that featured passing scenery synchronised to the beat viewed through a train window. What would be the second track on the album, "It Began in Afrika", was released 10 September 2001 to be circulated around the clubbing scene where it was a popular hit. "Star Guitar" was also released as a DVD single, the pair's first. Come with Us, was less well received than their previous albums, but nonetheless went straight to No. 1 in the UK Albums Chart in the first week of its release, selling 100,000 copies. In April, the title track from the album was released as a single with
Michel Gondry that featured passing scenery synchronised to the beat viewed through a train window. What would be the second track on the album, "It Began in Afrika", was released 10 September 2001 to be circulated around the clubbing scene where it was a popular hit. "Star Guitar" was also released as a DVD single, the pair's first. Come with Us, was less well received than their previous albums, but nonetheless went straight to No. 1 in the UK Albums Chart in the first week of its release, selling 100,000 copies. In April, the title track from the album was released as a single with remixes by Fatboy Slim as part of a double A-sided release with "The Test". During the summer of 2002, the Chemical Brothers travelled the festival circuit to promote the album. Later in 2002, they released two EPs, one specifically aimed at Japan and the other the US (entitled AmericanEP). Both contained remixes, live versions and B-sides. Additionally, the band produced New Order's "Here to Stay", written for the film 24 Hour Party People and released as a single to promote the soundtrack, and remixed the song as well. One of their other major songs from this album was "Galaxy Bounce", which was popular and featured as the main title music for the Xbox game Project Gotham Racing. It was also included on the soundtrack for the movie Lara Croft: Tomb Raider. "Star Guitar" was featured as a song on the PlayStation Portable's Lumines II. Two other songs, "Come with Us (Introduction)" and "Star Guitar (Title Screen)", were featured on a PlayStation 2 racing game titled WRC II: Extreme. Both songs are instrumental. The song "My Elastic Eye" from the album Come with Us was played in the 2004 film The Butterfly Effect starring Ashton Kutcher and Amy Smart. 2003–2006: Push the Button Early 2003 saw Rowlands and Simons back in the studio working on new material, including "The Golden Path", a collaboration with Wayne Coyne of the Flaming Lips. This was released in September 2003, at the same time as a "best of" album, entitled Singles 93–03, marking ten years of the Chemical Brothers' releases. Singles 93–03 included most, but not all, of their singles. A second new track, in addition to "The Golden Path", was included on the album, called "Get Yourself High". Singles 93–03 was also released on DVD, with extra features including selected live performances and interviews with Rowlands, Simons, and many of their collaborators from throughout the period. "Get Yourself High", which featured Canadian rapper k-os on vocals, was released as a single in November 2003. In late 2003 and 2004, the Chemical Brothers continued to work in the studio on new material and a remix of "Slow" by Kylie Minogue. After being released on rare white label vinyl, it was subsequently given a commercial release in March on CD (on her next single "Red Blooded Woman") and on 12-inch vinyl picture disc (containing two other Minogue remixes). In Summer 2004 they returned to the festival circuit, including appearances at the Glastonbury Festival, Tokyo, Scotland, and Ireland. They also visited South America for the second time (the first time being in 1999), arriving at Chile, Argentina, and Brazil. It was during these sets that they played new material, including "Acid Children", which proved to be one of the most popular new tracks. In September 2004, the Chemical Brothers released the seventh "Electronic Battle Weapon". "Electronic Battle Weapon 7" was being released as a one-sided promo-only 12-inch, containing "Acid Children". A marked departure from the Chemical Brothers' previous musical endeavours, it featured a screeching 303 bassline and a distinctive vocal sample; a pitch-altered vocal sample proclaiming "You Are All My Children Now!", which is lifted from the horror film A Nightmare on Elm Street 2: Freddy's Revenge. It was coupled with the projection of a sinister clown mouthing these same words at their live gigs. The "Electronic Battle Weapon" series of promo releases have typically been newly recorded Chemical Brothers tracks, released on promo to allow DJs to test them in a club environment, and to gauge their popularity. In 2004, the Chemical Brothers began work on Push the Button, their fifth studio album, which features collaborations with Tim Burgess, Kele Okereke, and Anwar Superstar, amongst others. The album was released on 24 January 2005. "Galvanize", which features rapper Q-Tip on vocals, was the first single to be taken from Push the Button, and premiered on iTunes. The single was released on 17 January 2005, and entered the UK chart at No. 3. The second single, "Believe" (featuring Kele Okereke from Bloc Party), failed to crack the top 10, but still made it into the top 20, peaking at No. 18. "The Boxer", featuring Tim Burgess, became the duo's first single to fail to crack the top 40. The album and single "Galvanize" won a Grammy at the Grammy Awards of 2006. One of the songs in this album, "The Big Jump", appears in the video game Burnout Revenge, as well as Project Gotham Racing 3. The track "Surface to Air" features a pulsing chord progression and bassline reminiscent of the intro to The Strokes song "The Modern Age". An unofficial, remixed version of the album entitled Flip the Switch was released as a free download, along with the Believe EP, featuring six further remixes of "Believe". In September 2006, the Chemical Brothers were revealed as the first musicians to be involved in Tate Tracks. Tate Modern invited various groups and songwriters to choose a work that inspired them from the gallery's collection of modern art and then write a track about it. The Chemical Brothers' submission, Rock Drill, was inspired by the Jacob Epstein sculpture Torso in Metal from The Rock Drill, and could be heard on headphones in front of the work in the gallery. From October 2006, it also became available to hear online at the Tate Tracks website. 2007–2009: We Are the Night The Brothers announced in June 2006 on their official web forum that the duo had been working on new material, specifically an album, code-named "Chemical 6". Simons also wrote that the band would be playing select venues in the Summer 2007 season, specifying Rome, and also Fabric in London. Simons was also quoted as saying that the duo were "hoping to put a battle weapon out for the summer", possibly referring to the Electronic Battle Weapon series, the somewhat experimental tracks the band occasionally released on white label. "Electronic Battle Weapon 8" and "9" were debuted on Pete Tong's BBC Radio 1 show on 8 December 2006. The double-sided vinyl was finally released just before the Chemical Brothers' much anticipated New Year's Eve gig at the famous Turnmills in London. The vinyl had a limited edition release worldwide and was received well by fans, DJs, and critics alike. "Electronic Battle Weapon 8", at about six and a half minutes, was very distinct from the "big acid" style that the earlier "Electronic Battle Weapons" adhered to. It was characterised by 'thundering' drums with a rising synth line. A version of this track featured on the We Are the Night album and was entitled "Saturate". "Electronic Battle Weapon 9" was a typical Chemicals dancefloor track with their trademark vocoder vocals coupled with sirens and a basic 'tribal' melody. At the same Turnmills gig, the Brothers also played a previously unreleased song at midnight to welcome 2007, which went down well with the crowd. This track eventually emerged as "Burst Generator", found on the forthcoming album We Are the Night. Many were left wondering if the latest in the Electronic Battle Weapon series were simply one-off experiments or signalled a new direction they could take with the new album, perhaps swaying from their genre defining big beat albums of the past. The song was also the band's 100th released song. On 21 March 2007, the Chemical Brothers officially announced their forthcoming album on MySpace. The new album, entitled We Are the Night, was released on 2 July 2007 in the United Kingdom and 17 July 2007 in the United States. The Chemical Brothers cited a delay in the production of artwork for this delay. EMI subsequently released an online Chemical Brothers computer game as an apology. The track listing was released on the official mailing list on 10 April. Collaborations featured heavily on the album, including Klaxons ("All Rights Reversed"), Midlake ("The Pills Won't Help You Now"), Ali Love ("Do It Again"), and Willy Mason ("Battle Scars"). On 12 April 2007, Pete Tong again had the privilege of giving the world the very first preview of a Chemicals track. This time it was the first single "Do It Again" off their new album, aired on his BBC Radio 1 "In New Music We Trust" show. The official release of the single was 4 June (digital download) and 14 June (12-inch, 7-inch and CD). The album went on general release in the UK on 2 July 2007. In September 2007, the Chemical Brothers played a free live gig in Trafalgar Square as part of the Becks Fusions event. All who attended were provided with 3D glasses to view the on-screen visual effects. The Chemical Brothers supplied a new track for the Heroes soundtrack, titled "Keep My Composure". An alternate version of this track was released on Brotherhood, the duo's second singles compilation, which also featured the new single "Midnight Madness" and a second disc of every Electronic Battle Weapon released to date. The Chemical Brothers continued to tour into 2008 to promote the collection, including a landmark date at Olympia London. 2010–2012: Further, Hanna and Don't Think On 30 March 2010, the band announced on their website that their seventh studio album, titled Further, would be released on 22 June and would be "the band's first to be released with corresponding films made specifically to match each of the 8 audio tracks." The films were made with long-time visuals collaborators Adam Smith and Marcus Lyall. Before the release of the album, the band played four shows in May at the London Roundhouse where they played the album and its accompanying films in their entirety. The films were released on a special edition DVD and on the iTunes LP edition. Most reviews were positive, with BBC Music declaring that "... synths are brutally manhandled and pushed to their limits across the eight tracks". The Irish Times reported that "This is a very impressive collection that is carried along with a stirring sense of velocity and momentum". However, praise was not unanimous for the album, with the American rock magazine Spin giving it a rating of three out of five stars. At the New York Comic Con, on 10 October 2010, film director Joe Wright announced that the Chemical Brothers would be scoring the soundtrack to his forthcoming film, Hanna. Wright, who had worked with the Chemical Brothers in the past as a member of the visual company Vegetable Vision, stated that he was "very excited to finally ... work with a more modern beat. There's a lot of bass, it's very loud." The soundtrack was released on iTunes on 15 March 2011 and on CD on 4 July 2011. The duo also contributed a new version of the song "Don't Think" titled "Nina Frequency", as well as two new songs "Electric Hands" and "Danka Jane", to the soundtrack of the 2010 film Black Swan directed by Darren Aronofsky. All three songs have not been released. The Chemical Brothers released their first concert film, Don't Think, in 2012, documenting their performance at Fuji Rock Festival in Japan in 2011. The film debuted in February in theaters around the world, including a premiere in London where attendees – including Matt Smith, Karen Gillan and Keira Knightley – were seen dancing in aisles and seats, leading one reviewer to remark "at times it was impossible to tell which 'hands in the air' were on screen and which were in the room." The film was the first concert film to be mixed in 7.1 surround sound, and was released on Blu-ray, DVD, and CD on 26 March 2012. On 7 March 2012, it was announced that the Chemical Brothers would be scoring their second film soundtrack, for the bank heist film Now You See Me, but the band had to pull out of the project in the early stages due to scheduling conflicts. 2012–2017: Rowlands' solo work and Born in the Echoes After Hanna and Don't Think, Tom Rowlands worked on a number of solo projects. He remixed and produced music for Tinie Tempah, The Klaxons, I Break Horses, and New Order, scored the film Trespass Against Us starring Michael Fassbender and Brendan Gleeson and directed by longtime visual collaborator and film and television director Adam Smith, and the theatrical production of Life of Galileo directed by Joe Wright performed at the Young Vic, and released 12-inch single Through Me / Nothing but Pleasure on Erol Alkan's label Phantasy in May 2013. On 21 October 2014, the Chemical Brothers released a single "This Is Not a Game", which was created for The Hunger Games: Mockingjay – Part 1, featuring Miguel and Lorde. In December 2014, they announced an appearance at the 2015 Sónar festival and a new album, scheduled for release in 2015. In April 2015, videos containing animation and audio loops appeared on the official Chemical Brothers Facebook page and website, thechemicalbrothers.com, ahead of the imminent release of new music. On 23 April, their new song "Sometimes I Feel so Deserted" premiered on BBC Radio 1. On 17 July, the duo released Born in the Echoes, their eighth album. Singles from this album included "Go"; an up-beat reunion with guest vocalist Q-Tip and director Michel Gondry and "Wide Open" in collaboration with Beck. St. Vincent, Ali Love, and Cate Le Bon also feature on the album. Along with the new album announcement, it was revealed that Simons would "take a break" from touring to focus on unspecified academic work. Adam Smith filled in for him on stage during the 2015 tour. During the tour, Simons attended a few shows as an audience member, and both he and Rowlands expressed concern in interviews that this could mark a permanent retirement. The first concert without Simons was performed at Siemens Arena in Lithuania. Smith continued to fill in through the end of 2015, most notably at Glastonbury and the Apple Music Festival, and uniquely controlled both lights and music from the stage. Simons returned to live performances in 2016, performing at the Parklife Festival in Manchester, which included a new setlist and a cover of New Order's "Temptation" with Sumner's recorded vocals. In November 2016, the duo released the non-album single "C-H-E-M-I-C-A-L", which premiered on BBC Radio 1. The song originally debuted as a demo in 2012, created to open the duo's DJ sets from 2012 to 2015. 2018–present: No Geography On 10 January 2018, the Chemical Brothers confirmed production of their ninth album, No Geography, via Instagram and other social media platforms. They released their first song in three years on 28 September 2018, titled "Free Yourself", from the forthcoming album. On 7 March 2019, Formula 1 announced a collaboration with the Chemical Brothers, which was released the next day in the form of the song "We've Got To Try". The Chemical Brothers' ninth studio album, No Geography, was released on 12 April 2019 to positive reviews. In 2020, the album won three Grammy Awards including Best Dance/Electronic Album, Best Dance Recording, and Best Music Video. In 2019, the Berlin Music Video Awards elected "We've Got to Try" the winner of the Best Director category and also as the overall winner - Best Music Video. The Chemical Brothers' music video "Eve of Destruction", directed by Ollie Tong, took the 2nd place at the Berlin Music Video Awards 2020 in the Best Art Director category. Live The Brothers have also played at major festivals, including Glastonbury, Fuji Rock, Vive Latino, HFStival and the Reading and Leeds festivals. In addition to performing their own music, they also hold regular DJ nights where they mix other artists' tracks (in the style of Brothers Gonna Work It Out). Discography Studio albums Exit Planet Dust (1995) Dig Your Own Hole (1997) Surrender (1999) Come with Us (2002) Push the Button (2005) We Are the Night (2007) Further (2010) Born in the Echoes (2015) No Geography (2019) Awards and nominations List of awards and nominations received by The Chemical Brothers: Brit Awards |- | rowspan="2" | 1997 | The Chemical Brothers | British Dance Act | |- | "Setting Sun" | British Video of the Year | |- | rowspan="2" | 1998 | The Chemical Brothers | British Dance Act | |- | "Block Rockin' Beats" | British Video of the Year | |- | rowspan="4" | 2000 | The Chemical Brothers | British Dance Act | |- | Surrender | British Album of the Year | |- | "Hey Boy Hey Girl" | British Single of the Year | |- | "Let Forever Be" | British Video of the Year | |- | 2003 | The Chemical Brothers | British Dance Act | |} Chicago Film Critics Association |- | 2011 | Hanna | Best Original Score | |} Grammy Awards |- | rowspan="2" | 1998 | "Block Rockin' Beats" | Best Rock Instrumental Performance | |- | Dig Your Own Hole | Best Alternative Music Album | |- | 2005 | "Get Yourself High" | rowspan="2" | Best Dance/Electronic Recording | |- | rowspan="2" | 2006 | "Galvanize" | |- | Push the Button | rowspan="2" | Best Dance/Electronic Album | |- | rowspan="2" | 2008 | We Are the Night | |- | "Do It Again" | Best Dance/Electronic Recording | |- | 2011 | Further | rowspan="3" | Best Dance/Electronic Album | |- | 2013 | Don't Think | |- | rowspan="2" | 2016 | Born in the Echoes | |- | "Go" | Best Dance/Electronic Recording | |- | rowspan="3" | 2020 | "We've Got to Try" | Best Music Video | |- | "Got to Keep On" | Best Dance/Electronic Recording | |- | No Geography | Best Dance/Electronic Album | |} Los Angeles Film Critics Association |- | 2011 | Hanna | Best Music | |} Mercury Prize |- | 1997 | Dig Your Own Hole | rowspan="2" | Mercury Prize | |- | 1999 | Surrender | |} MTV Europe Music Awards |- | rowspan="2" | 1997 | "Block Rockin' Beats" | Best Video | |- | rowspan="3" | The Chemical Brothers | rowspan="3" | Best Electronic | |- | 1999 | |- | 2003 | |- | rowspan="2" | 2005 | "Galvanize" | Best Song | |- | "Believe" | rowspan="2" | Best Video | |- | 2007 | "The Salmon Dance" | |} MTV Video Music Awards |- | rowspan="2" | 1997 | "Block Rockin' Beats" | Best Dance Video | |- | "Setting Sun" | rowspan="2" | Breakthrough Video | |- | 2000 | "Let Forever Be" | |- | 2015 | "Go" | Best Art Direction | |} MTV Video Music Awards Japan |- | 2002 | The Chemical Brothers | Best Dance | |- | 2004 | Get Yourself High | Best Special Effects | |- | 2008 | "Do It Again" | Best Dance Video | |- | 2015 | "Go" | Best Group Video | |} MVPA Awards The MVPA Awards are annually presented by a Los Angeles-based music trade organisation to honour the year's best music videos. |- | 2002 | "Star Guitar" | rowspan="3" | Best Electronic Video | |- | 2006 | "Believe" | |- | rowspan="4" | 2008 | rowspan="2" | "Salmon Dance" | |- | Best Animated Video | |- | rowspan="2" | "Do It Again" | Best Electronic Video | |- | Best Cinematography | |} Q Awards |- | 1999 | Surrender| Best Album | |- | 2000 | rowspan="2" | The Chemical Brothers | Best Live Act | |- | 2010 | Hero Award | |} UK Music Video Awards |- | rowspan="3" | 2008 | "The Salmon Dance" | rowspan="2" | Best Dance Video | rowspan="3" |- | rowspan="2" | "Midnight Madness" |-
National Park; because weather conditions were considered too fine to pass off as a nuclear winter, stage snow had to be spread around the rocks and heather, and cameramen installed light filters on their equipment to block out the sunlight. Although Jackson initially considered casting actors from Granada Television's Coronation Street, he later decided to take a neorealist approach, and opted to cast relatively unknown actors in order to heighten the film's impact through the use of characters the audience could relate to. In order for the horror of Threads to work, Jackson made an effort to leave some things unseen: "to let images and emotion happen in people's minds, or rather in the extensions of their imaginations." He later recalled that while BBC productions would usually be followed by phone calls of congratulations from friends or colleagues immediately after airing, no such calls came after the first screening of Threads. Jackson later "realised...that people had just sat there thinking about it, in many cases not sleeping or being able to talk." He stated that he had it on good authority that Ronald Reagan watched the film when it aired in the US. Along with Hines, Jackson also received a letter of praise from Labour leader Neil Kinnock, stating "the dangers of complacency are much greater than any risks of knowledge." Broadcast and release history Threads was a co-production of the BBC, Nine Network and Western-World Television, Inc. It was first broadcast on BBC Two on 23 September 1984 at 9:30 pm, and achieved the highest ratings on the channel (6.9 million) of the week. It was repeated on BBC One on 1 August 1985 as part of a week of programmes marking the fortieth anniversary of the atomic bombings of Hiroshima and Nagasaki, which also saw the first television screening of The War Game (which had been deemed too disturbing for television in the 20 years since it had been made). Threads was not shown again on British screens until the digital channel BBC Four broadcast it in October 2003. It was also shown on UKTV Documentary in September 2004 and was repeated in April 2005. Threads was broadcast in the United States on cable network Superstation TBS on 13 January 1985, with Ted Turner presenting the introduction. This was followed by a panel discussion on nuclear war. It was also shown in syndication to local commercial stations and, later, on many PBS stations. In Canada, Threads was broadcast on Citytv in Toronto, CKVU in Vancouver and CKND in Winnipeg, while in Australia it was shown on the Nine Network on 19 June 1985. Unusually for a commercial network, it broadcast the film without commercial breaks; many commercial outlets in the United States and Canada that broadcast the film also did so without commercial interruption, or interrupting only for disclaimers or promos. In January 2018, journalist Julie McDowall led a distributed viewing of the film, encouraging the audience to share their reactions on Twitter under the hashtag #threaddread, as part of a campaign to ask the BBC to show the movie for the first time since 2003. The British television streaming service BritBox briefly made Threads available to stream in February 2022, and announced its availability on Twitter; both the announcement tweet and the film itself were removed shortly after. The release came amid continued escalation of the 2021–2022 Russo-Ukrainian crisis and consequent fears of an East-West world war, leading to accusations of poor timing on BritBox's part. Home media Threads was originally released by BBC Video (on VHS and, for a very short period, Betamax) in 1987 in the United Kingdom. The film was re-released on both VHS and DVD in 2000 on the Revelation label, followed by a new DVD edition in 2005. Due to licensing difficulties the 1987 release replaced Chuck Berry's recording of his song "Johnny B. Goode" with an alternative recording of the song. In all these cases, the original music over the opening narration was removed, again due to licensing problems; this was an extract from the Alpine Symphony by Richard Strauss, performed by the Dresden State Opera Orchestra, conducted by Rudolf Kempe (HMV ASD 3173). On 13 February 2018, Threads was released by Severin Films on Blu-ray in the United States. The programme was scanned in 2K from a broadcast print for this release, including extras such as an audio commentary with Director Mick Jackson and interviews with actress Karen Meagher, Director Of Photography Andrew Dunn, Production Designer Christopher Robilliard and film writer Stephen Thrower. This is also the first home video release in which the extract from the Alpine Symphony remains intact. On 9 April 2018, Simply Media released a Special Edition DVD in the UK, featuring a different 2K scan, restored and remastered from the original BBC 16mm CRI prints, which Severin did not have access to. This also featured all the original music, for the first time on home video in the UK. Whereas the previous releases had no extra features, the Special Edition included commentaries and associated documentaries. Reception Initial Threads was not widely reviewed, but the critics who reviewed it gave generally positive reviews. John J. O'Connor of The New York Times wrote that the film "is not a balanced discussion about the pros and cons of nuclear armaments. It is a candidly biased warning. And it is, as calculated, unsettlingly powerful." Rick Groen of The Globe and Mail wrote that "[t]he British crew here, headed by writer Barry Hines and producer/director Mick Jackson, accomplish what
and took place in the ballroom of Sheffield City Hall, where 1,100 candidates turned up. Extras were chosen on the basis of height and age, and were all told to look "miserable" and to wear ragged clothes; the majority were CND supporters. The makeup for extras playing third-degree-burn victims consisted of Rice Krispies and tomato ketchup. The scenes taking place six weeks after the attack were shot at Curbar Edge in the Peak District National Park; because weather conditions were considered too fine to pass off as a nuclear winter, stage snow had to be spread around the rocks and heather, and cameramen installed light filters on their equipment to block out the sunlight. Although Jackson initially considered casting actors from Granada Television's Coronation Street, he later decided to take a neorealist approach, and opted to cast relatively unknown actors in order to heighten the film's impact through the use of characters the audience could relate to. In order for the horror of Threads to work, Jackson made an effort to leave some things unseen: "to let images and emotion happen in people's minds, or rather in the extensions of their imaginations." He later recalled that while BBC productions would usually be followed by phone calls of congratulations from friends or colleagues immediately after airing, no such calls came after the first screening of Threads. Jackson later "realised...that people had just sat there thinking about it, in many cases not sleeping or being able to talk." He stated that he had it on good authority that Ronald Reagan watched the film when it aired in the US. Along with Hines, Jackson also received a letter of praise from Labour leader Neil Kinnock, stating "the dangers of complacency are much greater than any risks of knowledge." Broadcast and release history Threads was a co-production of the BBC, Nine Network and Western-World Television, Inc. It was first broadcast on BBC Two on 23 September 1984 at 9:30 pm, and achieved the highest ratings on the channel (6.9 million) of the week. It was repeated on BBC One on 1 August 1985 as part of a week of programmes marking the fortieth anniversary of the atomic bombings of Hiroshima and Nagasaki, which also saw the first television screening of The War Game (which had been deemed too disturbing for television in the 20 years since it had been made). Threads was not shown again on British screens until the digital channel BBC Four broadcast it in October 2003. It was also shown on UKTV Documentary in September 2004 and was repeated in April 2005. Threads was broadcast in the United States on cable network Superstation TBS on 13 January 1985, with Ted Turner presenting the introduction. This was followed by a panel discussion on nuclear war. It was also shown in syndication to local commercial stations and, later, on many PBS stations. In Canada, Threads was broadcast on Citytv in Toronto, CKVU in Vancouver and CKND in Winnipeg, while in Australia it was shown on the Nine Network on 19 June 1985. Unusually for a commercial network, it broadcast the film without commercial breaks; many commercial outlets in the United States and Canada that broadcast the film also did so without commercial interruption, or interrupting only for disclaimers or promos. In January 2018, journalist Julie McDowall led a distributed viewing of the film, encouraging the audience to share their reactions on Twitter under the hashtag #threaddread, as part of a campaign to ask the BBC to show the movie for the first time since 2003. The British television streaming service BritBox briefly made Threads available to stream in February 2022, and announced its availability on Twitter; both the announcement tweet and the film itself were removed shortly after. The release came amid continued escalation of the 2021–2022 Russo-Ukrainian crisis and consequent fears of an East-West world war, leading to accusations of poor timing on BritBox's part. Home media Threads was originally released by BBC Video (on VHS and, for a very short period, Betamax) in 1987 in the United Kingdom. The film was re-released on both VHS and DVD in 2000 on the Revelation label, followed by a new DVD edition in 2005. Due to licensing difficulties the 1987 release replaced Chuck Berry's recording of his song "Johnny B. Goode" with an alternative recording of the song. In all these cases, the original music over the opening narration was removed, again due to licensing problems; this was an extract from the Alpine Symphony by Richard Strauss, performed by the Dresden State Opera Orchestra, conducted by Rudolf Kempe (HMV ASD 3173). On 13 February 2018, Threads was released by Severin Films on Blu-ray in the United States. The programme was scanned in 2K from a broadcast print for this release, including extras such as an audio commentary with Director Mick Jackson and interviews with actress Karen Meagher, Director Of Photography Andrew Dunn, Production Designer Christopher Robilliard and film writer Stephen Thrower. This is also the first home video release in which the extract from the Alpine Symphony remains intact. On 9 April 2018, Simply Media released a Special Edition DVD in the UK, featuring a different 2K scan, restored and remastered from the original BBC 16mm CRI prints, which Severin did not have access to. This also featured all the original music, for the first time on home video in the UK. Whereas the previous releases had no extra features, the Special Edition included commentaries and associated documentaries. Reception Initial Threads was not widely reviewed, but the critics who reviewed it gave generally positive reviews. John J. O'Connor of The New York Times wrote that the film "is not a balanced discussion about the pros and cons of nuclear armaments. It is a candidly biased warning. And it is, as calculated, unsettlingly powerful." Rick Groen of The Globe and Mail wrote that "[t]he British crew here, headed by writer
Usenet postings. It was replaced by the concept of wikis in 1999, and the development of UseModWiki started on October 11 as a simplified fork of AtisWiki. From version 0.4 ("WikiFour") in November 1999, more functions and improvements were introduced to UseModWiki. In 2000, the second UseModWiki website MeatballWiki was launched and hosted in usemod.com, along with the official website of UseModWiki. In 2001, as Adams was both of the UseModWiki developer and a Wikipedian, he brought many improvements for the usages of an encyclopedia to v0.91 and v0.92, especially "free links" that uses double square-brackets (e.g., [[Wikipedia]]) as an option along with camel case for linking to another page. In September 2003, after two years of development, the release of version 1.0 introduced many new features including CSS, RSS, file uploads, UTF-8, and more. Only bug fixing versions were released since that, and Markus Lude took over the project of UseModWiki
double square-brackets (e.g., [[Wikipedia]]) as an option along with camel case for linking to another page. In September 2003, after two years of development, the release of version 1.0 introduced many new features including CSS, RSS, file uploads, UTF-8, and more. Only bug fixing versions were released since that, and Markus Lude took over the project of UseModWiki from Adams in July 2007. The latest version was released in December 2017. The wiki software for the English Wikipedia was UseModWiki (phase I, retroactively) since the establishment on January 15, 2001, and as of January 2002, Wikipedias in 22 languages were powered by UseModWiki. It was replaced by "the PHP script" (phase II) on January 25, 2002, a new wiki software based on UseModWiki but rewritten in PHP. On July 20, it was then replaced by its own rewritten wiki software (phase III), currently known as MediaWiki, for the better performance and functionality. Version history See also List of wiki engines mw:MediaWiki history References External links List of sites running UseModWiki Introducing UseModWiki 1999
property by government officials. A search can mean everything from a frisking by a police officer or to a demand for a blood test to a search of an individual's home or car. A seizure occurs when the government takes control of an individual or something in his or her possession. Items that are seized often are used as evidence when the individual is charged with a crime. It also imposes certain limitations on police investigating a crime and prevents the use of illegally obtained evidence at trial. The Fifth Amendment (1791) establishes the requirement that a trial for a major crime may commence only after an indictment has been handed down by a grand jury; protects individuals from double jeopardy, being tried and put in danger of being punished more than once for the same criminal act; prohibits punishment without due process of law, thus protecting individuals from being imprisoned without fair procedures; and provides that an accused person may not be compelled to reveal to the police, prosecutor, judge, or jury any information that might incriminate or be used against him or her in a court of law. Additionally, the Fifth Amendment also prohibits government from taking private property for public use without "just compensation", the basis of eminent domain in the United States. The Sixth Amendment (1791) provides several protections and rights to an individual accused of a crime. The accused has the right to a fair and speedy trial by a local and impartial jury. Likewise, a person has the right to a public trial. This right protects defendants from secret proceedings that might encourage abuse of the justice system, and serves to keep the public informed. This amendment also guarantees a right to legal counsel if accused of a crime, guarantees that the accused may require witnesses to attend the trial and testify in the presence of the accused, and guarantees the accused a right to know the charges against them. In 1966, the Supreme Court ruled that, with the Fifth Amendment, this amendment requires what has become known as the Miranda warning. The Seventh Amendment (1791) extends the right to a jury trial to federal civil cases, and inhibits courts from overturning a jury's findings of fact. Although the Seventh Amendment itself says that it is limited to "suits at common law", meaning cases that triggered the right to a jury under English law, the amendment has been found to apply in lawsuits that are similar to the old common law cases. For example, the right to a jury trial applies to cases brought under federal statutes that prohibit race or gender discrimination in housing or employment. Importantly, this amendment guarantees the right to a jury trial only in federal court, not in state court. The Eighth Amendment (1791) protects people from having bail or fines set at an amount so high that it would be impossible for all but the richest defendants to pay and also protects people from being subjected to cruel and unusual punishment. Although this phrase originally was intended to outlaw certain gruesome methods of punishment, it has been broadened over the years to protect against punishments that are grossly disproportionate to or too harsh for the particular crime. This provision has also been used to challenge prison conditions such as extremely unsanitary cells, overcrowding, insufficient medical care and deliberate failure by officials to protect inmates from one another. Unenumerated rights and reserved powers (Amendments 9 and 10) The Ninth Amendment (1791) declares that individuals have other fundamental rights, in addition to those stated in the Constitution. During the Constitutional ratification debates Anti-Federalists argued that a Bill of Rights should be added. The Federalists opposed it on grounds that a list would necessarily be incomplete but would be taken as explicit and exhaustive, thus enlarging the power of the federal government by implication. The Anti-Federalists persisted, and several state ratification conventions refused to ratify the Constitution without a more specific list of protections, so the First Congress added what became the Ninth Amendment as a compromise. Because the rights protected by the Ninth Amendment are not specified, they are referred to as "unenumerated". The Supreme Court has found that unenumerated rights include such important rights as the right to travel, the right to vote, the right to privacy, and the right to make important decisions about one's health care or body. The Tenth Amendment (1791) was included in the Bill of Rights to further define the balance of power between the federal government and the states. The amendment states that the federal government has only those powers specifically granted by the Constitution. These powers include the power to declare war, to collect taxes, to regulate interstate business activities and others that are listed in the articles or in subsequent constitutional amendments. Any power not listed is, says the Tenth Amendment, left to the states or the people. While there is no specific list of what these "reserved powers" may be, the Supreme Court has ruled that laws affecting family relations, commerce within a state's own borders, and local law enforcement activities, are among those specifically reserved to the states or the people. Governmental authority (Amendments 11, 16, 18, and 21) The Eleventh Amendment (1795) specifically prohibits federal courts from hearing cases in which a state is sued by an individual from another state or another country, thus extending to the states sovereign immunity protection from certain types of legal liability. Article Three, Section 2, Clause 1 has been affected by this amendment, which also overturned the Supreme Court's decision in Chisholm v. Georgia (1793). The Sixteenth Amendment (1913) removed existing Constitutional constraints that limited the power of Congress to lay and collect taxes on income. Specifically, the apportionment constraints delineated in Article 1, Section 9, Clause 4 have been removed by this amendment, which also overturned an 1895 Supreme Court decision, in Pollock v. Farmers' Loan & Trust Co., that declared an unapportioned federal income tax on rents, dividends, and interest unconstitutional. This amendment has become the basis for all subsequent federal income tax legislation and has greatly expanded the scope of federal taxing and spending in the years since. The Eighteenth Amendment (1919) prohibited the making, transporting, and selling of alcoholic beverages nationwide. It also authorized Congress to enact legislation enforcing this prohibition. Adopted at the urging of a national temperance movement, proponents believed that the use of alcohol was reckless and destructive and that prohibition would reduce crime and corruption, solve social problems, decrease the need for welfare and prisons, and improve the health of all Americans. During prohibition, it is estimated that alcohol consumption and alcohol related deaths declined dramatically. But prohibition had other, more negative consequences. The amendment drove the lucrative alcohol business underground, giving rise to a large and pervasive black market. In addition, prohibition encouraged disrespect for the law and strengthened organized crime. Prohibition came to an end in 1933, when this amendment was repealed. The Twenty-first Amendment (1933) repealed the Eighteenth Amendment and returned the regulation of alcohol to the states. Each state sets its own rules for the sale and importation of alcohol, including the drinking age. Because a federal law provides federal funds to states that prohibit the sale of alcohol to minors under the age of twenty-one, all fifty states have set their drinking age there. Rules about how alcohol is sold vary greatly from state to state. Safeguards of civil rights (Amendments 13, 14, 15, 19, 23, 24, and 26) The Thirteenth Amendment (1865) abolished slavery and involuntary servitude, except as punishment for a crime, and authorized Congress to enforce abolition. Though millions of slaves had been declared free by the 1863 Emancipation Proclamation, their post Civil War status was unclear, as was the status of other millions. Congress intended the Thirteenth Amendment to be a proclamation of freedom for all slaves throughout the nation and to take the question of emancipation away from politics. This amendment rendered inoperative or moot several of the original parts of the constitution. The Fourteenth Amendment (1868) granted United States citizenship to former slaves and to all persons "subject to U.S. jurisdiction". It also contained three new limits on state power: a state shall not violate a citizen's privileges or immunities; shall not deprive any person of life, liberty, or property without due process of law; and must guarantee all persons equal protection of the laws. These limitations dramatically expanded the protections of the Constitution. This amendment, according to the Supreme Court's Doctrine of Incorporation, makes most provisions of the Bill of Rights applicable to state and local governments as well. It superseded the mode of apportionment of representatives delineated in Article 1, Section 2, Clause 3, and also overturned the Supreme Court's decision in Dred Scott v. Sandford (1857). The Fifteenth Amendment (1870) prohibits the use of race, color, or previous condition of servitude in determining which citizens may vote. The last of three post Civil War Reconstruction Amendments, it sought to abolish one of the key vestiges of slavery and to advance the civil rights and liberties of former slaves. The Nineteenth Amendment (1920) prohibits the government from denying women the right to vote on the same terms as men. Prior to the amendment's adoption, only a few states permitted women to vote and to hold office. The Twenty-third Amendment (1961) extends the right to vote in presidential elections to citizens residing in the District of Columbia by granting the District electors in the Electoral College, as if it were a state. When first established as the nation's capital in 1800, the District of Columbia's five thousand residents had neither a local government, nor the right to vote in federal elections. By 1960 the population of the District had grown to over 760,000. The Twenty-fourth Amendment (1964) prohibits a poll tax for voting. Although passage of the Thirteenth, Fourteenth, and Fifteenth Amendments helped remove many of the discriminatory laws left over from slavery, they did not eliminate all forms of discrimination. Along with literacy tests and durational residency requirements, poll taxes were used to keep low-income (primarily African American) citizens from participating in elections. The Supreme Court has since struck down these discriminatory measures, opening democratic participation to all. The Twenty-sixth Amendment (1971) prohibits the government from denying the right of United States citizens, eighteen years of age or older, to vote on account of age. The drive to lower the voting age was driven in large part by the broader student activism movement protesting the Vietnam War. It gained strength following the Supreme Court's decision in Oregon v. Mitchell (1970). Government processes and procedures (Amendments 12, 17, 20, 22, 25, and 27) The Twelfth Amendment (1804) modifies the way the Electoral College chooses the President and Vice President. It stipulates that each elector must cast a distinct vote for president and Vice President, instead of two votes for president. It also suggests that the President and Vice President should not be from the same state. Article II, Section 1, Clause 3 is superseded by this amendment, which also extends the eligibility requirements to become president to the Vice President. The Seventeenth Amendment (1913) modifies the way senators are elected. It stipulates that senators are to be elected by direct popular vote. The amendment supersedes Article 1, Section 2, Clauses1 and 2, under which the two senators from each state were elected by the state legislature. It also allows state legislatures to permit their governors to make temporary appointments until a special election can be held. The Twentieth Amendment (1933) changes the date on which a new president, Vice President and Congress take office, thus shortening the time between Election Day and the beginning of Presidential, Vice Presidential and Congressional terms. Originally, the Constitution provided that the annual meeting was to be on the first Monday in December unless otherwise provided by law. This meant that, when a new Congress was elected in November, it did not come into office until the following March, with a "lame duck" Congress convening in the interim. By moving the beginning of the president's new term from March 4 to January 20 (and in the case of Congress, to January 3), proponents hoped to put an end to lame duck sessions, while allowing for a speedier transition for the new administration and legislators. The Twenty-second Amendment (1951) limits an elected president to two terms in office, a total of eight years. However, under some circumstances it is possible for an individual to serve more than eight years. Although nothing in the original frame of government limited how many presidential terms one could serve, the nation's first president, George Washington, declined to run for a third term, suggesting that two terms of four years were enough for any president. This precedent remained an unwritten rule of the presidency until broken by Franklin D. Roosevelt, who was elected to a third term as president 1940 and in 1944 to a fourth. The Twenty-fifth Amendment (1967) clarifies what happens upon the death, removal, or resignation of the President or Vice President and how the Presidency is temporarily filled if the President becomes disabled and cannot fulfill the responsibilities of the office. It supersedes the ambiguous succession rule established in Article II, Section 1, Clause 6. A concrete plan of succession has been needed on multiple occasions since 1789. However, for nearly 20% of U.S. history, there has been no vice president in office who can assume the presidency. The Twenty-seventh Amendment (1992) prevents members of Congress from granting themselves pay raises during the current session. Rather, any raises that are adopted must take effect during the next session of Congress. Its proponents believed that Federal legislators would be more likely to be cautious about increasing congressional pay if they have no personal stake in the vote. Article One, section 6, Clause 1 has been affected by this amendment, which remained pending for over two centuries as it contained no time limit for ratification. Unratified amendments Collectively, members of the House and Senate typically propose around 150 amendments during each two-year term of Congress. Most however, never get out of the Congressional committees in which they were proposed, and only a fraction of those that do receive enough support to win Congressional approval to actually go through the constitutional ratification process. Six amendments approved by Congress and proposed to the states for consideration have not been ratified by the required number of states to become part of the Constitution. Four of these are technically still pending, as Congress did not set a time limit (see also Coleman v. Miller) for their ratification. The other two are no longer pending, as both had a time limit attached and in both cases the time period set for their ratification expired. Pending The Congressional Apportionment Amendment (proposed 1789) would, if ratified, establish a formula for determining the appropriate size of the House of Representatives and the appropriate apportionment of representatives among the states following each constitutionally mandated decennial census. At the time it was sent to the states for ratification, an affirmative vote by ten states would have made this amendment operational. In 1791 and 1792, when Vermont and Kentucky joined the Union, the number climbed to twelve. Thus, the amendment remained one state shy of the number needed for it to become part of the Constitution. No additional states have ratified this amendment since. To become part of the Constitution today, ratification by an additional twenty-seven would be required. The Apportionment Act of 1792 apportioned the House of Representatives at 33,000 persons per representative in consequence of the 1790 census. Reapportionment has since been effected by statute. The Titles of Nobility Amendment (proposed 1810) would, if ratified, strip United States citizenship from any citizen who accepted a title of nobility from a foreign country. When submitted to the states, ratification by thirteen states was required for it to become part of the Constitution; eleven had done so by early 1812. However, with the addition of Louisiana into the Union that year (April 30, 1812), the ratification threshold rose to fourteen. Thus, when New Hampshire ratified it in December 1812, the amendment again came within two states of being ratified. No additional states have ratified this amendment since. To become part of the Constitution today, ratification by an additional twenty-six would be required. The Corwin Amendment (proposed 1861) would, if ratified, shield "domestic institutions" of the states (which in 1861 included slavery) from the constitutional amendment process and from abolition or interference by Congress. This proposal was one of several measures considered by Congress in an ultimately unsuccessful attempt to attract the seceding states back into the Union and to entice border slave states to stay. Five states ratified the amendment in the early 1860s, but none have since. To become part of the Constitution today, ratification by an additional 33 states would be required. The subject of this proposal was subsequently addressed by the 1865 Thirteenth Amendment, which abolished slavery. The Child Labor Amendment (proposed 1924) would, if ratified, specifically authorize Congress to limit, regulate and prohibit labor of persons less than eighteen years of age. The amendment was proposed in response to Supreme Court rulings in Hammer v. Dagenhart (1918) and Bailey v. Drexel Furniture Co. (1922) that found federal laws regulating and taxing goods produced by employees under the ages of 14 and 16 unconstitutional. When submitted to the states, ratification by 36 states was required for it to become part of the Constitution, as there were forty-eight states. Twenty-eight had ratified the amendment by early 1937, but none have done so since. To become part of the Constitution today, ratification by an additional ten would be required. A federal statute approved June 25, 1938, regulated the employment of those under 16 or 18 years of age in interstate commerce. The Supreme Court, by unanimous vote in United States v. Darby Lumber Co. (1941), found this law constitutional, effectively overturning Hammer v. Dagenhart. As a result of this development, the movement pushing for the amendment concluded. Status contested The Equal Rights Amendment (proposed 1972) would have prohibited deprivation of equality of rights (discrimination) by the federal or state governments on account of sex. A seven-year ratification time limit was initially placed on the amendment, but as the deadline approached, Congress granted a three-year extension. Thirty-five states ratified the proposed amendment prior to the original deadline, three short of the number required for it to be implemented (five of them later voted to rescind their ratification). No further states ratified the amendment within the extended deadline. In 2017, Nevada became the first state to ratify the ERA after the expiration of both deadlines, followed by Illinois in 2018, and Virginia in 2020, purportedly bringing the number of ratifications to 38. However, experts and advocates have acknowledged legal uncertainty about the consequences of these ratifications, due to the expired deadlines and the five states' purported revocations. No longer pending The District of Columbia Voting Rights Amendment (proposed 1978) would have granted the District of Columbia full representation in the United States Congress as if it were a state, repealed the Twenty-third Amendment, granted the District unconditional Electoral College voting rights, and allowed its participation in the process by which the Constitution is amended. A seven-year ratification time limit was placed on the amendment. Sixteen states ratified the amendment (twenty-two short of the number required for it to be implemented) prior to the deadline, thus it failed to be adopted. Judicial review The way the Constitution is understood is influenced by court decisions, especially those of the Supreme Court. These decisions are referred to as precedents. Judicial review is the power of the Court to examine federal legislation, federal executive, and all state branches of government, to decide their constitutionality, and to strike them down if found unconstitutional. Judicial review includes the power of the Court to explain the meaning of the Constitution as it applies to particular cases. Over the years, Court decisions on issues ranging from governmental regulation of radio and television to the rights of the accused in criminal cases have changed the way many constitutional clauses are interpreted, without amendment to the actual text of the Constitution. Legislation passed to implement the Constitution, or to adapt those implementations to changing conditions, broadens and, in subtle ways, changes the meanings given to the words of the Constitution. Up to a point, the rules and regulations of the many federal executive agencies have a similar effect. If an action of Congress or the agencies is challenged, however, it is the court system that ultimately decides whether these actions are permissible under the Constitution. The Supreme Court has indicated that once the Constitution has been extended to an area (by Congress or the Courts), its coverage is irrevocable. To hold that the political branches may switch the Constitution on or off at will would lead to a regime in which they, not this Court, say "what the law is". Scope and theory Courts established by the Constitution can regulate government under the Constitution, the supreme law of the land. First, they have jurisdiction over actions by an officer of government and state law. Second, federal courts may rule on whether coordinate branches of national government conform to the Constitution. Until the twentieth century, the Supreme Court of the United States may have been the only high tribunal in the world to use a court for constitutional interpretation of fundamental law, others generally depending on their national legislature. The basic theory of American Judicial review is summarized by constitutional legal scholars and historians as follows: the written Constitution is fundamental law. It can change only by extraordinary legislative process of national proposal, then state ratification. The powers of all departments are limited to enumerated grants found in the Constitution. Courts are expected (a) to enforce provisions of the Constitution as the supreme law of the land, and (b) to refuse to enforce anything in conflict with it. As to judicial review and the Congress, the first proposals by Madison (Va) and Wilson (Pa) called for a supreme court veto over national legislation. In this it resembled the system in New York, where the Constitution of 1777 called for a "Council of Revision" by the Governor and Justices of the state supreme court. The council would review and in a way, veto any passed legislation violating the spirit of the Constitution before it went into effect. The nationalist's proposal in Convention was defeated three times, and replaced by a presidential veto with Congressional over-ride. Judicial review relies on the jurisdictional authority in Article III, and the Supremacy Clause. The justification for judicial review is to be explicitly found in the open ratifications held in the states and reported in their newspapers. John Marshall in Virginia, James Wilson in Pennsylvania and Oliver Ellsworth of Connecticut all argued for Supreme Court judicial review of acts of state legislature. In Federalist No. 78, Alexander Hamilton advocated the doctrine of a written document held as a superior enactment of the people. "A limited constitution can be preserved in practice no other way" than through courts which can declare void any legislation contrary to the Constitution. The preservation of the people's authority over legislatures rests "particularly with judges". The Supreme Court was initially made up of jurists who had been intimately connected with the framing of the Constitution and the establishment of its government as law. John Jay (New York), a co-author of The Federalist Papers, served as Chief Justice for the first six years. The second and third Chief Justices, Oliver Ellsworth (Connecticut) and John Rutledge (South Carolina), were delegates to the Constitutional Convention. Washington's recess appointment as Chief Justice who served in 1795. John Marshall (Virginia), the fourth Chief Justice, had served in the Virginia Ratification Convention in 1788. His 34 years of service on the Court would see some of the most important rulings to help establish the nation the Constitution had begun. Other early members of the Supreme Court who had been delegates to the Constitutional Convention included James Wilson (Pennsylvania) for ten years, John Blair Jr. (Virginia) for five, and John Rutledge (South Carolina) for one year as Justice, then Chief Justice in 1795. Establishment When John Marshall followed Oliver Ellsworth as Chief Justice of the Supreme Court in 1801, the federal judiciary had been established by the Judiciary Act, but there were few cases, and less prestige. "The fate of judicial review was in the hands of the Supreme Court itself." Review of state legislation and appeals from state supreme courts was understood. But the Court's life, jurisdiction over state legislation was limited. The Marshall Court's landmark Barron v. Baltimore held that the Bill of Rights restricted only the federal
so the convention's opening meeting was postponed for lack of a quorum. A quorum of seven states met and deliberations began on May 25. Eventually twelve states were represented; 74 delegates were named, 55 attended and 39 signed. The delegates were generally convinced that an effective central government with a wide range of enforceable powers must replace the weaker Congress established by the Articles of Confederation. Two plans for structuring the federal government arose at the convention's outset: The Virginia Plan (also known as the Large State Plan or the Randolph Plan) proposed that the legislative department of the national government be composed of a Bicameral Congress, with both chambers elected with apportionment according to population. Generally favoring the most highly populated states, it used the philosophy of John Locke to rely on consent of the governed, Montesquieu for divided government, and Edward Coke to emphasize civil liberties. The New Jersey Plan proposed that the legislative department be a unicameral body with one vote per state. Generally favoring the less-populous states, it used the philosophy of English Whigs such as Edmund Burke to rely on received procedure and William Blackstone to emphasize sovereignty of the legislature. This position reflected the belief that the states were independent entities and, as they entered the United States of America freely and individually, remained so. On May 31, the Convention devolved into a "Committee of the Whole" to consider the Virginia Plan. On June 13, the Virginia resolutions in amended form were reported out of committee. The New Jersey Plan was put forward in response to the Virginia Plan. A "Committee of Eleven" (one delegate from each state represented) met from July 2 to 16 to work out a compromise on the issue of representation in the federal legislature. All agreed to a republican form of government grounded in representing the people in the states. For the legislature, two issues were to be decided: how the votes were to be allocated among the states in the Congress, and how the representatives should be elected. In its report, now known as the Connecticut Compromise (or "Great Compromise"), the committee proposed proportional representation for seats in the House of Representatives based on population (with the people voting for representatives), and equal representation for each State in the Senate (with each state's legislators generally choosing their respective senators), and that all money bills would originate in the House. The Great Compromise ended the stalemate between "patriots" and "nationalists", leading to numerous other compromises in a spirit of accommodation. There were sectional interests to be balanced by the Three-Fifths Compromise; reconciliation on Presidential term, powers, and method of selection; and jurisdiction of the federal judiciary. On July 24, a "Committee of Detail"—John Rutledge (South Carolina), Edmund Randolph (Virginia), Nathaniel Gorham (Massachusetts), Oliver Ellsworth (Connecticut), and James Wilson (Pennsylvania)—was elected to draft a detailed constitution reflective of the Resolutions passed by the convention up to that point. The Convention recessed from July 26 to August 6 to await the report of this "Committee of Detail". Overall, the report of the committee conformed to the resolutions adopted by the convention, adding some elements. A twenty-three article (plus preamble) constitution was presented. From August 6 to September 10, the report of the committee of detail was discussed, section by section and clause by clause. Details were attended to, and further compromises were effected. Toward the close of these discussions, on September 8, a "Committee of Style and Arrangement"—Alexander Hamilton (New York), William Samuel Johnson (Connecticut), Rufus King (Massachusetts), James Madison (Virginia), and Gouverneur Morris (Pennsylvania)—was appointed to distill a final draft constitution from the twenty-three approved articles. The final draft, presented to the convention on September 12, contained seven articles, a preamble and a closing endorsement, of which Morris was the primary author. The committee also presented a proposed letter to accompany the constitution when delivered to Congress. The final document, engrossed by Jacob Shallus, was taken up on Monday, September 17, at the convention's final session. Several of the delegates were disappointed in the result, a makeshift series of unfortunate compromises. Some delegates left before the ceremony and three others refused to sign. Of the thirty-nine signers, Benjamin Franklin summed up, addressing the convention: "There are several parts of this Constitution which I do not at present approve, but I am not sure I shall never approve them." He would accept the Constitution, "because I expect no better and because I am not sure that it is not the best". The advocates of the Constitution were anxious to obtain unanimous support of all twelve states represented in the convention. Their accepted formula for the closing endorsement was "Done in Convention, by the unanimous consent of the States present." At the end of the convention, the proposal was agreed to by eleven state delegations and the lone remaining delegate from New York, Alexander Hamilton. 1788 ratification Transmitted to the Congress of the Confederation, then sitting in New York City, it was within the power of Congress to expedite or block ratification of the proposed Constitution. The new frame of government that the Philadelphia Convention presented was a nominally a revision but was actually a wholesale replacement for the Articles of Confederation, leaving not a word of the original. After several days of debate, Congress voted to transmit the document to the thirteen states for ratification according to the process outlined in its Article VII. Each state legislature was to call elections for a "Federal Convention" to ratify the new Constitution, rather than consider ratification itself; a departure from the constitutional practice of the time, designed to expand the franchise in order to more clearly embrace "the people". According to the proposed constitution's own terms it was to come into force among the States so acting upon the approval of nine (i.e. two-thirds of the 13) states. This scheme abandoned the amendment process for the Articles of Confederation which, under Article XIII thereof, could be amended only by unanimous vote of all the states. Three members of the Convention—Madison, Gorham, and King—were also Members of Congress. They proceeded at once to New York, where Congress was in session, to placate the expected opposition. Aware of their vanishing authority, Congress, on September 28, after some debate, resolved unanimously to submit the Constitution to the States for action, "in conformity to the resolves of the Convention", but with no recommendation either for or against its adoption. Two parties soon developed, one in opposition, the Anti-Federalists, and one in support, the Federalists, of the Constitution; and the Constitution was debated, criticized, and expounded upon clause by clause. Hamilton, Madison, and Jay, under the name of Publius, wrote a series of commentaries, now known as The Federalist Papers, in support of ratification in the state of New York, at that time a hotbed of anti-Federalism. These commentaries on the Constitution, written during the struggle for ratification, have been frequently cited by the Supreme Court as an authoritative contemporary interpretation of the meaning of its provisions. The dispute over additional powers for the central government was close, and in some states, ratification was effected only after a bitter struggle in the state convention itself. On June 21, 1788, the constitution had been ratified by the minimum of nine states required under Article VII. Towards the end of July, and with eleven states then having ratified, the process of organizing the new government began. The Continental Congress, which still functioned at irregular intervals, passed a resolution on September 13, 1788, to put the new Constitution into operation with the eleven states that had then ratified it. The federal government began operations under the new form of government on March 4, 1789. However, the initial meeting of each chamber of Congress had to be adjourned due to lack of a quorum. George Washington was inaugurated as the nation's first president weeks later, on April 30. The final two states both ratified the Constitution subsequently: North Carolina on November 21, 1789, and Rhode Island on May 29, 1790. Influences Enlightenment and Rule of law John LockeTwo Treatises of Governmentlife, liberty and property Several ideas in the Constitution were new. These were associated with the combination of consolidated government along with federal relationships with constituent states. The Due Process Clause of the Constitution was partly based on common law and on Magna Carta (1215), which had become a foundation of English liberty against arbitrary power wielded by a ruler. Among the most prominent political theorists of the late eighteenth century were William Blackstone, John Locke, and Montesquieu. Both the influence of Edward Coke and William Blackstone were evident at the convention. In his Institutes of the Lawes of England, Edward Coke interpreted Magna Carta protections and rights to apply not just to nobles, but to all British subjects. In writing the Virginia Charter of 1606, he enabled the King in Parliament to give those to be born in the colonies all rights and liberties as though they were born in England. William Blackstone's Commentaries on the Laws of England were the most influential books on law in the new republic. British political philosopher John Locke following the Glorious Revolution (1688) was a major influence expanding on the contract theory of government advanced by Thomas Hobbes. Locke advanced the principle of consent of the governed in his Two Treatises of Government. Government's duty under a social contract among the sovereign people was to serve the people by protecting their rights. These basic rights were life, liberty and property. Montesquieu's influence on the framers is evident in Madison's Federalist No. 47 and Hamilton's Federalist No. 78. Jefferson, Adams, and Mason were known to read Montesquieu. Supreme Court Justices, the ultimate interpreters of the Constitution, have cited Montesquieu throughout the Court's history. (See, e.g., ) Montesquieu emphasized the need for balanced forces pushing against each other to prevent tyranny (reflecting the influence of Polybius's 2nd century BC treatise on the checks and balances of the Roman Republic). In his The Spirit of Law, Montesquieu argues that the separation of state powers should be by its service to the people's liberty: legislative, executive and judicial. A substantial body of thought had been developed from the literature of republicanism in the United States, including work by John Adams and applied to the creation of state constitutions. The constitution was a federal one, and was influenced by the study of other federations, both ancient and extant. The United States Bill of Rights consists of 10 amendments added to the Constitution in 1791, as supporters of the Constitution had promised critics during the debates of 1788. The English Bill of Rights (1689) was an inspiration for the American Bill of Rights. Both require jury trials, contain a right to keep and bear arms, prohibit excessive bail and forbid "cruel and unusual punishments". Many liberties protected by state constitutions and the Virginia Declaration of Rights were incorporated into the Bill of Rights. Original frame Neither the Convention which drafted the Constitution nor the Congress which sent it to the 13 states for ratification in the autumn of 1787, gave it a lead caption. To fill this void, the document was most often titled "A frame of Government" when it was printed for the convenience of ratifying conventions and the information of the public. This Frame of Government consisted of a preamble, seven articles and a signed closing endorsement. Preamble The preamble to the Constitution serves as an introductory statement of the document's fundamental purposes and guiding principles. It neither assigns powers to the federal government, nor does it place specific limitations on government action. Rather, it sets out the origin, scope, and purpose of the Constitution. Its origin and authority is in "We the People of the United States". This echoes the Declaration of Independence. "One people" dissolved their connection with another, and assumed among the powers of the earth, a sovereign nation-state. The scope of the Constitution is twofold. First, "to form a more perfect Union" than had previously existed in the "perpetual Union" of the Articles of Confederation. Second, to "secure the blessings of liberty", which were to be enjoyed by not only the first generation but for all who came after, "our posterity". Article I Article I describes the Congress, the legislative branch of the federal government. Section 1, reads, "All legislative powers herein granted shall be vested in a Congress of the United States, which shall consist of a Senate and House of Representatives." The article establishes the manner of election and the qualifications of members of each body. Representatives must be at least 25 years old, be a citizen of the United States for seven years, and live in the state they represent. Senators must be at least 30 years old, be a citizen for nine years, and live in the state they represent. Article I, Section 8 enumerates the powers delegated to the legislature. Financially, Congress has the power to tax, borrow, pay debt and provide for the common defense and the general welfare; to regulate commerce, bankruptcies, and coin money. To regulate internal affairs, it has the power to regulate and govern military forces and militias, suppress insurrections and repel invasions. It is to provide for naturalization, standards of weights and measures, post offices and roads, and patents; to directly govern the federal district and cessions of land by the states for forts and arsenals. Internationally, Congress has the power to define and punish piracies and offenses against the Law of Nations, to declare war and make rules of war. The final Necessary and Proper Clause, also known as the Elastic Clause, expressly confers incidental powers upon Congress without the Articles' requirement for express delegation for each and every power. Article I, Section 9 lists eight specific limits on congressional power. The Supreme Court has sometimes broadly interpreted the Commerce Clause and the Necessary and Proper Clause in Article One to allow Congress to enact legislation that is neither expressly allowed by the enumerated powers nor expressly denied in the limitations on Congress. In McCulloch v. Maryland (1819), the Supreme Court read the Necessary and Proper Clause to permit the federal government to take action that would "enable [it] to perform the high duties assigned to it [by the Constitution] in the manner most beneficial to the people", even if that action is not itself within the enumerated powers. Chief Justice Marshall clarified: "Let the end be legitimate, let it be within the scope of the Constitution, and all means which are appropriate, which are plainly adapted to that end, which are not prohibited, but consist with the letter and spirit of the Constitution, are Constitutional." Article II Article II describes the office, qualifications, and duties of the President of the United States and the Vice President. The President is head of the executive branch of the federal government, as well as the nation's head of state and head of government. Article two is modified by the 12th Amendment which tacitly acknowledges political parties, and the 25th Amendment relating to office succession. The president is to receive only one compensation from the federal government. The inaugural oath is specified to preserve, protect and defend the Constitution. The president is the Commander in Chief of the United States Armed Forces, as well as of state militias when they are mobilized. The president makes treaties with the advice and consent of a two-thirds quorum of the Senate. To administer the federal government, the president commissions all the offices of the federal government as Congress directs; and may require the opinions of its principal officers and make "recess appointments" for vacancies that may happen during the recess of the Senate. The president ensures the laws are faithfully executed and may grant reprieves and pardons with the exception of Congressional impeachment. The president reports to Congress on the State of the Union, and by the Recommendation Clause, recommends "necessary and expedient" national measures. The president may convene and adjourn Congress under special circumstances. Section 4 provides for the removal of the president and other federal officers. The president is removed on impeachment for, and conviction of, treason, bribery, or other high crimes and misdemeanors. Article III Article III describes the court system (the judicial branch), including the Supreme Court. The article describes the kinds of cases the court takes as original jurisdiction. Congress can create lower courts and an appeals process, and enacts law defining crimes and punishments. Article Three also protects the right to trial by jury in all criminal cases, and defines the crime of treason. Section 1 vests the judicial power of the United States in federal courts, and with it, the authority to interpret and apply the law to a particular case. Also included is the power to punish, sentence, and direct future action to resolve conflicts. The Constitution outlines the U.S. judicial system. In the Judiciary Act of 1789, Congress began to fill in details. Currently, Title 28 of the U.S. Code describes judicial powers and administration. As of the First Congress, the Supreme Court justices rode circuit to sit as panels to hear appeals from the district courts. In 1891, Congress enacted a new system. District courts would have original jurisdiction. Intermediate appellate courts (circuit courts) with exclusive jurisdiction heard regional appeals before consideration by the Supreme Court. The Supreme Court holds discretionary jurisdiction, meaning that it does not have to hear every case that is brought to it. To enforce judicial decisions, the Constitution grants federal courts both criminal contempt and civil contempt powers. Other implied powers include injunctive relief and the habeas corpus remedy. The Court may imprison for contumacy, bad-faith litigation, and failure to obey a writ of mandamus. Judicial power includes that granted by Acts of Congress for rules of law and punishment. Judicial power also extends to areas not covered by statute. Generally, federal courts cannot interrupt state court proceedings. Clause1 of Section2 authorizes the federal courts to hear actual cases and controversies only. Their judicial power does not extend to cases that are hypothetical, or which are proscribed due to standing, mootness, or ripeness issues. Generally, a case or controversy requires the presence of adverse parties who have some interest genuinely at stake in the case. Clause 2 of Section 2 provides that the Supreme Court has original jurisdiction in cases involving ambassadors, ministers, and consuls, for all cases respecting foreign nation-states, and also in those controversies which are subject to federal judicial power because at least one state is a party. Cases arising under the laws of the United States and its treaties come under the jurisdiction of federal courts. Cases under international maritime law and conflicting land grants of different states come under federal courts. Cases between U.S. citizens in different states, and cases between U.S. citizens and foreign states and their citizens, come under federal jurisdiction. The trials will be in the state where the crime was committed. No part of the Constitution expressly authorizes judicial review, but the Framers did contemplate the idea, and precedent has since established that the courts could exercise judicial review over the actions of Congress or the executive branch. Two conflicting federal laws are under "pendent" jurisdiction if one presents a strict constitutional issue. Federal court jurisdiction is rare when a state legislature enacts something as under federal jurisdiction. To establish a federal system of national law, considerable effort goes into developing a spirit of comity between federal government and states. By the doctrine of 'Res judicata', federal courts give "full faith and credit" to State Courts. The Supreme Court will decide Constitutional issues of state law only on a case-by-case basis, and only by strict Constitutional necessity, independent of state legislators' motives, their policy outcomes or its national wisdom. Section 3 bars Congress from changing or modifying Federal law on treason by simple majority statute. This section also defines treason, as an overt act of making war or materially helping those at war with the United States. Accusations must be corroborated by at least two witnesses. Congress is a political body and political disagreements routinely encountered should never be considered as treason. This allows for nonviolent resistance to the government because opposition is not a life or death proposition. However, Congress does provide for other lesser subversive crimes such as conspiracy. Article IV Article IV outlines the relations among the states and between each state and the federal government. In addition, it provides for such matters as admitting new states and border changes between the states. For instance, it requires states to give "full faith and credit" to the public acts, records, and court proceedings of the other states. Congress is permitted to regulate the manner in which proof of such acts may be admitted. The "privileges and immunities" clause prohibits state governments from discriminating against citizens of other states in favor of resident citizens. For instance, in criminal sentencing, a state may not increase a penalty on the grounds that the convicted person is a non-resident. It also establishes extradition between the states, as well as laying down a legal basis for freedom of movement and travel amongst the states. Today, this provision is sometimes taken for granted, but in the days of the Articles of Confederation, crossing state lines was often arduous and costly. The Territorial Clause gives Congress the power to make rules for disposing of federal property and governing non-state territories of the United States. Finally, the fourth section of Article Four requires the United States to guarantee to each state a republican form of government, and to protect them from invasion and violence. Article V Article V outlines the process for amending the Constitution. Eight state constitutions in effect in 1787 included an amendment mechanism. Amendment making power rested with the legislature in three of the states and in the other five it was given to specially elected conventions. The Articles of Confederation provided that amendments were to be proposed by Congress and ratified by the unanimous vote of all 13 state legislatures. This proved to be a major flaw in the Articles, as it created an insurmountable obstacle to constitutional reform. The amendment process crafted during the Philadelphia Constitutional Convention was, according to The Federalist No. 43, designed to establish a balance between pliancy and rigidity: There are two steps in the amendment process. Proposals to amend the Constitution must be properly adopted and ratified before they change the Constitution. First, there are two procedures for adopting the language of a proposed amendment, either by (a) Congress, by two-thirds majority in both the Senate and the House of Representatives, or (b) national convention (which shall take place whenever two-thirds of the state legislatures collectively call for one). Second, there are two procedures for ratifying the proposed amendment, which requires three-fourths of the states' (presently 38 of 50) approval: (a) consent of the state legislatures, or (b) consent of state ratifying conventions. The ratification method is chosen by Congress for each amendment. State ratifying conventions were used only once, for the Twenty-first Amendment. Presently, the Archivist of the United States is charged with responsibility for administering the ratification process under the provisions of 1U.S. Code . The Archivist submits the proposed amendment to the states for their consideration by sending a letter of notification to each Governor. Each Governor then formally submits the amendment to their state's legislature. When a state ratifies a proposed amendment, it sends the Archivist an original or certified copy of the state's action. Ratification documents are examined by the Office of the Federal Register for facial legal sufficiency and an authenticating signature. Article Five ends by shielding certain clauses in the new frame of government from being amended. Article One, Section 9, Clause1 prevents Congress from passing any law that would restrict the importation of slaves into the United States prior to 1808, plus the fourth clause from that same section, which reiterates the Constitutional rule that direct taxes must be apportioned according to state populations. These clauses were explicitly shielded from Constitutional amendment prior to 1808. On January 1, 1808, the first day it was permitted to do so, Congress approved legislation prohibiting the importation of slaves into the country. On February 3, 1913, with ratification of the Sixteenth Amendment, Congress gained the authority to levy an income tax without apportioning it among the states or basing it on the United States Census. The third textually entrenched provision is Article One, Section 3, Clauses 1, which provides for equal representation of the states in the Senate. The shield protecting this clause from the amendment process ("no state, without its consent, shall be deprived of its equal Suffrage in the Senate") is less absolute but it is permanent. Article VI Article VI establishes the Constitution, and all federal laws and treaties of the United States made according to it, to be the supreme law of the land, and that "the judges in every state shall be bound thereby, any thing in the laws or constitutions of any state notwithstanding." It validates national debt created under the Articles of Confederation and requires that all federal and state legislators, officers, and judges take oaths or affirmations to support the Constitution. This means that the states' constitutions and laws should not conflict with the laws of the federal constitution and that in case of a conflict, state judges are legally bound to honor the federal laws and constitution over those of any state. Article Six also states "no religious Test shall ever be required as a Qualification to any Office or public Trust under the United States." Article VII Article VII describes the process for establishing the proposed new frame of government. Anticipating that the influence of many state politicians would be Antifederalist, delegates to the Philadelphia Convention provided for ratification of the Constitution by popularly elected ratifying conventions in each state. The convention method also made it possible that judges, ministers and others ineligible to serve in state legislatures, could be elected to a convention. Suspecting that Rhode Island, at least, might not ratify, delegates decided that the Constitution would go into effect as soon as nine states (two-thirds rounded up) ratified. Once ratified by this minimum number of states, it was anticipated that the proposed Constitution would become this Constitution between the nine or more that signed. It would not cover the four or fewer states that might not have signed. Closing endorsement The signing of the United States Constitution occurred on September 17, 1787, when 39 delegates to the Constitutional Convention endorsed the constitution created during the convention. In addition to signatures, this closing endorsement, the Constitution's eschatocol, included a brief declaration that the delegates' work has been successfully completed and that those whose signatures appear on it subscribe to the final document. Included are a statement pronouncing the document's adoption by the states present, a formulaic dating of its adoption, and the signatures of those endorsing it. Additionally, the convention's secretary, William Jackson, added a note to verify four amendments made by hand to the final document, and signed the note to authenticate its validity. The language of the concluding endorsement, conceived by Gouverneur Morris and presented to the convention by Benjamin Franklin, was made intentionally ambiguous in hopes of winning over the votes of dissenting delegates. Advocates for the new frame of government, realizing the impending difficulty of obtaining the consent of the states needed to make it operational, were anxious to obtain the unanimous support of the delegations from each state. It was feared that many of the delegates would refuse to give their individual assent to the Constitution. Therefore, in order that the action of the convention would appear to be unanimous, the formula, Done in convention by the unanimous consent of the states present... was devised. The document is dated: "the Seventeenth Day of September in the Year of our Lord" 1787, and "of the Independence of the United States of America the Twelfth." This two-fold epoch dating serves to place the Constitution in the context of the religious traditions of Western civilization and, at the same time, links it to the regime principles proclaimed in the Declaration of Independence. This dual reference can also be found in the Articles of Confederation and the Northwest Ordinance. The closing endorsement serves an authentication function only. It neither assigns powers to the federal government nor does it provide specific limitations on government action. It does, however, provide essential documentation of the Constitution's validity, a statement of "This is what was agreed to." It records who signed the Constitution, and when and where. Amending the Constitution The procedure for amending the Constitution is outlined in Article Five (see above). The process is overseen by the archivist of the United States. Between 1949 and 1985, it was overseen by the administrator of General Services, and before that by the secretary of state. Under Article Five, a proposal for an amendment must be adopted either by Congress or by a national convention, but all amendments have gone through Congress. The proposal must receive two-thirds of the votes of both houses to proceed. It is passed as a joint resolution, but is not presented to the president, who plays no part in the process. Instead, it is passed to the Office of the Federal Register, which copies it in slip law format and submits it to the states. Congress decides whether the proposal is to be ratified in the state legislature or by a state ratifying convention. To date all amendments have been ratified by the state legislatures except one, the Twenty-first Amendment. A proposed amendment becomes an operative part of the Constitution as soon as it is ratified by three-fourths of the States (currently 38 of the 50 states). There is no further step. The text requires no additional action by Congress or anyone else after ratification by the required number of states. Thus, when the Office of the Federal Register verifies that it has received the required number of authenticated ratification documents, it drafts a formal proclamation for the Archivist to certify that the amendment is valid and has become part of the nation's frame of government. This certification is published in the Federal Register and United States Statutes at Large and serves as official notice to Congress and to the nation that the ratification process has been successfully completed. Ratified amendments The Constitution has twenty-seven amendments. Structurally, the Constitution's original text and all prior amendments remain untouched. The precedent for this practice was set in 1789, when Congress considered and proposed the first several Constitutional amendments. Among these, Amendments 1–10 are collectively known as the Bill of Rights, and Amendments 13–15 are known as the Reconstruction Amendments. Excluding the Twenty-seventh Amendment, which was pending before the states for , the longest pending amendment that was successfully ratified was the Twenty-second Amendment, which took . The Twenty-sixth Amendment was ratified in the shortest time, days. The average ratification time for the first twenty-six amendments was 1year, 252 days; for all twenty-seven, 9years, 48 days. Safeguards of liberty (Amendments 1, 2, and 3) The First Amendment (1791) prohibits Congress from obstructing the exercise of certain individual freedoms: freedom of religion, freedom of speech, freedom of the press, freedom of assembly, and right to petition. Its Free Exercise Clause guarantees a person's right to hold whatever religious beliefs they want, and to freely exercise that belief, and
the veto, although that particular word does not appear in the text of Article One. The bill does not then become law unless both Houses, by two-thirds votes, override the veto. In overriding a veto, the votes of both houses must be done by yeas and nays, and the names of the persons voting for and against the bill must be recorded. If the president neither signs nor returns the bill within the ten-day limit, the bill becomes law, unless the Congress has adjourned in the meantime, thereby preventing the president from returning the bill to the House in which it originated. In the latter case, the president, by taking no action on the bill towards the end of a session, exercises a "pocket veto", which Congress may not override. In the former case, where the president allows a bill to become law unsigned, there is no common name for the practice, but recent scholarship has termed it a "default enactment." What exactly constitutes an adjournment for the purposes of the pocket veto has been unclear. In the Pocket Veto Case (1929), the Supreme Court held that "the determinative question in reference to an 'adjournment' is not whether it is a final adjournment of Congress or an interim adjournment, such as an adjournment of the first session, but whether it is one that 'prevents' the president from returning the bill to the House in which it originated within the time allowed." Since neither House of Congress was in session, the president could not return the bill to one of them, thereby permitting the use of the pocket veto. In Wright v. United States (1938), however, the Court ruled that adjournments of one House only did not constitute an adjournment of Congress required for a pocket veto. In such cases, the Secretary or Clerk of the House in question was ruled competent to receive the bill. Some presidents have made very extensive use of the veto, while others have not used it at all. Grover Cleveland, for instance, vetoed over four hundred bills during his first term in office; Congress overrode only two of those vetoes. Meanwhile, seven presidents have never used the veto power. There have been 2,560 vetoes, including pocket vetoes. In 1996, Congress passed the Line Item Veto Act, which permitted the president, at the time of the signing of the bill, to rescind certain expenditures. The Congress could disapprove the cancellation and reinstate the funds. The president could veto the disapproval, but the Congress, by a two-thirds vote in each House, could override the veto. In the case Clinton v. City of New York, the Supreme Court found the Line Item Veto Act unconstitutional because it violated the Presentment clause. First, the procedure delegated legislative powers to the president, thereby violating the nondelegation doctrine. Second, the procedure violated the terms of Section Seven, which state, "if he approve [the bill] he shall sign it, but if not he shall return it." Thus, the president may sign the bill, veto it, or do nothing, but he may not amend the bill and then sign it. Clause 3: Resolutions Every order, resolution, or vote that must be passed by both Houses, except on a question of adjournment, must also be presented to the president before taking effect, just as with bills that become law. Section 8: Powers of Congress Enumerated powers Congress's legislative powers are enumerated in Section Eight. Its 18 clauses are, in order: Many powers of Congress have been granted under a broad interpretation of Article 1, section 8. Most notably, Clauses 1 (the General Welfare or Taxing and Spending clause), 3 (the Commerce clause), and 18 (The Necessary and Proper clause) have been deemed to grant expansive powers to Congress. These three clauses have been interpreted so broadly that the federal government of the United States exercises many powers that are not expressly delegated to it by the states under the Constitution. Some point to the various social programs of the American welfare state as a prime example, and not all agree with this broad interpretation. James Madison, who wrote much of the Constitution, asserted that Congress could not exercise powers unless they were expressly granted in the Constitution. While he was president of the United States, Madison vetoed the Federal Public Works Bill of 1817, calling it unconstitutional, since in his view the federal government did not have the authority to build infrastructure. Clause 1: the General Welfare Clause This clause is also referred to as the Spending Clause and the Taxing and Spending Clause. It states that Congress may lay and collect taxes for the "common defense" or "general welfare" of the United States. The U.S. Supreme Court has not often defined "general welfare," leaving the political question to Congress. In United States v. Butler (1936), the Court for the first time construed the clause. The dispute centered on a tax collected from processors of agricultural products such as meat; the funds raised by the tax were not paid into the general funds of the treasury, but were rather specially earmarked for farmers. The Court struck down the tax, ruling that the general welfare language in the Taxing and Spending Clause related only to "matters of national, as distinguished from local, welfare". Congress continues to make expansive use of the Taxing and Spending Clause; for instance, the social security program is authorized under the Taxing and Spending Clause. Clause 2: Borrowing Power Congress has the power to borrow money on the credit of the United States. In 1871, when deciding Knox v. Lee, the Court ruled that this clause permitted Congress to emit bills and make them legal tender in satisfaction of debts. Whenever Congress borrows money, it is obligated to repay the sum as stipulated in the original agreement. However, such agreements are only "binding on the conscience of the sovereign", as the doctrine of sovereign immunity prevents a creditor from suing in court if the government reneges on its commitment. Clause 3: Commerce Clause The Supreme Court has seldom restrained the use of the commerce clause for widely varying purposes. The first important decision related to the commerce clause was Gibbons v. Ogden, decided by a unanimous Court in 1824. The case involved conflicting federal and state laws: Thomas Gibbons had a federal permit to navigate steamboats in the Hudson River, while the other, Aaron Ogden, had a monopoly to do the same granted by the state of New York. Ogden contended that "commerce" included only buying and selling of goods and not their transportation. Chief Justice John Marshall rejected this notion. Marshall suggested that "commerce" included navigation of goods, and that it "must have been contemplated" by the Framers. Marshall added that Congress's power over commerce "is complete in itself, may be exercised to its utmost extent, and acknowledges no limitations other than are prescribed in the Constitution". The expansive interpretation of the Commerce Clause was restrained during the late nineteenth and early twentieth centuries, when a laissez-faire attitude dominated the Court. In United States v. E. C. Knight Company (1895), the Supreme Court limited the newly enacted Sherman Antitrust Act, which had sought to break up the monopolies dominating the nation's economy. The Court ruled that Congress could not regulate the manufacture of goods, even if they were later shipped to other states. Chief Justice Melville Fuller wrote, "commerce succeeds to manufacture, and is not a part of it." The U.S. Supreme Court sometimes ruled New Deal programs unconstitutional because they stretched the meaning of the commerce clause. In Schechter Poultry Corp. v. United States, (1935) the Court unanimously struck down industrial codes regulating the slaughter of poultry, declaring that Congress could not regulate commerce relating to the poultry, which had "come to a permanent rest within the State." As Chief Justice Charles Evans Hughes put it, "so far as the poultry here in question is concerned, the flow of interstate commerce has ceased." Judicial rulings against attempted use of Congress's Commerce Clause powers continued during the 1930s. In 1937, the Supreme Court began moving away from its laissez-faire attitude concerning Congressional legislation and the Commerce Clause, when it ruled in National Labor Relations Board v. Jones & Laughlin Steel Company, that the National Labor Relations Act of 1935 (commonly known as the Wagner Act) was constitutional. The legislation under scrutiny prevented employers from engaging in "unfair labor practices" such as firing workers for joining unions. In sustaining this act, the Court signaled its return to the philosophy espoused by John Marshall, that Congress could pass laws regulating actions that even indirectly influenced interstate commerce. This new attitude became firmly set into place in 1942. In Wickard v. Filburn, the Court ruled that production quotas under the Agricultural Adjustment Act of 1938 were constitutionally applied to agricultural production (in this instance, home-grown wheat for private consumption) that was consumed purely intrastate, because its effect upon interstate commerce placed it within the power of Congress to regulate under the Commerce Clause. This decision marked the beginning of the Court's total deference to Congress' claims of Commerce Clause powers, which lasted into the 1990s.United States v. Lopez (1995) was the first decision in six decades to invalidate a federal statute on the grounds that it exceeded the power of the Congress under the Commerce Clause. The Court held that while Congress had broad lawmaking authority under the Commerce Clause, the power was limited, and did not extend so far from "commerce" as to authorize the regulation of the carrying of handguns, especially when there was no evidence that carrying them affected the economy on a massive scale. In a later case, United States v. Morrison (2000), the justices ruled that Congress could not make such laws even when there was evidence of aggregate effect. In contrast to these rulings, the Supreme Court also continues to follow the precedent set by Wickard v. Filburn. In Gonzales v. Raich it ruled that the Commerce Clause granted Congress the authority to criminalize the production and use of home-grown cannabis even where states approve its use for medicinal purposes. The court held that, as with the agricultural production in the earlier case, home-grown cannabis is a legitimate subject of federal regulation because it competes with marijuana that moves in interstate commerce. Other powers of Congress Congress may establish uniform laws relating to naturalization and bankruptcy. It may also coin money, regulate the value of American or foreign currency and punish counterfeiters. Congress may fix the standards of weights and measures. Furthermore, Congress may establish post offices and post roads (the roads, however, need not be exclusively for the conveyance of mail). Congress may promote the progress of science and useful arts by granting copyrights and patents of limited duration. Section eight, clause eight of Article One, known as the Copyright Clause, is the only instance of the word "right" used in the original constitution (though the word does appear in several Amendments). Though perpetual copyrights and patents are prohibited, the Supreme Court has ruled in Eldred v. Ashcroft (2003) that repeated extensions to the term of copyright do not constitute perpetual copyright; also note that this is the only power granted where the means to accomplish its stated purpose is specifically provided for. Courts inferior to the Supreme Court may be established by Congress. Congress has several powers related to war and the armed forces. Under the War Powers Clause, only Congress may declare war, but in several cases it has, without declaring war, granted the president the authority to engage in military conflicts. Five wars have been declared in United States' history: the War of 1812, the Mexican–American War, the Spanish–American War, World War I and World War II. Some historians argue that the legal doctrines and legislation passed during the operations against Pancho Villa constitute a sixth declaration of war. Congress may grant letters of marque and reprisal. Congress may establish and support the armed forces, but no appropriation made for the support of the army may be used for more than two years. This provision was inserted because the Framers feared the establishment of a standing army, beyond civilian control, during peacetime. Congress may regulate or call forth the state militias, but the states retain the authority to appoint officers and train personnel. Congress also has exclusive power to make rules and regulations governing the land and naval forces. Although the executive branch and the Pentagon have asserted an ever-increasing measure of involvement in this process, the U.S. Supreme Court has often reaffirmed Congress's exclusive hold on this power (e.g. Burns v. Wilson, 346 U.S. 137 (1953)). Congress used this power twice soon after World War II with the enactment of two statutes: the Uniform Code of Military Justice to improve the quality and fairness of courts martial and military justice, and the Federal Tort Claims Act which among other rights had allowed military service persons to sue for damages until the U.S. Supreme Court repealed that section of the statute in a divisive series of cases, known collectively as the Feres Doctrine. Congress has the exclusive right to legislate "in all cases whatsoever" for the nation's capital, the District of Columbia. Congress chooses to devolve some of such authority to the elected mayor and council of District of Columbia. Nevertheless, Congress remains free to enact any legislation for the District so long as constitutionally permissible, to overturn any legislation by the city government, and technically to revoke the city government at any time. Congress may also exercise such jurisdiction over land purchased from the states for the erection of forts and other buildings. Clause 18: Implied Powers of Congress (Necessary and Proper) Finally, Congress has the power to do whatever is "necessary and proper" to carry out its enumerated powers and, crucially, all others vested in it. This has been interpreted to authorize criminal prosecution of those whose actions have a "substantial effect" on interstate commerce in Wickard v. Filburn; however, Thomas Jefferson, in the Kentucky Resolutions, supported by James Madison, maintained that a penal power could not be inferred from a power to regulate, and that the only penal powers were for treason, counterfeiting, piracy and felony on the high seas, and offenses against the law of nations. The necessary and proper clause has been interpreted extremely broadly, thereby giving Congress wide latitude in legislation. The first landmark case involving the clause was McCulloch v. Maryland (1819), which involved the establishment of a national bank. Alexander Hamilton, in advocating the creation of the bank, argued that there was "a more or less direct" relationship between the bank and "the powers of collecting taxes, borrowing money, regulating trade between the states, and raising and maintaining fleets and navies". Thomas Jefferson countered that Congress's powers "can all be carried into execution without a national bank. A bank therefore is not necessary, and consequently not authorized by this phrase". Chief Justice John Marshall agreed with the former interpretation. Marshall wrote that a Constitution listing all of Congress's powers "would partake of a prolixity of a legal code and could scarcely be embraced by the human mind". Since the Constitution could not possibly enumerate the "minor ingredients" of the powers of Congress, Marshall "deduced" that Congress had the authority to establish a bank from the "great outlines" of the general welfare, commerce and other clauses. Under this doctrine of the necessary and proper clause, Congress has sweepingly broad powers (known as implied powers) not explicitly enumerated in the Constitution. However, the Congress cannot enact laws solely on the implied powers, any action must be necessary and proper in the execution of the enumerated powers. Section 9: Limits on Federal power The ninth section of Article One places limits on federal powers, including those of Congress:See, e.g., 37 U.S.C. § 908 stating that executive branch officials are limited by "section 9 of article I of the Constitution, related to acceptance of emoluments, offices, or titles from a foreign government". Clause 1: Slave trade The first clause in this section prevents Congress from passing any law that would restrict the importation of slaves into the United States prior to 1808. Congress could, however, levy a per capita duty of up to ten Spanish milled dollars for each slave imported into the country. This clause was further entrenched into the Constitution by Article V, where it is explicitly shielded from constitutional amendment prior to 1808. On March 2, 1807, Congress approved legislation prohibiting the importation of slaves into the United States, which went into effect January 1, 1808, the first day of the prohibition permitted by the Constitution. Clauses 2 and 3: Civil and legal protections A writ of habeas corpus is a legal action against unlawful detainment that commands a law enforcement agency or other body that has a person in custody to have a court inquire into the legality of the detention. The court may order the person released if the reason for detention is deemed insufficient or unjustifiable. The Constitution further provides that the privilege of the writ of habeas corpus may not be suspended "unless when in cases of rebellion or invasion the public safety may require it". In Ex parte Milligan (1866), the Supreme Court ruled that the suspension of habeas corpus in a time of war was lawful, but military tribunals did not apply to citizens in states that had upheld the authority of the Constitution and where civilian courts were still operating. For these stipulations, clauses 2 and 3 are also known as the Suspension Clause. A bill of attainder is a law by which a person is immediately convicted without trial. An ex post facto law is a law which applies retroactively, punishing someone for an act that was only made criminal after it was done. The ex post facto clause does not apply to civil matters. Clauses 4–7: Apportionment of direct taxes Section Nine reiterates the provision from Section Two, Clause 3 that direct taxes must be apportioned by state populations. This clause was also explicitly shielded from constitutional amendment prior to 1808 by Article V. In 1913, the 16th Amendment exempted all income taxes from this clause. This overcame the ruling in Pollock v. Farmers' Loan & Trust Co. that the income tax could only be applied to regular income and could not be applied to dividends and capital gains. Furthermore, no tax may be imposed on exports from any state. Congress may not, by revenue or commerce legislation, give preference to ports of one state over those of another; neither may it require ships from one state to pay duties in another. All funds belonging to the Treasury may not be withdrawn except according to law. Modern practice is that Congress annually passes a number of appropriations bills authorizing the expenditure of public money. The Constitution requires that a regular statement of such expenditures be published. Clause 8: Titles of nobility The Title of Nobility Clause prohibits Congress from granting any title of nobility. In addition, it specifies that no civil officer may accept, without the consent of Congress, any gift, payment, office or title from a foreign ruler or state. Emoluments were a profound concern of the Founders. However, a U.S. citizen may receive foreign office before or after their period of public service. Section 10: Limits on the States Clause 1: Contract Clause States may not exercise certain powers reserved for the federal government: they may not enter into treaties, alliances or confederations, grant letters of marque or reprisal, coin money or issue bills of credit (such as currency). Furthermore, no state may make anything but gold and silver coin a tender in payment of debts, which expressly forbids any state government (but not the federal government) from "making a tender" (i.e., authorizing something that may be offered in payment) of any type or form of money to meet any financial obligation, unless that form of money is coins made of gold or silver (or a medium of exchange backed by and redeemable in gold or silver coins, as noted in Farmers & Merchants Bank v. Federal Reserve Bank). Much of this clause is devoted to preventing the States from using or creating any currency other than that created by Congress. In Federalist no. 44, Madison explains that "it may be observed that the same reasons which shew the necessity of denying to the States the power of regulating coin, prove with equal force that they ought not to be at liberty to substitute a paper medium in the place of coin. Had every State a right to regulate the value of its coin, there might be as many different currencies as States; and thus the intercourse among them would be impeded". Moreover, the states may not pass bills of attainder, enact ex post facto laws, impair the obligation of contracts, or grant titles of nobility. The Contract Clause was the subject of much contentious litigation in the 19th century. It was first interpreted by the Supreme Court in 1810, when Fletcher v. Peck was decided. The case involved the Yazoo land scandal, in which the Georgia legislature authorized the sale of land to speculators at low prices. The bribery involved in the passage of the authorizing legislation was so blatant that a Georgia mob attempted to lynch the corrupt members of the legislature. Following elections, the legislature passed a law that rescinded the contracts granted by the corrupt legislators. The validity of the annulment of the sale was questioned in the Supreme Court. In writing for a unanimous court, Chief Justice John Marshall asked, "What is a contract?" His answer was: "a compact between two or more parties". Marshall argued that the sale
1: Compensation and legal protection Senators and representatives set their own compensation. Under the Twenty-seventh Amendment, any change in their compensation will not take effect until after the next congressional election. Paying senators and representatives out of the federal treasury was a departure from the practice under the Articles of Confederation, where they were paid by the state in which they were elected. Members of both houses have certain privileges, based on those enjoyed by the members of the British Parliament. Members attending, going to or returning from either house are privileged from arrest, except for treason, felony or breach of the peace. One may not sue a senator or representative for slander occurring during Congressional debate, nor may speech by a member of Congress during a Congressional session be the basis for criminal prosecution. The latter was affirmed when Mike Gravel published over 4,000 pages of the Pentagon Papers in the Congressional Record, which might have otherwise been a criminal offense. This clause has also been interpreted in Gravel v. United States, 408 U.S. 606 (1972) to provide protection to aides and staff of sitting members of Congress, so long as their activities relate to legislative matters. Clause 2: Independence from the executive Senators and representatives may not simultaneously serve in Congress and hold a position in the executive branch. This restriction is meant to protect legislative independence by preventing the president from using patronage to buy votes in Congress. It is a major difference from the political system in the British Parliament, where cabinet ministers are required to be members of parliament. Furthermore, senators and representatives cannot resign to take newly created or higher-paying political positions; rather, they must wait until the conclusion of the term for which they were elected. If Congress increases the salary of a particular officer, it may later reduce that salary to permit an individual to resign from Congress and take that position (known as the Saxbe fix). The effects of the clause were discussed in 1937, when Senator Hugo Black was appointed an associate justice of the Supreme Court with some time left in his Senate term. Just prior to the appointment, Congress had increased the pension available to Justices retiring at the age of seventy. It was therefore suggested by some that the office's emolument had been increased during Black's senatorial term, and that therefore Black could not take office as a justice. The response, however, was that Black was fifty-one years old, and would not receive the increased pension until at least 19 years later, long after his Senate term had expired. Section 7: Bills Clause 1: Bills of revenue This establishes the method for making Acts of Congress that involve taxation. Accordingly, any bill may originate in either House of Congress, except for a revenue bill, which may originate only in the House of Representatives. In practice, the Senate sometimes circumvents this requirement by substituting the text of a revenue bill previously passed by the House with a substitute text. Either House may amend any bill, including revenue and appropriation bills. This clause of the U.S. Constitution stemmed from an English parliamentary practice that all money bills must have their first reading in the House of Commons. This practice was intended to ensure that the power of the purse is possessed by the legislative body most responsive to the people, although the English practice was modified in America by allowing the Senate to amend these bills. The clause was part of the Great Compromise between small and large states; the large states were unhappy with the lopsided power of small states in the Senate, and so the clause theoretically offsets the unrepresentative nature of the Senate, and compensates the large states for allowing equal voting rights to senators from small states. Clause 2: From bill to law This clause is known as the Presentment Clause. Before a bill becomes law, it must be presented to the president, who has ten days (excluding Sundays) to act upon it. If the president signs the bill, it becomes law. However, to propose a constitutional amendment, two-thirds of both Houses may submit it to the states for the ratification, without any consideration by the president, as prescribed in Article V. If he disapproves of the bill, he must return it to the House in which it originated together with his objections. This procedure has become known as the veto, although that particular word does not appear in the text of Article One. The bill does not then become law unless both Houses, by two-thirds votes, override the veto. In overriding a veto, the votes of both houses must be done by yeas and nays, and the names of the persons voting for and against the bill must be recorded. If the president neither signs nor returns the bill within the ten-day limit, the bill becomes law, unless the Congress has adjourned in the meantime, thereby preventing the president from returning the bill to the House in which it originated. In the latter case, the president, by taking no action on the bill towards the end of a session, exercises a "pocket veto", which Congress may not override. In the former case, where the president allows a bill to become law unsigned, there is no common name for the practice, but recent scholarship has termed it a "default enactment." What exactly constitutes an adjournment for the purposes of the pocket veto has been unclear. In the Pocket Veto Case (1929), the Supreme Court held that "the determinative question in reference to an 'adjournment' is not whether it is a final adjournment of Congress or an interim adjournment, such as an adjournment of the first session, but whether it is one that 'prevents' the president from returning the bill to the House in which it originated within the time allowed." Since neither House of Congress was in session, the president could not return the bill to one of them, thereby permitting the use of the pocket veto. In Wright v. United States (1938), however, the Court ruled that adjournments of one House only did not constitute an adjournment of Congress required for a pocket veto. In such cases, the Secretary or Clerk of the House in question was ruled competent to receive the bill. Some presidents have made very extensive use of the veto, while others have not used it at all. Grover Cleveland, for instance, vetoed over four hundred bills during his first term in office; Congress overrode only two of those vetoes. Meanwhile, seven presidents have never used the veto power. There have been 2,560 vetoes, including pocket vetoes. In 1996, Congress passed the Line Item Veto Act, which permitted the president, at the time of the signing of the bill, to rescind certain expenditures. The Congress could disapprove the cancellation and reinstate the funds. The president could veto the disapproval, but the Congress, by a two-thirds vote in each House, could override the veto. In the case Clinton v. City of New York, the Supreme Court found the Line Item Veto Act unconstitutional because it violated the Presentment clause. First, the procedure delegated legislative powers to the president, thereby violating the nondelegation doctrine. Second, the procedure violated the terms of Section Seven, which state, "if he approve [the bill] he shall sign it, but if not he shall return it." Thus, the president may sign the bill, veto it, or do nothing, but he may not amend the bill and then sign it. Clause 3: Resolutions Every order, resolution, or vote that must be passed by both Houses, except on a question of adjournment, must also be presented to the president before taking effect, just as with bills that become law. Section 8: Powers of Congress Enumerated powers Congress's legislative powers are enumerated in Section Eight. Its 18 clauses are, in order: Many powers of Congress have been granted under a broad interpretation of Article 1, section 8. Most notably, Clauses 1 (the General Welfare or Taxing and Spending clause), 3 (the Commerce clause), and 18 (The Necessary and Proper clause) have been deemed to grant expansive powers to Congress. These three clauses have been interpreted so broadly that the federal government of the United States exercises many powers that are not expressly delegated to it by the states under the Constitution. Some point to the various social programs of the American welfare state as a prime example, and not all agree with this broad interpretation. James Madison, who wrote much of the Constitution, asserted that Congress could not exercise powers unless they were expressly granted in the Constitution. While he was president of the United States, Madison vetoed the Federal Public Works Bill of 1817, calling it unconstitutional, since in his view the federal government did not have the authority to build infrastructure. Clause 1: the General Welfare Clause This clause is also referred to as the Spending Clause and the Taxing and Spending Clause. It states that Congress may lay and collect taxes for the "common defense" or "general welfare" of the United States. The U.S. Supreme Court has not often defined "general welfare," leaving the political question to Congress. In United States v. Butler (1936), the Court for the first time construed the clause. The dispute centered on a tax collected from processors of agricultural products such as meat; the funds raised by the tax were not paid into the general funds of the treasury, but were rather specially earmarked for farmers. The Court struck down the tax, ruling that the general welfare language in the Taxing and Spending Clause related only to "matters of national, as distinguished from local, welfare". Congress continues to make expansive use of the Taxing and Spending Clause; for instance, the social security program is authorized under the Taxing and Spending Clause. Clause 2: Borrowing Power Congress has the power to borrow money on the credit of the United States. In 1871, when deciding Knox v. Lee, the Court ruled that this clause permitted Congress to emit bills and make them legal tender in satisfaction of debts. Whenever Congress borrows money, it is obligated to repay the sum as stipulated in the original agreement. However, such agreements are only "binding on the conscience of the sovereign", as the doctrine of sovereign immunity prevents a creditor from suing in court if the government reneges on its commitment. Clause 3: Commerce Clause The Supreme Court has seldom restrained the use of the commerce clause for widely varying purposes. The first important decision related to the commerce clause was Gibbons v. Ogden, decided by a unanimous Court in 1824. The case involved conflicting federal and state laws: Thomas Gibbons had a federal permit to navigate steamboats in the Hudson River, while the other, Aaron Ogden, had a monopoly to do the same granted by the state of New York. Ogden contended that "commerce" included only buying and selling of goods and not their transportation. Chief Justice John Marshall rejected this notion. Marshall suggested that "commerce" included navigation of goods, and that it "must have been contemplated" by the Framers. Marshall added that Congress's power over commerce "is complete in itself, may be exercised to its utmost extent, and acknowledges no limitations other than are prescribed in the Constitution". The expansive interpretation of the Commerce Clause was restrained during the late nineteenth and early twentieth centuries, when a laissez-faire attitude dominated the Court. In United States v. E. C. Knight Company (1895), the Supreme Court limited the newly enacted Sherman Antitrust Act, which had sought to break up the monopolies dominating the nation's economy. The Court ruled that Congress could not regulate the manufacture of goods, even if they were later shipped to other states. Chief Justice Melville Fuller wrote, "commerce succeeds to manufacture, and is not a part of it." The U.S. Supreme Court sometimes ruled New Deal programs unconstitutional because they stretched the meaning of the commerce clause. In Schechter Poultry Corp. v. United States, (1935) the Court unanimously struck down industrial codes regulating the slaughter of poultry, declaring that Congress could not regulate commerce relating to the poultry, which had "come to a permanent rest within the State." As Chief Justice Charles Evans Hughes put it, "so far as the poultry here in question is concerned, the flow of interstate commerce has ceased." Judicial rulings against attempted use of Congress's Commerce Clause powers continued during the 1930s. In 1937, the Supreme Court began moving away from its laissez-faire attitude concerning Congressional legislation and the Commerce Clause, when it ruled in National Labor Relations Board v. Jones & Laughlin Steel Company, that the National Labor Relations Act of 1935 (commonly known as the Wagner Act) was constitutional. The legislation under scrutiny prevented employers from engaging in "unfair labor practices" such as firing workers for joining unions. In sustaining this act, the Court signaled its return to the philosophy espoused by John Marshall, that Congress could pass laws regulating actions that even indirectly influenced interstate commerce. This new attitude became firmly set into place in 1942. In Wickard v. Filburn, the Court ruled that production quotas under the Agricultural Adjustment Act of 1938 were constitutionally applied to agricultural production (in this instance, home-grown wheat for private consumption) that was consumed purely intrastate, because its effect upon interstate commerce placed it within the power of Congress to regulate under the Commerce Clause. This decision marked the beginning of the Court's total deference to Congress' claims of Commerce Clause powers, which lasted into the 1990s.United States v. Lopez (1995) was the first decision in six decades to invalidate a federal statute on the grounds that it exceeded the power of the Congress under the Commerce Clause. The Court held that while Congress had broad lawmaking authority under the Commerce Clause, the power was limited, and did not extend so far from "commerce" as to authorize the regulation of the carrying of handguns, especially when there was no evidence that carrying them affected the economy on a massive scale. In a later case, United States v. Morrison (2000), the justices ruled that Congress could not make such laws even when there was evidence of aggregate effect. In contrast to these rulings, the Supreme Court also continues to follow the precedent set by Wickard v. Filburn. In Gonzales v. Raich it ruled that the Commerce Clause granted Congress the authority to criminalize the production and use of home-grown cannabis even where states approve its use for medicinal purposes. The court held that, as with the agricultural production in the earlier case, home-grown cannabis is a legitimate subject of federal regulation because it competes with marijuana that moves in interstate commerce. Other powers of Congress Congress may establish uniform laws relating to naturalization and bankruptcy. It may also coin money, regulate the value of American or foreign currency and punish counterfeiters. Congress may fix the standards of weights and measures. Furthermore, Congress may establish post offices and post roads (the roads, however, need not be exclusively for the conveyance of mail). Congress may promote the progress of science and useful arts by granting copyrights and patents of limited duration. Section eight, clause eight of Article One, known as the Copyright Clause, is the only instance of the word "right" used in the original constitution (though the word does appear in several Amendments). Though perpetual copyrights and patents are prohibited, the Supreme Court has ruled in Eldred v. Ashcroft (2003) that repeated extensions to the term of copyright do not constitute perpetual copyright; also note that this is the only power granted where the means to accomplish its stated purpose is specifically provided for. Courts inferior to the Supreme Court may be established by Congress. Congress has several powers related to war and the armed forces. Under the War Powers Clause, only Congress may declare war, but in several cases it has, without declaring war, granted the president the authority to engage in military conflicts. Five wars have been declared in United States' history: the War of 1812, the Mexican–American War, the Spanish–American War, World War I and World War II. Some historians argue that the legal doctrines and legislation passed during the operations against Pancho Villa constitute a sixth declaration of war. Congress may grant letters of marque and reprisal. Congress may establish and support the armed forces, but no appropriation made for the support of the army may be used for more than two years. This provision was inserted because the Framers feared the establishment of a standing army, beyond civilian control, during peacetime. Congress may regulate or call forth the state militias, but the states retain the authority to appoint officers and train personnel. Congress also has exclusive power to make rules and regulations governing the land and naval forces. Although the executive branch and the Pentagon have asserted an ever-increasing measure of involvement in this process, the U.S. Supreme Court has often reaffirmed Congress's exclusive hold on this power (e.g. Burns v. Wilson, 346 U.S. 137 (1953)). Congress used this power twice soon after World War II with the enactment of two statutes: the Uniform Code of Military Justice to improve the quality and fairness of courts martial and military justice, and the Federal Tort Claims Act which among other rights had allowed military service persons to sue for damages until the U.S. Supreme Court repealed that section of the statute in a divisive series of cases, known collectively as the Feres Doctrine. Congress has the exclusive right to legislate "in all cases whatsoever" for the nation's capital, the District of Columbia. Congress chooses to devolve some of such authority to the elected mayor and council of District of Columbia. Nevertheless, Congress remains free to enact any legislation for the District so long as constitutionally permissible, to overturn any legislation by the city government, and technically to revoke the city government at any time. Congress may also exercise such jurisdiction over land purchased from the states for the erection of forts and other buildings. Clause 18: Implied Powers of Congress (Necessary and Proper) Finally, Congress has the power to do whatever is "necessary and proper" to carry out its enumerated powers and, crucially, all others vested in it. This has been interpreted to authorize criminal prosecution of those whose actions have a "substantial effect" on interstate commerce in Wickard v. Filburn; however, Thomas Jefferson, in the Kentucky Resolutions, supported by James Madison, maintained that a penal power could not be inferred from a power to regulate, and that the only penal powers were for treason, counterfeiting, piracy and felony on the high seas, and offenses against the law of nations. The necessary and proper clause has been interpreted extremely broadly, thereby giving Congress wide latitude in legislation. The first landmark case involving the clause was McCulloch v. Maryland (1819), which involved the establishment of a national bank. Alexander Hamilton, in advocating the creation of the bank, argued that there was "a more or less direct" relationship between the bank and "the powers of collecting taxes, borrowing money, regulating trade between the states, and raising and maintaining fleets and navies". Thomas Jefferson countered that Congress's powers "can all be carried into execution without a national bank. A bank therefore is not necessary, and consequently not authorized by this phrase". Chief Justice John Marshall agreed with the former interpretation. Marshall wrote that a Constitution listing all of Congress's powers "would partake of a prolixity of a legal code and could scarcely be embraced by the human mind". Since the Constitution could not possibly enumerate the "minor ingredients" of the powers of Congress, Marshall "deduced" that Congress had the authority to establish a bank from the "great outlines" of the general welfare, commerce and other clauses. Under this doctrine of the necessary and proper clause, Congress has sweepingly broad powers (known as implied powers) not explicitly enumerated in the Constitution. However, the Congress cannot enact laws solely on the implied powers, any action must be necessary and proper in the execution of the enumerated powers. Section 9: Limits on Federal power The ninth section of Article One places limits on federal powers, including those of Congress:See, e.g., 37 U.S.C. § 908 stating that executive branch officials are limited by "section 9 of article I of the Constitution, related to acceptance of emoluments, offices, or titles from a foreign government". Clause 1: Slave trade The first clause in this section prevents Congress from passing any law that would restrict the importation of slaves into the United States prior to 1808. Congress could, however, levy a per capita duty of up to ten Spanish milled dollars for each slave imported into the country. This clause was further entrenched into the Constitution by Article V, where it is explicitly shielded from constitutional amendment prior to 1808. On March 2, 1807, Congress approved legislation prohibiting the importation of slaves into the United States, which went into effect January 1, 1808, the first day of the prohibition permitted by the Constitution. Clauses 2 and 3: Civil and legal protections A writ of habeas corpus is a legal action against unlawful detainment that commands a law enforcement agency or other body that has a person in custody to have a court inquire into the legality of the detention. The court may order the person released if the reason for detention is deemed insufficient or unjustifiable. The Constitution further provides that the privilege of the writ of habeas corpus may not be suspended "unless when in cases of rebellion or invasion the public safety may require it". In Ex parte Milligan (1866), the Supreme Court ruled that the suspension of habeas corpus in a time of war was lawful, but military tribunals did not apply to citizens in states that had upheld the authority of the Constitution and where civilian courts were still operating. For these stipulations, clauses 2 and 3 are also known as the Suspension Clause. A bill of attainder is a law by which a person is immediately convicted without trial. An ex post facto law is a law which applies retroactively, punishing someone for an act that was only made criminal after it was done. The ex post facto clause does not apply to civil matters. Clauses 4–7: Apportionment of direct taxes Section Nine reiterates the provision from Section Two, Clause 3 that direct taxes must be apportioned by state populations. This clause was also explicitly shielded from constitutional amendment prior to 1808 by Article V. In 1913, the 16th Amendment exempted all income taxes from this clause. This overcame the ruling in Pollock v. Farmers' Loan & Trust Co. that the income tax could only be applied to regular income and could not be applied to dividends and capital gains. Furthermore, no tax may be imposed on exports from any state. Congress may not, by revenue or commerce legislation, give preference to ports of one state over those of another; neither may it require ships from one state to pay duties in another. All funds belonging to the Treasury may not be withdrawn except according to law. Modern practice is that Congress annually passes a number of appropriations bills authorizing the expenditure of public money. The Constitution requires that a regular statement of such expenditures be published. Clause 8: Titles of nobility The Title of Nobility Clause prohibits Congress from granting any title of nobility. In addition, it specifies that no civil officer may accept, without the consent of Congress, any gift, payment, office or title from a foreign ruler or state. Emoluments were a profound concern of the Founders. However, a U.S. citizen may receive foreign office before or after their period of public service. Section 10: Limits on the States Clause 1: Contract Clause States may not exercise certain powers reserved for the federal government: they may not enter into treaties, alliances or confederations, grant letters of marque or reprisal, coin money or issue bills of credit (such as currency). Furthermore, no state may make anything but gold and silver coin a tender in payment of debts, which expressly forbids any state government (but not the federal government) from "making a tender" (i.e., authorizing something that may be offered in payment) of any type or form of money to meet any financial obligation, unless that form of money is coins made of gold or silver (or a medium of exchange backed by and redeemable in gold or silver coins, as noted in Farmers & Merchants Bank v. Federal Reserve Bank). Much of this clause is devoted to preventing the States from using or creating any currency other than that created by Congress. In Federalist no. 44, Madison explains that "it may be observed that the same reasons which shew the necessity of denying to the States the power of regulating coin, prove with equal force that they ought not to be at liberty to substitute a paper medium in the place of coin. Had every State a right to regulate the value of its coin, there might be as many different currencies as States; and thus the intercourse among them would be impeded". Moreover, the states may not pass bills of attainder, enact ex post facto laws, impair the obligation of contracts, or grant titles of nobility. The Contract Clause was the subject of
majority of senators votes to approve and therefore appoint a nominee. The head of the Executive Branch is the president. Although also named in this first clause, the vice president is not constitutionally vested with any executive power. Nonetheless, the Constitution dictates that the president and vice president are to be elected at the same time, for the same term, and by the same constituency. The framers' intent was to preserve the independence of the executive branch should the person who was vice president succeed to the duties of the presidency. Clause 2: Method of choosing electors Under the U.S. Constitution the president and vice president are chosen by electors, under a constitutional grant of authority delegated to the legislatures of the several states. The Constitution reserves the choice of the precise manner for selecting electors to the will of the state legislatures. It does not define or delimit what process a state legislature may use to create its state college of electors. In practice, the state legislatures have generally chosen to select electors through an indirect popular vote, since the 1820s. Most states use a "winner-take-all" system in which all the state's electors are awarded to the candidate gaining the most popular votes. Maine and Nebraska allow individual congressional districts to elect one elector. In an indirect popular vote, it is the names of the candidates who are on the ballot to be elected. Most states do not put the names of the electors on the ballot. It is generally understood by the voters and the electors themselves that they are the representative "stand-ins" for the candidates and are expected to cast their electoral college ballots for the president and vice president who appeared on the ballot. The actual electors being voted for are usually selected by the candidate's party. There have been a few cases where some electors have refused to vote for the designated candidate, termed a faithless elector. Many states have mandated in law that electors shall cast their electoral college ballot for the designated presidential candidate. The constitutionality of such mandates was established by the Supreme Court of the United States in Chiafalo v. Washington (2020). Each state chooses as many electors as it has representatives and senators representing it in Congress. Under the 23rd Amendment, the District of Columbia may choose no more electors than the state with the lowest number of electoral votes (in effect, three electors), although since that amendment's ratification the District's population has never reached the threshold that would otherwise entitle it to choose four or more electors. U.S. senators, representatives and federal government officials are barred from becoming electors; in practice, the two major federal parties frequently select senior state party and government officials (up to and including governors) to serve as electors. All states other than Maine (including the District of Columbia) use a first past the post system in their presidential elections. In 2020, Maine switched from first past the post to ranked choice. In McPherson v. Blacker (1892), the Supreme Court affirmed the ability of a state to appoint its electors based on electoral districts rather than a statewide popular vote, describing the power of state legislatures to determine the method of appointment of electors as "plenary", and suggesting that it was not limited even by state constitutions. In Bush v. Palm Beach County Canvassing Board (2000), the Supreme Court remanded to the Supreme Court of Florida the question of "the extent to which the Florida Supreme Court saw the Florida Constitution as circumscribing the legislature's authority under Art. II, § 1, cl. 2". In Williams v. Rhodes (1968), the Court struck down as a violation of the Equal Protection Clause an Ohio law which placed heavy burdens on minor parties seeking to be placed on the ballot for presidential electors. The Supreme Court upheld the power of Congress to regulate political contributions intended to influence the appointment of electors in Burroughs v. United States (1934). Clause 3: Electoral College In modern practice, parties nominate their electors through various methods, see Elector Nominations. Then, each state chooses its electors in popular elections. In most states, the party with the plurality of the popular vote gets all of its electors chosen. Once chosen, the electors meet in their respective states to cast ballots for the president and vice president. Originally, each elector cast two votes for president; at least one of the individuals voted for had to be from a state different from the elector's. The individual with the majority of votes became president, and the runner-up became vice president. In case of a tie between candidates who received votes from a majority of electors, the House of Representatives would choose one of the tied candidates; if no person received a majority, then the House could again choose one of the five with the greatest number of votes. When the House voted, each state delegation cast one vote, and the vote of a majority of states was necessary to choose a president. If second-place candidates were tied, then the Senate broke the tie. A quorum in the House consisted of at least one member from two-thirds of the state delegations; there was no special quorum for the Senate. This procedure was followed in 1801 after the electoral vote produced a tie, and nearly resulted in a deadlock in the House. While the Constitution reflects the framers' clear preference for the president to be elected by a constituency independent of the Congress, one of the most palpable limitations created by the stipulation that electors meet in their respective states as opposed to a single venue was that given the constraints of eighteenth-century technology there was no practical means for that constituency to resolve deadlocked elections in a timely manner, thus necessitating the involvement of Congress in resolving deadlocked elections. Obviously, having the electors meet in the national capital or some other single venue could have permitted the electors to choose a president by means of an exhaustive ballot without Congressional involvement, but the framers were dissuaded from such an arrangement by two major considerations. First, it would have been quite burdensome for electors from distant states to travel to the national capital using eighteenth century means for the sole purpose of electing the president – since they were to be barred from simultaneously serving in the federal government in any other capacity, electors would likely have no other reason to go there. But probably even more importantly, many framers genuinely feared that if the electors met in a single venue, especially under the initial assumption that they would act independently as opposed to being bound to vote for particular candidates, they would be vulnerable to the influence of mobs who might try to ensure a particular result by means of threats and intimidation – this had been a fairly common occurrence in European elections for powerful officials by relatively small constituencies (for example, and perhaps in particular, in papal elections) from the Middle Ages up to the Constitution's creation. The 12th Amendment introduced a number of important changes to the procedure. Now, electors do not cast two votes for president; rather, they cast one vote for president and another for vice president. In case no presidential candidate receives a majority, the House chooses from the top three (not five, as before the 12th Amendment). The Amendment also requires the Senate to choose the vice president from those with the two highest figures if no vice presidential candidate receives a majority of electoral votes (rather than only if there's a tie for second for president). It also stipulates that to be the vice president, a person must be qualified to be the president. Clause 4: Election day Congress sets a national Election Day. Currently, electors are chosen on the Tuesday following the first Monday in November (the first Tuesday after November 1), in the year before the president's term is to expire. The electors cast their votes on the Monday following the second Wednesday in December (the first Monday after December 12) of that year. Thereafter, the votes are opened and counted by the vice president, as president of the Senate, in a joint session of Congress. Clause 5: Qualifications for office Section 1 of Article Two of the United States Constitution sets forth the eligibility requirements for serving as president of the United States: At the time of taking office, the President must be: a natural-born citizen (or they became a citizen before September 17, 1787) at least 35 years of age an inhabitant of the United States for at least fourteen years. A person who meets the above qualifications, however, may still be constitutionally barred from holding the office of president under any of the following conditions: Article I, Section 3, Clause 7, gives the U.S. Senate the option of forever disqualifying anyone convicted in an impeachment case from holding any federal office. Section 3 of the 14th Amendment prohibits anyone who swore an oath to support the Constitution, and later rebelled against the United States, from becoming president. However, this disqualification can be lifted by a two-thirds vote of each house of Congress. The 22nd Amendment prohibits anyone from being elected to the presidency more than twice (or once if the person serves as president or acting president for more than two years of a presidential term to which someone else was originally elected). Clause 6: Vacancy and disability The wording of this clause caused much controversy at the time it was first used. When William Henry Harrison died in office, a debate arose over whether the vice president would become president, or if he would just inherit the powers, thus becoming an acting president. Harrison's vice president, John Tyler, believed that he had the right to become president. However, many senators argued that he only had the right to assume the powers of the presidency long enough to call for a new election. Because the wording of the clause is so vague, it was impossible for either side to prove its point. Tyler took the Oath of Office as president, setting a precedent that made it possible for later vice presidents to ascend to the presidency unchallenged following the president's death. The "Tyler Precedent" established that if the president dies, resigns or is removed from office, the vice president becomes president. The Congress may provide for a line of succession beyond the vice president. The current Presidential Succession Act establishes the order as the speaker of the House of Representatives, the president pro tempore of the Senate and then the fifteen Cabinet secretaries in order of each department's establishment. There are concerns regarding the constitutionality of having members of Congress in the line of succession, however, as this clause specifies that only an "officer of the United States" may be designated as a presidential successor. Constitutional scholars from James Madison to the present day have argued that the term "officer" excludes members of Congress. The 25th Amendment explicitly states that if the president dies, resigns or is removed from office, the vice president becomes president, and also establishes a procedure for filling a vacancy in the office of the vice president. The Amendment further provides that the president, or the vice president and Cabinet, can declare the president unable to discharge his or her duties, in which case the vice president becomes Acting president. If the declaration is done by the vice president and Cabinet, the Amendment permits the president to take control back, unless the vice president and Cabinet challenge the president and two-thirds of both Houses vote to sustain the findings of the vice president and Cabinet. If the declaration is done by the president, he or she may take control back without risk of being overridden by the Congress. Clause 7: Salary The president's salary, currently $400,000 a year, must remain constant throughout the president's term. The president may not receive other compensation from either the federal or any state government. Clause 8: Oath or affirmation According to the Joint Congressional Committee on Presidential Inaugurations, George Washington added the words "So help me God" during his first inaugural, though this has been disputed. There are no contemporaneous sources for this fact, and no eyewitness sources to Washington's first inaugural mention the phrase at all—including those that transcribed what he said for his oath. Also, the president-elect's name is typically added after the "I", for example, "I, George Washington, do...." Normally, the chief justice of the United States administers the oath. It is sometimes asserted that the oath bestows upon the president the power to do whatever is necessary to "preserve, protect and defend the Constitution." Andrew Jackson, while vetoing an Act for the renewal of the charter of the national bank, implied that the president could refuse to execute statutes that he felt were unconstitutional. In suspending the privilege of the writ of habeas corpus, President Abraham Lincoln claimed that he acted according to the oath. His action was challenged in court and overturned by the U.S. Circuit Court in Maryland (led by Chief Justice Roger B. Taney) in Ex Parte Merryman, 17 F. Cas. 144 (C.C.D. Md. 1861). Lincoln ignored Taney's order. Finally, Andrew Johnson's counsel referred to the theory during his impeachment trial. Otherwise, few have seriously asserted that the oath augments the president's powers. The vice president also has an oath of office, but it is not mandated by the Constitution and is prescribed by statute. Currently, the vice presidential oath is the same as that for members of Congress and members of the Cabinet. I do solemnly swear (or affirm) that I will support and defend the Constitution of the United States against all enemies, foreign and domestic; that I will bear true faith and allegiance to the same; that I take this obligation freely, without any mental reservation or purpose of evasion; and that I will well and faithfully discharge the duties of the office on which I am about to enter. So help me God. Section 2: Presidential powers In the landmark decision Nixon v. General Services
of Congress, receive foreign representatives, and commission all federal officers. Section 3 requires the president to inform Congress of the "state of the union"; since 1913 this has taken the form of a speech referred to as the State of the Union. The Recommendation Clause requires the president to recommend measures s/he deems "necessary and expedient." The Take Care Clause requires the president to obey and enforce all laws, though the president retains some discretion in interpreting the laws and determining how to enforce them. Section 4 of Article Two establishes that the president and other officers can be removed from office through the impeachment process, which is further described in Article One. Section 1: President and vice president Clause 1: Executive power and term of office Section 1 begins with a vesting clause that confers federal executive power upon the president. Similar clauses are found in Article I and Article III; the former bestows federal legislative power exclusively to Congress, and the latter grants judicial power solely to the Supreme Court, and other federal courts established by law. These three articles together secure a separation of powers among the three branches of the federal government, and individually, each one entrenches checks and balances on the operation and power of the other two branches. Article I grants certain powers to Congress, and the Vesting Clause does not reassign those powers to the President. In fact, because those actions require legislation passed by Congress which must be signed by the president to take effect, those powers are not strictly executive powers granted to or retained by Congress per se. Nor were they retained by the U.S. Congress as leftovers from the Articles of Confederation. The Articles of Confederation, Continental Congress and its powers were abolished at the time the new U.S. Congress was seated and the new federal government formally and officially replaced its interim predecessor. And although the president is implicitly denied the power to unilaterally declare war, a declaration of war is not in and of itself a vehicle of executive power since it is literally just a public declaration that the U.S. government considers itself "at war" with a foreign political entity. Regardless of the inability to declare war, the president does have the power to unilaterally order military action in defense of the United States pursuant to "a national emergency created by attack upon the United States, its territories or possessions, or its armed forces". By U.S. law, this power is limited in that he must notify Congress within 48 hours after the beginning of military operations, explaining the source of his authority for the action. Once proper legal notification is given to the required members of Congress, military action can continue for up to 60 days without further authorization from Congress, or up to 90 days if the president "determines and certifies to the Congress in writing that unavoidable military necessity respecting the safety of United States Armed Forces requires the continued use of such armed forces in the course of bringing about a prompt removal of such forces." As treaties are by U.S. law official agreements with foreign governments recognized as such only after Senate ratification, the president obviously cannot make treaties unilaterally. However, the president does determine and decide U.S. foreign policy, and can enter into non-binding discussions and give conditional approval to agreements reached with foreign governments subject to Senate ratification at a future date. Additionally, since official treaties are specifically created under and by constitutional U.S. law, and are entered into by both government and the people as a whole, in their capacity as head of state and as the single individual representative of the United States and its citizens, the president does have Coauthority and Constitutional duty to unilaterally withdraw the United States from treaties if he or she determines the best interests and well being of the U.S. and its citizens are benefited by doing so. As far as presidential appointments, as with treaties a person is not officially and legally appointed to a position until their appointment is approved by the Senate. Prior to Senate approval and publication of that approval along with an official date and time for their swearing-in and assumption of duties and responsibilities, they are nominees rather than appointees. And again, the president nominates people for specific positions at their pleasure and can do so without or in spite of Senate advice. Senate consent occurs when a majority of senators votes to approve and therefore appoint a nominee. The head of the Executive Branch is the president. Although also named in this first clause, the vice president is not constitutionally vested with any executive power. Nonetheless, the Constitution dictates that the president and vice president are to be elected at the same time, for the same term, and by the same constituency. The framers' intent was to preserve the independence of the executive branch should the person who was vice president succeed to the duties of the presidency. Clause 2: Method of choosing electors Under the U.S. Constitution the president and vice president are chosen by electors, under a constitutional grant of authority delegated to the legislatures of the several states. The Constitution reserves the choice of the precise manner for selecting electors to the will of the state legislatures. It does not define or delimit what process a state legislature may use to create its state college of electors. In practice, the state legislatures have generally chosen to select electors through an indirect popular vote, since the 1820s. Most states use a "winner-take-all" system in which all the state's electors are awarded to the candidate gaining the most popular votes. Maine and Nebraska allow individual congressional districts to elect one elector. In an indirect popular vote, it is the names of the candidates who are on the ballot to be elected. Most states do not put the names of the electors on the ballot. It is generally understood by the voters and the electors themselves that they are the representative "stand-ins" for the candidates and are expected to cast their electoral college ballots for the president and vice president who appeared on the ballot. The actual electors being voted for are usually selected by the candidate's party. There have been a few cases where some electors have refused to vote for the designated candidate, termed a faithless elector. Many states have mandated in law that electors shall cast their electoral college ballot for the designated presidential candidate. The constitutionality of such mandates was established by the Supreme Court of the United States in Chiafalo v. Washington (2020). Each state chooses as many electors as it has representatives and senators representing it in Congress. Under the 23rd Amendment, the District of Columbia may choose no more electors than the state with the lowest number of electoral votes (in effect, three electors), although since that amendment's ratification the District's population has never reached the threshold that would otherwise entitle it to choose four or more electors. U.S. senators, representatives and federal government officials are barred from becoming electors; in practice, the two major federal parties frequently select senior state party and government officials (up to and including governors) to serve as electors. All states other than Maine (including the District of Columbia) use a first past the post system in their presidential elections. In 2020, Maine switched from first past the post to ranked choice. In McPherson v. Blacker (1892), the Supreme Court affirmed the ability of a state to appoint its electors based on electoral districts rather than a statewide popular vote, describing the power of state legislatures to determine the method of appointment of electors as "plenary", and suggesting that it was not limited even by state constitutions. In Bush v. Palm Beach County Canvassing Board (2000), the Supreme Court remanded to the Supreme Court of Florida the question of "the extent to which the Florida Supreme Court saw the Florida Constitution as circumscribing the legislature's authority under Art. II, § 1, cl. 2". In Williams v. Rhodes (1968), the Court struck down as a violation of the Equal Protection Clause an Ohio law which placed heavy burdens on minor parties seeking to be placed on the ballot for presidential electors. The Supreme Court upheld the power of Congress to regulate political contributions intended to influence the appointment of electors in Burroughs v. United States (1934). Clause 3: Electoral College In modern practice, parties nominate their electors through various methods, see Elector Nominations. Then, each state chooses its electors in popular elections. In most states, the party with the plurality of the popular vote gets all of its electors chosen. Once chosen, the electors meet in their respective states to cast ballots for the president and vice president. Originally, each elector cast two votes for president; at least one of the individuals voted for had to be from a state different from the elector's. The individual with the majority of votes became president, and the runner-up became vice president. In case of a tie between candidates who received votes from a majority of electors, the House of Representatives would choose one of the tied candidates; if no person received a majority, then the House could again choose one of the five with the greatest number of votes. When the House voted, each state delegation cast one vote, and the vote of a majority of states was necessary to choose a president. If second-place candidates were tied, then the Senate broke the tie. A quorum in the House consisted of at least one member from two-thirds of the state delegations; there was no special quorum for the Senate. This procedure was followed in 1801 after the electoral vote produced a tie, and nearly resulted in a deadlock in the House. While the Constitution reflects the framers' clear preference for the president to be elected by a constituency independent of the Congress, one of the most palpable limitations created by the stipulation that electors meet in their respective states as opposed to a single venue was that given the constraints of eighteenth-century technology there was no practical means for that constituency to resolve deadlocked elections in a timely manner, thus necessitating the involvement of Congress in resolving deadlocked elections. Obviously, having the electors meet in the national capital or some other single venue could have permitted the electors to choose a president by means of an exhaustive ballot without Congressional involvement, but the framers were dissuaded from such an arrangement by two major considerations. First, it would have been quite burdensome for electors from distant states to travel to the national capital using eighteenth century means for the sole purpose of electing the president – since they were to be barred from simultaneously serving in the federal government in any other capacity, electors would likely have no other reason to go there. But probably even more importantly, many framers genuinely feared that if the electors met in a single venue, especially under the initial assumption that they would act independently as opposed to being bound to vote for particular candidates, they would be vulnerable to the influence of mobs who might try to ensure a particular result by means of threats and intimidation – this had been a fairly common occurrence in European elections for powerful officials by relatively small constituencies (for example, and perhaps in particular, in papal elections) from the Middle Ages up to the Constitution's creation. The 12th Amendment introduced a number of important changes to the procedure. Now, electors do not cast two votes for president; rather, they cast one vote for president and another for vice president. In case no presidential candidate receives a majority, the House chooses from the top three (not five, as before the 12th Amendment). The Amendment also requires the Senate to choose the vice president from those with the two highest figures if no vice presidential candidate receives a majority of electoral votes (rather than only if there's a tie for second for president). It also stipulates that to be the vice president, a person must be qualified to be the president. Clause 4: Election day Congress sets a national Election Day. Currently, electors are chosen on the Tuesday following the first Monday in November (the first Tuesday after November 1), in the year before the president's term is to expire. The electors cast their votes on the Monday following the second Wednesday in December (the first Monday after December 12) of that year. Thereafter, the votes are opened and counted by the vice president, as president of the Senate, in a joint session of Congress. Clause 5: Qualifications for office Section 1 of Article Two of the United States Constitution sets forth the eligibility requirements for serving as president of the United States: At the time of taking office, the President must be: a natural-born citizen (or they became a citizen before September 17, 1787) at least 35 years of age an inhabitant of the United States for at least fourteen years. A person who meets the above qualifications, however, may still be constitutionally barred from holding the office of president under any of the following conditions: Article I, Section 3, Clause 7, gives the U.S. Senate the option of forever disqualifying anyone convicted in an impeachment case from holding any federal office. Section 3 of the 14th Amendment prohibits anyone who swore an oath to support the Constitution, and later rebelled against the United States, from becoming president. However, this disqualification can be lifted by a two-thirds vote of each house of Congress. The 22nd Amendment prohibits anyone from being elected to the presidency more than twice (or once if the person serves as president or acting president for more than two years of a presidential term to which someone else was originally elected). Clause 6: Vacancy and disability The wording of this clause caused much controversy at the time it was first used. When William Henry Harrison died in office, a debate arose over whether the vice president would become president, or if he would just inherit the powers, thus becoming an acting president. Harrison's vice president, John Tyler, believed that he had the right to become president. However, many senators argued that he only had the right to assume the powers of the presidency long enough to call for a new election. Because the wording of the clause is so vague, it was impossible for either side to prove its point. Tyler took the Oath of Office as president, setting a precedent that made it possible for later vice presidents to ascend to the presidency unchallenged following the president's death. The "Tyler Precedent" established that if the president dies, resigns or is removed from office, the vice president becomes president. The Congress may provide for a line of succession beyond the vice president. The current Presidential Succession Act establishes the order as the speaker of the House of Representatives, the president pro tempore of the Senate and then the fifteen Cabinet secretaries in order of each department's establishment. There are concerns regarding the constitutionality of having members of Congress in the line of succession, however, as this clause specifies that only an "officer of the United States" may be designated as a presidential successor. Constitutional scholars from James Madison to the present day have argued that the term "officer" excludes members of Congress. The
determination, and may therefore go before Article I courts. Similarly, several courts in the District of Columbia, which is under the exclusive jurisdiction of the Congress, are Article I courts rather than Article III courts. This article was expressly extended to the United States District Court for the District of Puerto Rico by the U.S. Congress through Federal Law 89-571, 80 Stat. 764, signed by President Lyndon B. Johnson in 1966. This transformed the article IV United States territorial court in Puerto Rico, created in 1900, to an Article III federal judicial district court. The Judicial Procedures Reform Bill of 1937, frequently called the court-packing plan, was a legislative initiative to add more justices to the Supreme Court proposed by President Franklin D. Roosevelt shortly after his victory in the 1936 presidential election. Although the bill aimed generally to overhaul and modernize the entire federal court system, its central and most controversial provision would have granted the President power to appoint an additional justice to the Supreme Court for every incumbent justice over the age of 70, up to a maximum of six. The Constitution is silent when it comes to judges of courts which have been abolished. The Judiciary Act of 1801 increased the number of courts to permit the Federalist President John Adams to appoint a number of Federalist judges before Thomas Jefferson took office. When Jefferson became President, the Congress abolished several of these courts and made no provision for the judges of those courts. The Judicial Code of 1911 abolished circuit riding and transferred the circuit courts authority and jurisdiction to the district courts. Clause 2: Tenure The Constitution provides that judges "shall hold their Offices during good Behaviour." The term "good behaviour" is interpreted to mean that judges may serve for the remainder of their lives, although they may resign or retire voluntarily. A judge may also be removed by impeachment and conviction by congressional vote (hence the term good behaviour); this has occurred fourteen times. Three other judges, Mark W. Delahay, George W. English, and Samuel B. Kent, chose to resign rather than go through the impeachment process. Clause 3: Salaries The compensation of judges may not be decreased, but may be increased, during their continuance in office. Section 2: Judicial power, jurisdiction, and trial by jury Section 2 delineates federal judicial power, and brings that power into execution by conferring original jurisdiction and also appellate jurisdiction upon the Supreme Court. Additionally, this section requires trial by jury in all criminal cases, except impeachment cases. Clause 1: Cases and controversies Clause 1 of Section 2 authorizes the federal courts to hear actual cases and controversies only. Their judicial power does not extend to cases which are hypothetical, or which are proscribed due to standing, mootness, or ripeness issues. Generally, a case or controversy requires the presence of adverse parties who have a genuine interest at stake in the case. In Muskrat v. United States, , the Supreme Court denied jurisdiction to cases brought under a statute permitting certain Native Americans to bring suit against the United States to determine the constitutionality of a law allocating tribal lands. Counsel for both sides were to be paid from the federal Treasury. The Supreme Court held that, though the United States was a defendant, the case in question was not an actual controversy; rather, the statute was merely devised to test the constitutionality of a certain type of legislation. Thus the Court's ruling would be nothing more than an advisory opinion; therefore, the court dismissed the suit for failing to present a "case or controversy." A significant omission is that although Clause 1 provides that federal judicial power shall extend to "the laws of the United States," it does not also provide that it shall extend to the laws of the several or individual states. In turn, the Judiciary Act of 1789 and subsequent acts never granted the U.S. Supreme Court the power to review decisions of state supreme courts on pure issues of state law. It is this silence which tacitly made state supreme courts the final expositors of the common law in their respective states. They were free to diverge from English precedents and from each other on the vast majority of legal issues which had never been made part of federal law by the Constitution, and the U.S. Supreme Court could do nothing, as it would ultimately concede in Erie Railroad Co. v. Tompkins (1938). By way of contrast, other English-speaking federations like Australia and Canada never adopted the Erie doctrine. That is, their highest courts have always possessed plenary power to impose a uniform nationwide common law upon all lower courts and never adopted the strong American distinction between federal and state common law. Eleventh Amendment and state sovereign immunity In Chisholm v. Georgia, , the Supreme Court ruled that Article III, Section 2 abrogated the States' sovereign immunity and authorized federal courts to hear disputes between private citizens and States. This decision was overturned by the Eleventh Amendment, which was passed by the Congress on March 4, 1794 and ratified by the states on February 7, 1795. It prohibits the federal courts from hearing "any suit in law or equity, commenced or prosecuted against one of the United States by Citizens of another State, or by Citizens or Subjects of any Foreign State". Clause 2: Original and appellate jurisdiction Clause 2 of Section 2 provides that the Supreme Court has original jurisdiction in cases affecting ambassadors, ministers and consuls, and also in those controversies which are subject to federal judicial power because at least one state is a party; the Court has held that the latter requirement is met if the United States has a controversy with a state. In other cases, the Supreme Court has only appellate jurisdiction, which may be regulated by the Congress. The Congress may not, however, amend the Court's original jurisdiction, as was found in Marbury v. Madison, (the same decision which established the principle of judicial review). Marbury held that Congress can neither expand nor restrict the original jurisdiction of the Supreme Court. However,
the suit for failing to present a "case or controversy." A significant omission is that although Clause 1 provides that federal judicial power shall extend to "the laws of the United States," it does not also provide that it shall extend to the laws of the several or individual states. In turn, the Judiciary Act of 1789 and subsequent acts never granted the U.S. Supreme Court the power to review decisions of state supreme courts on pure issues of state law. It is this silence which tacitly made state supreme courts the final expositors of the common law in their respective states. They were free to diverge from English precedents and from each other on the vast majority of legal issues which had never been made part of federal law by the Constitution, and the U.S. Supreme Court could do nothing, as it would ultimately concede in Erie Railroad Co. v. Tompkins (1938). By way of contrast, other English-speaking federations like Australia and Canada never adopted the Erie doctrine. That is, their highest courts have always possessed plenary power to impose a uniform nationwide common law upon all lower courts and never adopted the strong American distinction between federal and state common law. Eleventh Amendment and state sovereign immunity In Chisholm v. Georgia, , the Supreme Court ruled that Article III, Section 2 abrogated the States' sovereign immunity and authorized federal courts to hear disputes between private citizens and States. This decision was overturned by the Eleventh Amendment, which was passed by the Congress on March 4, 1794 and ratified by the states on February 7, 1795. It prohibits the federal courts from hearing "any suit in law or equity, commenced or prosecuted against one of the United States by Citizens of another State, or by Citizens or Subjects of any Foreign State". Clause 2: Original and appellate jurisdiction Clause 2 of Section 2 provides that the Supreme Court has original jurisdiction in cases affecting ambassadors, ministers and consuls, and also in those controversies which are subject to federal judicial power because at least one state is a party; the Court has held that the latter requirement is met if the United States has a controversy with a state. In other cases, the Supreme Court has only appellate jurisdiction, which may be regulated by the Congress. The Congress may not, however, amend the Court's original jurisdiction, as was found in Marbury v. Madison, (the same decision which established the principle of judicial review). Marbury held that Congress can neither expand nor restrict the original jurisdiction of the Supreme Court. However, the appellate jurisdiction of the Court is different. The Court's appellate jurisdiction is given "with such exceptions, and under such regulations as the Congress shall make." Often a court will assert a modest degree of power over a case for the threshold purpose of determining whether it has jurisdiction, and so the word "power" is not necessarily synonymous with the word "jurisdiction". Judicial review The power of the federal judiciary to review the constitutionality of a statute or treaty, or to review an administrative regulation for consistency with either a statute, a treaty, or the Constitution itself, is an implied power derived in part from Clause 2 of Section 2. Though the Constitution does not expressly provide that the federal judiciary has the power of judicial review, many of the Constitution's Framers viewed such a power as an appropriate power for the federal judiciary to possess. In Federalist No. 78, Alexander Hamilton wrote, Hamilton goes on to counterbalance the tone of "judicial supremacists," those demanding that both Congress and the Executive are compelled by the Constitution to enforce all court decisions, including those that, in their eyes, or those of the People, violate fundamental American principles: Marbury v. Madison involved a highly partisan set of circumstances. Though Congressional elections were held in November 1800, the newly elected officers did not take power until March. The Federalist Party had lost the elections. In the words of President Thomas Jefferson, the Federalists "retired into the judiciary as a stronghold". In the four months following the elections, the outgoing Congress created several new judgeships, which were filled by President John Adams. In the last-minute rush, however, Federalist Secretary of State John Marshall had neglected to deliver 17 of the commissions to their respective appointees. When James Madison took office as Secretary of State, several commissions remained undelivered. Bringing their claims under the Judiciary Act of 1789, the appointees, including William Marbury, petitioned the Supreme Court for the issue of a writ of mandamus, which in English law had been used to force public officials to fulfill their ministerial duties. Here, Madison would be required to deliver the commissions. Marbury posed a difficult problem for the court, which was then led by Chief Justice John Marshall, the same person who had neglected to deliver the commissions when he was the Secretary of State. If Marshall's court commanded James Madison to deliver the commissions, Madison might ignore the order, thereby indicating the weakness of the court. Similarly, if the court denied William Marbury's request, the court would be seen as weak. Marshall held that appointee Marbury was indeed entitled to his commission. However, Justice Marshall contended that the Judiciary Act of 1789 was unconstitutional, since it purported to grant original jurisdiction to the Supreme Court in cases not involving the States or ambassadors. The ruling thereby established that the federal courts could exercise judicial review over the actions of Congress or the executive branch. However, Alexander Hamilton, in Federalist No. 78, expressed the view that the Courts hold only the power of words, and not the power of compulsion upon those other two branches of government, upon which the Supreme Court is itself dependent. Then in 1820, Thomas Jefferson expressed his deep reservations about the doctrine of judicial review: Clause 3: Federal trials Clause 3 of Section 2 provides that Federal crimes, except impeachment cases, must be tried before a jury, unless the defendant waives their right. Also, the trial must be held in the state where the crime was committed. If the crime was not committed in any particular state, then the trial is held in such a place as set forth by the Congress. The United States Senate has the sole power to try impeachment cases. Two of the Constitutional Amendments that comprise the Bill of Rights contain related provisions. The Sixth Amendment enumerates the rights of individuals when facing criminal prosecution and the Seventh Amendment establishes an individual's right to a jury trial in certain civil cases. It also inhibits courts from overturning a jury's findings of fact. The Supreme Court has extended the right to a jury in the Sixth Amendment to individuals facing trial in state courts through the Due Process Clause of the Fourteenth Amendment, but has refused to do so with the Seventh. Section 3: Treason Section 3 defines treason and limits its punishment. The Constitution defines treason as specific acts, namely "levying War against [the United States], or in adhering to their Enemies, giving them Aid and Comfort." A contrast is therefore maintained with the English law, whereby crimes including conspiring to kill the King or "violating" the Queen, were punishable as treason. In Ex Parte Bollman, , the Supreme Court ruled that "there must be an actual assembling of men, for the treasonable purpose, to constitute a levying of war." Under English law effective during the ratification
that the Constitution requires all states to be admitted on an equal footing, though the Admissions Clause does not expressly include this requirement. The Property Clause grants Congress the power to make laws for the territories and other federal lands. The Guarantee Clause mandates that United States guarantee that all states have a "republican form of government," though it does not define this term. Article Four also requires the United States to protect each state from invasion, and, at the request of a state, from "domestic violence." Section 1: Full faith and credit The first section requires states to extend "full faith and credit" to the public acts, records and court proceedings of other states. Congress may regulate the manner in which proof of such acts, records or proceedings may be admitted. In Mills v. Duryee, 1t1 U.S. (7 Cranch) 481 (1813), the United States Supreme Court ruled that the merits of a case, as settled by courts of one state, must be recognized by the courts of other states; state courts may not reopen cases which have been conclusively decided by the courts of another state. Later, Chief Justice John Marshall suggested that the judgment of one state court must be recognized by other states' courts as final. However, in McElmoyle v. Cohen, , the court heard a case where one party obtained a judgment in South Carolina and sought to enforce it in Georgia, which had a statute of limitations that barred actions on judgments after a certain amount of time had passed since the judgment was entered. The court upheld Georgia's refusal to enforce the South Carolina judgment. The court found that out-of-state judgments are subject to the procedural law of the states where they are enforced, notwithstanding any priority accorded in the states in which they are issued. Section 2: Rights of state citizens; rights of extradition Clause 1: Privileges and Immunities Clause One of Section 2 requires interstate protection of "privileges and immunities". The seeming ambiguity of the clause has given rise to a number of different interpretations. Some contend that the clause requires Congress to treat all citizens equally. Others suggest that citizens of states carry the rights accorded by their home states while traveling in other states. Neither of these theories has been endorsed by the Supreme Court, which has held that the clause means that a state may not discriminate against citizens of other states in favor of its own citizens. In Corfield v. Coryell, 6 F. Cas. 546 (C.C.E.D. Pa. 1823), the federal circuit court held that privileges and immunities in respect of which discrimination is barred include protection by the Government; the enjoyment of life and liberty ... the right of a citizen of one State to pass through, or to reside in any other State, for purposes of trade, agriculture, professional pursuits, or otherwise; to claim the benefits of the writ of habeas corpus; to institute and maintain actions of any kind in the courts of the State; to take, hold and dispose of property, either real or personal; and an exemption from higher taxes or impositions than are paid by the other citizens of the State. Most other benefits were held not to be protected privileges and immunities. In Corfield the circuit court sustained a New Jersey law giving state residents the exclusive right to gather clams and oysters. Clause 2: Extradition of fugitives Clause Two requires that fugitives from justice may be extradited on the demand of executive authority of the state from which they fled. The Supreme Court has held that it is not compulsory for the fugitive to have fled after an indictment was issued, but only that the fugitive fled after having committed the crime. The Constitution provides for the extradition of fugitives who have committed "treason, felony or other crime." That phrase incorporates all acts prohibited by the laws of a state, including misdemeanors and small, or petty, offenses. In Kentucky v. Dennison (1860), the Supreme Court held that the federal courts may not compel state governors to surrender fugitives through the issue of writs of mandamus. The Dennison decision was overruled by Puerto Rico v. Branstad (1987); now, the federal courts may require the extradition of fugitives. Alleged fugitives generally may not challenge extradition proceedings. The motives of the governor demanding the extradition may not be questioned. The accused cannot defend himself against the charges in the extraditing state; the fugitive must do so in the state receiving him. However, the accused may prevent extradition by offering clear evidence that he was not in the state he allegedly fled from at the time of the crime. There is no constitutional requirement that extradited fugitives be tried only for the crimes named in the extradition proceedings. Fugitives brought to states by means other than extradition may be tried, even though the means of the conveyance was unlawful; the Supreme Court so ruled in Mahon v. Justice, . In Mahon a body of armed men from Kentucky forcibly took, without a warrant, a man in West Virginia to bring him back to Kentucky for formal arrest and trial. Clause 3: Fugitive Slave Clause Pierce Butler and Charles Pinckney, both from South Carolina, submitted this clause to the Constitutional Convention. James Wilson of Pennsylvania objected, stating it would require that state governments enforce slavery at taxpayers' expense. Butler withdrew the clause. However, on the next day the clause was quietly reinstated and adopted by the Convention without objection. This clause was added to the clause that provided extradition for fugitives from justice. When first adopted, this clause applied to fugitive slaves and required that they be extradited upon the claims of their masters, but it provided no means for doing so. The Fugitive Slave Act of 1793 created the mechanism for recovering a fugitive slave, overruled any state laws giving sanctuary, made it a federal crime to assist an escaped slave, and allowed slave-catchers into every U.S. state and territory. As free states sought to undermine the federal law, the even more severe Fugitive Slave Act of 1850 was enacted. In 1864, during the Civil War, an effort to repeal this clause of the Constitution failed. The vote in the House was 69 for repeal and 38 against, which was short of the two-to-one vote required to amend the Constitution. This clause was rendered mostly moot when the Thirteenth Amendment abolished slavery. Section 3: New states and federal property Clause 1: Admission of new states The First Clause of Section Three, also known as the Admissions Clause, grants to Congress the authority to admit new states into the Union. Since the establishment of the United States in 1776, the number of states has expanded from the original
grants Congress the authority to admit new states, but forbids the creation of new states from parts of existing states without the consent of the affected states. The Supreme Court has held that the Constitution requires all states to be admitted on an equal footing, though the Admissions Clause does not expressly include this requirement. The Property Clause grants Congress the power to make laws for the territories and other federal lands. The Guarantee Clause mandates that United States guarantee that all states have a "republican form of government," though it does not define this term. Article Four also requires the United States to protect each state from invasion, and, at the request of a state, from "domestic violence." Section 1: Full faith and credit The first section requires states to extend "full faith and credit" to the public acts, records and court proceedings of other states. Congress may regulate the manner in which proof of such acts, records or proceedings may be admitted. In Mills v. Duryee, 1t1 U.S. (7 Cranch) 481 (1813), the United States Supreme Court ruled that the merits of a case, as settled by courts of one state, must be recognized by the courts of other states; state courts may not reopen cases which have been conclusively decided by the courts of another state. Later, Chief Justice John Marshall suggested that the judgment of one state court must be recognized by other states' courts as final. However, in McElmoyle v. Cohen, , the court heard a case where one party obtained a judgment in South Carolina and sought to enforce it in Georgia, which had a statute of limitations that barred actions on judgments after a certain amount of time had passed since the judgment was entered. The court upheld Georgia's refusal to enforce the South Carolina judgment. The court found that out-of-state judgments are subject to the procedural law of the states where they are enforced, notwithstanding any priority accorded in the states in which they are issued. Section 2: Rights of state citizens; rights of extradition Clause 1: Privileges and Immunities Clause One of Section 2 requires interstate protection of "privileges and immunities". The seeming ambiguity of the clause has given rise to a number of different interpretations. Some contend that the clause requires Congress to treat all citizens equally. Others suggest that citizens of states carry the rights accorded by their home states while traveling in other states. Neither of these theories has been endorsed by the Supreme Court, which has held that the clause means that a state may not discriminate against citizens of other states in favor of its own citizens. In Corfield v. Coryell, 6 F. Cas. 546 (C.C.E.D. Pa. 1823), the federal circuit court held that privileges and immunities in respect of which discrimination is barred include protection by the Government; the enjoyment of life and liberty ... the right of a citizen of one State to pass through, or to reside in any other State, for purposes of trade, agriculture, professional pursuits, or otherwise; to claim the benefits of the writ of habeas corpus; to institute and maintain actions of any kind in the courts of the State; to take, hold and dispose of property, either real or personal; and an exemption from higher taxes or impositions than are paid by the other citizens of the State. Most other benefits were held not to be protected privileges and immunities. In Corfield the circuit court sustained a New Jersey law giving state residents the exclusive right to gather clams and oysters. Clause 2: Extradition of fugitives Clause Two requires that fugitives from justice may be extradited on the demand of executive authority of the state from which they fled. The Supreme Court has held that it is not compulsory for the fugitive to have fled after an indictment was issued, but only that the fugitive fled after having committed the crime. The Constitution provides for the extradition of fugitives who have committed "treason, felony or other crime." That phrase incorporates all acts prohibited by the laws of a state, including misdemeanors and small, or petty, offenses. In Kentucky v. Dennison (1860), the Supreme Court held that the federal courts may not compel state governors to surrender fugitives through the issue of writs of mandamus. The Dennison decision was overruled by Puerto Rico v. Branstad (1987); now, the federal courts may require the extradition of fugitives. Alleged fugitives generally may not challenge extradition proceedings. The motives of the governor demanding the extradition may not be questioned. The accused cannot defend himself against the charges in the extraditing state; the fugitive must do so in the state receiving him. However, the accused may prevent extradition by offering clear evidence that he was not in the state he