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deal effectively with antisemitism. While the consensus among historians is that Nazism as a whole was either unrelated to Christianity or actively opposed to it. James Dunn has argued that the New Testament contributed toward subsequent antisemitism in the Christian community. According to Louis Feldman, the term "antisemitism" is an "absurdity which the Jews took over from the Germans." He thinks the proper term is anti-Judaism. The distinction between anti-Judaism and antisemitism is often made, or challenged, with regard to early Christian hostility to Jews: some, notably Gavin I. Langmuir, prefer anti-Judaism, which implies a theological enmity. They say that the concept of antisemitism "makes little sense" in the nascent days of the Christian religion and that it would not emerge until later. In this context, the term antisemitism implies the secular biological race theories of modern times. Peter Schäfer prefers the word Judaeophobia for pagan hostility to Jews, but considers the word antisemitism, even if anachronistic, synonymous with this term, while adding that Christian anti-Judaism eventually was crucial to what later became antisemitism. James D. G. Dunn argues that the various New Testament expressions of anger and hurt by a minority puzzled by the refusal of a majority to accept their claims about Jesus the Jew reflect inner tensions between Jewish communities not yet unified by rabbinical Judaism, and a Christianity not yet detached from Judaism. The Greek word Ioudaioi used throughout the New Testament could refer either to Jews or, more restrictively, to Judeans alone. The idea that the New Testament is antisemitic is a controversy that has emerged in the aftermath of the Holocaust is often associated with a thesis put forward by Rosemary Ruether, and the various positions depend on how antisemitism is defined, and on scholarly disagreements over whether antisemitism has a monolithic continuous history, or is an umbrella term gathering in many distinct kinds of hostility to Jews over time. Factional agendas underpin the writing of the canonical texts, and the various NT documents are windows into the conflict and debates of that period. According to Timothy Johnson, mutual slandering among competing sects was quite strong in the period when these works were composed. The New Testament moreover is an ensemble of texts written over decades and "it is quite meaningless to speak about a single New Testament attitude". The New Testament and Christian antisemitism According to Rabbi Michael J. Cook, Professor of Intertestamental and Early Christian Literature at the Hebrew Union College, there are ten themes in the New Testament that have been a source of anti-Judaism and antisemitism: Cook believes that both contemporary Jews and contemporary Christians need to reexamine the history of early Christianity, and the transformation of Christianity from a Jewish sect consisting of followers of a Jewish Jesus, to a separate religion often dependent on the tolerance of Rome while proselytizing among Gentiles loyal to the Roman empire, to understand how the story of Jesus came to be recast in an anti-Jewish form as the Gospels took their final form. Some scholars assert that critical verses in the New Testament have been used to incite prejudice and violence against Jewish people. Professor Lillian C. Freudmann, author of Antisemitism in the New Testament (University Press of America, 1994) has published a study of such verses and the effects that they have had in the Christian community throughout history. Similar studies have been made by both Christian and Jewish scholars, including, Professors Clark Williamsom (Christian Theological Seminary), Hyam Maccoby (The Leo Baeck Institute), Norman A. Beck (Texas Lutheran College), and Michael Berenbaum (Georgetown University). New Testament There are some verses in the New Testament that describe Jews in a positive way, attributing to them salvation or divine love. According to the New Testament Gospels, Jesus, on his fateful entry into Jerusalem before Passover, was received by a great crowd of people. Jesus was arrested and tried by the Sanhedrin. After the trial, Jesus was handed over to Pontius Pilate, who duly tried him again and, at the urging of the people, had him crucified. The New Testament records that Jesus' disciple Judas Iscariot, the Roman governor Pontius Pilate along with Roman forces and the leaders and people of Jerusalem were (to varying degrees) responsible for the death of Jesus. Gospel of Mark According to the Gospel of Mark, the crucifixion of Jesus was authorized by Roman authorities at the insistence of leading Jews (Judeans) from the Sanhedrin. Paul H. Jones writes: Gospel of Matthew The Gospel of Matthew is often evaluated as the most Jewish of the canonical gospels, and yet it is sometimes argued that it is anti-Judaic or antisemitic. Matthew's Gospel has given readers the impression his hostility to Jews increases as his narrative progresses, until it culminates in chapter 23. In chapter 21, the parable of the vineyard, which is strikingly similar to Isaiah 5:1-30, is followed by the great "stone" text, an early Christological interpretation of Psalm 118: "The stone that the builders rejected has become the cornerstone". The OT allusions appear to suggest that the author thought God would call to account Israel's leaders for maltreating Christ, and that the covenant will pass to the Gentiles who follow Christ, a view that arose in intersectarian polemics in Judaism between the followers of Christ and the Jewish leadership. Then, in chapters 23 and 24, three successive hostile pericopes are recorded. First, | slandering among competing sects was quite strong in the period when these works were composed. The New Testament moreover is an ensemble of texts written over decades and "it is quite meaningless to speak about a single New Testament attitude". The New Testament and Christian antisemitism According to Rabbi Michael J. Cook, Professor of Intertestamental and Early Christian Literature at the Hebrew Union College, there are ten themes in the New Testament that have been a source of anti-Judaism and antisemitism: Cook believes that both contemporary Jews and contemporary Christians need to reexamine the history of early Christianity, and the transformation of Christianity from a Jewish sect consisting of followers of a Jewish Jesus, to a separate religion often dependent on the tolerance of Rome while proselytizing among Gentiles loyal to the Roman empire, to understand how the story of Jesus came to be recast in an anti-Jewish form as the Gospels took their final form. Some scholars assert that critical verses in the New Testament have been used to incite prejudice and violence against Jewish people. Professor Lillian C. Freudmann, author of Antisemitism in the New Testament (University Press of America, 1994) has published a study of such verses and the effects that they have had in the Christian community throughout history. Similar studies have been made by both Christian and Jewish scholars, including, Professors Clark Williamsom (Christian Theological Seminary), Hyam Maccoby (The Leo Baeck Institute), Norman A. Beck (Texas Lutheran College), and Michael Berenbaum (Georgetown University). New Testament There are some verses in the New Testament that describe Jews in a positive way, attributing to them salvation or divine love. According to the New Testament Gospels, Jesus, on his fateful entry into Jerusalem before Passover, was received by a great crowd of people. Jesus was arrested and tried by the Sanhedrin. After the trial, Jesus was handed over to Pontius Pilate, who duly tried him again and, at the urging of the people, had him crucified. The New Testament records that Jesus' disciple Judas Iscariot, the Roman governor Pontius Pilate along with Roman forces and the leaders and people of Jerusalem were (to varying degrees) responsible for the death of Jesus. Gospel of Mark According to the Gospel of Mark, the crucifixion of Jesus was authorized by Roman authorities at the insistence of leading Jews (Judeans) from the Sanhedrin. Paul H. Jones writes: Gospel of Matthew The Gospel of Matthew is often evaluated as the most Jewish of the canonical gospels, and yet it is sometimes argued that it is anti-Judaic or antisemitic. Matthew's Gospel has given readers the impression his hostility to Jews increases as his narrative progresses, until it culminates in chapter 23. In chapter 21, the parable of the vineyard, which is strikingly similar to Isaiah 5:1-30, is followed by the great "stone" text, an early Christological interpretation of Psalm 118: "The stone that the builders rejected has become the cornerstone". The OT allusions appear to suggest that the author thought God would call to account Israel's leaders for maltreating Christ, and that the covenant will pass to the Gentiles who follow Christ, a view that arose in intersectarian polemics in Judaism between the followers of Christ and the Jewish leadership. Then, in chapters 23 and 24, three successive hostile pericopes are recorded. First, a series of "woes" are pronounced against the Pharisees: Certain passages which speak of the destruction of Jerusalem have elements that are interpreted as indications of Matthew's anti-Judaic attitudes. Jesus is said to have lamented over the capital: "Jerusalem, Jerusalem, the city that kills the prophets and stones those who are sent to it...See, your house is left to you, desolate". Again, Jesus is made to predict the demise of the Temple: "Truly I tell you, not one stone will be left here upon another; all will be thrown down". Such visions of an end to the old Temple may be read as embodying the replacement theology, according to which Christianity supersedes Judaism. The culmination of this rhetoric, and arguably the one verse that has caused more Jewish suffering than any other second Testament passage, is the uniquely Matthean attribution to the Jewish people: "His [Jesus's] blood be on us and on our children!" This so-called "blood guilt" text has been interpreted to mean that all Jews, of Jesus' time and forever afterward, accept responsibility for the death of Jesus. Shelly Matthews writes: Douglas Hare noted that the Gospel of Matthew avoids sociological explanations for persecution: The term "Jews" in the Gospel of Matthew is applied to those who deny the resurrection of Jesus and believe that the disciples stole Jesus's corpse. Gospel of John In the Gospel of John, the word Ἰουδαῖοι, or the Jews, is used 63 times, in a hostile sense 31 times, and no distinctions are made between Jewish groups. The Sadducees, for example, prominent elsewhere, are not distinguished. The enemies of Jesus are described collectively as "the Jews", in contradistinction to the other evangelists, who do not generally ascribe to "the Jews" collectively calls for the death of Jesus. In the other three texts, the plot to put Jesus to death is always presented as coming from a small group of priests and rulers, the Sadducees. The Gospel of John is the primary source of the image of "the Jews" acting collectively as the enemy of Jesus, which later became fixed in Christian minds. John himself has Jesus tell the Samaritan woman that "salvation is from the Jews." For example, in John 7:1-9,Jesus moves around in Galilee but avoids Judea, |
final civilian casualty of the war on British soil: Ivy Millichamp, aged 34, killed in her home in Kynaston Road, Orpington in Kent. A scientific reconstruction carried out in 2010 demonstrated that the V-2 creates a crater wide and deep, ejecting approximately 3,000 tons of material into the air. Countermeasures Big Ben and Crossbow Unlike the V-1, the V-2's speed and trajectory made it practically invulnerable to anti-aircraft guns and fighters, as it dropped from an altitude of at up to three times the speed of sound at sea level (approximately 3550 km/h). Nevertheless, the threat of what was then code-named "Big Ben" was great enough that efforts were made to seek countermeasures. The situation was similar to the pre-war concerns about manned bombers and led to a similar solution, the formation of the Crossbow Committee, to collect, examine and develop countermeasures. Early on, it was believed that the V-2 employed some form of radio guidance, a belief that persisted in spite of several rockets being examined without discovering anything like a radio receiver. This led to efforts to jam this non-existent guidance system as early as September 1944, using both ground and air-based jammers flying over the UK. In October, a group had been sent to jam the missiles during launch. By December it was clear these systems were having no obvious effect, and jamming efforts ended. Anti-aircraft gun system General Frederick Alfred Pile, commander of Anti-Aircraft Command, studied the problem and proposed that enough anti-aircraft guns were available to produce a barrage of fire in the rocket's path, but only if provided with a reasonable prediction of the trajectory. The first estimates suggested that 320,000 shells would have to be fired for each rocket. About 2% of these were expected to fall back to the ground, almost 90 tons of rounds, which would cause far more damage than the missile. At a 25 August 1944 meeting of the Crossbow Committee, the concept was rejected. Pile continued studying the problem, and returned with a proposal to fire only 150 shells at a single rocket, with those shells using a new fuse that would greatly reduce the number that fell back to Earth unexploded. Some low-level analysis suggested that this would be successful against 1 in 50 rockets, provided that accurate trajectories were forwarded to the gunners in time. Work on this basic concept continued and developed into a plan to deploy a large number of guns in Hyde Park that were provided with pre-configured firing data for grids of the London area. After the trajectory was determined, the guns would aim and fire between 60 and 500 rounds. At a Crossbow meeting on 15 January 1945 Pile's updated plan was presented with some strong advocacy from Roderic Hill and Charles Drummond Ellis. However, the Committee suggested that a test not be carried out as no technique for tracking the missiles with sufficient accuracy had yet been developed. By March this had changed significantly, with 81% of incoming missiles correctly allotted to the grid square each fell into, or the one beside it. At a 26 March meeting the plan moved ahead, and Pile was directed to a subcommittee with RV Jones and Ellis to further develop the statistics. Three days later the team returned a report stating that if the guns fired 2,000 rounds at a missile there was a 1 in 60 chance of shooting it down. Plans for an operational test began, but as Pile later put it, "Monty beat us to it", as the attacks ended with the Allied liberation of their launching areas. With the Germans no longer in control of any part of the continent that could be used as a launching site capable of striking London, they turned their attention to Antwerp. Plans were made to move the Pile system to protect that city, but the war ended before anything could be done. Direct attack The only effective defence against the V-2 campaign was to destroy the launch infrastructure—expensive in terms of bomber resources and casualties—or to cause the Germans to aim at the wrong place through disinformation. The British were able to convince the Germans to direct V-1s and V-2s aimed at London to less populated areas east of the city. This was done by sending deceptive reports on the damage caused and sites hit via the German espionage network in Britain, which was controlled by the British (the Double-Cross System). According to the BBC television presenter Raymond Baxter, who served with the RAF during the war, in February 1945 his squadron was carrying out a mission against a V2 launch site, when one missile was launched in front of them. One member of Baxter's squadron opened fire on it, without effect. On 3 March 1945 the Allies attempted to destroy V-2s and launching equipment in the "Haagse Bos" in The Hague by a large-scale bombardment, but due to navigational errors the Bezuidenhout quarter was destroyed, killing 511 Dutch civilians. Assessment The German V-weapons (V-1 and V-2) cost the equivalent of around US$40 billion (2015 dollars), which was 50 percent more than the Manhattan Project that produced the atomic bomb. 6,048 V-2s were built, at a cost of approximately 100,000 Reichsmark (GB£2,370,000 (2011)) each; 3,225 were launched. SS General Hans Kammler, who as an engineer had constructed several concentration camps including Auschwitz, had a reputation for brutality and had originated the idea of using concentration camp prisoners as slave laborers in the rocket program. More people died manufacturing the V-2 than were killed by its deployment. The V-2 consumed a third of Germany's fuel alcohol production and major portions of other critical technologies: to distil the fuel alcohol for one V-2 launch required 30 tonnes of potatoes at a time when food was becoming scarce. Due to a lack of explosives, some warheads were simply filled in with concrete, using the kinetic energy alone for destruction, and sometimes the warhead contained photographic propaganda of German citizens who had died in Allied bombings. The psychological effect of the V-2 was considerable, as the V-2, travelling faster than the speed of sound, gave no warning before impact (unlike bombing planes or the V-1 Flying Bomb, which made a characteristic buzzing sound). There was no effective defence and no risk of pilot and crew casualties. An example of the impression it made is in the reaction of American pilot and future nuclear strategist and Congressional aide William Liscum Borden, who in November 1944 while returning from a nighttime mission over Holland saw a V-2 in flight on its way to strike London: "It resembled a meteor, streaming red sparks and whizzing past us as though the aircraft were motionless. I became convinced that it was only a matter of time until rockets would expose the United States to direct, transoceanic attack." With the war all but lost, regardless of the factory output of conventional weapons, the Nazis resorted to V-weapons as a tenuous last hope to influence the war militarily (hence Antwerp as V-2 target), as an extension of their desire to "punish" their foes and most importantly to give hope to their supporters with their miracle weapon. The V-2 had no effect on the outcome of the war, but it led to the ICBMs of the Cold War, which in turn were used for space exploration. Unfulfilled plans A submarine-towed launch platform was tested successfully, making it the prototype for submarine-launched ballistic missiles. The project codename was ("Test stand XII"), sometimes called the rocket U-boat. If deployed, it would have allowed a U-boat to launch V-2 missiles against United States cities, though only with considerable effort (and limited effect). Hitler, in July 1944 and Speer, in January 1945, made speeches alluding to the scheme, though Germany did not possess the capability to fulfill these threats. These schemes were met by the Americans with Operation Teardrop. While interned after the war by the British at CSDIC camp 11, Dornberger was recorded saying that he had begged the Führer to stop the V-weapon propaganda, because nothing more could be expected from one ton of explosive. To this Hitler had replied that Dornberger might not expect more, but he (Hitler) certainly did. According to decrypted messages from the Japanese embassy in Germany, twelve dismantled V-2 rockets were shipped to Japan. These left Bordeaux in August 1944 on the transport U-boats and , which reached Djakarta in December 1944. A civilian V-2 expert was a passenger on , bound for Japan in May 1945 when the war ended in Europe. The fate of these V-2 rockets is unknown. Post-war use At the end of the war, a race began between the United States and the USSR to retrieve as many V-2 rockets and staff as possible. Three hundred rail-car loads of V-2s and parts were captured and shipped to the United States and 126 of the principal designers, including Wernher von Braun and Walter Dornberger, were in American hands. Von Braun, his brother Magnus von Braun, and seven others decided to surrender to the United States military (Operation Paperclip) to ensure they were not captured by the advancing Soviets or shot dead by the Nazis to prevent their capture. After the Nazi defeat, German engineers were moved to the United States, the United Kingdom and the USSR, where they further developed the V-2 rocket for military and civilian purposes. The V-2 rocket also laid the foundation for the liquid fuel missiles and space launchers used later. Britain In October 1945, Operation Backfire assembled a small number of V-2 missiles and launched three of them from a site in northern Germany. The engineers involved had already agreed to move to the US when the test firings were complete. The Backfire report, published in January 1946, contains extensive technical documentation of the rocket, including all support procedures, tailored vehicles and fuel composition. In 1946, the British Interplanetary Society proposed an enlarged man-carrying version of the V-2, called Megaroc. It could have enabled sub-orbital spaceflight similar to, but at least a decade earlier than, the Mercury-Redstone flights of 1961. United States Operation Paperclip recruited German engineers and Special Mission V-2 transported the captured V-2 parts to the United States. At the close of the Second World War, over 300 rail cars filled with V-2 engines, fuselages, propellant tanks, gyroscopes, and associated equipment were brought to the railyards in Las Cruces, New Mexico, so they could be placed on trucks and driven to the White Sands Proving Grounds, also in New Mexico. In addition to V-2 hardware, the U.S. Government delivered German mechanization equations for the V-2 guidance, navigation, and control systems, as well as for advanced development concept vehicles, to U.S. defence contractors for analysis. In the 1950s some of these documents were useful to U.S. contractors in developing direction cosine matrix transformations and other inertial navigation architecture concepts that were applied to early U.S. programs such as the Atlas and Minuteman guidance systems as well as the Navy's Subs Inertial Navigation System. A committee was formed with military and civilian scientists to review payload proposals for the reassembled V-2 rockets. This led to an eclectic array of experiments that flew on V-2s and paved the way for American manned space exploration. Devices were sent aloft to sample the air at all levels to determine atmospheric pressures and to see what gases were present. Other instruments measured the level of cosmic radiation. Only 68 percent of the V-2 trials were considered successful. A supposed V-2 launched on 29 May 1947 landed near Juarez, Mexico and was actually a Hermes B-1 vehicle. The U.S. Navy attempted to launch a German V-2 rocket at sea—one test launch from the aircraft carrier USS Midway was performed on 6 September 1947 as part of the Navy's Operation Sandy. The test launch was a partial success; the V-2 went off the pad but splashed down in the ocean only some from the carrier. The launch setup on the Midway's deck is notable in that it used foldaway arms to prevent the missile from falling over. The arms pulled away just after the engine ignited, releasing the missile. The setup may look similar to the R-7 launch procedure but in the case of the R-7 the trusses hold the full weight of the rocket, rather than just reacting to side forces. The PGM-11 Redstone rocket is a direct descendant of the V-2. USSR The USSR also captured a number of V-2s and staff, letting them stay in Germany for a time. The first work contracts were signed in the middle of 1945. In October 1946 (as part of Operation Osoaviakhim) they were obliged to move to Branch 1 of NII-88 on Gorodomlya Island in Lake Seliger where Helmut Gröttrup headed up a group of 150 engineers. In October 1947, a group of German scientists supported the USSR in launching rebuilt V-2s in Kapustin Yar. The German team was indirectly overseen by Sergei Korolev, the "chief designer" of the Soviet rocketry program. The first Soviet missile was the R-1, a duplicate of the V-2 completely manufactured in Soviet Union, which was first launched in October 1948. From 1947 until the end of 1950, the German team elaborated concepts and improvements for extended payload and range under the projects G-1, G-2 and G-4. The German team had to remain on Gorodomlya island until as late as 1952 and 1953. In parallel, Soviet work was focused on larger missiles, the R-2 and R-5, based on further developing the V-2 technology with using ideas of the German concept studies. Details of Soviet achievements were unknown to the German team and completely underestimated by Western intelligence until, in November 1957, the Sputnik 1 satellite was successfully launched to orbit by the Sputnik rocket based on R-7, the world's first intercontinental ballistic missile. In the autumn of 1945, the group led by M. Tikhonravov K. and N. G. Chernyshov at NII-4 rocket artillery institute of the USSR Academy of Sciences developed on their own initiative the first stratospheric rocket project. VR-190 called for vertical flight of two pilots to an altitude of 200 km using captured German V-2 rockets. China The first Chinese Dongfeng missile, the DF-1 was a licensed copy of the Soviet R-2. Surviving V-2 examples and components At least 20 V-2s still existed in 2014. Australia One at the Australian War Memorial, Canberra, including complete Meillerwagen transporter. The rocket has the most complete set of guidance components of all surviving A4s. The is the most complete of the three examples known to exist. Another A4 was on display at the RAAF Museum at Point Cook outside Melbourne. Both rockets now reside in Canberra. Netherlands One example, partly skeletonized, is in the collection of the Nationaal Militair Museum. In this collection are also a launching table and some loose parts, as well as the remains of a V-2 that crashed in The Hague immediately after launch. Poland Several large components, like hydrogen peroxide tank and reaction chamber, the propellant turbopump and the HWK rocket engine chamber (partly cut-out) are displayed at the Polish Aviation Museum in Kraków A reconstruction of a V-2 missile containing multiple original recovered parts is on display at the Armia Krajowa Museum in Kraków. France One engine at in Toulouse. V-2 display including engine, parts, rocket body and many documents | von Braun, and Dr. Steinhof briefed Hitler in his Wolf's Lair. Also in attendance were Speer, Wilhelm Keitel, and Alfred Jodl. The briefing included von Braun narrating a film showing the successful launch on 3 October 1942, with scale models of the Channel coast firing bunker, and supporting vehicles, including the . Hitler then gave Peenemünde top priority in the German armaments program stating, "Why was it I could not believe in the success of your work? if we had had these rockets in 1939 we should never have had this war..." Hitler also wanted a second launch bunker built. Saur planned to build 2000 rockets per month, between the existing three factories and the Nordhausen Mittelwerk factory being built. However, alcohol production was dependent upon the potato harvest. A production line was nearly ready at Peenemünde when the Operation Hydra attack occurred. The main targets of the attack included the test stands, the development works, the Pre-Production Works, the settlement where the scientists and technicians lived, the Trassenheide camp, and the harbor sector. According to Dornberger, "Serious damage to the works, contrary to first impressions, was surprisingly small." Work resumed after a delay of four to six weeks, and because of camouflage to mimic complete destruction, there were no more raids over the next nine months. The raid resulted in 735 lives lost, with heavy losses at Trassenheide, while 178 were killed in the settlement, including Dr. Thiel, his family, and Chief Engineer Walther. The Germans eventually moved production to the underground Mittelwerk in the Kohnstein where 5,200 V-2 rockets were built with the use of forced labour. Launch sites Following Operation Crossbow bombing, initial plans for launching from the massive underground Watten, Wizernes and Sottevast bunkers or from fixed pads such as near the Château du Molay were dropped in favour of mobile launching. Eight main storage dumps were planned and four had been completed by July 1944 (the one at Mery-sur-Oise was begun in August 1943 and completed by February 1944). The missile could be launched practically anywhere, roads running through forests being a particular favourite. The system was so mobile and small that only one was ever caught in action by Allied aircraft, during the Operation Bodenplatte attack on 1 January 1945 near Lochem by a USAAF 4th Fighter Group aircraft, although Raymond Baxter described flying over a site during a launch and his wingman firing at the missile without hitting it. It was estimated that a sustained rate of 350 V-2s could be launched per week, with 100 per day at maximum effort, given sufficient supply of the rockets. Operational history The LXV Armeekorps z.b.V. formed during the last days of November 1943 in France commanded by General der Artillerie z.V. Erich Heinemann was responsible for the operational use of V-2. Three launch battalions were formed in late 1943, Artillerie Abteilung 836 (Mot.), Grossborn, Artillerie Abteilung 485 (Mot.), Naugard, and Artillerie Abteilung 962 (Mot.). Combat operations commenced in Sept. 1944, when training Batterie 444 deployed. On 2 September 1944, the SS Werfer-Abteilung 500 was formed, and by October, the SS under the command of SS Lt. Gen Hans Kammler, took operational control of all units. He formed Gruppe Sud with Art. Abt. 836, Merzig, and Gruppe Nord with Art. Abt. 485 and Batterie 444, Burgsteinfurt and The Hague. After Hitler's 29 August 1944 declaration to begin V-2 attacks as soon as possible, the offensive began on 7 September 1944 when two were launched at Paris (which the Allies had liberated less than two weeks earlier), but both crashed soon after launch. On 8 September a single rocket was launched at Paris, which caused modest damage near Porte d'Italie. Two more launches by the 485th followed, including one from The Hague against London on the same day at 6:43 pm. – the first landed at Staveley Road, Chiswick, killing 63-year-old Mrs. Ada Harrison, three-year-old Rosemary Clarke, and Sapper Bernard Browning on leave from the Royal Engineers, and one that hit Epping with no casualties. Upon hearing the double-crack of the supersonic rocket (London's first ever), Duncan Sandys and Reginald Victor Jones looked up from different parts of the city and exclaimed "That was a rocket!", and a short while after the double-crack, the sky was filled with the sound of a heavy body rushing through the air. The British government initially attempted to conceal the cause of the explosions by blaming them on defective gas mains. The public therefore began referring to the V-2s as "flying gas pipes". The Germans themselves finally announced the V-2 on 8 November 1944 and only then, on 10 November 1944, did Winston Churchill inform Parliament, and the world, that England had been under rocket attack "for the last few weeks". In September 1944, control of the V-2 mission was taken over by the Waffen-SS and Division z.V. Positions of the German launch units changed a number of times. For example, Artillerie Init 444 arrived in the southwest Netherlands (in Zeeland) in September 1944. From a field near the village of Serooskerke, five V-2s were launched on 15 and 16 September, with one more successful and one failed launch on the 18th. That same date, a transport carrying a missile took a wrong turn and ended up in Serooskerke itself, giving a villager the opportunity to surreptitiously take some photographs of the weapon; these were smuggled to London by the Dutch Resistance. After that the unit moved to the woods near Rijs, Gaasterland in the northwest Netherlands, to ensure that the technology did not fall into Allied hands. From Gaasterland V-2s were launched against Ipswich and Norwich from 25 September (London being out of range). Because of their inaccuracy, these V-2s did not hit their target cities. Shortly after that only London and Antwerp remained as designated targets as ordered by Adolf Hitler himself, Antwerp being targeted in the period of 12 to 20 October, after which time the unit moved to The Hague. Targets Over the following months about 3,172 V-2 rockets were fired at the following targets: Belgium, 1,664: Antwerp (1,610), Liège (27), Hasselt (13), Tournai (9), Mons (3), Diest (2) United Kingdom, 1,402: London (1,358), Norwich (43), Ipswich (1) France, 76: Lille (25), Paris (22), Tourcoing (19), Arras (6), Cambrai (4) Netherlands, 19: Maastricht (19) Germany, 11: Remagen (11) Antwerp, Belgium was a target for a large number of V-weapon attacks from October 1944 through to the virtual end of the war in March 1945, leaving 1,736 dead and 4,500 injured in greater Antwerp. Thousands of buildings were damaged or destroyed as the city was struck by 590 direct hits. The largest loss of life by a single rocket attack during the war came on 16 December 1944, when the roof of the crowded Cine Rex was struck, leaving 567 dead and 291 injured. An estimated 2,754 civilians were killed in London by V-2 attacks with another 6,523 injured, which is two people killed per V-2 rocket. However, this understates the potential of the V-2, since many rockets were misdirected and exploded harmlessly. Accuracy increased over the course of the war, particularly for batteries where the (radio guide beam) system was used. Missile strikes that found targets could cause large numbers of deaths – 160 were killed and 108 seriously injured in one explosion at 12:26 pm on 25 November 1944, at a Woolworth's department store in New Cross, south-east London. British intelligence sent false reports via their Double-Cross System implying that the rockets were over-shooting their London target by . This tactic worked; more than half of the V-2s aimed at London landed outside the London Civil Defence Region. Most landed on less-heavily populated areas in Kent due to erroneous recalibration. For the remainder of the war, British intelligence kept up the ruse by repeatedly sending bogus reports implying that the rockets were now striking the British capital with heavy loss of life. Possible use during Operation Bodenplatte At least one V-2 missile on a mobile Meillerwagen launch trailer was observed being elevated to launch position by a USAAF 4th Fighter Group pilot defending against the massive New Year's Day 1945 Operation Bodenplatte strike by the Luftwaffe over the northern German attack route near the town of Lochem on 1 January 1945. Possibly, from the potential sighting of the American fighter by the missile's launch crew, the rocket was quickly lowered from a near launch-ready 85° elevation to 30°. Tactical use on German target After the US Army captured the Ludendorff Bridge during the Battle of Remagen on 7 March 1945, the Germans were desperate to destroy it. On 17 March 1945, they fired eleven V-2 missiles at the bridge, their first use against a tactical target and the only time they were fired on a German target during the war. They could not employ the more accurate device because it was oriented towards Antwerp and could not be easily adjusted for another target. Fired from near Hellendoorn, the Netherlands, one of the missiles landed as far away as Cologne, to the north, while one missed the bridge by only . They also struck the town of Remagen, destroying a number of buildings and killing at least six American soldiers. Final use The final two rockets exploded on 27 March 1945. One of these was the last V-2 to kill a British civilian and the final civilian casualty of the war on British soil: Ivy Millichamp, aged 34, killed in her home in Kynaston Road, Orpington in Kent. A scientific reconstruction carried out in 2010 demonstrated that the V-2 creates a crater wide and deep, ejecting approximately 3,000 tons of material into the air. Countermeasures Big Ben and Crossbow Unlike the V-1, the V-2's speed and trajectory made it practically invulnerable to anti-aircraft guns and fighters, as it dropped from an altitude of at up to three times the speed of sound at sea level (approximately 3550 km/h). Nevertheless, the threat of what was then code-named "Big Ben" was great enough that efforts were made to seek countermeasures. The situation was similar to the pre-war concerns about manned bombers and led to a similar solution, the formation of the Crossbow Committee, to collect, examine and develop countermeasures. Early on, it was believed that the V-2 employed some form of radio guidance, a belief that persisted in spite of several rockets being examined without discovering anything like a radio receiver. This led to efforts to jam this non-existent guidance system as early as September 1944, using both ground and air-based jammers flying over the UK. In October, a group had been sent to jam the missiles during launch. By December it was clear these systems were having no obvious effect, and jamming efforts ended. Anti-aircraft gun system General Frederick Alfred Pile, commander of Anti-Aircraft Command, studied the problem and proposed that enough anti-aircraft guns were available to produce a barrage of fire in the rocket's path, but only if provided with a reasonable prediction of the trajectory. The first estimates suggested that 320,000 shells would have to be fired for each rocket. About 2% of these were expected to fall back to the ground, almost 90 tons of rounds, which would cause far more damage than the missile. At a 25 August 1944 meeting of the Crossbow Committee, the concept was rejected. Pile continued studying the problem, and returned with a proposal to fire only 150 shells at a single rocket, with those shells using a new fuse that would greatly reduce the number that fell back to Earth unexploded. Some low-level analysis suggested that this would be successful against 1 in 50 rockets, provided that accurate trajectories were forwarded to the gunners in time. Work on this basic concept continued and developed into a plan to deploy a large number of guns in Hyde Park that were provided with pre-configured firing data for grids of the London area. After the trajectory was determined, the guns would aim and fire between 60 and 500 rounds. At a Crossbow meeting on 15 January 1945 Pile's updated plan was presented with some strong advocacy from Roderic Hill and Charles Drummond Ellis. However, the Committee suggested that a test not be carried out as no technique for tracking the missiles with sufficient accuracy had yet been developed. By March this had changed significantly, with 81% of incoming missiles correctly allotted to the grid square each fell into, or the one beside it. At a 26 March meeting the plan moved ahead, and Pile was directed to a subcommittee with RV Jones and Ellis to further develop the statistics. Three days later the team returned a report stating that if the guns fired 2,000 rounds at a missile there was a 1 in 60 chance of shooting it down. Plans for an operational test began, but as Pile later put it, "Monty beat us to it", as the attacks ended with the Allied liberation of their launching areas. With the Germans no longer in control of any part of the continent that could be used as a launching site capable of striking London, they turned their attention to Antwerp. Plans were made to move the Pile system to protect that city, but the war ended before anything could be done. Direct attack The only effective defence against the V-2 campaign was to destroy the launch infrastructure—expensive in terms of bomber resources and casualties—or to cause the Germans to aim at the wrong place through disinformation. The British were able to convince the Germans to direct V-1s and V-2s aimed at London to less populated areas east of the city. This was done by sending deceptive reports on the damage caused and sites hit via the German espionage network in Britain, which was controlled by the British (the Double-Cross System). According to the BBC television presenter Raymond Baxter, who served with the RAF during the war, in February 1945 his squadron was carrying out a mission against a V2 launch site, when one missile was launched in front of them. One member of Baxter's squadron opened fire on it, without effect. On 3 March 1945 the Allies attempted to destroy V-2s and launching equipment in the "Haagse Bos" in The Hague by a large-scale bombardment, but due to navigational errors the Bezuidenhout quarter was destroyed, killing 511 Dutch civilians. Assessment The German V-weapons (V-1 and V-2) cost the equivalent of around US$40 billion (2015 dollars), which was 50 percent more than the Manhattan Project that produced the atomic bomb. 6,048 V-2s were built, at a cost of approximately 100,000 Reichsmark (GB£2,370,000 (2011)) each; 3,225 were launched. SS General Hans Kammler, who as an engineer had constructed several concentration camps including Auschwitz, had a reputation for brutality and had originated the idea of using concentration camp prisoners as slave laborers in the rocket program. More people died manufacturing the V-2 than were killed by its deployment. The V-2 consumed a third of Germany's fuel alcohol production and major portions of other critical technologies: to distil the fuel alcohol for one V-2 launch required 30 tonnes of potatoes at a time when food was becoming scarce. Due to a lack of explosives, some warheads were simply filled in with concrete, using the kinetic energy alone for destruction, and sometimes the warhead contained photographic propaganda of German citizens who had died in Allied bombings. The psychological effect of the V-2 was considerable, as the V-2, travelling faster than the speed of sound, gave no warning before impact (unlike bombing planes or the V-1 Flying Bomb, which made a characteristic buzzing sound). There was no effective defence and no risk of pilot and crew casualties. An example of the impression it made is in the reaction of American pilot and future nuclear strategist and Congressional aide William Liscum Borden, who in November 1944 while returning from a nighttime mission over Holland saw a V-2 in flight on its way to strike London: "It resembled a meteor, streaming red sparks and whizzing past us as though the aircraft were motionless. I became convinced that it was only a matter of time until rockets would expose the United States to direct, transoceanic attack." With the war all but lost, regardless of the factory output of conventional weapons, the Nazis resorted to V-weapons as a tenuous last hope to influence the war militarily (hence Antwerp as V-2 target), as an extension of their desire to "punish" their foes and most importantly to give hope to their supporters with their miracle weapon. The V-2 had no effect on the outcome of the war, but it led to the ICBMs of the Cold War, which in turn were used for space exploration. Unfulfilled plans A submarine-towed launch platform |
clear vodkas was made a Polish government monopoly. After World War II, all vodka distilleries were taken over by Poland's Marxist–Leninist government. During the martial law of the 1980s, the sale of vodka was rationed. Following the success of the Solidarity movement and the abolition of single-party rule in Poland, many distilleries began struggling financially. Some filed for bankruptcy, but many were privatized, leading to the creation of various new brands. Russia A type of distilled liquor designated by the Russian word vodka came to Russia in the late 14th century. In 1386, the Genoese ambassadors brought the first aqua vitae ("the water of life") to Moscow and presented it to Grand Duke Dmitry Donskoy. The liquid obtained by distillation of grape must was thought to be a concentrate and a "spirit" of wine (spiritus vini in Latin), whence came to the name of this substance in many European languages (like English spirit, or Russian , ). According to a legend, around 1430, a monk named Isidore from Chudov Monastery inside the Moscow Kremlin made a recipe of the first Russian vodka. Having a special knowledge and distillation devices, he became the creator of a new, higher quality type of alcoholic beverage. This "bread wine", as it was initially known, was for a long time produced exclusively in the Grand Duchy of Moscow and in no other principality of Rus' (this situation persisted until the era of industrial production). Thus, this beverage was closely associated with Moscow. Until the mid-18th century, the drink remained relatively low in alcohol content, not exceeding 40% ABV. Multiple terms for the drink were recorded, sometimes reflecting different levels of quality, alcohol concentration, filtering, and the number of distillations; most commonly, it was referred to as "burning wine", "bread wine", or even in some locations simply "wine". In some locations, grape wine may have been so expensive that it was a drink only for aristocrats. Burning wine was usually diluted with water to 24% ABV or less before drinking. It was mostly sold in taverns and was quite expensive. At the same time, the word vodka was already in use, but it described herbal tinctures (similar to absinthe), containing up to 75% ABV, and made for medicinal purposes. The first written usage of the word vodka in an official Russian document in its modern meaning is dated by the decree of Empress Elizabeth of 8 June 1751, which regulated the ownership of vodka distilleries. By the 1860s, a government policy of promoting the consumption of state-manufactured vodka made it the drink of choice for many Russians. In 1863, the government monopoly on vodka production was repealed, causing prices to plummet and making vodka available even to low-income citizens. The taxes on vodka became a key element of government finances in Tsarist Russia, providing at times up to 40% of state revenue. By 1911, vodka comprised 89% of all alcohol consumed in Russia. This level has fluctuated somewhat during the 20th century but remained quite high at all times. The most recent estimates put it at 70% (2001). Today, some popular Russian vodka producers or brands are (amongst others) Stolichnaya and Russian Standard. During the late 1970s, Russian culinary author William Pokhlebkin compiled a history of the production of vodka in Russia, as part of the Soviet case in a trade dispute; this was later published as A History of Vodka. Pokhlebkin claimed that while there is a wealth of publications about the history of consumption and distribution of vodka, virtually nothing had been written about vodka production. One of his assertions was that the word "vodka" was used in popular speech in Russia considerably earlier than the middle of the 18th century, but the word did not appear in print until the 1860s. Pokhlebkin's sources were challenged by David Christian in the Slavic Review in 1994. Christian criticized the lack of valid references in Pokhlebkin's works stating that his work has an obvious pro-Russian bias. Pokhlebkin is also known for his Pan-Slavic sympathies under the leadership of Russia and sentiments that, in David Christian's opinion, discredit most of his work, especially his History of Vodka. Sweden Up until the 1950s, vodka was not used as a designation for Swedish distilled beverages, which were instead called brännvin ("burn-wine"), the word having the same etymology as the Dutch Brandewijn, which is the base for the word brandy. This beverage has been produced in Sweden since the late 15th century, although the total production was still small in the 17th century. From the early 18th century, production expanded, although production was prohibited several times, during grain shortages. Although initially a grain product, potatoes started to be used in the production in the late 18th century and became dominant from the early 19th century. From the early 1870s, distillery equipment was improved. Progressively from the 1960s, unflavoured Swedish brännvin also came to be called vodka. The first Swedish product to use this term was Explorer Vodka, which was created in 1958 and initially was intended for the American export market. Although it ultimately failed to do so, it remains one of the most popular vodka brands in Sweden today. In 1979, Absolut Vodka was launched, reusing the name of the old Absolut Rent Brännvin ("absolutely pure brännvin") created in 1879. After Sweden joined the European Union in 1995, the regulations were changed so that privately owned companies could produce Vodka. Vodka has become popular among young people, with a flourishing black market. In 2013, the organizers of the so-called "vodka car" were jailed for two and a half years for having illegally provided thousands of liters to young people, some as young as 13. Production Vodka may be distilled from any starch- or sugar-rich plant matter; most vodka today is produced from grains such as sorghum, corn, rye or wheat. Among grain vodkas, rye and wheat vodkas are generally considered superior. Some vodkas are made from potatoes, molasses, soybeans, grapes, rice, sugar beets and sometimes even byproducts of oil refining or wood pulp processing. In some Central European countries, such as Poland, some vodka is produced by just fermenting a solution of crystal sugar and yeast. In the European Union there are talks about the standardization of vodka, and the Vodka Belt countries insist that only spirits produced from grains, potato and sugar beet molasses be allowed to be branded as "vodka", following the traditional methods of production. In the United States, many vodkas are made from 95% pure grain alcohol produced in large quantities by agricultural-industrial giants Archer Daniels Midland, Grain Processing Corporation, and Midwest Grain Products (MGP). Bottlers purchase the base spirits in bulk, then filter, dilute, distribute and market the end product under a variety of vodka brand names. Similar methods are used in other regions such as Europe. This pure grain alcohol, also known as rectified spirit, neutral spirit, or ethyl alcohol of agricultural origin is also available directly to consumers in some areas, as products such as Everclear, Polmos spirytus rektyfikowany, and others. In contrast to very-high ABV vodkas such as the Bulgarian Balkan 176° with 88% ABV, these grain alcohol products are not considered vodka; they have not (yet) gone through the filtration and refining process used to produce vodka. A study conducted on NPR's Planet Money podcast revealed negligible differences in taste between various brands of vodka, leading to speculation as to how much branding contributes to the concept of "super-premium vodkas". Distilling and filtering A common property of the vodkas produced in the United States and Europe is the extensive use of filtration before any additional processing including the addition of flavorants. Filtering is sometimes done in the still during distillation, as well as afterward, where the distilled vodka is filtered through activated charcoal and other media to absorb trace amounts of substances that alter or impart off-flavors to the vodka. However, this is not the case in the traditional vodka-producing nations, so many distillers from these countries prefer to use very accurate distillation but minimal filtering, thus preserving the unique flavors and characteristics of their products. The master distiller is in charge of distilling the vodka and directing its filtration, which includes the removal of the "fore-shots", "heads" and "tails". These components of the distillate contain flavor compounds such as ethyl acetate and ethyl lactate (heads) as well as the fusel oils (tails) that impact the usually desired clean taste of vodka. Through numerous rounds of distillation, or the use of a fractioning still, the taste is modified and clarity is increased. In contrast, the distillery process for liquors such as whiskey, rum, and baijiu allow portions of the "heads" and "tails" to remain, giving them their unique flavors. Repeated distillation of vodka will make its ethanol level much higher than is acceptable to most end users, whether legislation determines strength limits or not. Depending on the distillation method and the technique of the still master, the final filtered and distilled vodka may have as much as 95–96% ethanol. As such, most vodka is diluted with water before bottling. Flavoring While most vodkas are unflavored, many flavored vodkas have been produced in traditional vodka-drinking areas, often as home-made recipes to improve vodka's taste or for medicinal purposes. Flavorings include red pepper, ginger, fruit flavors, vanilla, chocolate (without sweetener), and cinnamon. In Russia, vodka flavored with honey and pepper, pertsovka in | ; ; ; ; is also in use, colloquially and in proverbs; ; . In Russian during the 17th and 18th centuries, (goryashchee vino, "burning wine" or "hot wine") was widely used. Others languages include the German Branntwein, Danish brændevin, , , and (although the latter terms refer to any strong alcoholic beverage). History Scholars debate the beginnings of vodka because there is little historical material available. For many centuries, beverages differed significantly compared to the vodka of today, as the spirit at that time had a different flavor, color, and smell, and was originally used as medicine. It contained little alcohol, an estimated maximum of about 14%. The still, allowing for distillation ("burning of wine"), increased purity and increased alcohol content, was invented in the 8th century. Poland In Poland, vodka ( or ) has been produced since the early Middle Ages with local traditions as varied as the production of cognac in France, or Scottish whiskey. The world's first written mention of the drink and the word "vodka" was in 1405 from Akta Grodzkie recorder of deeds, in the court documents from the Palatinate of Sandomierz in Poland and it went on to become a popular drink there. At the time, the word wódka referred to chemical compounds such as medicines and cosmetics' cleansers, while the popular beverage currently known as vodka was called gorzałka (from the Old Polish verb gorzeć meaning "to burn"), which is also the source of Ukrainian horilka (горілка). The word written in Cyrillic appeared first in 1533, about a medicinal drink brought from Poland to Russia by the Russian merchants. In these early days, the spirits were used mostly as medicines. Stefan Falimierz asserted in his 1534 works on herbs that vodka could serve "to increase fertility and awaken lust". Wodka lub gorzałka (1614), by Jerzy Potański, contains valuable information on the production of vodka. Jakub Kazimierz Haur, in his book Skład albo skarbiec znakomitych sekretów ekonomii ziemiańskiej (A Treasury of Excellent Secrets about Landed Gentry's Economy, Kraków, 1693), gave detailed recipes for making vodka from rye. Some Polish vodka blends go back centuries. Most notable are Żubrówka, from about the 16th century; Goldwasser, from the early 17th century; and aged Starka vodka, from the 16th century. In the mid-17th century, the szlachta (nobility of Poland) were granted a monopoly on producing and selling vodka in their territories. This privilege was a source of substantial profits. One of the most famous distilleries of the aristocracy was established by Princess Lubomirska and later operated by her grandson, Count Alfred Wojciech Potocki. The Vodka Industry Museum, located at the park of the Potocki country estate has an original document attesting that the distillery already existed in 1784. Today it operates as "Polmos Łańcut". Vodka production on a much larger scale began in Poland at the end of the 16th century, initially at Kraków, whence spirits were exported to Silesia before 1550. Silesian cities also bought vodka from Poznań, a city that in 1580 had 498 working spirits distilleries. Soon, however, Gdańsk outpaced both these cities. In the 17th and 18th centuries, Polish vodka was known in the Netherlands, Denmark, England, Russia, Germany, Austria, Hungary, Romania, Ukraine, Bulgaria and the Black Sea basin. Early production methods were rudimentary. The beverage was usually low-proof, and the distillation process had to be repeated several times (a three-stage distillation process was common). The first distillate was called brantówka, the second was szumówka, and the third was okowita (from aqua vitae), which generally contained 70–80% ABV. Then the beverage was watered down, yielding a simple vodka (30–35% ABV), or a stronger one if the watering was done using an alembic. The exact production methods were described in 1768 by Jan Paweł Biretowski and in 1774 by Jan Chryzostom Pasek. The late 18th century inaugurated the production of vodka from various unusual substances including even the carrot. Though there was a substantial vodka cottage industry in Poland back to the 16th century, the end of the 18th century marked the start of real industrial production of vodka in Poland (Kresy, the eastern part of Poland was controlled by the Russian empire at that time). Vodkas produced by the nobility and clergy became a mass product. The first industrial distillery was opened in 1782 in Lwów by J. A. Baczewski. He was soon followed by Jakub Haberfeld, who in 1804 established a factory at Oświęcim, and by Hartwig Kantorowicz, who started producing Wyborowa in 1823 at Poznań. The implementation of new technologies in the latter half of the 19th century, which allowed the production of clear vodkas, contributed to their success. The first rectification distillery was established in 1871. In 1925, the production of clear vodkas was made a Polish government monopoly. After World War II, all vodka distilleries were taken over by Poland's Marxist–Leninist government. During the martial law of the 1980s, the sale of vodka was rationed. Following the success of the Solidarity movement and the abolition of single-party rule in Poland, many distilleries began struggling financially. Some filed for bankruptcy, but many were privatized, leading to the creation of various new brands. Russia A type of distilled liquor designated by the Russian word vodka came to Russia in the late 14th century. In 1386, the Genoese ambassadors brought the first aqua vitae ("the water of life") to Moscow and presented it to Grand Duke Dmitry Donskoy. The liquid obtained by distillation of grape must was thought to be a concentrate and a "spirit" of wine (spiritus vini in Latin), whence came to the name of this substance in many European languages (like English spirit, or Russian , ). According to a legend, around 1430, a monk named Isidore from Chudov Monastery inside the Moscow Kremlin made a recipe of the first Russian vodka. Having a special knowledge and distillation devices, he became the creator of a new, higher quality type of alcoholic beverage. This "bread wine", as it was initially known, was for a long time produced exclusively in the Grand Duchy of Moscow and in no other principality of Rus' (this situation persisted until the era of industrial production). Thus, this beverage was closely associated with Moscow. Until the mid-18th century, the drink remained relatively low in alcohol content, not exceeding 40% ABV. Multiple terms for the drink were recorded, sometimes reflecting different levels of quality, alcohol concentration, filtering, and the number of distillations; most commonly, it was referred to as "burning wine", "bread wine", or even in some locations simply "wine". In some locations, grape wine may have been so expensive that it was a drink only for aristocrats. Burning wine was usually diluted with water to 24% ABV or less before drinking. It was mostly sold in taverns and was quite expensive. At the same time, the word vodka was already in use, but it described herbal tinctures (similar to absinthe), containing up to 75% ABV, and made for medicinal purposes. The first written usage of the word vodka in an official Russian document in its modern meaning is dated by the decree of Empress Elizabeth of 8 June 1751, which regulated the ownership of vodka distilleries. By the 1860s, a government policy of promoting the consumption of state-manufactured vodka made |
Wilder's The Skin of Our Teeth; but her films of this period, Caesar and Cleopatra (1945) and Anna Karenina (1948), were not great commercial successes. All British films in this period were adversely affected by a Hollywood boycott of British films. In 1947, Olivier was knighted and Leigh accompanied him to Buckingham Palace for the investiture. She became Lady Olivier. After their divorce, according to the style granted to the divorced wife of a knight, she became known socially as Vivien, Lady Olivier. By 1948, Olivier was on the board of directors for the Old Vic Theatre, and he and Leigh embarked on a six-month tour of Australia and New Zealand to raise funds for the theatre. Olivier played the lead in Richard III and also performed with Leigh in The School for Scandal and The Skin of Our Teeth. The tour was an outstanding success and, although Leigh was plagued with insomnia and allowed her understudy to replace her for a week while she was ill, she generally withstood the demands placed upon her, with Olivier noting her ability to "charm the press". Members of the company later recalled several quarrels between the couple as Olivier was increasingly resentful of the demands placed on him during the tour. The most dramatic altercation occurred in Christchurch, New Zealand, when her shoes were not found and Leigh refused to go onstage without them. Olivier screamed an obscenity at her and slapped her face, and a devastated Leigh slapped him in return, dismayed that he would hit her publicly. Subsequently, she made her way to the stage in borrowed pumps, and in seconds, had "dried her tears and smiled brightly onstage". By the end of the tour, both were exhausted and ill. Olivier told a journalist, "You may not know it, but you are talking to a couple of walking corpses." Later, he would observe that he "lost Vivien" in Australia. The success of the tour encouraged the Oliviers to make their first West End appearance together, performing the same works with one addition, Antigone, included at Leigh's insistence because she wished to play a role in a tragedy. 1949–1951: Play and film roles in A Streetcar Named Desire Leigh next sought the role of Blanche DuBois in the West End stage production of Tennessee Williams's A Streetcar Named Desire and was cast after Williams and the play's producer Irene Mayer Selznick saw her in The School for Scandal and Antigone; Olivier was contracted to direct. The play contained a rape scene and references to promiscuity and homosexuality, and was destined to be controversial; the media discussion about its suitability added to Leigh's anxiety. Nevertheless, she believed strongly in the importance of the work. When the West End production of Streetcar opened in October 1949, J. B. Priestley denounced the play and Leigh's performance; and the critic Kenneth Tynan, who was to make a habit of dismissing her stage performances, commented that Leigh was badly miscast because British actors were "too well-bred to emote effectively on stage". Olivier and Leigh were chagrined that part of the commercial success of the play lay in audience members attending to see what they believed would be a salacious story, rather than the Greek tragedy that they envisioned. The play also had strong supporters, among them Noël Coward, who described Leigh as "magnificent". After 326 performances, Leigh finished her run, and she was soon assigned to reprise her role as Blanche DuBois in the film version of the play. Her irreverent and often bawdy sense of humour allowed her to establish a rapport with Marlon Brando, but she had an initial difficulty in working with director Elia Kazan, who was displeased with the direction that Olivier had taken in shaping the character of Blanche. Kazan had favoured Jessica Tandy and later, Olivia de Havilland over Leigh, but knew she had been a success on the London stage as Blanche. He later commented that he did not hold her in high regard as an actress, believing that "she had a small talent." As work progressed, however, he became "full of admiration" for "the greatest determination to excel of any actress I've known. She'd have crawled over broken glass if she thought it would help her performance." Leigh found the role gruelling and commented to the Los Angeles Times, "I had nine months in the theatre of Blanche DuBois. Now she's in command of me." Olivier accompanied her to Hollywood where he was to co-star with Jennifer Jones in William Wyler's Carrie (1952). Leigh's performance in A Streetcar Named Desire won glowing reviews, as well as a second Academy Award for Best Actress, a British Academy of Film and Television Arts (BAFTA) Award for Best British Actress, and a New York Film Critics Circle Award for Best Actress. Tennessee Williams commented that Leigh brought to the role "everything that I intended, and much that I had never dreamed of". Leigh herself had mixed feelings about her association with the character; in later years, she said that playing Blanche DuBois "tipped me over into madness". 1951–1960: Struggle with mental illness In 1951, Leigh and Laurence Olivier performed two plays about Cleopatra, William Shakespeare's Antony and Cleopatra and George Bernard Shaw's Caesar and Cleopatra, alternating the play each night and winning good reviews. They took the productions to New York, where they performed a season at the Ziegfeld Theatre into 1952. The reviews there were also mostly positive, but film critic Kenneth Tynan angered them when he suggested that Leigh's was a mediocre talent that forced Olivier to compromise his own. Tynan's diatribe almost precipitated another collapse; Leigh, terrified of failure and intent on achieving greatness, dwelt on his comments and ignored the positive reviews of other critics. In January 1953, Leigh travelled to Ceylon to film Elephant Walk with Peter Finch. Shortly after filming commenced, she had a nervous breakdown and Paramount Pictures replaced her with Elizabeth Taylor. Olivier returned her to their home in Britain, where, between periods of incoherence, Leigh told him she was in love with Finch and had been having an affair with him. Over a period of several months, she gradually recovered. As a result of this episode, many of the Oliviers' friends learned of her problems. David Niven said she had been "quite, quite mad". Noël Coward expressed surprise in his diary that "things had been bad and getting worse since 1948 or thereabouts". Leigh's romantic relationship with Finch began in 1948, and waxed and waned for several years, ultimately flickering out as her mental condition deteriorated. Also in 1953, Leigh recovered sufficiently to play The Sleeping Prince with Olivier, and in 1955 they performed a season at Stratford-upon-Avon in Shakespeare's Twelfth Night, Macbeth, and Titus Andronicus. They played to capacity houses and attracted generally good reviews, Leigh's health seemingly stable. John Gielgud directed Twelfth Night and wrote, "... perhaps I will still make a good thing of that divine play, especially if he will let me pull her little ladyship (who is brainier than he but not a born actress) out of her timidity and safeness. He dares too confidently ... but she hardly dares at all and is terrified of overreaching her technique and doing anything that she has not killed the spontaneity of by overpractice." In 1955, Leigh starred in Anatole Litvak's film The Deep Blue Sea; co-star Kenneth More felt he had poor chemistry with Leigh during the filming. In 1956, Leigh took the lead role in the Noël Coward play South Sea Bubble, but withdrew from the production when she became pregnant. Several weeks later, she miscarried and entered a period of depression that lasted for months. She joined Olivier for a European tour of Titus Andronicus, but the tour was marred by Leigh's frequent outbursts against Olivier and other members of the company. After their return to London, her former husband, Leigh Holman, who could still exert a strong influence on her, stayed with the Oliviers and helped calm her. In 1958, considering her marriage to be over, Leigh began a relationship with actor Jack Merivale, who knew of Leigh's medical condition and assured Olivier that he would care for her. In 1959, when she achieved a success with the Noël Coward comedy Look After Lulu!, a critic working for The Times described her as "beautiful, delectably cool and matter of fact, she is mistress of every situation". In 1960, she and Olivier divorced and Olivier soon married actress Joan Plowright. In his autobiography, Olivier discussed the years of strain they had experienced because of Leigh's illness: "Throughout her possession by that uncannily evil monster, manic depression, with its deadly ever-tightening spirals, she retained her own individual canniness—an ability to disguise her true mental condition from almost all except me, for whom she could hardly be expected to take the trouble." 1961–1967: Final years and death Merivale proved to be a stabilising influence for Leigh, but despite her apparent contentment, she was quoted by Radie Harris as confiding that she "would rather have lived a short life with Larry [Olivier] than face a long one without him". Her first husband Leigh Holman also spent considerable time with her. Merivale joined her for a tour of Australia, New Zealand and Latin America that lasted from July 1961 until May 1962, and Leigh enjoyed positive reviews without sharing the spotlight with Olivier. Though she was still beset by bouts of depression, she continued to work in the theatre and, in 1963, won a Tony Award for Best Actress in a Musical for her role in Tovarich. She also appeared in the films The Roman Spring of Mrs. Stone (1961) and Ship of Fools (1965). Leigh's last screen appearance in Ship of Fools was both a triumph and emblematic of her illnesses that were taking root. Producer and director Stanley Kramer, who ended up with the film, planned to star Leigh but was initially unaware of her fragile mental and physical state. Later recounting her work, Kramer remembered her courage in taking on the difficult role, "She was ill, and the courage to go ahead, the courage to make the film—was almost unbelievable." Leigh's performance was tinged by paranoia and resulted in outbursts that marred her relationship with other actors, although both Simone Signoret and Lee Marvin were sympathetic and understanding. In one unusual instance during the attempted rape scene, Leigh became distraught and hit Marvin so hard with a spiked shoe that it marked his face. Leigh won the L'Étoile de Cristal for her performance in a leading role in Ship of Fools. In May 1967, Leigh was rehearsing to appear with Michael Redgrave in Edward Albee's A Delicate Balance when her tuberculosis resurfaced. Following several weeks of rest, she seemed to recover. On the night of 7 July 1967, Merivale left her as usual at their Eaton Square flat to perform in a play, and he returned home just before midnight to find her asleep. About 30 minutes later (by now 8 July), he entered the bedroom and discovered her body on the floor. She had been attempting to walk to the bathroom and, as her lungs filled with liquid, she collapsed and suffocated. Merivale first contacted her family and later was able to reach Olivier, who was receiving treatment for prostate cancer in a nearby hospital. In his autobiography, Olivier described his "grievous anguish" as he immediately travelled to Leigh's residence, to find that Merivale had moved her body onto the bed. Olivier paid his respects, and "stood and prayed for forgiveness for all the evils that had sprung up between us", before helping Merivale make funeral arrangements; Olivier stayed until her | your Scarlett O'Hara." The following day, Leigh read a scene for Selznick, who organized a screen test with director George Cukor and wrote to his wife, "She's the Scarlett dark horse and looks damn good. Not for anyone's ear but your own: it's narrowed down to Paulette Goddard, Jean Arthur, Joan Bennett and Vivien Leigh". The director, George Cukor, concurred and praised Leigh's "incredible wildness". She secured the role of Scarlett soon after. Filming proved difficult for Leigh. Cukor was dismissed and replaced by Victor Fleming, with whom Leigh frequently quarrelled. She and Olivia de Havilland secretly met with Cukor at night and on weekends for his advice about how they should play their parts. Leigh befriended Clark Gable, his wife Carole Lombard and Olivia de Havilland, but she clashed with Leslie Howard, with whom she was required to play several emotional scenes. Leigh was sometimes required to work seven days a week, often late into the night, which added to her distress, and she missed Olivier, who was working in New York City. On a long-distance telephone call to Olivier, she declared: "Puss, my puss, how I hate film acting! Hate, hate, and never want to do another film again!" Quoted in a 2006 biography of Olivier, Olivia de Havilland defended Leigh against claims of her manic behaviour during the filming of Gone with the Wind: "Vivien was impeccably professional, impeccably disciplined on Gone with the Wind. She had two great concerns: doing her best work in an extremely difficult role and being separated from Larry [Olivier], who was in New York." Gone with the Wind brought Leigh immediate attention and fame, but she was quoted as saying, "I'm not a film star—I'm an actress. Being a film star—just a film star—is such a false life, lived for fake values and for publicity. Actresses go on for a long time and there are always marvellous parts to play." The film won 10 Academy Awards including a Best Actress award for Leigh, who also won a New York Film Critics Circle Award for Best Actress. 1940–1949: Marriage and early collaborations with Olivier In February 1940, Jill Esmond agreed to divorce Laurence Olivier, and Leigh Holman agreed to divorce Vivien, although they maintained a strong friendship for the rest of Leigh's life. Esmond was granted custody of Tarquin, her son with Olivier. Holman was granted custody of Suzanne, his daughter with Leigh. On 31 August 1940, Olivier and Leigh were married at the San Ysidro Ranch in Santa Barbara, California, in a ceremony attended only by their hosts, Ronald and Benita Colman and witnesses, Katharine Hepburn and Garson Kanin. Leigh had made a screen test and hoped to co-star with Olivier in Rebecca, which was to be directed by Alfred Hitchcock with Olivier in the leading role. After viewing Leigh's screen test, David Selznick noted that "she doesn't seem right as to sincerity or age or innocence", a view shared by Hitchcock and Leigh's mentor, George Cukor. Selznick observed that she had shown no enthusiasm for the part until Olivier had been confirmed as the lead actor, so he cast Joan Fontaine. He refused to allow her to join Olivier in Pride and Prejudice (1940), and Greer Garson played the role Leigh had wanted for herself. Waterloo Bridge (1940) was to have starred Olivier and Leigh; however, Selznick replaced Olivier with Robert Taylor, then at the peak of his success as one of Metro-Goldwyn-Mayer's most popular male stars. Her top billing reflected her status in Hollywood, and the film was popular with audiences and critics. The Oliviers mounted a stage production of Romeo and Juliet for Broadway. The New York press publicised the adulterous nature of the beginning of Olivier and Leigh's relationship and questioned their ethics in not returning to the UK to help with the war effort. Critics were hostile in their assessment of Romeo and Juliet. Brooks Atkinson for The New York Times wrote: "Although Miss Leigh and Mr. Olivier are handsome young people, they hardly act their parts at all." While most of the blame was attributed to Olivier's acting and direction, Leigh was also criticised, with Bernard Grebanier commenting on the "thin, shopgirl quality of Miss Leigh's voice". The couple had invested almost all of their combined savings of $40,000 in the project, and the failure was a financial disaster for them. The Oliviers filmed That Hamilton Woman (1941) with Olivier as Horatio Nelson and Leigh as Emma Hamilton. With the United States not yet having entered the war, it was one of several Hollywood films made with the aim of arousing a pro-British sentiment among American audiences. The film was popular in the United States and an outstanding success in the Soviet Union. Winston Churchill arranged a screening for a party that included Franklin D. Roosevelt and, on its conclusion, addressed the group, saying, "Gentlemen, I thought this film would interest you, showing great events similar to those in which you have just been taking part." The Oliviers remained favourites of Churchill, attending dinners and occasions at his request for the rest of his life; and, of Leigh, he was quoted as saying, "By Jove, she's a clinker." The Oliviers returned to Britain in March 1943, and Leigh toured through North Africa that same year as part of a revue for the armed forces stationed in the region. She reportedly turned down a studio contract worth $5,000 a week in order to volunteer as part of the war effort. Leigh performed for troops before falling ill with a persistent cough and fevers. In 1944, she was diagnosed as having tuberculosis in her left lung and spent several weeks in hospital before appearing to have recovered. Leigh was filming Caesar and Cleopatra (1945) when she discovered she was pregnant, then had a miscarriage. Leigh temporarily fell into a deep depression that hit its low point, with her falling to the floor, sobbing in an hysterical fit. This was the first of many major bipolar disorder breakdowns. Olivier later came to recognise the symptoms of an impending episode—several days of hyperactivity followed by a period of depression and an explosive breakdown, after which Leigh would have no memory of the event, but would be acutely embarrassed and remorseful. With her doctor's approval, Leigh was well enough to resume acting in 1946, starring in a successful London production of Thornton Wilder's The Skin of Our Teeth; but her films of this period, Caesar and Cleopatra (1945) and Anna Karenina (1948), were not great commercial successes. All British films in this period were adversely affected by a Hollywood boycott of British films. In 1947, Olivier was knighted and Leigh accompanied him to Buckingham Palace for the investiture. She became Lady Olivier. After their divorce, according to the style granted to the divorced wife of a knight, she became known socially as Vivien, Lady Olivier. By 1948, Olivier was on the board of directors for the Old Vic Theatre, and he and Leigh embarked on a six-month tour of Australia and New Zealand to raise funds for the theatre. Olivier played the lead in Richard III and also performed with Leigh in The School for Scandal and The Skin of Our Teeth. The tour was an outstanding success and, although Leigh was plagued with insomnia and allowed her understudy to replace her for a week while she was ill, she generally withstood the demands placed upon her, with Olivier noting her ability to "charm the press". Members of the company later recalled several quarrels between the couple as Olivier was increasingly resentful of the demands placed on him during the tour. The most dramatic altercation occurred in Christchurch, New Zealand, when her shoes were not found and Leigh refused to go onstage without them. Olivier screamed an obscenity at her and slapped her face, and a devastated Leigh slapped him in return, dismayed that he would hit her publicly. Subsequently, she made her way to the stage in borrowed pumps, and in seconds, had "dried her tears and smiled brightly onstage". By the end of the tour, both were exhausted and ill. Olivier told a journalist, "You may not know it, but you are talking to a couple of walking corpses." Later, he would observe that he "lost Vivien" in Australia. The success of the tour encouraged the Oliviers to make their first West End appearance together, performing the same works with one addition, Antigone, included at Leigh's insistence because she wished to play a role in a tragedy. 1949–1951: Play and film roles in A Streetcar Named Desire Leigh next sought the role of Blanche DuBois in the West End stage production of Tennessee Williams's A Streetcar Named Desire and was cast after Williams and the play's producer Irene Mayer Selznick saw her in The School for Scandal and Antigone; Olivier was contracted to direct. The play contained a rape scene and references to promiscuity and homosexuality, and was destined to be controversial; the media discussion about its suitability added to Leigh's anxiety. Nevertheless, she believed strongly in the importance of the work. When the West End production of Streetcar opened in October 1949, J. B. Priestley denounced the play and Leigh's performance; and the critic Kenneth Tynan, who was to make a habit of dismissing her stage performances, commented that Leigh was badly miscast because British actors were "too well-bred to emote effectively on stage". Olivier and Leigh were chagrined that part of the commercial success of the play lay in audience members attending to see what they believed would be a salacious story, rather than the Greek tragedy that they envisioned. The play also had strong supporters, among them Noël Coward, who described Leigh as "magnificent". After 326 performances, Leigh finished her run, and she was soon assigned to reprise her role as Blanche DuBois in the film version of the play. Her irreverent and often bawdy sense of humour allowed her to establish a rapport with Marlon Brando, but she had an initial difficulty in working with director Elia Kazan, who was displeased with the direction that Olivier had taken in shaping the character of Blanche. Kazan had favoured Jessica Tandy and later, Olivia de Havilland over Leigh, but knew she had been a success on the London stage as Blanche. He later commented that he did not hold her in high regard as an actress, believing that "she had a small talent." As work progressed, however, he became "full of admiration" for "the greatest determination to excel of any actress I've known. She'd have crawled over broken glass if she thought it would help her performance." Leigh found the role gruelling and commented to the Los Angeles Times, "I had nine months in the theatre of Blanche DuBois. Now she's in command of me." Olivier accompanied her to Hollywood where he was to co-star with Jennifer Jones in William Wyler's Carrie (1952). Leigh's performance in A Streetcar Named Desire won glowing reviews, as well as a second Academy Award for Best Actress, a British Academy of Film and Television Arts (BAFTA) Award for Best British Actress, and a New York Film Critics Circle Award for Best Actress. Tennessee Williams commented that Leigh brought to the role "everything that I intended, and much that I had never dreamed of". Leigh herself had mixed feelings about her association with the character; in later years, she said that playing Blanche DuBois "tipped me over into madness". 1951–1960: Struggle with mental illness In 1951, Leigh and Laurence Olivier performed two plays about Cleopatra, William Shakespeare's Antony and Cleopatra and George Bernard Shaw's Caesar and Cleopatra, alternating the play each night and winning good reviews. They took the productions to New York, where they performed a season at the Ziegfeld Theatre into 1952. The reviews there were also mostly positive, but film critic Kenneth Tynan angered them when he suggested that Leigh's was a mediocre talent that forced Olivier to compromise his own. Tynan's diatribe almost precipitated another collapse; Leigh, terrified of failure and intent on achieving greatness, dwelt on his comments and ignored the positive reviews of other critics. In January 1953, Leigh travelled to Ceylon to film Elephant Walk with Peter Finch. Shortly after filming commenced, she had a nervous breakdown and Paramount Pictures replaced her with Elizabeth Taylor. Olivier returned her to their home in Britain, where, between periods of incoherence, Leigh told him she was in love with Finch and had |
skill in assault, with which they [Gauls] themselves were unacquainted." The broken siege at Gergovia in 52 BCE. The circumvallation and Battle of Alesia in 52 BCE. The women and children of the encircled city were evicted to conserve food, then starved to death between the opposing walls of the defenders and besiegers. The siege of Uxellodunum in 51 BCE. These are all sieges of large Gallic oppida. Of the sites involved in Caesar's civil war, we find the Siege of Massilia in 49 BCE, the Battle of Dyrrhachium of 48 BCE (modern Albania), the Battle of Pharsalus in 48 BCE (Hellas – Greece), the Battle of Zela of 47 BCE (modern Turkey), and the Battle of Thapsus in 46 BCE in Caesar's African campaign. A legion that fits the same sequence of locations is the Legio VI Ferrata, of which ballista would be an auxiliary unit. Mainly known for his writings, Vitruvius was himself an architect. In Roman times architecture was a broader subject than at present including the modern fields of architecture, construction management, construction engineering, chemical engineering, civil engineering, materials engineering, mechanical engineering, military engineering and urban planning; architectural engineers consider him the first of their discipline, a specialization previously known as technical architecture. In his work describing the construction of military installations, he also commented on the miasma theory – the idea that unhealthy air from wetlands was the cause of illness, saying: Frontinus mentions Vitruvious in connection with the standard sizes of pipes: the role he is most widely respected. He is often credited as father of architectural acoustics for describing the technique of echeas placement in theaters. The only building, however, that we know Vitruvius to have worked on is one he tells us about, a basilica completed in 19 BCE. It was built at Fanum Fortunae, now the modern town of Fano. The Basilica di Fano (to give the building its Italian name) has disappeared so completely that its very site is a matter of conjecture, although various attempts have been made to visualise it. The early Christian practice of converting Roman basilicae (public buildings) into cathedrals implies the basilica may be incorporated into the cathedral in Fano. In later years the emperor Augustus, through his sister Octavia Minor, sponsored Vitruvius, entitling him with what may have been a pension to guarantee financial independence. Whether De architectura was written by one author or is a compilation completed by subsequent librarians and copyists, remains an open question. The date of his death is unknown, which suggests that he had enjoyed only little popularity during his lifetime. Gerolamo Cardano, in his 1552 book De subtilitate rerum, ranks Vitruvius as one of the 12 persons whom he supposes to have excelled all men in the force of genius and invention; and would not have scrupled to have given him the first place, if it could be imagined that he had delivered nothing but his own discoveries. De architectura Vitruvius is the author of De architectura, libri decem, known today as The Ten Books on Architecture, a treatise written in Latin on architecture, dedicated to the emperor Augustus. In the preface of Book I, Vitruvius dedicates his writings so as to give personal knowledge of the quality of buildings to the emperor. Likely Vitruvius is referring to Marcus Agrippa's campaign of public repairs and improvements. This work is the only surviving major book on architecture from classical antiquity. According to Petri Liukkonen, this text "influenced deeply from the Early Renaissance onwards artists, thinkers, and architects, among them Leon Battista Alberti (1404–1472), Leonardo da Vinci (1452–1519), and Michelangelo (1475–1564)." The next major book on architecture, Alberti's reformulation of Ten Books, was not written until 1452. Vitruvius is famous for asserting in his book De architectura that a structure must exhibit the three qualities of firmitatis, utilitatis, venustatis – that is, stability, utility, beauty. These are sometimes termed the Vitruvian virtues or the Vitruvian Triad. According to Vitruvius, architecture is an imitation of nature. As birds and bees built their nests, so humans constructed housing from natural materials, that gave them shelter against the elements. When perfecting this art of building, the Greeks invented the architectural orders: Doric, Ionic and Corinthian. It gave them a sense of proportion, culminating in understanding the proportions of the greatest work of art: the human body. This led Vitruvius in defining his Vitruvian Man, as drawn later by Leonardo da Vinci: the human body inscribed in the circle and the square (the fundamental geometric patterns of the cosmic order). In this book series, Vitruvius, also wrote about climate in relation to housing architecture and how to choose locations for cities. Scope Vitruvius is sometimes loosely referred to as the first architect, but it is more accurate to describe him as the first Roman architect to have written surviving records of his field. He himself cites older but less complete works. He was less an original thinker or creative intellect than a codifier of existing architectural practice. Vitruvius had a much wider scope than modern architects. Roman architects practised a wide variety of disciplines; in modern terms, they could be described as being engineers, architects, landscape architects, surveyors, artists, and craftsmen combined. Etymologically the word architect derives from Greek words meaning 'master' and 'builder'. The first of the Ten Books deals with many subjects which now come within the scope of landscape architecture. In Book I, Chapter 1, titled The Education of the Architect, Vitruvius instructs... He goes on to say that the architect should be versed in drawing, geometry, optics (lighting), history, philosophy, music, theatre, medicine, and law. In Book I, Chapter 3 (The Departments of Architecture), Vitruvius divides architecture into three branches, namely; building; the construction of sundials and water clocks; and the design and use of machines in construction and warfare. He further divides building into public and private. Public building includes city planning, public security structures such as walls, gates and towers; the convenient placing of public facilities such as theatres, forums and markets, baths, roads and pavings; and the construction and position of shrines and temples for religious use. Later books are devoted to the understanding, design and construction of each of these. Proportions of man In Book III, Chapter 1, Paragraph 3, Vitruvius writes about the proportions of man: It was upon these writings that Renaissance engineers, architects and artists like Mariano di Jacopo Taccola, Pellegrino Prisciani and Francesco di Giorgio Martini and finally Leonardo da Vinci based the illustration of the Vitruvian Man. Vitruvius described the human figure as being the principal source of proportion. The drawing itself is often used as an implied symbol of the essential symmetry of the human body, and by extension, of the universe as a whole. Lists of names given in Book VII Introduction In the introduction to book seven, Vitruvius goes to great lengths to present why he is qualified to write De Architectura. This is the only location in the work where Vitruvius specifically addresses his personal breadth of knowledge. Similar to a modern reference section, the author's position as one who is knowledgeable and educated is established. The topics range across many fields of expertise reflecting that in Roman times as today construction is a diverse field. Vitruvius is clearly a well-read man. In addition to providing his qualification, Vitruvius summarizes a recurring theme throughout the 10 books, a non-trivial and core contribution of his treatise beyond simply being a construction book. Vitruvius makes the point that the work of some of the most talented are unknown, while many of those of lesser talent but greater political position are famous. This theme runs through Vitruvius's ten books repeatedly – echoing an implicit prediction that he and his works will also be forgotten. Vitruvius illustrates this point by naming what he considers are the most talented individuals in history. Implicitly challenging the reader that they have never heard of some of these people, Vitruvius goes on and predicts that some of these individuals will be forgotten and their works lost, while other, less deserving political characters of history will be forever remembered with pageantry. List of physicists: Thales, Democritus, Anaxagoras, Xenophanes List of philosophers: Socrates, Plato, Aristotle, Zeno, Epicurus List of kings: Croesus, Alexander the Great, Darius On plagiarism: Aristophanes, Ptolemy I Soter, a person named Attalus On abusing dead authors: Zoilus Homeromastix, Ptolemy II Philadelphus On divergence of the visual rays: Agatharchus, Aeschylus, Democritus, Anaxagoras List of writers on temples: Silenus, Theodorus, Chersiphron and Metagenes, Ictinus and Carpion, Theodorus the Phocian, Hermogenes, Arcesius, Satyrus and a person named Pytheos List of artists: Leochares, Bryaxis, Scopas, Praxiteles, Timotheos List of writers on laws of symmetry: Nexaris, Theocydes, a person named Demophilus, Pollis, a person named Leonidas, Silanion, Melampus, Sarnacus, Euphranor List of writers on machinery: Diades of Pella, Archytas, Archimedes, Ctesibius, Nymphodorus, Philo of Byzantium, Diphilus, Democles, Charias, Polyidus of Thessaly, Pyrrus, Agesistratus List of writers on architecture: Fuficius, Terentius Varro, Publius Septimius (writer) List of architects: Antistates, Callaeschrus, Antimachides, Pormus, Cossutius List of greatest temple architects: Chersiphron of Gnosus, Metagenes, Demetrius, Paeonius the Milesian, Ephesian Daphnis, Ictinus, Philo, Cossutius, Gaius Mucianus Rediscovery Vitruvius' De architectura was "rediscovered" in 1414 by the Florentine humanist Poggio Bracciolini in the library of Saint Gall Abbey. Leon Battista Alberti (1404–1472) publicised it in his seminal treatise on architecture, De re aedificatoria (c. 1450). The first known Latin printed edition was by Fra Giovanni Sulpitius in Rome, 1486. Translations followed in Italian (Cesare Cesariano, 1521), French (Jean Martin, 1547), English, German (Walther H. Ryff, 1543) and Spanish and several other languages. The original illustrations had been lost and the first illustrated edition was published in Venice in 1511 by Fra Giovanni Giocondo, with woodcut illustrations based on descriptions in the text. Later in the 16th-century Andrea Palladio provided illustrations for Daniele Barbaro's commentary on Vitruvius, published in Italian and Latin versions. The most famous illustration is probably Da Vinci's Vitruvian Man. The surviving ruins of Roman antiquity, the Roman Forum, temples, theatres, triumphal arches and their reliefs and statues offered visual examples of the descriptions in the Vitruvian text. Printed and illustrated editions of De Architectura inspired Renaissance, Baroque and Neoclassical architecture. Filippo Brunelleschi, for example, invented a new type of hoist to lift the large stones for the dome of the cathedral in Florence and was inspired by De Architectura as well as surviving Roman monuments such as the Pantheon and the Baths of Diocletian. Notable editions Latin 1800 Augustus Rode, Berlin 1857 Teubner Edition by Valentin Rose 1899 Teubner Edition 1912 Teubner edition at The Latin Library Bill Thayer, transcription of the 1912 Teubner Edition Italian Cesare Cesariano, 1521, Como, Italy, includes illustrations by Cesare Cesariano Danielle Barbaro, includes illustration by Andrea Palladio French Jean Martin, 1547 Claude Perrault, 1673 Auguste Choisy, 1909 English Henry Wotton, 1624 Joseph Gwilt, 1826 Bill Thayer transcription of the Gwilt 1826 Edition Morris H. MorganMorris Hickey Morgan, with illustrations prepared by Herbert Langford Warren, 1914, Harvard University Press Frank Granger, Loeb Edition, 1931 Ingrid Rowland, 2001 Thomas Gordon Smith, The Monacelli Press (January 5, 2004) Roman technology Books VIII, IX and X form the basis of much of what we know about Roman technology, now augmented by archaeological studies of extant remains, such as the water mills at Barbegal in France. The other major source of information is the Naturalis Historia compiled by Pliny the Elder much later in c. 75 AD. Machines The work is important for its descriptions of the many different machines used for engineering structures such as hoists, cranes and pulleys, as well as war machines such as catapults, ballistae, and siege engines. As a practising engineer, Vitruvius must be speaking from personal experience rather than simply describing the works of others. He also describes the construction of sundials and water clocks, and the use of an aeolipile (the first steam engine) as an experiment to demonstrate the nature of atmospheric air movements (wind). Aqueducts His description of aqueduct construction includes the way they are surveyed, and the careful choice of materials needed, although Frontinus (a general who was appointed in the late 1st century AD to administer the many aqueducts of Rome), writing a century later, gives much more detail of the practical problems involved in their construction and maintenance. Surely Vitruvius' book | of the most talented are unknown, while many of those of lesser talent but greater political position are famous. This theme runs through Vitruvius's ten books repeatedly – echoing an implicit prediction that he and his works will also be forgotten. Vitruvius illustrates this point by naming what he considers are the most talented individuals in history. Implicitly challenging the reader that they have never heard of some of these people, Vitruvius goes on and predicts that some of these individuals will be forgotten and their works lost, while other, less deserving political characters of history will be forever remembered with pageantry. List of physicists: Thales, Democritus, Anaxagoras, Xenophanes List of philosophers: Socrates, Plato, Aristotle, Zeno, Epicurus List of kings: Croesus, Alexander the Great, Darius On plagiarism: Aristophanes, Ptolemy I Soter, a person named Attalus On abusing dead authors: Zoilus Homeromastix, Ptolemy II Philadelphus On divergence of the visual rays: Agatharchus, Aeschylus, Democritus, Anaxagoras List of writers on temples: Silenus, Theodorus, Chersiphron and Metagenes, Ictinus and Carpion, Theodorus the Phocian, Hermogenes, Arcesius, Satyrus and a person named Pytheos List of artists: Leochares, Bryaxis, Scopas, Praxiteles, Timotheos List of writers on laws of symmetry: Nexaris, Theocydes, a person named Demophilus, Pollis, a person named Leonidas, Silanion, Melampus, Sarnacus, Euphranor List of writers on machinery: Diades of Pella, Archytas, Archimedes, Ctesibius, Nymphodorus, Philo of Byzantium, Diphilus, Democles, Charias, Polyidus of Thessaly, Pyrrus, Agesistratus List of writers on architecture: Fuficius, Terentius Varro, Publius Septimius (writer) List of architects: Antistates, Callaeschrus, Antimachides, Pormus, Cossutius List of greatest temple architects: Chersiphron of Gnosus, Metagenes, Demetrius, Paeonius the Milesian, Ephesian Daphnis, Ictinus, Philo, Cossutius, Gaius Mucianus Rediscovery Vitruvius' De architectura was "rediscovered" in 1414 by the Florentine humanist Poggio Bracciolini in the library of Saint Gall Abbey. Leon Battista Alberti (1404–1472) publicised it in his seminal treatise on architecture, De re aedificatoria (c. 1450). The first known Latin printed edition was by Fra Giovanni Sulpitius in Rome, 1486. Translations followed in Italian (Cesare Cesariano, 1521), French (Jean Martin, 1547), English, German (Walther H. Ryff, 1543) and Spanish and several other languages. The original illustrations had been lost and the first illustrated edition was published in Venice in 1511 by Fra Giovanni Giocondo, with woodcut illustrations based on descriptions in the text. Later in the 16th-century Andrea Palladio provided illustrations for Daniele Barbaro's commentary on Vitruvius, published in Italian and Latin versions. The most famous illustration is probably Da Vinci's Vitruvian Man. The surviving ruins of Roman antiquity, the Roman Forum, temples, theatres, triumphal arches and their reliefs and statues offered visual examples of the descriptions in the Vitruvian text. Printed and illustrated editions of De Architectura inspired Renaissance, Baroque and Neoclassical architecture. Filippo Brunelleschi, for example, invented a new type of hoist to lift the large stones for the dome of the cathedral in Florence and was inspired by De Architectura as well as surviving Roman monuments such as the Pantheon and the Baths of Diocletian. Notable editions Latin 1800 Augustus Rode, Berlin 1857 Teubner Edition by Valentin Rose 1899 Teubner Edition 1912 Teubner edition at The Latin Library Bill Thayer, transcription of the 1912 Teubner Edition Italian Cesare Cesariano, 1521, Como, Italy, includes illustrations by Cesare Cesariano Danielle Barbaro, includes illustration by Andrea Palladio French Jean Martin, 1547 Claude Perrault, 1673 Auguste Choisy, 1909 English Henry Wotton, 1624 Joseph Gwilt, 1826 Bill Thayer transcription of the Gwilt 1826 Edition Morris H. MorganMorris Hickey Morgan, with illustrations prepared by Herbert Langford Warren, 1914, Harvard University Press Frank Granger, Loeb Edition, 1931 Ingrid Rowland, 2001 Thomas Gordon Smith, The Monacelli Press (January 5, 2004) Roman technology Books VIII, IX and X form the basis of much of what we know about Roman technology, now augmented by archaeological studies of extant remains, such as the water mills at Barbegal in France. The other major source of information is the Naturalis Historia compiled by Pliny the Elder much later in c. 75 AD. Machines The work is important for its descriptions of the many different machines used for engineering structures such as hoists, cranes and pulleys, as well as war machines such as catapults, ballistae, and siege engines. As a practising engineer, Vitruvius must be speaking from personal experience rather than simply describing the works of others. He also describes the construction of sundials and water clocks, and the use of an aeolipile (the first steam engine) as an experiment to demonstrate the nature of atmospheric air movements (wind). Aqueducts His description of aqueduct construction includes the way they are surveyed, and the careful choice of materials needed, although Frontinus (a general who was appointed in the late 1st century AD to administer the many aqueducts of Rome), writing a century later, gives much more detail of the practical problems involved in their construction and maintenance. Surely Vitruvius' book would have been of great assistance in this. Vitruvius was writing in the 1st century BCE when many of the finest Roman aqueducts were built, and survive to this day, such as those at Segovia and the Pont du Gard. The use of the inverted siphon is described in detail, together with the problems of high pressures developed in the pipe at the base of the siphon, a practical problem with which he seems to be acquainted. Materials He describes many different construction materials used for a wide variety of different structures, as well as such details as stucco painting. Concrete and lime receive in-depth descriptions. Vitruvius is cited as one of the earliest sources to connect lead mining and manufacture, its use in drinking water pipes, and its adverse effects on health. For this reason, he recommended the use of clay pipes and masonry channels in the provision of piped drinking-water. Vitruvius is the source for the anecdote that credits Archimedes with the discovery of the mass-to-volume ratio while relaxing in his bath. Having been asked to investigate the suspected adulteration of the gold used to make a crown, Archimedes realised that the crown's volume could be measured exactly by its displacement of water, and ran into the street with the cry of Eureka! Dewatering machines He describes the construction of Archimedes' screw in Chapter X (without mentioning Archimedes by name). It was a device widely used for raising water to irrigate fields and drain mines. Other lifting machines he mentions include the endless chain of buckets and the reverse overshot water-wheel. Remains of the water wheels used for lifting water were discovered when old mines were re-opened at Rio Tinto in Spain, Rosia Montana in Romania and Dolaucothi in west Wales. The Rio Tinto wheel is now shown in the British Museum, and the Dolaucothi specimen in the National Museum of Wales. Surveying instruments That he must have been well practised in surveying is shown by his descriptions of surveying instruments, especially the water level or chorobates, which he compares favourably with the groma, a device using plumb lines. They were essential in all building operations, but especially in aqueduct construction, where a uniform gradient was important to the provision of a regular supply of water without damage to the walls of the channel. He also developed one of the first odometers, consisting of a wheel of known circumference that dropped a pebble into a container on every rotation. Central heating He describes the many innovations made in building design to improve the living conditions of the inhabitants. Foremost among them is the development of the hypocaust, a type of central heating where hot air developed by a fire was channelled under the floor and inside the walls of public baths and villas. He gives explicit instructions how to design such buildings so that fuel efficiency is maximised, so that for example, the caldarium is next to the tepidarium followed by the frigidarium. He also advises on using a type of regulator to control the heat in the hot rooms, a bronze disc set into the roof under a circular aperture which could be raised or lowered by a pulley to adjust the ventilation. Although he does not suggest it himself, it is likely that his dewatering devices such as the reverse overshot water-wheel were used in the larger baths to lift water to header tanks at the top of the larger thermae, such as the Baths of Diocletian. The one which was used in Bath of Caracalla for grinding flour. Legacy Vitruvian Man – a drawing by Leonardo da Vinci Vitruvius Britannicus – 18th century work on British architecture named after Vitruvius. Den Danske Vitruvius – 18th century work on Danish architecture – inspired by Vitruvius Britannicus. The American Vitruvius – 20th century work on civil architecture by Werner Hegemann William Vitruvius Morrison (1794–1838), the son of Irish architect Sir Richard Morrison and himself a noted architect of great houses, bridges, court houses and prisons. A small lunar crater has been named after Vitruvius and also an elongated lunar mountain Mons Vitruvius close by. The Design Quality Indicator (DQI) tool for buildings uses Vitruvius's principles. In popular culture The leader of the Master Builders in The Lego Movie is named Vitruvius. Vitruvius appears as a non-player character in the 2017 video game Assassin's Creed Origins. Vitruvius' work appears in The Rule of Four, a 2004 novel by Ian Caldwell and Dustin Thomason. See also Aristotle Ctesibius Colen Campbell Frontinus Pliny the Elder Roman architecture Roman aqueducts Roman engineering Roman technology Vitruvian man Vitruvian scroll Lucius Vitruvius Cordo References Sources Indra Kagis McEwen, Vitruvius: Writing the Body of Architecture. Cambridge, MA: MIT Press, 2004. B. Baldwin, "The Date, Identity, and Career of Vitruvius". In Latomus 49 (1990), 425–34. Kai Brodersen & Christiane Brodersen: Cetius Faventinus. Das römische Eigenheim / De architectura privata, Latin and German. Wiesbaden: Marix 2015, Further reading Clarke, Georgia. 2002. "Vitruvian Paradigms". Papers of the British School at Rome 70:319–346. De Angelis, Francesco. 2015. "Greek and Roman Specialized Writing on Art and Architecture". In The Oxford Handbook of Greek and Roman Art and Architecture. Edited by Clemente Marconi, 41–69. Oxford: Oxford Univ. Press. König, Alice. 2009. "From Architect to Imperator: Vitruvius and his Addressee in the De Architectura". In Authorial Voices in Greco-Roman Technical Writing. Edited by Liba Chaia Taub and Aude Doody, 31–52. Trier, Germany: WVT Wissenschaftlicher Verlag Trier. Milnor, Kristina L. 2005. "Other Men's Wives". In Gender, Domesticity and the Age of Augustus: Inventing Private Life. By Kristina Milnor, 94–139. Oxford: Oxford Univ. Press. Nichols, Marden Fitzpatrick. 2017".Author and Audience in Vitruvius’ De Architectura". Cambridge, UK: Cambridge Univ. Press. Rowland, Ingrid D. 2014. "Vitruvius and His Influence". In A Companion to Roman Architecture. Edited by Roger B. Ulrich and Caroline K. Quenemoen, 412–425. Malden, MA, and Oxford: Blackwell. Sear, Frank B. 1990. "Vitruvius and Roman Theater Design". American Journal of Archaeology 94.2: 249–258. Smith, Thomas Gordon. 2004. Vitruvius on Architecture. New York: Monacelli Press. Wallace-Hadrill, Andrew. 1994. "The Articulation of the House". In Houses and Society in Pompeii and Herculaneum. By Andrew Wallace-Hadrill, 38–61. Princeton, NJ: Princeton Univ. Press. Wallace-Hadrill, Andrew. 2008. "Vitruvius: Building Roman Identity". In Rome's Cultural Revolution. By Andrew Wallace-Hadrill, 144–210. Cambridge, UK: |
Its major problem is 'creeping D&Dism;' most of the game-systems are directly derived from D&D, and are out of place in a superhero rpg. Also, the short rules do not really provide enough background material and world-design advice for a full-scale role-playing game." Marc Weidenbaum reviewed Villains and Vigilantes in The Space Gamer No. 29. Weidenbaum commented that "Villains and Vigilantes is a good, firm, introductory role-playing game with easy-to-learn rules. If you are a game master from another 'world' you can, with little difficulty, adapt these rules to fit almost any other role-playing game." William A. Barton reviewed the revised Villains and Vigilantes in The Space Gamer No. 62. Barton commented that "if you're really into superhero adventure, I'd recommend giving revised Villains and Vigilantes a try. If you decide you still like Champions or Superworld better, well, you can always use V&V to help you decide what powers to purchase in another system when your superintelligence is on patrol near Arcturus IV." Reviews Different Worlds #32 (Jan./Feb., 1984) Pegasus #11 (Dec. 1982) 2011 legal dispute The game's creators were involved in a legal dispute with Fantasy Games Unlimited since 2011. They claimed that Fantasy Games Unlimited, Inc. ceased to exist in 1991, and that their contract specified that in such an event the contracted publication rights would revert to them, and that therefore the current Fantasy Games Unlimited (which they claim is a separate legal entity, although with the same owner) had no right to sell V&V material. A court case filed in U.S. Federal court, Arizona district (REFERENCE: case no. 2:2011-cv-02036) supported the claim by Fantasy Games Unlimited that the owner properly followed procedure to continue with the obligations of the New York business entity in continued operations as the Arizona entity. The case also asserted that at the time of its dissolution in New York, FGU was current on all obligations with that state and in good standing which then devolved into the entity now operating simply as Fantasy Games Unlimited. A judgment given on July 11, 2012, on the first two counts of case no. 2:2011-cv-02036 in U.S. Federal court, Arizona district ruled in favor of Scott Bizar resulting in Jeff Dee and Jack Herman being found guilty of defamation and unfair business practice and causing unspecified damages to | has since been resolved and a settlement agreed upon with both parties producing their own material. Mechanics Character creation in Villains and Vigilantes reflects the unique nature of the rules. Instead of playing a completely fictional character, players are encouraged to start the process with a version of themselves (presumably as the superhero's "secret identity.") V&V then uses random die rolls for the origins of superpowers (i.e., mutant, space alien, etc.) number and type, sometimes resulting in odd combinations. A further quirk of the system is that while players advance in levels and hit points, superpowers do not, lending a different feel to characters at low, middle, and high power levels. Character stats in the first edition of the game are: Strength, Endurance, Agility, Intelligence, and Charisma. Another feature of the system is its approach to combat: a table outlines the effectiveness of the attacker's superpower (for example, an energy blast) against the defender's powers, reflecting the interplay of attack and defense powers. Publication history The first edition was created by Jeff Dee and Jack Herman and published by Fantasy Games Unlimited in 1979. This book was followed by an adventure published in 1981, "Break In at Three Kilometer Island", and a pair of adventures in 1982 designed specifically to be playable with the original ruleset, but to begin to introduce players to the revised second edition which was published later the same year. These two adventures were authored by Bill Willingham, the creator of the Fables comic book series. Willingham's adventures also used characters that would later appear in his Comico comic book series, Elementals. The second edition of Villains & Vigilantes, created by the same authors and also published by Fantasy Games Unlimited, was released in 1982 in two formats, both as a single rulebook and in a box set format that contained the revised rulebook, GM's screen, dice and character sheets. These were followed by a line of adventure module and rule supplements published through the 80's until the final supplement published in 1987, "For the Greater Good". In 2004, Fantasy Games Unlimited began republishing the original V&V rules and supplements as a series of electronic supplements via the DriveThruRPG online store, continuing to add supplements until nearly the entire back catalog is now available. In 2010, the creators of the game released a new revised version, version 2.1, published through Monkey House Games. This has caused ongoing legal disputes. That same year, Fantasy Games Unlimited began releasing new supplements for 2nd Edition Villains and Vigilantes, for the first time since 1987, while Monkey House Games continued to release supplements of its own. Both companies continue to sell their products. On April 20, 2016 a resolution has been agreed upon. Adventures Crisis at Crusader Citadel is an introductory adventure published in 1982 by Fantasy Games Unlimited and written and illustrated by Dee and Herman. The scenario begins with the players controlling neophyte superheroes, based on themselves, who are looking to apply for membership in the established super-hero team called the Crusaders. During the adventure, the player-heroes have to stop a crime wave being carried out by the Crusaders' opposite numbers, a villain team called the Crushers. Four years after the adventure booklet was published, the setting of the first adventure was used as the basis of a Villains and Vigilantes comic book mini-series by Dee and Herman published by Eclipse Comics. Each issue included character sheets for new heroes and villains and updated material for the existing ones for use with the game. Two early adventures for the game by Bill Willingham, Death Duel with the Destroyers and The Island of Dr. Apocalypse, used characters that would later appear in his Comico comic book series, Elementals. Similarly, a Villains and Vigilantes character, The Dark, later appeared in a series of comic books by the independent publisher Continüm Comics. Reception Greg Costikyan reviewed Villains & Vigilantes in |
business was writing and their theology said there was nothing for certain to write. They instead concentrated on the argument that it was not necessary to believe in God to behave in moral fashion. The scientists, on the other hand, paid less attention to theology and more attention to the exciting issues raised by Charles Darwin in terms of evolution. The proof of God's existence that said he had to exist to have a marvelously complex world was no longer satisfactory when biology demonstrated that complexity could arise through evolution. Marriage and family The centrality of the family was a dominant feature for all classes. Worriers repeatedly detected threats that had to be dealt with: working wives, overpaid youths, harsh factory conditions, bad housing, poor sanitation, excessive drinking, and religious decline. The licentiousness so characteristic of the upper class of the late 18th and early 19th centuries dissipated. The home became a refuge from the harsh world; middle-class wives sheltered their husbands from the tedium of domestic affairs. The number of children shrank, allowing much more attention to be paid to each child. Extended families were less common, as the nuclear family became both the ideal and the reality. The emerging middle-class norm for women was separate spheres, whereby women avoid the public sphere – the domain of politics, paid work, commerce, and public speaking. Instead, they should dominate in the realm of domestic life, focused on the care of the family, the husband, the children, the household, religion, and moral behavior. Religiosity was in the female sphere, and the Nonconformist churches offered new roles that women eagerly entered. They taught in Sunday schools, visited the poor and sick, distributed tracts, engaged in fundraising, supported missionaries, led Methodist class meetings, prayed with other women, and a few were allowed to preach to mixed audiences. The long 1854 poem The Angel in the House by Coventry Patmore (1823–1896) exemplified the idealized Victorian woman who is angelically pure and devoted to her family and home. The poem was not a pure invention but reflected the emerging legal economic social, cultural, religious and moral values of the Victorian middle-class. Legally women had limited rights to their bodies, the family property, or their children. The recognized identities were those of daughter, wife, mother, and widow. Rapid growth and prosperity meant that fewer women had to find paid employment, and even when the husband owned a shop or small business, the wife's participation was less necessary. Meanwhile, the home sphere grew dramatically in size; women spent the money and decided on the furniture, clothing, food, schooling, and outward appearance the family would make. Patmore's model was widely copied – by Charles Dickens, for example. Literary critics of the time suggested that superior feminine qualities of delicacy, sensitivity, sympathy, and sharp observation gave women novelists a superior insight into stories about home family and love. This made their work highly attractive to the middle-class women who bought the novels and the serialized versions that appeared in many magazines. However, a few early feminists called for aspirations beyond the home. By the end of the century, the "New Woman" was riding a bicycle, wearing bloomers, signing petitions, supporting worldwide mission activities, and talking about the vote. In Great Britain, elsewhere in Europe, and in the United States, the notion that marriage should be based on romantic love and companionship rather than convenience, money, or other strategic considerations grew in popularity during the Victorian period. Cheaper paper and printing technology made it easier for humans to attract mates this way, hence the birth of the Valentine card. Education and literacy The Industrial Revolution incentivised people to think more scientifically and to become more educated and informed in order to solve novel problems. As a result, cognitive abilities were pushed to their genetic limits, making people more intelligent and innovative than their predecessors. Formal education thus became vital. According to intelligence researcher James R. Flynn, these changes echoed down to the twentieth century before leveling off in the early twenty-first. The era saw a reform and renaissance of public schools, inspired by Thomas Arnold at Rugby. The public school became a model for gentlemen and public service. Sunday schools and charity schools helped reduce illiteracy. In fact, throughout the course of the nineteenth century, there was a clear movement towards universal literacy, culminating in the Elementary Education Act of 1870. By 1876, attending elementary schools was made compulsory. As a consequence of various education reforms, literacy rates steadily rose. One way to determine the literacy rate is to count those who could sign their names on their marriage registers. Using this method, it was established that literacy in England and Wales reached roughly 90% by the late nineteenth century. Statistics of literacy from this era are likely underestimates because they were based on the number of people who could write, but throughout most of the nineteenth century, people were typically taught to read before they were taught to write. Literacy rates were higher in urban than rural areas. Rising literacy and urbanization provided an expanding market for printed materials, from cheap books to magazines. By 1900, only around 3% of people in England and Wales were illiterate with a similar rate in Scotland. A key component of the curriculum at Cambridge since the mid-eighteenth century had been the "Mathematical Tripos," providing not just intensive training for mathematicians and scientists but also general education for future civil servants, colonial administrators, lawyers, and clergymen. Named after the three-legged stool students had been sitting on since the fifteenth century, the Tripos included extremely challenging and highly prestigious exams whose most successful candidate for a given year was called the "Senior Wrangler." Below the Senior and Second Wranglers were the Optimes. The exams concerned not just pure but also "mixed" or applied mathematics. Starting from the 1830s, under the influence of Master of Trinity College William Whewell, the "mixed" portion included only branches of applied mathematics deemed stable, such as mechanics and optics, rather those amenable to mathematical analysis but remained unfinished at the time, such as electricity and magnetism. Following recommendations from the Royal Commission of 1850–51, science education at Oxford and Cambridge underwent significant reforms. In 1851, a new Tripos was introduced, providing a broader and less mathematical program in "natural philosophy," or what science was still commonly called back then. By 1890, the Tripos had evolved into a rigorous test of not just mathematical ingenuity but also mental stamina. Topics ranged widely, from number theory to mathematical physics. Candidates needed to have a firm grasp of the works of Sir Isaac Newton and Euclid of Alexandria, trigonometric identities, conic sections, compounded interest, eclipses and more. They usually sat for five and a half hours each day for eight days for a total of a dozen papers featuring increasingly difficult questions. In general, while the first colleges for women opened in the 1870s, it was not until the 1890s that they started to be permitted to study side by side with men and to sit for the same exams as men. The first college for women at the University of Cambridge, Girton, opened in 1873. However, women were only allowed to take exams; it was not until 1948 that they were able to receive degrees. They were marked and scored separately, however, and the results of female candidates were enunciated in comparison to men's, for instance, "between the 20th and 21st Optimes." Exam results from the 1860s onward suggested that women broadly did as well as men, though with the notable exception of mathematics. At that time, it was commonly thought that women were emotional creatures lacking the mental faculty to master mathematics. Thus it was big news when Philippa Fawcett was ranked "above the Senior Wranger" in 1890, scoring thirteen percent higher than the top male that year, Geoffrey Thomas Bennett. She was the first, and last, woman to score the highest on the Tripos. While women were not welcomed in the world of medicine, this was not the case in nursing. In fact, nursing became even more respected after the brilliant exploits of Florence Nightingale during the Crimean War. Her nursing school at St Thomas' Hospital became a model for others. Consequently, for many middle-class young women, the prospects of being a nurse, one of the few career options open to them at the time, became much more appealing. Reading culture During the nineteenth century, the publishing industry found itself catching up with the momentous changes to society brought about by the Industrial Revolution. It benefited from the introduction of electrical power, rail transport, and telegraphy. Sales of books and periodicals were fuelled by the seemingly insatiable demand for knowledge, self-improvement, and entertainment from the rapidly growing middle-class. Initially, while book prices were too high for the average reader, they were sufficient to cover the costs of the publisher and to pay reasonable amounts to the authors. But as free-to-use libraries sprang up all around the country, people started flocking to them. Authors and publishers looked for ways to cut prices and increase sales. Serialisation in periodicals, especially literary magazines though not newspapers, became popular. Quality illustrations were commissioned from the reputable artists of the time as an incentive to purchase. Income from writing increased for some writers, and many became professional novelists. In the early 1800s, the market for children's literature was dominated by religious groups. Stories from this period often included strong a moral message. But it showed signs of growth and some writers decided to seize the opportunity. By the middle of the century, commercial publishers came to recognise the great potential of this market and signed deals with gifted authors to provide a plethora of reading materials to children. They also took advantage of innovations such as those that enable the printing of coloured illustrations. As the middle class boomed, people had more money to spend on entertaining their children. Moral messaging was de-emphasised in favor of fun. Classics like the tales of the Brothers Grimm and the fairy tales of Hans Christian Andersen made their way to the printing press. But it was Alice's Adventures in Wonderland by Lewis Carroll that proved to be the most popular, alongside the works of William Makepeace Thackeray, Charles Kingsley, Jean Ingelow, and George Macdonald. By the 1880s, juvenile fiction packed with action and adventure became commonplace. Fantasy did not have a monopoly on the market for children's literature, however. Tom Brown's School Days (1857) by Thomas Hughes was a noteworthy example of realistic writing and school stories while Black Beauty (1877) by Anna Sewell was the start of the blooming of animal tales. As a matter of fact, the market grew so large that most of the top writers of the era wrote at least one book for children. Children's magazines and poetry for children (especially the nonsensical variety) blossomed during the Victorian age. In prose, the novel rose from a position of relative neglect during the 1830s to become the leading literary genre by the end of the era. In the 1830s and 1840s, the social novel (also "Condition-of-England novels") responded to the social, political and economic upheaval associated with industrialisation. Though it remained influential throughout the period, there was a notable resurgence of Gothic fiction in the fin de siècle, such as in Robert Louis Stevenson's novella Strange Case of Dr Jekyll and Mr Hyde (1886) and Oscar Wilde's The Picture of Dorian Gray (1891). Following the bicentenary of William Shakespeare in 1769, the popularity of his works steadily grew, reaching a peak in the nineteenth century. Charles and Mary Lamb appeared to have anticipated this with their Tales from Shakespeare (1807). Intended as an introduction for apprentice readers to the works of the great playwright, the book became one of the best-selling titles in literature of the century, being republished multiple times. As early as 1830, astronomer John Herschel had already recognised the need for the genre of popular science. In a letter to philosopher William Whewell, he wrote that the general public needed "digests of what is actually known in each particular branch of science... to give a connected view of what has been done, and what remains to be accomplished." Indeed, as the British population became not just increasingly literate but also well-educated, there was growing demand for science titles. Mary Somerville became an early and highly successful science writer of the nineteenth century. Her On the Connexion of the Physical Sciences (1834), intended for the mass audience, sold quite well. Arguably one of the first books in the genre of popular science, it contained few diagrams and very little mathematics. It had ten editions and was translated to multiple languages. As its name suggests, it offered readers a broad overview of the physical sciences at a time when these studies were becoming increasingly distinct and specialised. It was the most popular science title from the publisher John Murray until Charles Darwin's On the Origin of Species (1859). Although Somerville's rendition of Pierre-Simon de Laplace's masterpiece Mécanique Céleste, The Mechanism of the Heavens (1831), was intended to inform the masses of the latest advances in Newtonian mechanics and gravitation, it was also used as a textbook for students at the University of Cambridge till the 1880s. The abolition of the newspaper stamp duty in 1855 and the advertising tax in 1858 paved the way for not only cheaper magazines but also those catering to a variety of interests. During the final three decades of the Victorian era, women's newspapers and magazines flourished and increasingly covered topics other than domestic issues, reflecting the trend among women at the time. The professional police force dedicated to not just the prevention but also the investigation of crime took shape during the mid-nineteenth century. This development inspired Charles Dickens to write the crime novel Bleak House (1852–3), creating the first fictional detective, Mr. Bucket, based on a real-life character by the name of Charles Field. But it was Arthur Conan Doyle's Sherlock Holmes who proved to be the most popular fictional detective of the Victorian age, and indeed, of all times. By the 1860s, there was strong demand for adventure, detective, sensational, and science-fiction novels. Indeed, the late nineteenth century saw a tremendous amount of technological progress, which inspired authors to write in the genre of science fiction. Herbert George Wells' The Time Machine (1895) was a commercial success; in it, he introduced the notion of time travel. In some instances, science fiction inspired new technology and scientific research. Explorer Ernest Shackleton acknowledged that the novel Twenty Thousand Leagues Under the Sea by Jules Vernes was an inspiration. A 2015 study investigated the frequency at which difficult vocabulary from the WORDSUM test were employed in about 5.9 million English-language texts published between 1850 and 2005. The researchers found that the more difficult of words were in declining usage and a negative correlation between the use of such words and completed fertility. On the other hand, simpler words entered increasingly common use, an effect of rising literacy. In another study, from 2017, researchers employed Google's Ngram Viewer, an enormous archive of scanned books, periodicals, and other printed materials dating back to the sixteenth century. They found that the use of difficult vocabulary increased substantially between the mid-1700s and mid-1800s before declining steadily till the present day. Entertainment Popular forms of entertainment varied by social class. Victorian Britain, like the periods before it, was interested in literature, theatre and the arts (see Aesthetic movement and Pre-Raphaelite Brotherhood), and music, drama, and opera were widely attended. Michael Balfe was the most popular British grand opera composer of the period, while the most popular musical theatre was a series of fourteen comic operas by Gilbert and Sullivan, although there was also musical burlesque and the beginning of Edwardian musical comedy in the 1890s. Drama ranged from low comedy to Shakespeare (see Henry Irving). Melodrama—literally 'musical drama'—was introduced in Revolutionary France and reached Great Britain from there during the Victorian era. It was a particularly widespread and influential theatrical genre thanks to its appeal to the working-class and artisans. However, its popularity decline in the late nineteenth century. Even so, it continued to influence the novels of the era. Gentlemen went to dining clubs, like the Beefsteak Club or the Savage Club. Gambling at cards in establishments popularly called casinos was wildly popular during the period: so much so that evangelical and reform movements specifically targeted such establishments in their efforts to stop gambling, drinking, and prostitution. Brass bands and 'The Bandstand' became popular in the Victorian era. The bandstand was a simple construction that not only created an ornamental focal point but also served acoustic requirements whilst providing shelter from the changeable British weather. It was common to hear the sound of a brass band whilst strolling through parklands. At this time musical recording was still very much a novelty. The Victorian era marked the golden age of the British circus. Astley's Amphitheatre in Lambeth, London, featuring equestrian acts in a 42-foot wide circus ring, was the center of the 19th-century circus. The permanent structure sustained three fires but as an institution lasted a full century, with Andrew Ducrow and William Batty managing the theatre in the middle part of the century. William Batty would also build his 14,000-person arena, known commonly as Batty's Hippodrome, in Kensington Gardens, and draw crowds from the Crystal Palace Exhibition. Traveling circuses, like Pablo Fanque's, dominated the British provinces, Scotland, and Ireland (Fanque would enjoy fame again in the 20th century when John Lennon would buy an 1843 poster advertising his circus and adapt the lyrics for The Beatles song, Being for the Benefit of Mr. Kite!). Fanque also stands out as a black man who achieved great success and enjoyed great admiration among the British public only a few decades after Britain had abolished slavery. Another form of entertainment involved "spectacles" where paranormal events, such as mesmerism, communication with the dead (by way of mediumship or channeling), ghost conjuring and the like, were carried out to the delight of crowds and participants. Such activities were more popular at this time than in other periods of recent Western history. Natural history became increasingly an "amateur" activity. Particularly in Britain and the United States, this grew into specialist hobbies such as the study of birds, butterflies, seashells (malacology/conchology), beetles and wildflowers. Amateur collectors and natural history entrepreneurs played an important role in building the large natural history collections of the nineteenth and early twentieth centuries. Middle-class Victorians used the train services to visit the seaside, helped by the Bank Holiday Act of 1871, which created many fixed holidays. Large numbers traveling to quiet fishing villages such as Worthing, Morecambe and Scarborough began turning them into major tourist centres, and people like Thomas Cook saw tourism and even overseas travel as viable businesses. Sports The Victorian era saw the introduction and development of many modern sports. Often originating in the public schools, they exemplified new ideals of manliness. Cricket, cycling, croquet, horse-riding, and many water activities are examples of some of the popular sports in the Victorian era. The modern game of tennis originated in Birmingham, England, between 1859 and 1865. The world's oldest tennis tournament, the Wimbledon championships, was first played in London in 1877. Britain was an active competitor in all the Olympic Games starting in 1896. High culture Gothic Revival architecture became increasingly significant during the period, leading to the Battle of the Styles between Gothic and Classical ideals. Charles Barry's architecture for the new Palace of Westminster, which had been badly damaged in an 1834 fire, was built in the medieval style of Westminster Hall, the surviving part of the building. It constructed a narrative of cultural continuity, set in opposition to the violent disjunctions of Revolutionary France, a comparison common to the period, as expressed in Thomas Carlyle's The French Revolution: A History and Charles Dickens' Great Expectations and A Tale of Two Cities. Gothic was also supported by critic John Ruskin, who argued that it epitomised communal and inclusive social values, as opposed to Classicism, which he considered to epitomise mechanical standardisation. The middle of the 19th century saw The Great Exhibition of 1851, the first World's Fair, which showcased the greatest innovations of the century. At its centre was the Crystal Palace, a modular glass and iron structure – the first of its kind. It was condemned by Ruskin as the very model of mechanical dehumanisation in design but later came to be presented as the prototype of Modern architecture. The emergence of photography, showcased at the Great Exhibition, resulted in significant changes in Victorian art with Queen Victoria being the first British monarch to be photographed. In general, various styles of painting were popular during the Victorian period, Classicism, Neoclassicism, Romanticism, Impressionism, and Post-impressionism. In 1848, Dante Rossetti and William Holman Hunt created the Pre-Raphaelite Brotherhood whose stated aim was to produce paintings of photographic quality, taking inspiration from a variety of sources, from the works of William Shakespeare to Mother Nature herself. The growing popularity of romantic love spilled over into literature and fine arts. Gallery of selected Victorian paintings Journalism In 1817, Thomas Barnes became general editor of The Times; he was a political radical, a sharp critic of parliamentary hypocrisy and a champion of freedom of the press. Under Barnes and his successor in 1841, John Thadeus Delane, the influence of The Times rose to great heights, especially in politics and in the financial district (the City of London). It spoke of reform. The Times originated the practice of sending war correspondents to cover particular conflicts. W. H. Russell wrote immensely influential dispatches on the Crimean War of 1853–1856; for the first time, the public could read about the reality of warfare. Russell wrote one dispatch that highlighted the surgeons' "inhumane barbarity" and the lack of ambulance care for wounded troops. Shocked and outraged, the public reacted in a backlash that led to major reforms especially in the provision of nursing, led by Florence Nightingale. The Manchester Guardian was founded in Manchester in 1821 by a group of non-conformist businessmen. Its most famous editor, Charles Prestwich Scott, made the Guardian into a world-famous newspaper in the 1890s. The Daily Telegraph in 1856 became the first penny newspaper in London. It was funded by advertising revenue based on a large audience. Leisure At mid-century, the idea of a large amphitheatre for musical performances and conferences for the learned captured the imagination of not just Henry Cole, Secretary of the Science and Art Department, but also Prince Albert. By 1857, Cole planned to build one with "due regard to the principles of sound." After the Prince's death in 1861, this project had the additional goal of commemorating him. The Royal Albert Hall opened on 29 March 1871. Lieutenant-Colonel Henry Scott, R.E., who managed the construction, estimated there was enough space for 7,165 people plus 1,200 performers; the theoretical limit was 10,000. As desired by the Prince, it did not rely on public funds but was purely privately funded. Opportunities for leisure activities increased dramatically as real wages continued to grow and hours of work continued to decline. In urban areas the nine-hour workday became increasingly the norm; the Factory Act 1874 limited the working week to 56.5 hours, encouraging the movement towards an eventual eight-hour workday. Furthermore, a system of routine annual holidays came into play, starting with white-collar workers and moving into the working-class. Some 200 seaside resorts emerged thanks to cheap hotels and inexpensive railway fares, widespread bank holidays and the fading of many religious prohibitions against secular activities on Sundays. By the late Victorian era the leisure industry had emerged in all cities. It provided scheduled entertainment of suitable length at convenient locales at inexpensive prices. These included sporting events, music halls, and popular theatre. By 1880 football was no longer the preserve of the social elite, as it attracted large working-class audiences. Average attendance was 5000 in 1905, rising to 23,000 in 1913. That amounted to 6 million paying customers with a weekly turnover of £400,000. Sports by 1900 generated some three percent of the total gross national product. Professional sports were the norm, although some new activities reached an upscale amateur audience, such as lawn tennis and golf. Women were now allowed in some sports, such as archery, tennis, badminton and gymnastics. Demographics Demographic transition Britain had the lead in rapid economic and population growth. At the time, Thomas Malthus believed this lack of growth outside Britain was due the carrying capacity of their local environments. That is, the tendency of a population to expand geometrically while resources grew more slowly, reaching a crisis (such as famine, war, or epidemic) which would reduce the population to a more sustainable size. Great Britain escaped the 'Malthusian trap' because the scientific and technological breakthroughs of the Industrial Revolution dramatically improved living standards, reducing mortality and increasing longevity. The Victorian era was a time of unprecedented population growth in Britain. The population rose from 13.9 million in 1831 to 32.5 million in 1901. Two major contributory factors were fertility rates and mortality rates. Britain was the first country to undergo the demographic transition and the Agricultural and Industrial Revolutions. Economist Gary Becker argued that at first, falling fertility is due to urbanisation and lower infant mortality rates, which diminished the benefits and increased the costs of raising children. In other words, it became more economically sensible to invest more in fewer children. This is known as the first demographic transition. This trend continued till around 1950. (The second demographic transition occurred due to the significant cultural shifts of the 1960s, leading to the decline in the desire for children.) Fertility rates and mortality rates The demographic transition is when a population shifts from being one of high child mortality rates and high fertility rates to one that is low in both. Western nations completed this transition by the early 1900s. It occurred in two stages. Initially, child mortality rates dropped significantly due to improved healthcare and sanitation and better nutrition, yet fertility rates remained high, leading to a population boom. Gradually, fertility rates fell as people became more affluent and had better access to contraception. By 1900, the infant mortality rate in England was 10 percent, down from an estimated 25 percent in the Middle Ages. There was no catastrophic epidemic or famine in England or Scotland in the nineteenth century—it was the first century in which a major epidemic did not occur throughout the whole country, and deaths per 1000 of population per year in England and Wales fell from 21.9 from 1848 to 1854 to 17 in 1901 (cf, for instance, 5.4 in 1971). Social class had a significant effect on mortality rates: the upper classes had a lower rate of premature death early in the nineteenth century than poorer classes did. In the Victorian era, fertility rates increased in every decade until 1901, when the rates started evening out. There were several reasons for this. One is biological: with improving living standards, a higher proportion of women were biologically able to have children. Another possible explanation is social. In the 19th century, the marriage rate increased, and people were getting married at a very young age until the end of the century, when the average age of marriage started to increase again slowly. The reasons why people got married younger and more frequently are uncertain. One theory is that greater prosperity allowed people to finance marriage and new households earlier than previously possible. With more births within marriage, it seems inevitable that marriage rates and birth rates would rise together. Birth rates were originally measured by the 'crude birth rate' – births per year divided by total population. This is indeed a crude measure, as key groups and their fertility rates are not clear. It is likely to be affected mainly by changes in the age distribution of the population. The Net Reproduction Rate was then introduced as an alternative measure: it measures the average fertility rate of women of child-bearing ages. High rates of birth also occurred because of a lack of birth control. Mainly because women lacked knowledge of birth control methods and the practice was seen as unrespectable. The evening out of fertility rates at the beginning of the 20th century was mainly the result of a few big changes: availability of forms of birth control, and changes in people's attitude towards sex. In the olden days, people typically had had as many children as they could afford in order to ensure at least a few of them would survive to adulthood and have children of their own due to high child mortality rates. Moreover, it was the poor who had had an incentive to curb their fertility whereas the rich had lacked such a need due to greater wealth and lower child mortality rates. This changed due to the Industrial Revolution. Standards of living improved and mortality rates fell. People no longer needed to have as many children as before to ensure the propagation of their genes. The link between poverty and child mortality weakened. In addition, societal attitude towards contraception warmed, leading to the negative correlation between intelligence and fertility. Factors linked to general intelligence, such as socioeconomic status and educational attainment, were also found to be negatively correlated with fertility starting from the nineteenth century. Environmental and health standards rose throughout the Victorian era. Improvements in nutrition may also have played a role, though its importance is still debated. Economy, industry, and trade Progress Life in the late 1700s had been little different from life in the late Middle Ages. But the nineteenth century saw dramatic technological development. Someone alive in 1804 would know about the electric telegraph, the steam ship, the circular saw, the bicycle, and the steam-powered locomotive. If this person lived to 1870, he or she would have heard of the invention of the electric light bulb, the typewriter, the calculator, the rubber tyre, the washing machine, the internal combustion engine, plastic, and dynamite. Engineering prowess, especially in communication and transportation, made Great Britain the leading industrial powerhouse and trading nation of the world at that time. According to historians David Brandon and Alan Brooke, the new system of railways after 1830 brought into being our modern world: They stimulated demand for building materials, coal, iron and, later, steel. Excelling in the bulk movement of coal, they provided the fuel for the furnaces of industry and for domestic fireplaces. Millions of people were able to travel who had scarcely ever travelled before. Railways enabled mail, newspapers, periodicals and cheap literature to be distributed easily, quickly and cheaply allowing a much wider and faster dissemination of ideas and information. They had a significant impact on improving diet....[and enabled] a proportionately smaller agricultural industry was able to feed a much larger urban population....They employed huge quantities of labour both directly and indirectly. They helped Britain to become the ‘Workshop of the World’ by reducing transport costs not only of raw materials but of finished goods, large amounts of which were exported....[T]oday’s global corporations originated with the great limited liability railway companies....By the third quarter of the nineteenth century, there was scarcely any person living in Britain whose life had not been altered in some way by the coming of the railways. Railways contributed to the transformation of Britain from a rural to a predominantly urban society. Historians have characterised the mid-Victorian era (1850–1870) as Britain's "Golden Years". It was not till the two to three decades following the Second World War that substantial economic growth was seen again. In the long-term view, the mid-Victorian boom was one upswing in the Kondratiev cycle (see figure). There was prosperity, as the national income per person grew by half. Much of the prosperity was due to the increasing industrialisation, especially in textiles and machinery, as well as to the worldwide network of exports that produced profits for British merchants. British entrepreneurs built railways in India and many independent nations. There was peace abroad (apart from the short Crimean War, 1854–56), and social peace at home. Opposition to the new order melted away, says Porter. The Chartist movement peaked as a democratic movement among the working class in 1848; its leaders moved to other pursuits, such as trade unions and cooperative societies. The working class ignored foreign agitators like Karl Marx in their midst, and joined in celebrating the new prosperity. Employers typically were paternalistic and generally recognised the trade unions. Companies provided their employees with welfare services ranging from housing, schools and churches, to libraries, baths, and gymnasia. Middle-class reformers did their best to assist the working classes' aspirations to middle-class norms of "respectability". There was a spirit of libertarianism, says Porter, as people felt they were free. Taxes were very low, and government restrictions were minimal. There were still problem areas, such as occasional riots, especially those motivated by anti-Catholicism. Society was still ruled by the aristocracy and the gentry, who controlled high government offices, both houses of Parliament, the church, and the military. Becoming a rich businessman was not as prestigious as inheriting a title and owning a landed estate. Literature was doing well, but the fine arts languished as the Great Exhibition of 1851 showcased Britain's industrial prowess rather than its sculpture, painting or music. The educational system was mediocre; the main universities (outside Scotland) were likewise mediocre. Historian Llewellyn Woodward has concluded: For leisure or work, for getting or for spending, England was a better country in 1879 than in 1815. The scales were less weighted against the weak, against women and children, and against the poor. There was greater movement, and less of the fatalism of an earlier age. The public conscience was more instructed, and the content of liberty was being widened to include something more than freedom from political constraint ... Yet England in 1871 was by no means an earthly paradise. The housing and conditions of life of the working class in town & country were still a disgrace to an age of plenty. In December 1844, Rochdale Society of Equitable Pioneers founded what is considered the first cooperative in the world. The founding members were a group of 28, around half of which were weavers, who decided to band together to open a store owned and managed democratically by the members, selling food items they could not otherwise afford. Ten years later, the British co-operative movement had grown to nearly 1,000 co-operatives. The movement also spread across the world, with the first cooperative financial institution founded in 1850 in Germany. Housing The very rapid growth in population in the 19th century in the cities included the new industrial and manufacturing cities, as well as service centres such as Edinburgh and London. The critical factor was financing, which was handled by building societies that dealt directly with large contracting firms. Private renting from housing landlords was the dominant tenure. P. Kemp says this was usually of advantage to tenants. People moved in so rapidly that there was not enough capital to build adequate housing for everyone, so low income newcomers squeezed into increasingly overcrowded slums. Clean water, sanitation, and public health facilities were inadequate; the death rate was high, especially infant mortality, and tuberculosis among young adults. Cholera from polluted water and typhoid were endemic. Unlike rural areas, there were no famines such as the one which devastated Ireland in the 1840s. Poverty 19th-century Britain saw a huge population increase accompanied by rapid urbanisation stimulated by the Industrial Revolution. Wage rates improved steadily; real wages (after taking inflation into account) were 65 percent higher in 1901, compared to 1871. Much of the money was saved, as the number of depositors in savings banks rose from 430,000 in 1831, to 5.2 million in 1887, and their deposits from £14 million to over £90 million. People flooded into industrial areas and commercial cities faster than housing could be built, resulting in overcrowding and lagging sanitation facilities such as fresh water and sewage. These problems were magnified in London, where the population grew at record rates. Large houses were turned into flats and tenements, and as landlords failed to maintain these dwellings, slum housing developed. Kellow Chesney described the situation as follows: "Hideous slums, some of them acres wide, some no more than crannies of obscure misery, make up a substantial part of the metropolis... In big, once handsome houses, thirty or more people of all ages may inhabit a single room." Significant changes happened in the British Poor Law system in England and Wales, Scotland, and Ireland. These included a large expansion in workhouses (or poorhouses in Scotland), although with changing populations during the era. Child labour The early Victorian era before the reforms of the 1840s became notorious for the employment of young children in factories and mines and as chimney sweeps. Child labour played an important role in the Industrial Revolution from its outset: novelist Charles Dickens, for example, worked at the age of 12 in a blacking factory, with his family in a debtors' prison. Reformers wanted the children in school: in 1840 only about 20 percent of the children in London had any schooling. By 1860 about half of the children between 5 and 15 were in school (including Sunday school). The children of the poor were expected to help towards the family budget, often working long hours in dangerous jobs for low wages. Agile boys were employed by the chimney sweeps; small children were employed to scramble under machinery to retrieve cotton bobbins; and children were also employed to work in coal mines, crawling through tunnels too narrow and low for adults. Children also worked as errand boys, crossing sweepers, shoe blacks, or sold matches, flowers, and other cheap goods. Some children undertook work as apprentices to respectable trades, such as building, or as domestic servants (there were over 120,000 domestic servants in London in the mid 19th century). Working hours were long: builders might work 64 hours a week in summer and 52 in winter, while domestic servants were theoretically on duty 80-hours a week. Mother bides at home, she is troubled with bad breath, and is sair weak in her body from early labour. I am wrought with sister and brother, it is very sore work; cannot say how many rakes or journeys I make from pit's bottom to wall face and back, thinks about 30 or 25 on the average; the distance varies from 100 to 250 fathom. I carry about 1 cwt. and a quarter on my back; have to stoop much and creep through water, which is frequently up to the calves of my legs. — Isabella Read, 12 years old, coal-bearer, testimony gathered by Ashley's Mines Commission 1842 As early as 1802 and 1819, Factory Acts were passed to limit the working hours of children in factories and cotton mills to 12 hours per day. These acts were largely ineffective and after radical agitation, by for example the "Short Time Committees" in 1831, a Royal Commission recommended in 1833 that children aged 11–18 should work a maximum of 12 hours per day, children aged 9–11 a maximum of eight hours, and children under the age of nine should no longer be permitted to work. This act, however, only applied to the textile industry, and further agitation led to another act in 1847 limiting both adults and children to 10-hour working days. Mathematics, science, technology, and engineering Professionalisation of science Founded in 1799 with the stated purpose of "diffusing the Knowledge, and facilitating the general Introduction, of Useful Mechanical Inventions and Improvements; and for teaching, by Courses of Philosophical Lectures and Experiments, the application of Science to the common Purposes of Life," the Royal Institution was a proper scientific institution with laboratories, a lecture hall, libraries, and offices. In its first years, the Institution was dedicated to the improvement of agriculture using chemistry, prompted by trade restrictions with Europe. Such practical concerns continued through the next two centuries. However, it soon became apparent that additional funding was required in order for the Institution to continue. Some well-known experts were hired as lecturers and researchers. The most successful of them all was Sir Humphry Davy, whose lectures concerned a myriad of topics and were so popular that the original practical purpose of the Institution faded away. It became increasingly dominated by research in basic science. The professionalisation of science began in the aftermath of the French Revolution and soon spread to other parts of the Continent, including the German lands. It was slow to reach Britain, however. Master of Trinity College William Whewell coined the term scientist in 1833 to describe the new professional breed specialists and experts studying what was still commonly known as natural philosophy. In 1840, Whewell wrote, "We need very much a name to describe a cultivator of science in general. I should incline to call him a Scientist." The new term signaled the recognition of the importance of empiricism and inductive reasoning. But this term was slow to catch on. As biologist Thomas Huxley indicated in 1852, the prospect of earning a decent living as a scientist remained remote despite the prestige of the occupation. It was possible for a scientist to "earn praise but not pudding," he wrote. Since its birth, the Royal Society of London had been a club of gentlemanly amateurs, though some of whom were the very best in their fields, people like Charles Darwin and James Prescott Joule. But the Society reformed itself in the 1830s and 1840s. By 1847, it only admitted the new breed of professionals. The Victorians were impressed by science and progress and felt that they could improve society in the same way as they were improving technology. Britain was the leading world centre for advanced engineering and technology. Its engineering firms were in worldwide demand for designing and constructing railways. Ease of discovery and rate of progress A necessary part of understanding scientific progress is the ease of scientific discovery. In many cases, from planetary science to mammalian biology, the ease of discovery since the 1700s and 1800s can be fitted to an exponentially decaying curve. But the rate of | the physical sciences at a time when these studies were becoming increasingly distinct and specialised. It was the most popular science title from the publisher John Murray until Charles Darwin's On the Origin of Species (1859). Although Somerville's rendition of Pierre-Simon de Laplace's masterpiece Mécanique Céleste, The Mechanism of the Heavens (1831), was intended to inform the masses of the latest advances in Newtonian mechanics and gravitation, it was also used as a textbook for students at the University of Cambridge till the 1880s. The abolition of the newspaper stamp duty in 1855 and the advertising tax in 1858 paved the way for not only cheaper magazines but also those catering to a variety of interests. During the final three decades of the Victorian era, women's newspapers and magazines flourished and increasingly covered topics other than domestic issues, reflecting the trend among women at the time. The professional police force dedicated to not just the prevention but also the investigation of crime took shape during the mid-nineteenth century. This development inspired Charles Dickens to write the crime novel Bleak House (1852–3), creating the first fictional detective, Mr. Bucket, based on a real-life character by the name of Charles Field. But it was Arthur Conan Doyle's Sherlock Holmes who proved to be the most popular fictional detective of the Victorian age, and indeed, of all times. By the 1860s, there was strong demand for adventure, detective, sensational, and science-fiction novels. Indeed, the late nineteenth century saw a tremendous amount of technological progress, which inspired authors to write in the genre of science fiction. Herbert George Wells' The Time Machine (1895) was a commercial success; in it, he introduced the notion of time travel. In some instances, science fiction inspired new technology and scientific research. Explorer Ernest Shackleton acknowledged that the novel Twenty Thousand Leagues Under the Sea by Jules Vernes was an inspiration. A 2015 study investigated the frequency at which difficult vocabulary from the WORDSUM test were employed in about 5.9 million English-language texts published between 1850 and 2005. The researchers found that the more difficult of words were in declining usage and a negative correlation between the use of such words and completed fertility. On the other hand, simpler words entered increasingly common use, an effect of rising literacy. In another study, from 2017, researchers employed Google's Ngram Viewer, an enormous archive of scanned books, periodicals, and other printed materials dating back to the sixteenth century. They found that the use of difficult vocabulary increased substantially between the mid-1700s and mid-1800s before declining steadily till the present day. Entertainment Popular forms of entertainment varied by social class. Victorian Britain, like the periods before it, was interested in literature, theatre and the arts (see Aesthetic movement and Pre-Raphaelite Brotherhood), and music, drama, and opera were widely attended. Michael Balfe was the most popular British grand opera composer of the period, while the most popular musical theatre was a series of fourteen comic operas by Gilbert and Sullivan, although there was also musical burlesque and the beginning of Edwardian musical comedy in the 1890s. Drama ranged from low comedy to Shakespeare (see Henry Irving). Melodrama—literally 'musical drama'—was introduced in Revolutionary France and reached Great Britain from there during the Victorian era. It was a particularly widespread and influential theatrical genre thanks to its appeal to the working-class and artisans. However, its popularity decline in the late nineteenth century. Even so, it continued to influence the novels of the era. Gentlemen went to dining clubs, like the Beefsteak Club or the Savage Club. Gambling at cards in establishments popularly called casinos was wildly popular during the period: so much so that evangelical and reform movements specifically targeted such establishments in their efforts to stop gambling, drinking, and prostitution. Brass bands and 'The Bandstand' became popular in the Victorian era. The bandstand was a simple construction that not only created an ornamental focal point but also served acoustic requirements whilst providing shelter from the changeable British weather. It was common to hear the sound of a brass band whilst strolling through parklands. At this time musical recording was still very much a novelty. The Victorian era marked the golden age of the British circus. Astley's Amphitheatre in Lambeth, London, featuring equestrian acts in a 42-foot wide circus ring, was the center of the 19th-century circus. The permanent structure sustained three fires but as an institution lasted a full century, with Andrew Ducrow and William Batty managing the theatre in the middle part of the century. William Batty would also build his 14,000-person arena, known commonly as Batty's Hippodrome, in Kensington Gardens, and draw crowds from the Crystal Palace Exhibition. Traveling circuses, like Pablo Fanque's, dominated the British provinces, Scotland, and Ireland (Fanque would enjoy fame again in the 20th century when John Lennon would buy an 1843 poster advertising his circus and adapt the lyrics for The Beatles song, Being for the Benefit of Mr. Kite!). Fanque also stands out as a black man who achieved great success and enjoyed great admiration among the British public only a few decades after Britain had abolished slavery. Another form of entertainment involved "spectacles" where paranormal events, such as mesmerism, communication with the dead (by way of mediumship or channeling), ghost conjuring and the like, were carried out to the delight of crowds and participants. Such activities were more popular at this time than in other periods of recent Western history. Natural history became increasingly an "amateur" activity. Particularly in Britain and the United States, this grew into specialist hobbies such as the study of birds, butterflies, seashells (malacology/conchology), beetles and wildflowers. Amateur collectors and natural history entrepreneurs played an important role in building the large natural history collections of the nineteenth and early twentieth centuries. Middle-class Victorians used the train services to visit the seaside, helped by the Bank Holiday Act of 1871, which created many fixed holidays. Large numbers traveling to quiet fishing villages such as Worthing, Morecambe and Scarborough began turning them into major tourist centres, and people like Thomas Cook saw tourism and even overseas travel as viable businesses. Sports The Victorian era saw the introduction and development of many modern sports. Often originating in the public schools, they exemplified new ideals of manliness. Cricket, cycling, croquet, horse-riding, and many water activities are examples of some of the popular sports in the Victorian era. The modern game of tennis originated in Birmingham, England, between 1859 and 1865. The world's oldest tennis tournament, the Wimbledon championships, was first played in London in 1877. Britain was an active competitor in all the Olympic Games starting in 1896. High culture Gothic Revival architecture became increasingly significant during the period, leading to the Battle of the Styles between Gothic and Classical ideals. Charles Barry's architecture for the new Palace of Westminster, which had been badly damaged in an 1834 fire, was built in the medieval style of Westminster Hall, the surviving part of the building. It constructed a narrative of cultural continuity, set in opposition to the violent disjunctions of Revolutionary France, a comparison common to the period, as expressed in Thomas Carlyle's The French Revolution: A History and Charles Dickens' Great Expectations and A Tale of Two Cities. Gothic was also supported by critic John Ruskin, who argued that it epitomised communal and inclusive social values, as opposed to Classicism, which he considered to epitomise mechanical standardisation. The middle of the 19th century saw The Great Exhibition of 1851, the first World's Fair, which showcased the greatest innovations of the century. At its centre was the Crystal Palace, a modular glass and iron structure – the first of its kind. It was condemned by Ruskin as the very model of mechanical dehumanisation in design but later came to be presented as the prototype of Modern architecture. The emergence of photography, showcased at the Great Exhibition, resulted in significant changes in Victorian art with Queen Victoria being the first British monarch to be photographed. In general, various styles of painting were popular during the Victorian period, Classicism, Neoclassicism, Romanticism, Impressionism, and Post-impressionism. In 1848, Dante Rossetti and William Holman Hunt created the Pre-Raphaelite Brotherhood whose stated aim was to produce paintings of photographic quality, taking inspiration from a variety of sources, from the works of William Shakespeare to Mother Nature herself. The growing popularity of romantic love spilled over into literature and fine arts. Gallery of selected Victorian paintings Journalism In 1817, Thomas Barnes became general editor of The Times; he was a political radical, a sharp critic of parliamentary hypocrisy and a champion of freedom of the press. Under Barnes and his successor in 1841, John Thadeus Delane, the influence of The Times rose to great heights, especially in politics and in the financial district (the City of London). It spoke of reform. The Times originated the practice of sending war correspondents to cover particular conflicts. W. H. Russell wrote immensely influential dispatches on the Crimean War of 1853–1856; for the first time, the public could read about the reality of warfare. Russell wrote one dispatch that highlighted the surgeons' "inhumane barbarity" and the lack of ambulance care for wounded troops. Shocked and outraged, the public reacted in a backlash that led to major reforms especially in the provision of nursing, led by Florence Nightingale. The Manchester Guardian was founded in Manchester in 1821 by a group of non-conformist businessmen. Its most famous editor, Charles Prestwich Scott, made the Guardian into a world-famous newspaper in the 1890s. The Daily Telegraph in 1856 became the first penny newspaper in London. It was funded by advertising revenue based on a large audience. Leisure At mid-century, the idea of a large amphitheatre for musical performances and conferences for the learned captured the imagination of not just Henry Cole, Secretary of the Science and Art Department, but also Prince Albert. By 1857, Cole planned to build one with "due regard to the principles of sound." After the Prince's death in 1861, this project had the additional goal of commemorating him. The Royal Albert Hall opened on 29 March 1871. Lieutenant-Colonel Henry Scott, R.E., who managed the construction, estimated there was enough space for 7,165 people plus 1,200 performers; the theoretical limit was 10,000. As desired by the Prince, it did not rely on public funds but was purely privately funded. Opportunities for leisure activities increased dramatically as real wages continued to grow and hours of work continued to decline. In urban areas the nine-hour workday became increasingly the norm; the Factory Act 1874 limited the working week to 56.5 hours, encouraging the movement towards an eventual eight-hour workday. Furthermore, a system of routine annual holidays came into play, starting with white-collar workers and moving into the working-class. Some 200 seaside resorts emerged thanks to cheap hotels and inexpensive railway fares, widespread bank holidays and the fading of many religious prohibitions against secular activities on Sundays. By the late Victorian era the leisure industry had emerged in all cities. It provided scheduled entertainment of suitable length at convenient locales at inexpensive prices. These included sporting events, music halls, and popular theatre. By 1880 football was no longer the preserve of the social elite, as it attracted large working-class audiences. Average attendance was 5000 in 1905, rising to 23,000 in 1913. That amounted to 6 million paying customers with a weekly turnover of £400,000. Sports by 1900 generated some three percent of the total gross national product. Professional sports were the norm, although some new activities reached an upscale amateur audience, such as lawn tennis and golf. Women were now allowed in some sports, such as archery, tennis, badminton and gymnastics. Demographics Demographic transition Britain had the lead in rapid economic and population growth. At the time, Thomas Malthus believed this lack of growth outside Britain was due the carrying capacity of their local environments. That is, the tendency of a population to expand geometrically while resources grew more slowly, reaching a crisis (such as famine, war, or epidemic) which would reduce the population to a more sustainable size. Great Britain escaped the 'Malthusian trap' because the scientific and technological breakthroughs of the Industrial Revolution dramatically improved living standards, reducing mortality and increasing longevity. The Victorian era was a time of unprecedented population growth in Britain. The population rose from 13.9 million in 1831 to 32.5 million in 1901. Two major contributory factors were fertility rates and mortality rates. Britain was the first country to undergo the demographic transition and the Agricultural and Industrial Revolutions. Economist Gary Becker argued that at first, falling fertility is due to urbanisation and lower infant mortality rates, which diminished the benefits and increased the costs of raising children. In other words, it became more economically sensible to invest more in fewer children. This is known as the first demographic transition. This trend continued till around 1950. (The second demographic transition occurred due to the significant cultural shifts of the 1960s, leading to the decline in the desire for children.) Fertility rates and mortality rates The demographic transition is when a population shifts from being one of high child mortality rates and high fertility rates to one that is low in both. Western nations completed this transition by the early 1900s. It occurred in two stages. Initially, child mortality rates dropped significantly due to improved healthcare and sanitation and better nutrition, yet fertility rates remained high, leading to a population boom. Gradually, fertility rates fell as people became more affluent and had better access to contraception. By 1900, the infant mortality rate in England was 10 percent, down from an estimated 25 percent in the Middle Ages. There was no catastrophic epidemic or famine in England or Scotland in the nineteenth century—it was the first century in which a major epidemic did not occur throughout the whole country, and deaths per 1000 of population per year in England and Wales fell from 21.9 from 1848 to 1854 to 17 in 1901 (cf, for instance, 5.4 in 1971). Social class had a significant effect on mortality rates: the upper classes had a lower rate of premature death early in the nineteenth century than poorer classes did. In the Victorian era, fertility rates increased in every decade until 1901, when the rates started evening out. There were several reasons for this. One is biological: with improving living standards, a higher proportion of women were biologically able to have children. Another possible explanation is social. In the 19th century, the marriage rate increased, and people were getting married at a very young age until the end of the century, when the average age of marriage started to increase again slowly. The reasons why people got married younger and more frequently are uncertain. One theory is that greater prosperity allowed people to finance marriage and new households earlier than previously possible. With more births within marriage, it seems inevitable that marriage rates and birth rates would rise together. Birth rates were originally measured by the 'crude birth rate' – births per year divided by total population. This is indeed a crude measure, as key groups and their fertility rates are not clear. It is likely to be affected mainly by changes in the age distribution of the population. The Net Reproduction Rate was then introduced as an alternative measure: it measures the average fertility rate of women of child-bearing ages. High rates of birth also occurred because of a lack of birth control. Mainly because women lacked knowledge of birth control methods and the practice was seen as unrespectable. The evening out of fertility rates at the beginning of the 20th century was mainly the result of a few big changes: availability of forms of birth control, and changes in people's attitude towards sex. In the olden days, people typically had had as many children as they could afford in order to ensure at least a few of them would survive to adulthood and have children of their own due to high child mortality rates. Moreover, it was the poor who had had an incentive to curb their fertility whereas the rich had lacked such a need due to greater wealth and lower child mortality rates. This changed due to the Industrial Revolution. Standards of living improved and mortality rates fell. People no longer needed to have as many children as before to ensure the propagation of their genes. The link between poverty and child mortality weakened. In addition, societal attitude towards contraception warmed, leading to the negative correlation between intelligence and fertility. Factors linked to general intelligence, such as socioeconomic status and educational attainment, were also found to be negatively correlated with fertility starting from the nineteenth century. Environmental and health standards rose throughout the Victorian era. Improvements in nutrition may also have played a role, though its importance is still debated. Economy, industry, and trade Progress Life in the late 1700s had been little different from life in the late Middle Ages. But the nineteenth century saw dramatic technological development. Someone alive in 1804 would know about the electric telegraph, the steam ship, the circular saw, the bicycle, and the steam-powered locomotive. If this person lived to 1870, he or she would have heard of the invention of the electric light bulb, the typewriter, the calculator, the rubber tyre, the washing machine, the internal combustion engine, plastic, and dynamite. Engineering prowess, especially in communication and transportation, made Great Britain the leading industrial powerhouse and trading nation of the world at that time. According to historians David Brandon and Alan Brooke, the new system of railways after 1830 brought into being our modern world: They stimulated demand for building materials, coal, iron and, later, steel. Excelling in the bulk movement of coal, they provided the fuel for the furnaces of industry and for domestic fireplaces. Millions of people were able to travel who had scarcely ever travelled before. Railways enabled mail, newspapers, periodicals and cheap literature to be distributed easily, quickly and cheaply allowing a much wider and faster dissemination of ideas and information. They had a significant impact on improving diet....[and enabled] a proportionately smaller agricultural industry was able to feed a much larger urban population....They employed huge quantities of labour both directly and indirectly. They helped Britain to become the ‘Workshop of the World’ by reducing transport costs not only of raw materials but of finished goods, large amounts of which were exported....[T]oday’s global corporations originated with the great limited liability railway companies....By the third quarter of the nineteenth century, there was scarcely any person living in Britain whose life had not been altered in some way by the coming of the railways. Railways contributed to the transformation of Britain from a rural to a predominantly urban society. Historians have characterised the mid-Victorian era (1850–1870) as Britain's "Golden Years". It was not till the two to three decades following the Second World War that substantial economic growth was seen again. In the long-term view, the mid-Victorian boom was one upswing in the Kondratiev cycle (see figure). There was prosperity, as the national income per person grew by half. Much of the prosperity was due to the increasing industrialisation, especially in textiles and machinery, as well as to the worldwide network of exports that produced profits for British merchants. British entrepreneurs built railways in India and many independent nations. There was peace abroad (apart from the short Crimean War, 1854–56), and social peace at home. Opposition to the new order melted away, says Porter. The Chartist movement peaked as a democratic movement among the working class in 1848; its leaders moved to other pursuits, such as trade unions and cooperative societies. The working class ignored foreign agitators like Karl Marx in their midst, and joined in celebrating the new prosperity. Employers typically were paternalistic and generally recognised the trade unions. Companies provided their employees with welfare services ranging from housing, schools and churches, to libraries, baths, and gymnasia. Middle-class reformers did their best to assist the working classes' aspirations to middle-class norms of "respectability". There was a spirit of libertarianism, says Porter, as people felt they were free. Taxes were very low, and government restrictions were minimal. There were still problem areas, such as occasional riots, especially those motivated by anti-Catholicism. Society was still ruled by the aristocracy and the gentry, who controlled high government offices, both houses of Parliament, the church, and the military. Becoming a rich businessman was not as prestigious as inheriting a title and owning a landed estate. Literature was doing well, but the fine arts languished as the Great Exhibition of 1851 showcased Britain's industrial prowess rather than its sculpture, painting or music. The educational system was mediocre; the main universities (outside Scotland) were likewise mediocre. Historian Llewellyn Woodward has concluded: For leisure or work, for getting or for spending, England was a better country in 1879 than in 1815. The scales were less weighted against the weak, against women and children, and against the poor. There was greater movement, and less of the fatalism of an earlier age. The public conscience was more instructed, and the content of liberty was being widened to include something more than freedom from political constraint ... Yet England in 1871 was by no means an earthly paradise. The housing and conditions of life of the working class in town & country were still a disgrace to an age of plenty. In December 1844, Rochdale Society of Equitable Pioneers founded what is considered the first cooperative in the world. The founding members were a group of 28, around half of which were weavers, who decided to band together to open a store owned and managed democratically by the members, selling food items they could not otherwise afford. Ten years later, the British co-operative movement had grown to nearly 1,000 co-operatives. The movement also spread across the world, with the first cooperative financial institution founded in 1850 in Germany. Housing The very rapid growth in population in the 19th century in the cities included the new industrial and manufacturing cities, as well as service centres such as Edinburgh and London. The critical factor was financing, which was handled by building societies that dealt directly with large contracting firms. Private renting from housing landlords was the dominant tenure. P. Kemp says this was usually of advantage to tenants. People moved in so rapidly that there was not enough capital to build adequate housing for everyone, so low income newcomers squeezed into increasingly overcrowded slums. Clean water, sanitation, and public health facilities were inadequate; the death rate was high, especially infant mortality, and tuberculosis among young adults. Cholera from polluted water and typhoid were endemic. Unlike rural areas, there were no famines such as the one which devastated Ireland in the 1840s. Poverty 19th-century Britain saw a huge population increase accompanied by rapid urbanisation stimulated by the Industrial Revolution. Wage rates improved steadily; real wages (after taking inflation into account) were 65 percent higher in 1901, compared to 1871. Much of the money was saved, as the number of depositors in savings banks rose from 430,000 in 1831, to 5.2 million in 1887, and their deposits from £14 million to over £90 million. People flooded into industrial areas and commercial cities faster than housing could be built, resulting in overcrowding and lagging sanitation facilities such as fresh water and sewage. These problems were magnified in London, where the population grew at record rates. Large houses were turned into flats and tenements, and as landlords failed to maintain these dwellings, slum housing developed. Kellow Chesney described the situation as follows: "Hideous slums, some of them acres wide, some no more than crannies of obscure misery, make up a substantial part of the metropolis... In big, once handsome houses, thirty or more people of all ages may inhabit a single room." Significant changes happened in the British Poor Law system in England and Wales, Scotland, and Ireland. These included a large expansion in workhouses (or poorhouses in Scotland), although with changing populations during the era. Child labour The early Victorian era before the reforms of the 1840s became notorious for the employment of young children in factories and mines and as chimney sweeps. Child labour played an important role in the Industrial Revolution from its outset: novelist Charles Dickens, for example, worked at the age of 12 in a blacking factory, with his family in a debtors' prison. Reformers wanted the children in school: in 1840 only about 20 percent of the children in London had any schooling. By 1860 about half of the children between 5 and 15 were in school (including Sunday school). The children of the poor were expected to help towards the family budget, often working long hours in dangerous jobs for low wages. Agile boys were employed by the chimney sweeps; small children were employed to scramble under machinery to retrieve cotton bobbins; and children were also employed to work in coal mines, crawling through tunnels too narrow and low for adults. Children also worked as errand boys, crossing sweepers, shoe blacks, or sold matches, flowers, and other cheap goods. Some children undertook work as apprentices to respectable trades, such as building, or as domestic servants (there were over 120,000 domestic servants in London in the mid 19th century). Working hours were long: builders might work 64 hours a week in summer and 52 in winter, while domestic servants were theoretically on duty 80-hours a week. Mother bides at home, she is troubled with bad breath, and is sair weak in her body from early labour. I am wrought with sister and brother, it is very sore work; cannot say how many rakes or journeys I make from pit's bottom to wall face and back, thinks about 30 or 25 on the average; the distance varies from 100 to 250 fathom. I carry about 1 cwt. and a quarter on my back; have to stoop much and creep through water, which is frequently up to the calves of my legs. — Isabella Read, 12 years old, coal-bearer, testimony gathered by Ashley's Mines Commission 1842 As early as 1802 and 1819, Factory Acts were passed to limit the working hours of children in factories and cotton mills to 12 hours per day. These acts were largely ineffective and after radical agitation, by for example the "Short Time Committees" in 1831, a Royal Commission recommended in 1833 that children aged 11–18 should work a maximum of 12 hours per day, children aged 9–11 a maximum of eight hours, and children under the age of nine should no longer be permitted to work. This act, however, only applied to the textile industry, and further agitation led to another act in 1847 limiting both adults and children to 10-hour working days. Mathematics, science, technology, and engineering Professionalisation of science Founded in 1799 with the stated purpose of "diffusing the Knowledge, and facilitating the general Introduction, of Useful Mechanical Inventions and Improvements; and for teaching, by Courses of Philosophical Lectures and Experiments, the application of Science to the common Purposes of Life," the Royal Institution was a proper scientific institution with laboratories, a lecture hall, libraries, and offices. In its first years, the Institution was dedicated to the improvement of agriculture using chemistry, prompted by trade restrictions with Europe. Such practical concerns continued through the next two centuries. However, it soon became apparent that additional funding was required in order for the Institution to continue. Some well-known experts were hired as lecturers and researchers. The most successful of them all was Sir Humphry Davy, whose lectures concerned a myriad of topics and were so popular that the original practical purpose of the Institution faded away. It became increasingly dominated by research in basic science. The professionalisation of science began in the aftermath of the French Revolution and soon spread to other parts of the Continent, including the German lands. It was slow to reach Britain, however. Master of Trinity College William Whewell coined the term scientist in 1833 to describe the new professional breed specialists and experts studying what was still commonly known as natural philosophy. In 1840, Whewell wrote, "We need very much a name to describe a cultivator of science in general. I should incline to call him a Scientist." The new term signaled the recognition of the importance of empiricism and inductive reasoning. But this term was slow to catch on. As biologist Thomas Huxley indicated in 1852, the prospect of earning a decent living as a scientist remained remote despite the prestige of the occupation. It was possible for a scientist to "earn praise but not pudding," he wrote. Since its birth, the Royal Society of London had been a club of gentlemanly amateurs, though some of whom were the very best in their fields, people like Charles Darwin and James Prescott Joule. But the Society reformed itself in the 1830s and 1840s. By 1847, it only admitted the new breed of professionals. The Victorians were impressed by science and progress and felt that they could improve society in the same way as they were improving technology. Britain was the leading world centre for advanced engineering and technology. Its engineering firms were in worldwide demand for designing and constructing railways. Ease of discovery and rate of progress A necessary part of understanding scientific progress is the ease of scientific discovery. In many cases, from planetary science to mammalian biology, the ease of discovery since the 1700s and 1800s can be fitted to an exponentially decaying curve. But the rate of progress is also dependent on other factors, such as the number of researchers, the level of funding, and advances in technology. Thus the number of new species of mammals discovered between the late 1700s and late 1800s followed grew exponentially before leveling off in the 1900s; the general shape is known as the logistic curve. In other cases, a branch of study reached the point of saturation. For instance, the last major internal human organ, the paraythyroid gland, was discovered in 1880 by Ivar Viktor Sandström. This does not mean that basic science was coming an end. Despite the despondency of many Victorian-era scientists, who thought that all that remained was measuring quantities to the next decimal place and that new discoveries would not change the contemporary scientific paradigm, as the nineteenth century became the twentieth, science witnessed truly revolutionary discoveries, such as radioactivity, and basic science continued its advance, though a number of twentieth-century scientists shared the same pessimism as their late-Victorian counterparts. Mathematics and statistics In the field of statistics, the nineteenth century saw significant innovations in data visualisation. William Playfair, who created charts of all sorts, justified it thus, "a man who has carefully investigated a printed table, finds, when done, that he has only a very faint and partial idea of what he has read; and that like a figure imprinted on sand, is soon totally erased and defaced." For example, in a chart showing the relationship between population and government revenue of some European nations, he used the areas of circles to represent the geographical sizes of those nations. In the same graph he used the slopes of lines to indicate the tax burden of a given population. While serving as nurse during the Crimean War, Florence Nightingale drew the first pie charts representing the monthly fatality rates of the conflict, distinguishing deaths due to battle wounds (innermost section), those due to infectious disease (outer section), and to other causes (middle section). (See figure.) Her charts clearly showed that most deaths resulted from disease, which led the general public to demand improved sanitation at field hospitals. Although bar charts representing frequencies were first used by the Frenchman A. M. Guerry in 1833, it was the statistician Karl Pearson who gave them the name histograms. Pearson used them in an 1895 article mathematically analyzing biological evolution. One such histogram showed that buttercups with large numbers of petals were rarer. Normal distributions, expressible in the form , arose in various works on probability and the theory of errors. Belgian sociologist and statistician Adolphe Quetelet discovered that its extremely wide applicability in his analysis of vast amounts of statistics of human physical characteristics such as height and other traits such as criminality and alcoholism. Queletet derived the concept of the "average man" from his studies. Sir Francis Galton employed Quetelet's ideas in his research on mathematical biology. In his experiments with sweet peas in the 1870s, Galton discovered that the spread of the distributions of a particular trait did not change over the generations. He invented what he called the "quincunx" to demonstrate why mixtures of normal distributions were normal. Galton noticed that the means of a particular trait in the offspring generation differed from those of the parent generation, a phenomenon now known as regression to the mean. He found that the slopes of the regression lines of two given variables were the same if the two data sets were scaled by units of probable error and introduced the notion of the correlation coefficient, but noted that correlation does not imply causation. During the late nineteenth century, British statisticians introduced a number of methods to relate and draw conclusions from statistical quantities. Francis Edgeworth developed a test for statistical significance that estimated the "fluctuations"—twice the variance in modern language—from two given means. By modern standards, however, he was extremely conservative when it comes to drawing conclusions about the significance of an observation. For Edgeworth, an observation was significant if it was at the level of 0.005, which is much stricter than the requirement of 0.05 to 0.01 commonly used today. Pearson defined the standard deviation and introduced the -statistic (chi-squared). Pearson's student, George Udney Yule, demonstrated that one could compute the regression equation of a given data set using the method of least squares. In 1828, miller and autodidactic mathematician George Green published An Essay on the Application of Mathematical Analysis to the Theories of Electricity and Magnetism, making use of the mathematics of potential theory developed by Continental mathematicians. But this paper fell on deaf ears until William Thomson read it, realised its significance, and had it re-printed in 1850. Green's work became a source of inspiration for the Cambridge school of mathematical physicists, which included Thomson himself, George Gabriel Stokes, and James Clerk Maxwell. Green's Essay contained what became known as Green's theorem, a basic result in vector calculus, Green's identities, and the notion of Green's functions, which appears in the study of differential equations. Thomson went on to prove Stokes' theorem, which earned that name after Stokes asked students to prove in the Smith's Prize exam in 1854. Stokes learned it from Thomson in a letter in 1850. Stokes' theorem generalises Green's theorem, which itself is a higher-dimensional version of the Fundamental Theorem of Calculus. Research in physics—in particular elasticity, heat conduction, hydrodynamics, and electromagnetism—motivated the development of vector calculus in the nineteenth century. Arthur Cayley is credited with the creation of the theory of matrices—rectangular arrays of numbers—as distinct objects from determinants, studied since the mid-eighteenth century. The term matrix was coined by James Joseph Sylvester, a major contributor to the theory of determinants. It is difficult to overestimate the value of matrix theory to modern theoretical physics. Peter Tait wrote, prophetically, that Cayley was "forging the weapons for future generations of physicists." Theoretical mechanics and optics Early contributions study of elasticity—how objects behave under stresses, pressures, and loads— employed ad hoc hypotheses to solve specific problems. It was during the nineteenth century that scientists began to work out a thorough theory. In 1821, using an analogy with elastic bodies, French professor of mechanics Claude-Louis Navier arrived at the basic equations of motion for viscous fluids. George Gabriel Stokes re-derived them in 1845 using continuum mechanics in a paper titled "On the Theories of Internal Friction of Fluids in Motion." In it, Stokes sought to develop a mathematical description for all known fluids that take into account viscosity, or internal friction. These are now referred to as the Navier–Stokes equations. In 1852, Stokes showed that light polarisation can be described in terms of what are now known as the Stokes parameters. The Stokes parameters for a given wave may be viewed as a vector. Founded in the eighteenth century, the calculus of variations grew into a much favored mathematical tool among physicists. Scientific problems thus became the impetus for the development of the subject. William Rowan Hamilton advanced it in his course to construct a deductive framework for optics; he then applied the same ideas to mechanics. With an appropriate variational principle, one could deduce the equations of motion for a given mechanical or optical system. Soon, scientists worked out the variational principles for the theory of elasticity, electromagnetism, and fluid mechanics (and, in the future, relativity and quantum theory). Whilst variational principles did not necessarily provide a simpler way to solve problems, they were of interest for philosophical or aesthetic reasons, though scientists at this time were not as motivated by religion in their work as their predecessors. Hamilton's work in physics was great achievement; he was able to provide a unifying mathematical framework for wave propagation and particle motion. In light of this description, it becomes clear why the wave and corpuscle theories of light were equally able to account for the phenomena of reflection and refraction. Hamilton's equations also proved useful in calculating planetary orbits. In 1845, John James Waterson submitted to the Royal Society a paper on the kinetic theory of gases that included a statement of the equipartition theorem and a calculation of the ratio of the specific heats of gases. Although the paper was read before the Society and its abstract published, Waterson's paper faced antipathy. At this time, the kinetic theory of gases was considered highly speculative as it was based on the then not-accepted atomic hypothesis. But by the mid-1850s, interest was revived. In the 1860s, James Clerk Maxwell published a series of papers on the subject. Unlike those of his predecessors, who were only using averages, Maxwell's papers were explicitly statistical in nature. He proposed that the speeds of molecules in a gas followed a distribution. Although the speeds would cluster around the average, some molecules were moving faster or slower than this average. He showed that this distribution is a function of temperature and mathematically described various properties of gases, such as diffusion and viscosity. He predicted, surprisingly, that the viscosity of a gas is independent of its density. This was verified at once by a series of experiments Maxwell conducted with his wife, Katherine. Experimental verification of the Maxwell distribution was not obtained till 60 years later, however. In the meantime, the Austrian Ludwig Boltzmann developed Maxwell's statistics further and proved, in 1872, using the "-function," that the Maxwellian distribution is stable and any non-Maxwellian distribution would morph into it. In his Dynamics of Rigid Bodies (1877), Edward John Routh noted the importance of what he called "absent coordinates," also known as cyclic coordinates or ignorable coordinates (following the terminology of E. T. Whittaker). Such coordinates are associated with conserved momenta and as such are useful in problem solving. Routh also devised a new method for solving problems in mechanics. Although Routh's procedure does not add any new insights, it allows for more systematic and convenient analysis, especially in problems with many degrees of freedom and at least some cyclic coordinates. In 1899, at the request the British Association for the Advancement of Science from the year before, Edmund Taylor Whittaker submitted his Report on the Progress of Solution to the Problem of Three Bodies. At that time, classical mechanics in general and the three-body problem in particular captured the imagination of many talented mathematicians, whose contributions Whittaker covered in his Report. Whittaker later incorporated the Report into his textbook titled Analytical Dynamics of Particles and Rigid Bodies (first edition 1907). It helped provide the scientific basis for the aerospace industry in the twentieth century. Despite its age, it remains in print in the early twenty-first century. Thermodynamics, heat engines, and refrigerators During the 1830s and 1840s, traditional caloric theory of heat began losing favour to "dynamical" alternatives, which posit that heat is a kind of motion. Brewer and amateur scientist James Prescott Joule was one of the proponents of the latter. Joule's intricate experiments—the most successful of which involved heating water with paddle wheels—making full use of his skill in temperature control as a brewer, demonstrated decisively the reality of the "mechanical equivalent of heat." What would later become known as the "conservation of energy" was pursued by many other workers approaching the subject from a variety of backgrounds, from medicine and physiology to physics and engineering. Another notable contributor to this development was the German researcher Hermann von Helmholtz, who gave an essentially Newtonian, that is, mechanical, account. William Thomson (later Lord Kelvin) received the works of Joule and Helmholtz positively, embracing them as providing support for the emerging "science of energy." In the late 1840s to the 1850s, Kelvin, his friend William John Macquorn Rankine, and the German Rudolf Clausius published a steady stream of papers concerning heat engines and an absolute temperature scale. Indeed, the commercial value of new science had already become apparent by this time; some businessmen were quite willing to offer generous financial support for researchers. Rankine spoke confidently of the new science of thermodynamics, a term Kelvin coined in 1854, whose fundamental principles came to be known as the First and Second Laws and whose core concepts were "energy" and "entropy." Kelvin and Peter Guthrie Tait's Treatise on Natural Philosophy (1867) was an attempt to reformulate physics in terms of energy. Here, Kelvin and Tait introduced the phrase kinetic energy (instead of 'actual'), now in standard usage. The phrase potential energy was promoted by Rankine. On the practical side, the food-preserving effect of low temperatures had long been recognised. Natural ice was vigorously traded in the early nineteenth century, but it was inevitably in short supply, especially in Australia. During the eighteenth and nineteenth centuries, there was considerable commercial incentive to develop ever more effective refrigerators thanks to the expansion of agriculture in the Americas, Australia, and New Zealand and rapid urbanization in Western Europe. From the 1830s onward, refrigerators relied on the expansion of compressed air or the evaporation of a volatile liquid; evaporation became the basis of all modern refrigerator designs. Long-distance shipping of perishable foods, such as meat, boomed in the late 1800s. On the theoretical side, new refrigeration techniques were also of great value. From his absolute temperature scale, Lord Kelvin deduced the existence of absolute zero occurring at −273.15 °C. Scientists began trying to reach ever lower temperatures and to liquefy every gas they encountered. This paved the way for the development of low-temperature physics and the Third Law of Thermodynamics. Natural history This study of natural history was most powerfully advanced by Charles Darwin and his theory of evolution first published in his book On the Origin of Species in 1859. Research in geology and evolutionary biology naturally led to the question of how old the Earth was. Indeed, between the mid-1700s to the mid-1800s, this was the topic of increasingly sophisticated intellectual discussions. With the advent of thermodynamics, it became clear that the Earth and the Sun must have an old but finite age. Whatever the energy source of the Sun, it must be finite, and since it is constantly dissipating, there must be a day when the Sun runs out of energy. Lord Kelvin wrote in 1852, "...within a finite period of time past the earth must have been, and within a finite period of time to come the earth must again be, unfit for the habitation of man as at present constituted, unless operations have been, or are to be performed, which are impossible under the laws to which the known operations going on are subject." In the 1860s, Kelvin employed a mathematical model by von Helmholtz suggesting that the energy of the Sun is released via gravitational collapse to calculate the age of the Sun to be between 50 and 500 million years. He reached comparable figures for the Earth. The missing ingredient here was radioactivity, which was not known to science till the end of the nineteenth century. Electricity, magnetism, and electrification After the Dane Hans Christian Ørsted demonstrated that it was possible to deflect a magnetic needle by closing or opening an electric circuit nearby, a deluge of papers attempting explain the phenomenon was published. Michael Faraday set himself to the task of clarifying the nature of electricity and magnetism by experiments. In doing so, he devised what could be described as the first electric motor (though it does not resemble a modern one), a transformer (now used to step up the voltage and step down the current or vice versa), and a dynamo (which contains the basics of all electric turbine generators). The practical value of Faraday's research on electricity and magnetism was nothing short of revolutionary. A dynamo converts mechanical energy into an electrical current whilst a motor does the reverse. The world's first power plants entered service in 1883, and by the following year, people realized the possibility of using electricity to power a variety of household appliances. Inventors and engineers soon raced to develop such items, starting with affordable and durable incandescent light bulbs, perhaps the most important of the early applications of electricity. As the foremost expert on electricity and magnetism at the time, Lord Kelvin oversaw the laying of the trans-Atlantic telegraphic cable, which became successful in 1866. Drawing on the work of his predecessors, especially the experimental research of Michael Faraday, the analogy with heat flow by Lord Kelvin, and the mathematical analysis of George Green, James Clerk Maxwell synthesized all that was known about electricity and magnetism into a single mathematical framework, Maxwell's equations. Maxwell used his equations to predict the existence of electromagnetic waves, which travel at the speed of light. In other words, light is but one kind of electromagnetic wave. Maxwell's theory predicted there ought to be other types, with different frequencies. After some ingenious experiments, Maxwell's prediction was confirmed by German physicist Heinrich Hertz. In the process, Hertz generated and detected what are now called radio waves and built crude radio antennas and the predecessors of satellite dishes. Dutch physicist Hendrik Lorentz derived, using suitable boundary conditions, Fresnel's equations for the reflection and transmission of light in different media from Maxwell's equations. He also showed that Maxwell's theory succeeded in illuminating the phenomenon of light dispersion where other models failed. John William Strutt (Lord Rayleigh) and the American Josiah Willard Gibbs then proved that the optical equations derived from Maxwell's theory are the only self-consistent description of the reflection, refraction, and dispersion of light consistent with experimental results. Optics thus found a new foundation in electromagnetism. But it was Oliver Heaviside, an enthusiastic supporter of Maxwell's electromagnetic theory, who deserves most of the credit for shaping how people understood and applied Maxwell's work for decades to come. Maxwell originally wrote down a grand total of 20 equations for the electromagnetic field, which he later reduced to eight. Heaviside rewrote them in the form commonly used today, just four expressions. In addition, Heaviside was responsible for considerable progress in electrical telegraphy, telephony, and the study of the propagation of electromagnetic waves. Independent of Gibbs, Heaviside assembled a set of mathematical tools known as vector calculus to replace the quaternions, which were in vogue at the time but which Heaviside dismissed as "antiphysical and unnatural." Faraday also investigated how electrical currents affected chemical solutions. His experiments led him to the two laws of electrochemistry. Together with Whewell, Faraday introduced the basic vocabulary for the subject, the words electrode, anode, cathode, electrolysis, electrolyte, ion, anion, and cation. They remain in standard usage. But Faraday's work was of value to more than just chemists. In his Faraday Memorial Lecture in 1881, the German Hermann von Helmholtz asserted that Faraday's laws of electrochemistry hinted at the atomic structure of matter. If the chemical elements were distinguishable from one another by simple ratios of mass, and if the same amounts of electricity deposited amounts of these elements upon the poles in ratios, then electricity must also come in as discrete units, later named electrons. In the late nineteenth century, the nature of the energy emitted by the discharge between high-voltage electrodes inside an evacuated tube—cathode rays—attracted the attention of many physicists. While the Germans thought cathode rays were waves, the British and the French believed they were particles. Working at the Cavendish Laboratory, established by Maxwell, J. J. Thompson directed a dedicate experiment demonstrating that cathode rays were in fact negatively charged particles, now called electrons. The experiment enabled Thompson to calculate the ratio between the magnitude of the charge and the mass of the particle (). In addition, because the ratio was the same regardless of the metal used, Thompson concluded that electrons must be a constituent of all atoms. Although the atoms of each chemical elements have different numbers of electrons, all electrons are identical. Computer science and logic Inspired by the explorations in abstract algebra of George Peacock and Augustus de Morgan, George Boole published a book titled An Investigation of the Laws of Thought (1854), in which he brought the study of logic from philosophy and metaphysics to mathematics. His stated goal was to "investigate the fundamental laws of those operations of the mind by which reasoning is performed; to give expression to them in the symbolical language of a Calculus, and upon this foundation to establish the science of logical and construct its methods." Although ignored at first, Boolean algebra, as it is now known, became central to the design of circuits and computers in the following century. The desire to construct calculating machines is not new. In fact, it can be traced all the way back to the Hellenistic Civilization. While people have devised such machines over the centuries, mathematicians continued to perform calculations by hand, as machines offered little advantage in speed. For complicated calculations, they employed tables, especially of logarithmic and trigonometric functions, which were computed by hand. But right in the middle of the Industrial Revolution in England, Charles Babbage thought of using the all-important steam engine to power a mechanical computer, the Difference Engine. Unfortunately, whilst Babbage managed to secure government funds for the construction of the machine, the government subsequently lost and interest and Babbage faced considerable troubles developing the necessary machine components. He abandoned the project to pursue a new one, his Analytical Engine. By 1838, he had worked out the basic design. Like a modern computer, it consisted of two basic parts, one that stores the numbers to be processed (the store), and one that performed the operations (the mill). Babbage adopted the concept of punch cards from the French engineer Joseph Jacquard, who had used it to automate the textile industry in France, to control the operations of his Analytical Engine. Unfortunately, he again lacked the financial resources to build it, and so it remained a theoretical construct. But he did leave behind detailed notes and engineering drawings, from which modern experts conclude that the technology of the time was advanced enough to actually build it, even if he never had enough money to do so. In 1840, Babbage went to Turin to give lectures on his work designing the Analytical Engine to Italian scientists. Ada Lovelace translated the notes published by one of the attendees into English and heavily annotated it. She wrote down the very first computer program, in her case one for computing the Bernoulli numbers. She employed what modern computer programmers would recognise as loops and decision steps, and gave a detailed diagram, possibly the first flowchart ever created. She noted that a calculating machine could perform not just arithmetic operations but also symbolic manipulations. On the limitations and implications of the computer, she wrote, Communication and transportation Steam ships Steam ships were one of the keys to Britain's prosperity in the nineteenth century. This technology, which predates the Victorian era, had a long a rich history. Starting in the late 1700s, people had begun building steam-powered ships with ever increasing size, operational range, and speed, first to cross the English Channel and then the Atlantic and finally to reach places as far away as India and Australia without having to refuel mid-route. International trade and travel boosted demand, and there was intense competition among the shipping companies. Steam ships such as the SS Great Britain and SS Great Western made international travel more common but also advanced trade, so that in Britain it was not just the luxury goods of earlier times that were imported into the country but essentials and raw materials such as corn and cotton from the United States and meat and wool from Australia. At 693 feet long, 120 feet wide and weighing over 18,900 tons, the SS Great Eastern was the largest ship built at the time, capable of transporting 4,000 passengers from Britain to Australia without having to refuel along the way. Even when she was finally broken up for scraps in 1888, she was still the largest ship in the world. Her record was not broken till the Edwardian era with super liners like the Lusitania in 1907, the Titanic in 1912. Yet despite being a remarkable feat of engineering, the Great Eastern became more and more of a white elephant as smaller and faster ships were in greater demand. Nevertheless, she gained a new lease of life when she was chartered to lay telegraphic cables across the Atlantic, and then to India. Her size and range made her ideally suited for the task. The British government had long realised that national prosperity depended on trade. For that reason, it deployed the Royal Navy to protect maritime trade routes and financed the construction of many steam ships. Telegraphy, telephony, the wireless, and photography Although the idea of transmitting messages via electrical signals dated back to the eighteenth century, it was not until the 1820s that advances in the study of electricity and magnetism made that a practical reality. In 1837, William Fothergill Cooke and Charles Wheatstone invented a telegraphic system that used electrical currents to deflect magnetic needles, thus transmitting coded messages. This design soon made its way all across Britain, appearing in every town and post office. By the mid-1800s, a telegraphic cable was laid across the English Channel, the Irish Sea, and the North Sea. In 1866, the SS Great Eastern successfully laid the transatlantic telegraphic cable. A global network boomed towards the end of the century. In 1876, Alexander Graham Bell patented the telephone. Like the telegraph, the telephone enabled rapid personal communication. A little over a decade later, 26,000 telephones were in service in Britain (and 150,000 in America) had telephones. Multiple switchboards were installed in every major town and city. Hertz's experimental work in electromagnetism stimulated interest in the possibility of wireless communication, which did not require long and expensive cables and was faster than even the telegraph. Receiving little support in his native Italy, Guglielmo Marconi moved to England and adapted Hertz's equipment for this purpose in the 1890s. He achieved the first international wireless transmission between England and France in 1900 and by the following year, he succeeded in sending messages in Morse code across the Atlantic. Seeing its value, the shipping industry adopted this technology at once. Radio broadcasting became extremely popular in the twentieth century and remains in common use in the early twenty-first. In fact, the global communications network of the twenty-first century has its roots in the Victorian era. Photography was realised in 1839 by Louis Daguerre in France and William Fox Talbot in Britain. By 1889, hand-held cameras were available. Another important innovation in communications was the Penny Black, the first postage stamp, which standardised postage to a flat price regardless of distance sent. Railways A central development during the Victorian era was the rise of rail transport. The new railways all allowed goods, raw materials, and people to be moved about, rapidly facilitating trade and industry. The financing of railways became an important specialty of London's financiers. They retained an ownership share even while turning over management to locals; that ownership was largely liquidated in 1914–1916 to pay for the World War. Railroads originated in England because industrialists had already discovered the need for inexpensive transportation to haul coal for the new steam engines, to supply parts to specialized factories, and to take products to market. The existing system of canals was inexpensive but was too slow and too limited in geography. The railway system led to a reorganisation of society more generally, with "railway time" being the standard by which clocks were set throughout Britain; the complex railway system setting the standard for technological advances and efficiency. The engineers and businessmen needed to create and finance a railway system were available; they knew how to invent, to build, and to finance a large complex system. The first quarter of the 19th century involved numerous experiments with locomotives and rail technology. By 1825 railways were commercially feasible, as demonstrated by George Stephenson (1791–1848) when he built the Stockton and Darlington. On his first run, his locomotive pulled 38 freight and passenger cars at speeds as high as 12 miles per hour. Stephenson went on to design many more railways and is best known for standardizing designs, such as the "standard gauge" of rail spacing, at 4 feet 8½ inches. Thomas Brassey (1805–70) was even more prominent, operating construction crews that at one point in the 1840s totalled 75,000 men throughout Europe, the British Empire, and Latin America. Brassey took thousands of British engineers and mechanics across the globe to build new lines. They invented and improved thousands of mechanical devices, and developed the science of civil engineering to build roadways, tunnels and bridges. Britain had a superior financial system based in London that funded both the railways in Britain and also in many other parts of the world, including the United States, up until 1914. The boom years were 1836 and 1845–47 when Parliament authorised 8,000 miles of lines at a projected cost of £200 million, which was about the same value as the country's annual Gross Domestic Product (GDP) at that time. A new railway needed a charter, which typically cost over £200,000 (about $1 million) to obtain from Parliament, but opposition could effectively prevent its construction. The canal companies, unable or unwilling to upgrade their facilities to compete with railways, used political power to try to stop them. The railways responded by purchasing about a fourth of the canal system, in part to get the right of way, and in part to buy off critics. Once a charter was obtained, there was little government regulation, as laissez-faire and private ownership had become accepted practices. The different lines typically had exclusive territory, but given the compact size of Britain, this meant that multiple competing lines could provide service between major cities. George Hudson (1800–1871) became the "railway king" of Britain. He merged various independent lines and set up a "Clearing House" in 1842 which rationalized interconnections by establishing uniform paperwork and standard methods for transferring passengers and freight between lines, and rates when one system used freight cars owned by another. By 1850, rates had fallen to a penny a ton mile for coal, at speeds of up to fifty miles an hour. Britain now had had the model for the world in a well integrated, well-engineered system that allowed fast, cheap movement of freight and people, and which could be replicated in other major nations. The railways directly or indirectly employed tens of thousands of engineers, mechanics, repairmen and technicians, as well as statisticians and financial planners. They developed new and more efficient and less expensive techniques. Most important, they created a mindset of how technology could be used in many different forms of business. Railways had a major impact on industrialization. By lowering transportation costs, they reduced costs for all industries moving supplies and finished goods, and they increased demand for the production of all the inputs needed for the railroad system itself. By 1880, there were 13,500 locomotives which each carried 97,800 passengers a year, or 31,500 tons of freight. Member of Parliament and Solicitor to the City of London Charles Pearson campaigned for an underground rail service in London. Parts of the first such railway, the Metropolitan Line, opened to the public in 1863, thereby becoming the first subway line in the world. Trains were originally steam-powered, but in 1890, the first electric trains entered service. That same year, the whole system became officially known as the Tube after the shape of the rail tunnels. (It was not until 1908 that the name London Underground was introduced.) India provides an example of the London-based financiers pouring money and expertise into a very well built system designed for military reasons (after the Mutiny of 1857), and with the hope that it would stimulate industry. The system was overbuilt and much too elaborate and expensive for the small amount of freight traffic it carried. However, it did capture the imagination of the Indians, who saw their railways as the symbol of an industrial modernity—but one that was not realised until a century or so later. Public safety, health and medicine A gas network for lighting and heating was introduced in |
BB...BZ, CC...CZ and so on until reaching QZ, omitting J in both the first and second positions. Abandon the Latin script after 334 combinations of letters and start naming stars with V335, V336, and so on. The second letter is never nearer the beginning of the alphabet than the first, e.g., no star can be BA, CA, CB, DA and so on. History In the early 19th century few variable stars were known, so it seemed reasonable to use the letters of the Latin script. Because very few constellations contained stars with uppercase Latin-letter Bayer designation greater than Q, the letter R was chosen as a starting point so as to avoid confusion with letter spectral types or the (now rarely used) Latin-letter Bayer designations. Although Lacaille had used uppercase R to Z letters in a few cases, for example X Puppis (HR 2548), these designations were either dropped or accepted as variable star designations. The star T Puppis was accepted by Argelander as a variable star and is included in the General Catalogue of Variable Stars with that designation | was developed by Friedrich W. Argelander. There is a widespread belief according to which Argelander chose the letter R for German rot or French rouge, both meaning "red", because many variable stars known at that time appear red. However, Argelander's own statement disproves this. By 1836, even the letter S had only been used in one constellation, Serpens. With the advent of photography the number of variables piled up quickly, and variable star names soon fell into the Bayer trap of reaching the end of the alphabet while still having stars to name. After two subsequent supplementary double-lettering systems hit similar limits, numbers were finally introduced. As with all categories of astronomical objects, names are assigned by the International Astronomical Union (IAU). The IAU delegates the task to the Sternberg Astronomical Institute in Moscow, Russia. Sternberg publishes the General Catalog of Variable Stars (GCVS), which is periodically (approximately once every two years) amended by the publication of a new "Name-List" of variable stars. |
was the name of several institutions of secondary or higher education, and may refer to: Asia Victoria International College, Kuala Lumpur, Malaysia Government Victoria College, Palakkad, India Victoria College, Chulipuram, Sri Lanka Victoria College, Comilla, Bangladesh Victoria College, Narail, Bangladesh Victoria College, Hong Kong, former name of Queen's College Victoria Institution, former English school in Kuala Lumpur, Malaysia, now a national school. Victoria School, Singapore Victoria Technical School, Hong Kong, former name of Tang Siu Kin Victoria Government Secondary School Victoria International College, Dang, Nepal Africa Victoria College, Alexandria, | South Africa, former name of Stellenbosch University Australia/New Zealand Victoria College, Melbourne, now-defunct college in Australia Victoria College, Wellington, New Zealand, later Victoria University College, now Victoria University of Wellington Victorian College of the Arts, University of Melbourne, Australia Europe Victoria College, Belfast, a grammar school in Northern Ireland Victoria College, Jersey, Channel Islands Victoria College of Music and Drama, UK Victoria Park College, Manchester, UK North America Victoria University, Toronto (Victoria College) at the University of Toronto Victoria College, |
all forces and led them in the Celts' most significant revolt against Roman power. He won the Battle of Gergovia against Julius Caesar in which several thousand Romans and their allies were killed and the Roman legions withdrew. Caesar had been able to exploit Gaulish internal divisions to easily subjugate the country, and Vercingetorix's attempt to unite the Gauls against Roman invasion came too late. At the Battle of Alesia, also in 52 BC, the Romans besieged and defeated his forces; to save as many of his men as possible, he gave himself to the Romans. He was held prisoner for five years. In 46 BC, as part of Caesar's triumph, he was paraded through the streets of Rome and then executed by garroting. Vercingetorix is primarily known through Caesar's (Commentaries on the Gallic War). To this day, he is considered a folk hero in Auvergne, his native region. Name The name Vercingetorix derives from the Gaulish ver- ("over, superior" – an etymological cognate of Cornish gor-, Irish for-, more distantly English over, German über, Latin super, or Greek hyper), cingeto- ("warrior", related to roots meaning "tread, step, walk", so possibly "infantry"; compare Old Irish cingid), and rix ("king") (cf. Welsh rhi, Latin rex), thus literally either "great warrior king" or "king of great warriors". In his Life of Caesar, Plutarch renders the name as Vergentorix. History Context Having been appointed governor of the Roman province of Gallia Narbonensis (modern Provence) in 58 BC, Julius Caesar proceeded to conquer the Gallic tribes beyond over the next few years, maintaining control through a careful divide and rule strategy. He made use of the factionalism among the Gallic elites, favouring certain noblemen over others with political support and Roman luxuries such as wine. Attempts at revolt, such as that of Ambiorix in 54 BC, had secured only local support, but Vercingetorix, whose father, Celtillus, had been put to death by his own countrymen for seeking to rule all of Gaul, managed to unify the Gallic tribes against the Romans and adopted more current styles of warfare. Averni Nobleman The revolt that Vercingetorix came to lead began in early 52 BC while Caesar was raising troops in Cisalpine Gaul. Believing that Caesar would be distracted by the turmoil in Rome following the death of Publius Clodius Pulcher, the Carnutes, under Cotuatus and Conetodunus, made the first move, slaughtering the Romans who had settled in their territory. Vercingetorix, a young nobleman of the Arvernian city of Gergovia, roused his dependents to join the revolt, but he and his followers were expelled by Vercingetorix's uncle Gobanitio and the rest of the nobles because they thought that opposing Caesar was too great a risk. Undeterred, Vercingetorix raised an army of the poor, took Gergovia, and was hailed as king. Tribal alliances He made alliances with other tribes, and in doing so he united Gaul under the pretense of escaping Roman rule. After having been unanimously given supreme command of their armies, he imposed his authority through harsh discipline and the taking of hostages. Leadership and unification on this level was unprecedented in Gaul and would not happen again for decades. He adopted a policy of retreating to natural fortifications, and undertook an early example of a scorched earth strategy by burning towns to prevent the Roman legions from living off the land. Vercingetorix scorched much of the land marching north with his army from Gergovia in an attempt to deprive Caesar of the resources and safe haven of the towns and villages along Caesar's march south. Siege of Avaricum However, the capital of the Bituriges, Avaricum (near modern-day Bourges), a Gallic settlement directly in Caesar's path, was spared. Due to the town's strong protests, naturally defensible terrain, and apparently strong man-made reinforcing defenses, Vercingetorix decided against razing and burning it. Leaving the town to its fate, Vercingetorix camped well outside of Avaricum and focused on conducting harassing engagements of the advancing Roman units led by Caesar and his chief lieutenant Titus Labienus. Upon reaching Avaricum, however, the Romans laid siege and eventually captured the capital. Afterwards, in a reprisal for 25 days of hunger | Battle of Gergovia against Julius Caesar in which several thousand Romans and their allies were killed and the Roman legions withdrew. Caesar had been able to exploit Gaulish internal divisions to easily subjugate the country, and Vercingetorix's attempt to unite the Gauls against Roman invasion came too late. At the Battle of Alesia, also in 52 BC, the Romans besieged and defeated his forces; to save as many of his men as possible, he gave himself to the Romans. He was held prisoner for five years. In 46 BC, as part of Caesar's triumph, he was paraded through the streets of Rome and then executed by garroting. Vercingetorix is primarily known through Caesar's (Commentaries on the Gallic War). To this day, he is considered a folk hero in Auvergne, his native region. Name The name Vercingetorix derives from the Gaulish ver- ("over, superior" – an etymological cognate of Cornish gor-, Irish for-, more distantly English over, German über, Latin super, or Greek hyper), cingeto- ("warrior", related to roots meaning "tread, step, walk", so possibly "infantry"; compare Old Irish cingid), and rix ("king") (cf. Welsh rhi, Latin rex), thus literally either "great warrior king" or "king of great warriors". In his Life of Caesar, Plutarch renders the name as Vergentorix. History Context Having been appointed governor of the Roman province of Gallia Narbonensis (modern Provence) in 58 BC, Julius Caesar proceeded to conquer the Gallic tribes beyond over the next few years, maintaining control through a careful divide and rule strategy. He made use of the factionalism among the Gallic elites, favouring certain noblemen over others with political support and Roman luxuries such as wine. Attempts at revolt, such as that of Ambiorix in 54 BC, had secured only local support, but Vercingetorix, whose father, Celtillus, had been put to death by his own countrymen for seeking to rule all of Gaul, managed to unify the Gallic tribes against the Romans and adopted more current styles of warfare. Averni Nobleman The revolt that Vercingetorix came to lead began in early 52 BC while Caesar was raising troops in Cisalpine Gaul. Believing that Caesar would be distracted by the turmoil in Rome following the death of Publius Clodius Pulcher, the Carnutes, under Cotuatus and Conetodunus, made the first move, slaughtering the Romans who had settled in their territory. Vercingetorix, a young nobleman of the Arvernian city of Gergovia, roused his dependents to join the revolt, but he and his followers were expelled by Vercingetorix's uncle Gobanitio and the rest of the nobles because they thought that opposing Caesar was too great a risk. Undeterred, Vercingetorix raised an army of the poor, took Gergovia, and was hailed as king. Tribal alliances He made alliances with other tribes, and in doing so he united Gaul under the pretense of escaping Roman rule. After having been unanimously given supreme command of their armies, he imposed his authority through harsh discipline and the taking of hostages. Leadership and unification on this level was unprecedented in Gaul and would not happen again for decades. He adopted a policy of retreating to natural fortifications, and undertook an early example of a scorched earth strategy by burning towns to prevent the Roman legions from living off the land. Vercingetorix scorched much of the land marching north with his army from Gergovia in an attempt to deprive Caesar of the resources and safe haven of the towns and villages along Caesar's march south. Siege of Avaricum However, the capital of the Bituriges, Avaricum (near modern-day Bourges), a Gallic settlement directly in Caesar's path, was spared. Due to the town's strong protests, naturally defensible terrain, and apparently strong man-made reinforcing defenses, Vercingetorix decided against razing and burning it. Leaving the town to its fate, Vercingetorix camped well outside of Avaricum and focused on conducting harassing engagements of the advancing Roman units led by Caesar and his chief |
or voice reeds, are folds of tissue in the throat that are key in creating sounds through vocalization. The size of vocal cords affects the pitch of voice. Open when breathing and vibrating for speech or singing, the folds are controlled via the recurrent laryngeal branch of the vagus nerve. They are composed of twin infoldings of mucous membrane stretched horizontally, from back to front, across the larynx. They vibrate, modulating the flow of air being expelled from the lungs during phonation. The 'true vocal cords' are distinguished from the 'false vocal folds', known as vestibular folds or ventricular folds, which sit slightly superior to the more delicate true folds. These have a minimal role in normal phonation, but can produce deep sonorous tones, screams and growls. The length of the vocal fold at birth is approximately six to eight millimeters and grows to its adult length of eight to sixteen millimeters by adolescence. Testosterone, an androgen secreted by the gonads, causes irreversible changes in the cartilages and musculature of the larynx when present in high enough concentrations, such as during an adolescent boy's puberty: The thyroid prominence appears, the vocal folds lengthen and become rounded, and the epithelium thickens with the formation of three distinct layers in the lamina propria. Structure Location The vocal folds are located within the larynx at the top of the trachea. They are attached at the back to the arytenoid cartilages, and at the front to the thyroid cartilage. They are part of the glottis. Their outer edges are attached to muscle in the larynx while their inner edges form an opening called the rima glottidis. They are constructed from epithelium, but they have a few muscle-fibres in them, namely the vocalis muscle which tightens the front part of the ligament near to the thyroid cartilage. They are flat triangular bands and are pearly white in color. Above both sides of the glottis are the two vestibular folds or false vocal folds which have a small sac between them. False vocal folds The vocal folds are sometimes called 'true vocal folds' to distinguish them from the 'false vocal folds' known as vestibular folds or ventricular folds. These are a pair of thick folds of mucous membrane that protect and sit slightly superior to the more delicate true folds. They have a minimal role in normal phonation, but are often used to produce deep sonorous tones in Tibetan chant and Tuvan throat singing, as well as in musical screaming and the death growl vocal style. Microanatomy The vocal cords are composed of twin infoldings of 3 distinct tissues: an outer layer of flat cells that do not produce keratin (squamous epithelium). Below this is the superficial layer of the lamina propria, a gel-like layer, which allows the vocal fold to vibrate and produce sound. The vocalis and thyroarytenoid muscles make up the deepest portion. These vocal folds are covered with a mucous membrane and are stretched horizontally, from back to front, across the larynx. Variation Males and females have different vocal fold sizes. Adult male voices are usually lower-pitched due to longer and thicker folds. The male's vocal folds are between 1.75 cm and 2.5 cm (approx 0.75" to 1.0") in length, while females' vocal folds are between 1.25 cm and 1.75 cm (approx 0.5" to 0.75") in length. The vocal folds of children are much shorter than those of adult males and females. The difference in vocal fold length and thickness between males and females causes a difference in vocal pitch. Additionally, genetic factors cause variations between members of the same sex, with males' and females' voices being categorized into voice types. Development In newborns Newborns have a uniform single layered lamina propria, which appears loose with no vocal ligament. The monolayered lamina propria is composed of ground substances such as hyaluronic acid and fibronectin, fibroblasts, elastic fibers, and collagenous fibers. While the fibrous components are sparse, making the lamina propria structure loose, the hyaluronic acid (HA) content is high. HA is a bulky, negatively charged glycosaminoglycan, whose strong affinity with water procures hyaluronic acid its viscoelastic and shock absorbing properties essential to vocal biomechanics. Viscosity and elasticity are critical to voice production. Chan, Gray and Titze, quantified the effect of hyaluronic acid on both the viscosity and the elasticity of vocal folds by comparing the properties of tissues with and without HA. The results showed that removal of hyaluronic acid decreased the stiffness of the vocal cords by an average of 35%, but increased their dynamic viscosity by an average of 70% at frequencies higher than 1 Hz. Newborns have been shown to cry an average of 6.7 hours per day during the first 3 months, with a sustained pitch of 400–600 Hz, and a mean duration per day of 2 hours. Similar treatment on adult vocal cords would quickly result in edema, and subsequently aphonia. Schweinfurth and al. presented the hypothesis that high hyaluronic acid content and distribution in newborn vocal cords is directly associated with newborn crying endurance. These differences in newborn vocal fold composition would also be responsible for newborns inability to articulate sounds, besides the fact that their lamina propria is a uniform structure with no vocal ligament. The layered structure necessary for phonation will start to develop during the infancy and until the adolescence. The fibroblasts in the newborn Reinke's space are immature, showing an oval shape, and a large nucleus-cytoplasm ratio. The rough endoplasmic reticulum and Golgi apparatus, as shown by electron micrographs, are not well developed, indicating that the cells are in a resting phase. The collagenous and reticular fibers in the newborn the vocal cords are fewer than in the adult one, adding to the immaturity of the vocal fold tissue. In the infant, many fibrous components were seen to extend from the macula flava towards the Reinke's space. Fibronectin is very abundant in the Reinke's space of newborn and infant. Fibronectin is a glycoprotein that is believed to act as a template for the oriented deposition of the collagen fibers, stabilizing the collagen fibrils. Fibronectin also acts as a skeleton for the elastic tissue formation. Reticular and collagenous fibers were seen to run along the edges of the vocal cords throughout the entire lamina propria. Fibronectin in the Reinke's space appeared to guide those fibers and orient the fibril deposition. The elastic fibers remained sparse and immature during infancy, mostly made of microfibrils. The fibroblasts in the infant Reinke's space were still sparse but spindle-shaped. Their rough endoplasmic reticulum and Golgi apparatus were still not well developed, indicating that despite the change in shape, the fibroblasts still remained mostly in a resting phase. Few newly released materials were seen adjacent to the fibroblasts. The ground substance content in the infant Reinke's space seemed to decrease over time, as the fibrous component content increased, thus slowly changing the vocal fold structure. Children The infant lamina propria is composed of only one layer, as compared to three in the adult, and there is no vocal ligament. The vocal ligament begins to be present in children at about four years of age. Two layers appear in the lamina propria between the ages of six and twelve, and the mature lamina propria, with the superficial, intermediate and deep layers, is only present by the conclusion | interstitial molecules has been proven to be affected by both age and gender, and is maintained by the fibroblasts. Maturation Vocal fold structure in adults is quite different from that in newborns. Exactly how the vocal cord mature from an immature monolayer in newborns to a mature three layer tissue in adults is still unknown, however a few studies have investigated the subjects and brought some answers. Hirano et al. previously found that the newborns did not have a true lamina propria, but instead had cellular regions called maculae flavae, located at the anterior and posterior ends of the loose vocal fold tissue. Boseley and Hartnick examined at the development and maturation of pediatric human vocal fold lamina propria. Hartnick was the first one to define each layer by a change in their cellular concentration. He also found that the lamina propria monolayer at birth and shortly thereafter was hypercellular, thus confirming Hirano's observations. By 2 months of age, the vocal fold started differentiating into a bilaminar structure of distinct cellular concentration, with the superficial layer being less densely populated than the deeper layer. By 11 months, a three-layered structure starts to be noted in some specimens, again with different cellular population densities. The superficial layer is still hypocellular, followed by an intermediate more hypercellular layer, and a deeper hypercellular layer, just above the vocalis muscle. Even though the vocal cords seem to start organizing, this is not representative of the trilaminar structure seen in adult tissues, where the layer are defined by their differential elastin and collagen fiber compositions. By 7 years of age, all specimens show a three-layered vocal fold structure, based on cellular population densities. At this point, the superficial layer was still hypocellular, the middle layer was the hypercellular one, with also a greater content of elastin and collagen fibers, and the deeper layer was less cellularly populated. Again, the distinction seen between the layers at this stage is not comparable to that seen in the adult tissue. The maturation of the vocal cords did not appear before 13 years of age, where the layers could be defined by their differential fiber composition rather than by their differential cellular population. The pattern now show a hypocellular superficial layer, followed by a middle layer composed predominantly of elastin fiber, and a deeper layer composed predominantly of collagen fibers. This pattern can be seen in older specimens up to 17 years of age, and above. While this study offers a nice way to see the evolution from immature to mature vocal cords, it still does not explain what is the mechanism behind it. Macula flavae Maculae flavae are located at the anterior and posterior ends of the membranous parts of the vocal cords. The histological structure of the macula flava is unique, and Sato and Hirano speculated that it could play an important role in growth, development and aging of the vocal cords. The macula flava is composed of fibroblasts, ground substances, elastic and collagenous fibers. Fibroblasts were numerous and spindle or stellate-shaped. The fibroblasts have been observed to be in active phase, with some newly released amorphous materials present at their surface. From a biomechanical point of view, the role of the macula flava is very important. Hirano and Sato studies suggested that the macula flava is responsible for the synthesis of the fibrous components of the vocal cords. Fibroblasts have been found mostly aligned in the direction of the vocal ligament, along bundles of fibers. It then was suggested that the mechanical stresses during phonation were stimulating the fibroblasts to synthesize those fibers. Impact of phonation The viscoelastic properties of human vocal fold lamina propria are essential for their vibration, and depend on the composition and structure of their extracellular matrix. Adult vocal cords have a layered structure which is based on the layers differential in extracellular matrix distribution. Newborns on the other hand, do not have this layered structure. Their vocal cords are uniform, and immature, making their viscoelastic properties most likely unsuitable for phonation. hyaluronic acid plays a very important role in the vocal fold biomechanics. In fact, hyaluronic acid has been described as the extracellular matrix molecule that not only contributes to the maintenance of an optimal tissue viscosity that allows phonation, but also of an optimal tissue stiffness that allows frequency control. CD44 is a cell surface receptor for HA. Cells such as fibroblasts are responsible for synthesizing extracellular matrix molecules. Cell surface matrix receptors in return, feed back to the cells through cell-matrix interaction, allowing the cell to regulate its metabolism. Sato et al. carried out a histopathologic investigation of unphonated human vocal cords. Vocal fold mucosae, which were unphonated since birth, of three young adults (17, 24, and 28 years old) were looked at using light and electron microscopy. The results show that the vocal fold mucosae were hypoplastic, and rudimentary, and like newborns, did not have any vocal ligament, Reinke's space, or layered structure. Like newborns, the lamina propria appeared as a uniform structure. Some stellate cells were present in the macula flava, but started to show some signs of degeneration. The stellate cells synthesized fewer extracellular matrix molecules, and the cytoplasmic processes were shown to be short and shrinking, suggesting a decreased activity. Those results confirm the hypothesis that phonation stimulates stellate cells into producing more extracellular matrix. Furthermore, using a specially designed bioreactor, Titze et al. showed that fibroblasts exposed to mechanical stimulation have differing levels of extracellular matrix production from fibroblasts that are not exposed to mechanical stimulation. The gene expression levels of extracellular matrix constituents such as fibronectin, MMP1, decorin, fibromodulin, hyaluronic acid synthase 2, and CD44 were altered. All those genes are involved in extracellular matrix remodeling, thus suggesting that mechanical forces applied to the tissue, alter the expression levels of extracellular matrix related genes, which in turn allow the cells present in the tissue to regulate the extracellular matrix constituent synthesis, thus affecting the tissue's composition, structure, and biomechanical properties. In the end, cell-surface receptors close the loop by giving feedback on the surrounding extracellular matrix to the cells, affecting also their gene expression level. Impact of hormones Other studies suggest that hormones play also an important role in vocal fold maturation. Hormones are molecules secreted into the blood stream to be delivered at different targeted sites. They usually promote growth, differentiation and functionality in different organs or tissues. Their effect is due to their ability to bind to intracellular receptors, modulating the gene expression, and subsequently regulating protein synthesis. The interaction between the endocrine system and tissues such as breast, brain, testicles, heart, bones, etc., is being extensively studied. It has clearly been seen that the larynx is somewhat affected by hormonal changes, but surprisingly, very few studies are working on elucidating this relationship. The effect of hormonal changes in voice is clearly seen when hearing male and female voices, or when listening to a teenage voice changing during puberty. Actually, it is believed that the number of hormonal receptors in the pre-pubertal phase is higher than in any other age. Menstruation has also been seen to influence the voice. In fact, singers are encouraged by their instructors not to perform during their pre-menstrual period, because of a drop in their voice quality. Vocal fold phonatory functions are known to change from birth to old age. The most significant changes occur in development between birth and puberty, and in old age. Hirano et al. previously described several structural changes associated with aging, in the vocal fold tissue. Some of those changes are: a shortening of the membranous vocal fold in males, a thickening of the vocal fold mucosa and cover in females, and a development of edema in the superficial lamina propria layer in both sexes. Hammond et al. observed that the hyaluronic acid content in the vocal fold lamina propria was significantly higher in males than in females. Although all those studies did show that there are clear structural and functional changes seen in the human vocal cords which are associated with gender and age, none really fully elucidated the underlying cause of those changes. In fact, only a few recent studies started to look at the presence and role of hormone receptors in the vocal cords. Newman et al. found that hormone receptors are indeed present in the vocal cords, and show a statistical distribution difference with respect to age and gender. They have identified the presence of androgen, estrogen, and progesterone receptors in epithelial cells, granular cells and fibroblasts of the vocal cords, suggesting that some of the structural changes seen in the vocal cords could be due to hormonal influences. In this specific study, androgen and progesterone receptors were found more commonly in males than in females. In others studies, it has been suggested that the estrogen/androgen ratio be partly responsible for the voice changes observed at menopause. As previously said, Hammond et al. showed than the hyaluronic acid content was higher in male than in femalevocal cords. Bentley et al. demonstrated that sex skin swelling seen in monkey was due to an increase in hyaluronic acid content, which was in fact mediated by estrogen receptors in dermal fibroblasts. An increase in collagen biosynthesis mediated by the estrogen receptors of dermal fibroblasts was also observed. A connection between hormone levels, and extracellular matrix distribution in the vocal cords depending on age and gender could be made. More particularly a connection between higher hormone levels and higher hyaluronic acid content in males could exist in the human vocal fold tissue. Although a relationship between hormone levels and extracellular matrix biosynthesis in vocal fold can be established, the details of this relationship, and the mechanisms of the influence has not been elucidated yet. Old age There is a thinning in the superficial layer of the lamina propria in old age. In aging, the vocal fold undergoes considerable sex-specific changes. In the female larynx, the vocal fold cover thickens with aging. The superficial layer of the lamina propria loses density as it becomes more edematous. The intermediate layer of the lamina propria tends to atrophy only in men. The deep layer of the lamina propria of the male vocal fold thickens because of increased collagen deposits. The vocalis muscle atrophies in both men and women. However, the majority of elderly patients with voice disorders have disease processes associated with aging rather than physiologic aging alone. Function Oscillation The larynx is a major (but not the only) source of sound in speech, generating sound through the rhythmic opening and closing of the vocal folds. To oscillate, the vocal folds are brought near enough together such that air pressure builds up beneath the larynx. The folds are pushed apart by this increased subglottal pressure, with the inferior part of each fold leading the superior part. Such a wave-like motion causes a transfer of energy from the airflow to the fold tissues. Under the correct conditions, the energy transferred to the tissues is large enough to overcome losses by dissipation and the oscillation pattern will sustain itself. In essence, sound is generated in the larynx by chopping up a steady flow of air into little puffs of sound waves. The perceived pitch of a person's voice is determined by a number of different factors, most importantly the fundamental frequency of the sound generated by the larynx. The fundamental frequency is influenced by the length, size, and tension of the vocal folds. This frequency averages about 125 Hz in an adult male, 210 Hz in adult females, and over 300 Hz in children. Depth-kymography is an imaging method to visualize the complex horizontal and vertical movements of vocal folds. The vocal folds generate a sound rich in harmonics. The harmonics are produced by collisions of the vocal folds with themselves, by recirculation of some of the air back through the trachea, or both. Some singers can isolate some of those harmonics in a way that is perceived as singing in more than one pitch at the same time—a technique called overtone singing or throat singing such as in the tradition of Tuvan throat singing. Clinical significance Lesions The majority of vocal fold lesions primarily arise in the cover of the folds. Since the basal lamina secures the epithelium to the superficial layer of the lamina propria with anchoring fibers, this is a common site for injury. If a person has a phonotrauma or habitual vocal hyperfunction, also known as pressed phonation, the proteins in the basal lamina can shear, causing vocal fold injury, usually seen as nodules or polyps, which increase the mass and thickness of the cover. The squamous cell epithelium of the anterior glottis are also a frequent site of laryngeal cancer caused by smoking. Reinke's edema A voice pathology called Reinke's edema, swelling due to abnormal accumulation of fluid, occurs in the superficial lamina propria or Reinke's space. This causes the vocal fold mucosa to appear floppy with excessive movement of the cover that has been described as looking like a loose sock. The greater mass of the vocal folds due to increased fluid lowers the fundamental frequency during phonation. Wound healing Wound healing is a natural regeneration process of dermal and epidermal tissue involving a sequence of biochemical events. These events are complex and can be categorized into three stages: inflammation, proliferation and tissue remodeling. The study on vocal fold wound healing is not as extensive as that on animal models due to the limited availability of human vocal folds. Vocal fold injuries can have a number of causes including chronic overuse, chemical, thermal and mechanical trauma such as smoking, laryngeal cancer, and surgery. Other benign pathological phenomena like polyps, vocal fold nodules and edema will also introduce disordered |
for the whole territory, including rural areas. The municipality evolved gradually during the municipal reforms in Sweden. Most of the amalgamations took place in 1967 and the municipality in its present form was created in 1971. There are 30 original local government | is located in the city of Västerås. The municipality prefers to use the denomination Västerås stad (City of Västerås) for the whole territory, including rural areas. The municipality evolved gradually during the municipal reforms in Sweden. Most of the amalgamations took place in 1967 and the municipality in its present form was created in |
technology VESA Local Bus, a local bus based on the Intel 80486 CPU Very large board, a | and technology VESA Local Bus, a local bus based on the Intel 80486 CPU Very large board, a large printed circuit board Vincaleukoblastine, or vinblastine, an antitumor alkaloid Other uses VLB |
inflect for case and number, but not for gender. The following is the declension of the Volapük word vol "world": As in German, the Volapük noun has four cases: nominative, genitive, dative and accusative. In compound words, the first part of the compound is usually separated from the second by the genitive termination -a, e.g. Vola-pük, "of-world language": "language of the world". However, the other case endings (-e dative, -i accusative) are sometimes used if applicable, or the roots may be agglutinated in the nominative, with no separating vowel. Adjectives and adverbs Adjectives, formed by the suffix -ik, normally follow the noun they qualify. They do not agree with the noun in number and case in that position, but do if they precede the noun, are separated from it by intervening words, or stand alone. Adverbs are formed by suffixing -o, either to the root or to the adjectival -ik (gudik "good", gudiko "well"); they normally follow the verb or adjective they modify. Pronouns The pronouns begin with o-. In the singular, they are ob "I", ol "thou", om "he/it", of "she", os (impersonal), on "one", ok "oneself". They are pluralized with -s: obs "we", ols "ye", oms "they". The possessive may be formed with either the genitive -a or with adjectival -ik: oba or obik "my". Prepositions, conjunctions and interjections are also formed from noun roots by appending appropriate suffixes. In later, reformed Volapük, om was narrowed down to males only, whereas on got the meaning of 'it' as well as impersonal 'they'. Verbs The verb carries a fine degree of detail, with morphemes marking tense, aspect, voice, person, number and (in the third person) the subject's gender. However, many of these categories are optional, and a verb can stand in an unmarked state. A Volapük verb can be conjugated in 1,584 ways (including infinitives and reflexives). Person For the simple present, the pronouns are suffixed to the verb stem: binob I am, binol thou art, etc. The present passive takes the prefix pa-: palöfons they are loved. Tense, aspect, and voice The three tenses in the indicative, and the three perfect aspects, each take a characteristic vowel prefix: The present-tense prefix is omitted in the active voice, so: binob I am, äbinol you were, ebinom he has been, ibinof she had been, obinos it will be, ubinon one will have been. These are seen as being more distant from the present tense the further the vowel is from in vowel space, and they can be used with temporal words to indicate distance in the past or future. For example, from del 'day', adelo today, odelo tomorrow, udelo the day after tomorrow, ädelo yesterday, edelo the day before yesterday, idelo three days ago. The passive voice is formed with p-, and here the a is required for the present tense: palöfob I am loved, pälogol you were seen, pologobs we will be seen. Infinitive mood The infinitive is formed with the suffix -ön. It can be combined with tense/aspect prefixes: Logön to see, elogön to have seen. Interrogative mood Yes–no questions are indicated with the particle li: Pälogom-li was he seen? The hyphen indicates that the syllable li does not take stress. It occurs before the verb to avoid a sequence of three consonants or a double el: li-pälogol? li-binoms? Participles and the habitual aspect Participles, both active and passive, are formed in -öl: Logöl seeing, elogöl having seen, ologöl being about to see, palogöl seen (being seen), pelogöl seen (having been seen), pologöl about to be seen. Binob penöl is literally 'I am writing', though penob is also used. For "I write" as habitual action, the habitual aspect is used. This is formed by adding -i- after the tense prefix, and here again the present-tense a- is required. The forms are thus active ai-, äi-, ei-, ii-, oi-, ui-, passive pai-, päi-, pei-, pii-, poi-, pui-. All are pronounced as two syllables. Aifidob bodi I eat bread (as a daily occurrence), äipenob penedis I used to write letters. With temporal words, aidelo daily (at the present time) The imperative moods The imperative -öd follows the person suffix: Gololöd! Go! (to one person), gololsöd! go! (to more than one person) Optative -ös is used for courteous requests, and jussive -öz an emphatic command. Conditional mood Conditionals are formed with -la for the protasis (if-clause) and -öv for the apodosis (then-clause): If äbinob-la liegik, äbinoböv givik – if I were rich I would be generous. Ibinomöv givik, if ibinom-la liegik – he would have been generous if he had been rich. Note that the tense changes as well, so that in the first example the past tense is used even though the present tense is intended. Like the question particle, the -la is written with a hyphen to indicate that it is not stressed in speech. Potential mood A potential mood is formed with -öx: Pelomöx he might pay. Reflexive verbs Reflexive forms are made from the active voice and the pronoun ok: Vatükob I wash, vatükobok (or vatükob obi) I wash myself. In the third person, the periphrastic form of vatükomok (he washes himself) must use the reflexive pronoun, vatükom oki, as vatükom omi would mean "he washes him (someone else)". The plural -s may precede or follow the reflexive, as the speaker chooses: vatükomoks or vatükomsok they wash themselves. Here there is a meaningful distinction between joining the pronoun to the verb, and inflecting it independently: Löfobsok we love ourselves, löfobs obis we love each other. Gerundive The gerundive arguments are active ö-, passive pö-. Examples The Lord's Prayer Sample text Translation: When one is learning another language, vocabulary presents difficulties. One must continuously search for unknown words, and consequently interest is lost. In the elementary part, however, this problem has been overcome, because the relevant translation of each word appears below the Volapük words. A selection of readings follows, and it is suggested that the Volapük words be read out loud. The grammar and a basic vocabulary have already been done in the introduction; nevertheless, a quick glance at the translation is recommended to ensure that the overall meaning has been acquired. There is a maxim which states that a little study a day is better than a lot of study all at once. Usage as common noun The word Volapük or a variation thereof means "nonsense, gibberish" in certain languages, such as Danish volapyk and Esperanto volapukaĵo. In Russian, the term Volapuk encoding refers to writing Cyrillic letters with the Latin alphabet based on what they look like, for example writing instead of волапюк. See also Kosmopolan Volapük Wikipedia References External links The Volapük-language Wikipedia's page on Volapük A Volapük portal, with links to grammar, vocabulary, exercises etc Description and history of the Volapük Academy Links to sundry background materials Summaries Chapter on Volapük in Otto Jespersen's pro Novial An International Language (1928) Volapuk at the Conlang Atlas of Language Structures. Tutorials (First of) a ten-lesson course in modern Volapük (Follow the 'next' link at the foot of each page for each succeeding lesson...) Handbooks, grammars and dictionaries Ralph Midgley's web-page - grammar, lessosn, vocabulary, examples Malgranda gramatiko de Volapuko per Esperanto by the ex-Cifal Brian Bishop (2015) - Volapük Nulik Volapük to English | De Jong simplified the grammar, eliminating some rarely used verb forms, and eliminated some gendered pronouns and gendered verb endings. He also rehabilitated the phoneme and used it to make some morphemes more recognizable. For instance, lömib "rain" became rein. Volapük enjoyed a brief renewal of popularity in the Netherlands and Germany under de Jong's leadership, but was suppressed (along with other constructed languages) in countries under Nazi rule and never recovered. Regarding the success of this artificial language, the Spanish scientist Santiago Ramón y Cajal wrote in the first edition of his Tonics of Willingness, in 1898: However, some years later (1920), in the third edition of the same book, he added the following footnote to the former assertion: "As it was presumable, nowadays -1920-, the brand new Volapük has been forgotten definitively. We forecast the same for Esperanto." Large Volapük collections are held by the International Esperanto Museum in Vienna, Austria; the Center for Documentation and Study about the International Language in La Chaux-de-Fonds, Switzerland; and the American Philosophical Society in Philadelphia, Pennsylvania. In 2000 there were an estimated 20 Volapük speakers in the world. In December 2007 it was reported that the Volapük version of Wikipedia had recently jumped to 15th place among language editions, with more than 112,000 articles. A few months earlier there had been only 797 articles. The massive increase in the size of "Vükiped", bringing it ahead of the Esperanto Wikipedia, was due to an enthusiast who had used a computer program to automatically create geographical articles, many on small villages. The motive was to gain visibility for the language. By March 2013 the Esperanto Wikipedia, with a very active user community, had risen to 176,792 articles, while the Volapük Wikipedia had at that point 119,091 articles. There has been a continuous Volapük speaker community since Schleyer's time, with an unbroken succession of Cifals (leaders). These were: Johann Martin Schleyer 1879–1912 Albert Sleumer 1912–1948 Arie de Jong (provisionally) 1947–1948, 1951–1957 Jakob Sprenger 1948–1950 Johann Schmidt 1950–1977 Johann Krüger 1977–1983 Brian Bishop 1984–2014 Hermann Philipps 2014–present Orthography and pronunciation The alphabet is as follows: That is, the vowel letters ä, ö, ü have the pronunciations they do in German, roughly like English end, fern, über. C is pronounced like English j or ch, and j like English sh, or like the s in English "usually". is pronounced after voiced consonants, for example bs, ds, gs, ls, as it is in English. R was not found in the original proposal. The letters ä, ö, and ü do not have alternative forms such as the ae, oe, and ue of German, but Schleyer proposed alternate forms ꞛ, ꞝ, and ꞟ for them, all of which are part of Unicode since version 7.0 released in June 2014: There are no diphthongs; each vowel letter is pronounced separately. Special consonantal letters The author Alfred A. Post mentions in his Comprehensive Volapük Grammar some additional letters created by Schleyer: And the following letters are constructed by the inventor to designate sounds which occasionally occur – Most of these letters can already be found in Unicode: () () (for composing m̂ and n̂) () Letter r Some phonemes, such as ö and ü , were not avoided, despite being uncommon. Schleyer's 1880 Volapük as well as Modern Volapük has minimal l–r pairs such as rel "religion" versus lel "iron". Syllabic stress Polysyllabic words are always stressed on the final vowel; for example, neai "never" is pronounced . (However, the question clitic "-li" does not affect the stress of the word it attaches to.) Where there is secondary stress, as is found in the compounding of several roots together, it is found on the final syllable between the roots. Vocabulary Schleyer adapted the vocabulary mostly from English, with a smattering of German and French. Some words remain readily recognizable for a speaker of one of the source languages, but many others are modified beyond easy recognition. For instance, vol and pük are derived from the English words world and speak. Although unimportant linguistically, and regardless of the simplicity and consistency of the stress rule, these deformations were greatly mocked by the language's detractors. It seems to have been Schleyer's intention, however, to alter its loan words in such a way that they would be hard to recognise, thus losing their ties to the languages (and, by extension, nations) from which they came. Conversely, Esperanto and Interlingua are commonly criticized as being much easier to learn for Europeans than for those with non-European native languages. Grammar The grammar is based on that of typical European languages, but with an agglutinative character: grammatical inflections are indicated by stringing together separate affixes for each element of meaning. Nouns Nouns inflect for case and number, but not for gender. The following is the declension of the Volapük word vol "world": As in German, the Volapük noun has four cases: nominative, genitive, dative and accusative. In compound words, the first part of the compound is usually separated from the second by the genitive termination -a, e.g. Vola-pük, "of-world language": "language of the world". However, the other case endings (-e dative, -i accusative) are sometimes used if applicable, or the roots may be agglutinated in the nominative, with no separating vowel. Adjectives and adverbs Adjectives, formed by the suffix -ik, normally follow the noun they qualify. They do not agree with the noun in number and case in that position, but do if they precede the noun, are separated from it by intervening words, or stand alone. Adverbs are formed by suffixing -o, either to the root or to the adjectival -ik (gudik "good", gudiko "well"); they normally follow the verb or adjective they modify. Pronouns The pronouns begin with o-. In the singular, they are ob "I", ol "thou", om "he/it", of "she", os (impersonal), on "one", ok "oneself". They are pluralized with -s: obs "we", ols "ye", oms "they". The possessive may be formed with either the genitive -a or with adjectival -ik: oba or obik "my". Prepositions, conjunctions and interjections are also formed from noun roots by appending appropriate suffixes. In later, reformed Volapük, om was narrowed down to males only, whereas on got the meaning of 'it' as well as impersonal 'they'. Verbs The verb carries a fine degree of detail, with morphemes marking tense, aspect, voice, person, number and (in the third person) the subject's |
extraterrestrial origin. It exists in many forms: Wakandan variety Wakandan Vibranium is the most common variety, and is often referred to simply as "vibranium". It is a rare substance native only to the fictional small African nation of Wakanda. The Wakandan isotope possesses the ability to absorb all vibrations in the vicinity as well as kinetic energy directed at it. The energy absorbed is stored within the bonds between the molecules that make up the substance. As a result, kinetic energy is dissipated within the bonds instead. There are limits to the capacity of the energy that can be stored, and although the exact limitations are not yet known, there have been a few examples. One such instance was when the Roxxon Energy Corporation discovered that a small island in the South Atlantic had a foundation composed of vibranium. Due to this, Roxxon found it necessary to destroy the island with explosives. Unable to absorb the force of the explosions, the vibranium was destroyed, but it succeeded in entirely absorbing the sound made by the explosion, preventing damage to the surrounding area. This variety of vibranium is also a powerful mutagen. Vibranium exposure led to the mutation of many Wakandan natives. Its radiation has also permeated much of Wakanda's flora and fauna, including the Heart-Shaped Herb eaten by members of the Black Panther Tribe and the flesh of the White Gorilla eaten by the members of the White Gorilla Tribe. Both give superhuman abilities to whoever eats them. It is also believed to dramatically enhance mystical energies. Antarctic variety Better known as Anti-Metal, this isotope is native to the Savage Land. The variation produces vibrations of a specific wavelength that break down the molecular bonds in other metals, causing them to liquefy. It was first discovered by the famous explorer named Robert Plunder; the father of Kevin and Parnival Plunder during his initial jaunt in the primordial environment untouched by time. His more villainous son, who went on to become The Plunderer, would seek to find his father who dubbed the Plunder Stone and all recorded knowledge of the family relic only accessible through his inherited medallion fashioned from the stone, to pillage and terrorize the world by liquidating all armaments used against him. Wakandan vibranium is able to become an artificial and unstable form of the Anti-Metal variety of vibranium through certain particle bombardments on it. If huge quantities of Anti-Metal are gathered together, the vibrations increase exponentially. One such case occurred with the most stable reactionary transformation baryon beam bombardment. Much like natural Wakandan vibranium, Antarctic vibranium can cause human mutations. One person who donned an Anti-Metal full body suit for protection against Moon Knight and his arsenal began to emit the same metal-melting radiation he had intended to weaponize. Artificial variety There are at least two forms of man made vibranium created outside of Wakanda through various means. The first variant is called NuForm which featured in the Vibranium Vendetta event of Marvel Comics imprint, created by the Roxxon Corporation for unknown reasons, It was an alchemic blend made through the combination of organic and mineral elements, the properties of this Vibranium brand mimicked natural vibranium but had the tendency to degrade into Antarctic vibranium unless tempered through use of microwave bombardment, and even then that was only a temporary solution. The second is a particularly dangerous artificial brand created at Horizon Labs by Professor Sajani Jaffrey called Reverbium. Unlike standard vibranium, this faux material rapidly amplifies and projects sound and vibratory energy in pulse waves which would only strengthen over time before violently detonating. Max Modell, head scientist of Horizon at the time, ordered its immediate dissolution given how dangerous it was but Sajani held on to some of it without her team's knowledge. Reverbium would turn up again in the hands of A.I.M Scientists under the influence of Klaw, who had used it in a new scheme against Black Panther and the nation of Wakanda; the faux vibranium also had the effect of enhancing his sonic powers to unknown degrees. Living variety Famed Wakandan scientist and Wakanda University professor Obinna Nwabueze discovered a new form of vibranium. Testing its subatomic structure, he concluded that the metal had a sort of sentience. The naturally occurring sentient metal came from the echo caves of the Dora Milaje, the king's personal guard. Each recruit who entered the caves imprinted upon the Living Vibranium; each trainee took some into their bodies. The metal would sometimes take the form of visitors. The Dora fashioned weapons to control Living Vibranium, including the Talking Drum to guide a devastating weapon called the Mimic-27. The Dora Milaje also use the treated Living Vibranium in special spears they wield to better bond with and access the domain which stores their special vibranium's sentience. Other properties include, but are not limited to, having a natural symbiosis with both its contents and the environment around it. Being capable of causing all manner of disruptive geological phenomena like earthquakes and sending local wildlife into a frenzy. As | point in Marvel Comics continuity, it has been established that there are a few variations of this element which can be found in isolated regions all around the world. The variation first introduced in Daredevil #13 eventually became known as Anti-Metal. This variation's unique attribute is that it can cut through any known metal. In the Marvel Universe, Anti-Metal can traditionally be found only in Antarctica. Later in Fantastic Four #53 (August 1966), by Stan Lee and Jack Kirby, a new variation of vibranium was introduced in the isolated nation of Wakanda. This variation had the unique attribute of being able to absorb sound. This is the variation which is most often identified in continuity as simply "vibranium". Fictional history In the Marvel Universe, vibranium was first deposited on Earth by a meteorite 10,000 years ago. In the comics, the first documented discovery of vibranium was during a human expedition to Antarctica. This particular isotope of vibranium was called "Anti-Metal" due to its property of dissolving other metals. In the comics, a different variety of vibranium found in Wakanda absorbs sound waves and other vibrations, including kinetic energy. Absorbing sound waves, vibrations, and kinetic energy makes this metal stronger. It was discovered by the Wakandan ancestors. To protect this resource, they concealed their country from the outside world. Wakandan king T'Chaka funded his country's education by occasionally selling off minuscule quantities of the metal. As a result, Wakanda is one of the world's most technologically advanced nations. During the early 1940s, a small amount of Wakandan vibranium came into the possession of the scientist Myron MacLain. He tried to combine vibranium with iron to form a new tank armor, but was unable to fuse the elements. One morning, he found that the two materials had bonded on their own in an unknown manner. The ultra-resilient alloy was used to create Captain America's shield. MacLain worked for decades (without success) to duplicate the accident. However, during an experiment in the 1960s, he developed the virtually indestructible metal adamantium. When T'Challa became king of Wakanda, he strove to end his country's isolation from the rest of the world. Making the existence of vibranium known to the outside world around the mid-1980s, he sold small quantities of it to foreigners who, he believed, would not use it to harmful ends. T'Challa used the profits to enrich and modernize his nation. Over the years, many have tried to obtain or affect the mound of vibranium at Wakanda, but for the most part Wakanda has kept it safe, and become quite powerful in the process. During their Secret Invasion of Earth, the Skrulls assumed the identity of S.H.I.E.L.D. agents and enslaved natives of the Savage Land to mine Anti-Metal. They also invaded Wakanda. The Wakandans successfully repelled the attack. When Wakanda was politically overtaken by the xenophobic Desturi, they granted Doctor Doom access to the country's vibranium vaults. Fearing Doom would use it to amplify his mystical energies, T'Challa activated a failsafe he had developed that rendered all processed vibranium inert. The rumors about its alien origin had later been proven true, as while most of earth's vibranium had been all but liquidated, certain planetary systems carry an ample supply of the element deep within certain extraterrestrial biospheres, as was the case with a refugee planet that the Spartax Empire tried reclaiming during Captain Marvel's space travels. In the wake of the continuity-wide spanning reboot of the Marvel multiverse chronicled in Secret Wars: Battleworld, vibranium's abundance in Wakanda and beyond has re-flourished to sizable quantities, and the mutant criminal Vanisher was absconding and selling Wakandan vibranium on the black market in New York City. Properties and known abilities In the Marvel Comics Universe, vibranium is a rare metallic substance of extraterrestrial origin. It exists in many forms: Wakandan variety Wakandan Vibranium is the most common variety, and is often referred to simply as "vibranium". It is a rare substance native only to the fictional small African nation of Wakanda. The Wakandan isotope possesses the ability to absorb all vibrations in the vicinity as well as kinetic energy directed at it. The energy absorbed is stored within the bonds between the molecules that make up the substance. As a result, kinetic energy is dissipated within the bonds instead. There are limits to the capacity of the energy that can be stored, and although the exact limitations are not yet known, there have been a few examples. One such instance was when the Roxxon Energy Corporation discovered that a small island in the South Atlantic had a foundation composed of vibranium. Due to this, Roxxon found it necessary to destroy the island with explosives. Unable to absorb the force of the explosions, the vibranium was destroyed, but it succeeded in entirely absorbing the sound made by the explosion, preventing damage to the surrounding area. This variety of vibranium is also a powerful mutagen. Vibranium exposure led to the mutation of many Wakandan natives. Its radiation has also permeated much of Wakanda's flora and fauna, including the Heart-Shaped Herb eaten by members of the Black Panther Tribe and the flesh of the White Gorilla eaten by the members of the White Gorilla Tribe. Both give superhuman abilities to whoever eats them. It is also believed to dramatically enhance mystical energies. Antarctic variety Better known as Anti-Metal, this isotope is native to the Savage Land. The variation produces vibrations of a specific wavelength that break down the molecular bonds in other metals, causing them to liquefy. It was first discovered by the famous explorer named Robert Plunder; the father of Kevin and Parnival Plunder during his initial jaunt in the primordial environment untouched by time. His more villainous son, who went on to become The Plunderer, would seek to find his father who dubbed the Plunder Stone and all recorded knowledge of the family relic only accessible through his inherited medallion fashioned from the stone, to pillage and terrorize the world by liquidating all armaments used against him. Wakandan vibranium is able to become an artificial and unstable form of the Anti-Metal variety of vibranium through certain particle bombardments on it. If huge quantities of Anti-Metal are gathered together, the vibrations increase exponentially. One such case occurred with the most stable reactionary transformation baryon beam bombardment. Much like natural Wakandan vibranium, Antarctic vibranium can cause human mutations. One person who donned an Anti-Metal full body suit for protection against Moon Knight and his arsenal began to emit the same metal-melting radiation he had intended to weaponize. Artificial variety There are at least two forms of man made |
production tiltrotor aircraft, with one three-bladed proprotor, turboprop engine, and transmission nacelle mounted on each wingtip. It is classified as a powered lift aircraft by the Federal Aviation Administration. For takeoff and landing, it typically operates as a helicopter with the nacelles vertical and rotors horizontal. Once airborne, the nacelles rotate forward 90° in as little as 12 seconds for horizontal flight, converting the V-22 to a more fuel-efficient, higher speed turboprop aircraft. STOL rolling-takeoff and landing capability is achieved by having the nacelles tilted forward up to 45°. Other orientations are possible. Pilots describe the V-22 in airplane mode as comparable to the C-130 in feel and speed. It has a ferry range of over 2,100 nmi. Its operational range is 1,100 nmi. Composite materials make up 43% of the airframe, and the proprotor blades also use composites. For storage, the V-22's rotors fold in 90 seconds and its wing rotates to align, front-to-back, with the fuselage. Because of the requirement for folding rotors, their 38-foot (11.6 m) diameter is 5 feet (1.5 m) less than optimal for vertical takeoff, resulting in high disk loading. Most missions use fixed wing flight 75% or more of the time, reducing wear and tear and operational costs. This fixed wing flight is higher than typical helicopter missions allowing longer range line-of-sight communications for improved command and control. Exhaust heat from the V-22's engines can potentially damage ships' flight decks and coatings. NAVAIR devised a temporary fix of portable heat shields placed under the engines and determined that a long-term solution would require redesigning decks with heat resistant coating, passive thermal barriers, and ship structure changes. Similar changes are required for F-35B operations. In 2009, DARPA requested solutions for installing robust flight deck cooling. A heat-resistant anti-skid metal spray named Thermion has been tested on . Propulsion The V-22's two Rolls-Royce AE 1107C engines are connected by drive shafts to a common central gearbox so that one engine can power both proprotors if an engine failure occurs. Either engine can power both proprotors through the wing driveshaft. However, the V-22 is generally not capable of hovering on one engine. If a proprotor gearbox fails, that proprotor cannot be feathered, and both engines must be stopped before an emergency landing. The autorotation characteristics are poor because of the rotors' low inertia. In September 2013, Rolls-Royce announced that it had increased the AE-1107C engine's power by 17% via the adoption of a new Block 3 turbine, increased fuel valve flow capacity, and software updates; it should also improve reliability in high-altitude, high-heat conditions and boost maximum payload limitations from . A Block 4 upgrade is reportedly being examined, which may increase power by up to 26%, producing close to , and improve fuel consumption. In August 2014, the U.S. military issued a request for information for a potential drop-in replacement for the AE-1107C engines. Submissions must have a power rating of no less than at 15,000 rpm, operate at up to at up to , and fit into the existing wing nacelles with minimal structural or external modifications. In September 2014, the U.S. Navy, who already purchase engines separately to airframes, was reportedly considering an alternative engine supplier to reduce costs. The General Electric GE38 is one option, giving commonality with the Sikorsky CH-53K King Stallion. The V-22 has a maximum rotor downwash speed of over , more than the lower limit of a hurricane. The rotorwash usually prevents the starboard door's usage in hover; the rear ramp is used for rappelling and hoisting instead. The V-22 loses 10% of its vertical lift over a tiltwing design when operating in helicopter mode because of the wings' airflow resistance, while the tiltrotor design has better short takeoff and landing performance. V-22s must keep at least of vertical separation between each other to avoid each other's rotor wake, which causes turbulence and potentially control loss. Avionics The V-22 is equipped with a glass cockpit, which incorporates four multi-function displays (MFDs, compatible with night-vision goggles) and one shared central display unit, to display various images including: digimaps, imagery from the Turreted forward-looking infrared system primary flight instruments, navigation (TACAN, VOR, ILS, GPS, INS), and system status. The flight director panel of the cockpit management system allows for fully coupled (autopilot) functions that take the aircraft from forward flight into a hover with no pilot interaction other than programming the system. The fuselage is not pressurized, and personnel must wear on-board oxygen masks above 10,000 feet. The V-22 has triple-redundant fly-by-wire flight control systems; these have computerized damage control to automatically isolate damaged areas. With the nacelles pointing straight up in conversion mode at 90° the flight computers command it to fly like a helicopter, cyclic forces being applied to a conventional swashplate at the rotor hub. With the nacelles in airplane mode (0°) the flaperons, rudder, and elevator fly similar to an airplane. This is a gradual transition, occurring over the nacelles' rotation range; the lower the nacelles, the greater effect of the airplane-mode control surfaces. The nacelles can rotate past vertical to 97.5° for rearward flight. The V-22 can use the "80 Jump" orientation with the nacelles at 80° for takeoff to quickly achieve high altitude and speed. The controls automate to the extent that it can hover in low wind without hands on the controls. New USMC V-22 pilots learn to fly helicopter and multiengine fixed-wing aircraft before the tiltrotor. Some V-22 pilots believe that former fixed-wing pilots may be preferable over helicopter users, as they are not trained to constantly adjust the controls in hover. Others say that experience with helicopters' hovering and precision is most important. the US military does not track whether fixed-wing or helicopter pilots transition more easily to the V-22, according to USMC Colonel Matthew Kelly, V-22 project manager. He said that fixed-wing pilots are more experienced at instrument flying, while helicopter pilots are more experienced at scanning outside when the aircraft is moving slowly. Armament The V-22 can be armed with one 7.62×51mm NATO (.308 in caliber) M240 machine gun or .50 in caliber (12.7 mm) M2 machine gun on the rear loading ramp. A 12.7 mm (.50 in) GAU-19 three-barrel Gatling gun mounted below the nose was studied. BAE Systems developed a belly-mounted, remotely operated gun turret system, the Interim Defense Weapon System (IDWS); it is remotely operated by a gunner, targets are acquired via a separate pod using color television and forward looking infrared imagery. The IDWS was installed on half of the V-22s deployed to Afghanistan in 2009; it found limited use because of its weight and restrictive rules of engagement. There were 32 IDWSs available to the USMC in June 2012; V-22s often flew without it as the added weight reduced cargo capacity. The V-22's speed allows it to outrun conventional support helicopters, thus a self-defense capability was required on long-range independent operations. The infrared gun camera proved useful for reconnaissance and surveillance. Other weapons were studied to provide all-quadrant fire, including nose guns, door guns, and non-lethal countermeasures to work with the current ramp-mounted machine gun and the IDWS. In 2014, the USMC studied new weapons with "all-axis, stand-off, and precision capabilities", akin to the AGM-114 Hellfire, AGM-176 Griffin, Joint Air-to-Ground Missile, and GBU-53/B SDB II. In November 2014, Bell Boeing conducted self-funded weapons tests, equipping a V-22 with a pylon on the front fuselage and replacing the AN/AAQ-27A EO camera with an L-3 Wescam MX-15 sensor/laser designator. 26 unguided Hydra 70 rockets, two guided APKWS rockets, and two Griffin B missiles were fired over five flights. The USMC and USAF sought a traversable nose-mounted weapon connected to a helmet-mounted sight; recoil complicated integrating a forward-facing gun. A pylon could carry of munitions. However, by 2019, the USMC opted for IDWS upgrades over adopting new weapons. Refueling capability Boeing is developing a roll-on/roll-off aerial refueling kit, which would give the V-22 the ability to refuel other aircraft. Having an aerial refueling capability that can be based on Wasp-class amphibious assault ships would increase the F-35B's strike power, removing reliance on refueling assets solely based on large Nimitz-class aircraft carriers or land bases. The roll-on/roll-off kit can also be applicable to intelligence, surveillance and reconnaissance (ISR) functions. Boeing funded a non-functional demonstration on a VMX-22 aircraft; a prototype kit was successfully tested with an F/A-18 on 5 September 2013. The high-speed version of the hose/drogue refueling system can be deployed at and function at up to . A mix of tanks and a roll-on/roll-off bladder house up to of fuel. The ramp must open to extend the hose, then raised once extended. It can refuel rotorcraft, needing a separate drogue used specifically by helicopters and a converted nacelle. Many USMC ground vehicles can run on aviation fuel, a refueling V-22 could service these. In late 2014, it was stated that V-22 tankers could be in use by 2017, but contract delays pushed IOC to late 2019. As part of a 26 May 2016 contract award to Boeing, Cobham was contracted to adapt their FR-300 hose drum unit as used by the KC-130 in October 2016. While the Navy has not declared its interest in the capability, it could be leveraged later on. Operational history In October 2019, the fleet of 375 V-22s operated by the U.S. Armed Forces surpassed the 500,000 flight hour mark. U.S. Marine Corps Since March 2000, VMMT-204 has conducted training for the type. In December 2005, Lieutenant General James Amos, commander of II Marine Expeditionary Force, accepted delivery of the first batch of MV-22s. The unit reactivated in March 2006 as the first MV-22 squadron, redesignated as VMM-263. In 2007, HMM-266 became Marine Medium Tiltrotor Squadron 266 (VMM-266) and reached initial operational capability. It started replacing the CH-46 Sea Knight in 2007; the CH-46 was retired in October 2014. On 13 April 2007, the USMC announced the first V-22 combat deployment at Al Asad Airbase, Iraq. V-22s in Iraq's Anbar province were used for transport and scout missions. General David Petraeus, the top U.S. military commander in Iraq, used one to visit troops on Christmas Day 2007; as did Barack Obama during his 2008 presidential campaign tour in Iraq. USMC Col. Kelly recalled how visitors were reluctant to fly on the unfamiliar aircraft, but after seeing its speed and ability to fly above ground fire, "All of a sudden, the entire flight schedule was booked. No senior officer wanted to go anywhere unless they could fly on the V-22". Obtaining spares proved problematic. By July 2008, the V-22 had flown 3,000 sorties totaling 5,200 hours in Iraq. General George J. Trautman III praised its greater speed and range over legacy helicopters, saying "it turned his battle space from the size of Texas into the size of Rhode Island." Despite attacks by man-portable air-defense systems and small arms, none were lost to enemy fire by late 2009. A Government Accountability Office study stated that by January 2009, the 12 MV-22s in Iraq had completed all assigned missions; mission capable rates averaged 57% to 68%, and an overall full mission capable rate of 6%. It also noted weaknesses in situational awareness, maintenance, shipboard operations and transport capability. The report concluded: "deployments confirmed that the V-22's enhanced speed and range enable personnel and internal cargo to be transported faster and farther than is possible with the legacy helicopters". MV-22s deployed to Afghanistan in November 2009 with VMM-261; it saw its first offensive combat mission, Operation Cobra's Anger, on 4 December 2009. V-22s assisted in inserting 1,000 USMC and 150 Afghan troops into the Now Zad Valley of Helmand Province in southern Afghanistan to disrupt Taliban operations. General James Amos stated that Afghanistan's MV-22s had surpassed 100,000 flight hours, calling it "the safest airplane, or close to the safest airplane" in the USMC inventory. The V-22's Afghan deployment was set to end in late 2013 with the drawdown of combat operations; however, VMM-261 was directed to extend operations for casualty evacuation, being quicker than helicopters enabled more casualties to reach a hospital within the 'golden hour'; they were fitted with medical equipment such as heart monitors and triage supplies. In January 2010, the MV-22 was sent to Haiti as part of Operation Unified Response relief efforts after an earthquake, the type's first humanitarian mission. In March 2011, two MV-22s from helped rescue a downed USAF F-15E crew member during Operation Odyssey Dawn. On 2 May 2011, following Operation Neptune's Spear, the body of Osama bin Laden, founder of the al-Qaeda terrorist group, was flown by a MV-22 to the aircraft carrier in the Arabian Sea, prior to his burial at sea. In 2013, several MV-22s received communications and seating modifications to support the Marine One presidential transport squadron because of the urgent need for CH-53Es in Afghanistan. In May 2010, Boeing announced plans to submit the V-22 for the VXX presidential transport replacement. From 2 to 5 August 2013, two MV-22s completed the longest distance Osprey tanking mission to date. Flying from Marine Corps Air Station Futenma in Okinawa alongside two KC-130J tankers, they flew to Clark Air Base in the Philippines on 2 August, then to Darwin, Australia on 3 August, Townsville, Australia on 4 August, and finally rendezvoused with on 5 August. In 2013, the USMC formed an intercontinental response force, the Special Purpose Marine Air-Ground Task Force – Crisis Response – Africa, using V-22s outfitted with specialized communications gear. In 2013, following Typhoon Haiyan, 12 MV-22s of the 3rd Marine Expeditionary Brigade were deployed to the Philippines for disaster relief operations; its abilities were described as "uniquely relevant", flying faster and with greater payloads while moving supplies throughout the island archipelago. U.S. Air Force The USAF's first operational CV-22 was delivered to the 58th Special Operations Wing (58th SOW) at Kirtland Air Force Base, New Mexico, in March 2006. Early aircraft were delivered to the 58th SOW and used for training personnel for special operations use. On 16 November 2006, the USAF officially accepted the CV-22 in a ceremony conducted at Hurlburt Field, Florida. The USAF's first operational deployment sent four CV-22s to Mali in November 2008 in support of Exercise Flintlock. The CV-22s flew nonstop from Hurlburt Field, Florida with in-flight refueling. AFSOC declared that the 8th Special Operations Squadron reached Initial Operational Capability in March 2009, with six CV-22s in service. In December 2013, three CV-22s came under small arms fire while trying to evacuate American civilians in Bor, South Sudan, during the 2013 South Sudanese political crisis; the aircraft flew to Entebbe, Uganda after the mission was aborted. South Sudanese officials stated that the attackers were rebels. The CV-22s had flown to Bor over three countries across . The formation was hit 119 times, wounding four crew and causing flight control failures and hydraulic and fuel leaks on all three aircraft. Fuel leaks resulted in multiple air-to-air refuelings en route. After the incident, AFSOC developed optional armor floor panels. The USAF found that "CV-22 wake modeling is inadequate for a trailing aircraft to make accurate estimations of safe separation from the preceding aircraft." In 2015, the USAF sought to configure the CV-22 to perform combat search and rescue in addition to its long-range special operations transport mission. It would complement the HH-60G Pave Hawk and planned HH-60W rescue helicopters, being employed in scenarios where high speed is better suited to search and rescue than more nimble but slower helicopters. U.S. Navy The V-22 program originally included Navy 48 HV-22s, but none were ordered. In 2009, it was proposed that it replace the C-2 Greyhound for carrier onboard delivery (COD) duties. One advantage of the V-22 is the ability to deliver supplies and people between | be armed with one 7.62×51mm NATO (.308 in caliber) M240 machine gun or .50 in caliber (12.7 mm) M2 machine gun on the rear loading ramp. A 12.7 mm (.50 in) GAU-19 three-barrel Gatling gun mounted below the nose was studied. BAE Systems developed a belly-mounted, remotely operated gun turret system, the Interim Defense Weapon System (IDWS); it is remotely operated by a gunner, targets are acquired via a separate pod using color television and forward looking infrared imagery. The IDWS was installed on half of the V-22s deployed to Afghanistan in 2009; it found limited use because of its weight and restrictive rules of engagement. There were 32 IDWSs available to the USMC in June 2012; V-22s often flew without it as the added weight reduced cargo capacity. The V-22's speed allows it to outrun conventional support helicopters, thus a self-defense capability was required on long-range independent operations. The infrared gun camera proved useful for reconnaissance and surveillance. Other weapons were studied to provide all-quadrant fire, including nose guns, door guns, and non-lethal countermeasures to work with the current ramp-mounted machine gun and the IDWS. In 2014, the USMC studied new weapons with "all-axis, stand-off, and precision capabilities", akin to the AGM-114 Hellfire, AGM-176 Griffin, Joint Air-to-Ground Missile, and GBU-53/B SDB II. In November 2014, Bell Boeing conducted self-funded weapons tests, equipping a V-22 with a pylon on the front fuselage and replacing the AN/AAQ-27A EO camera with an L-3 Wescam MX-15 sensor/laser designator. 26 unguided Hydra 70 rockets, two guided APKWS rockets, and two Griffin B missiles were fired over five flights. The USMC and USAF sought a traversable nose-mounted weapon connected to a helmet-mounted sight; recoil complicated integrating a forward-facing gun. A pylon could carry of munitions. However, by 2019, the USMC opted for IDWS upgrades over adopting new weapons. Refueling capability Boeing is developing a roll-on/roll-off aerial refueling kit, which would give the V-22 the ability to refuel other aircraft. Having an aerial refueling capability that can be based on Wasp-class amphibious assault ships would increase the F-35B's strike power, removing reliance on refueling assets solely based on large Nimitz-class aircraft carriers or land bases. The roll-on/roll-off kit can also be applicable to intelligence, surveillance and reconnaissance (ISR) functions. Boeing funded a non-functional demonstration on a VMX-22 aircraft; a prototype kit was successfully tested with an F/A-18 on 5 September 2013. The high-speed version of the hose/drogue refueling system can be deployed at and function at up to . A mix of tanks and a roll-on/roll-off bladder house up to of fuel. The ramp must open to extend the hose, then raised once extended. It can refuel rotorcraft, needing a separate drogue used specifically by helicopters and a converted nacelle. Many USMC ground vehicles can run on aviation fuel, a refueling V-22 could service these. In late 2014, it was stated that V-22 tankers could be in use by 2017, but contract delays pushed IOC to late 2019. As part of a 26 May 2016 contract award to Boeing, Cobham was contracted to adapt their FR-300 hose drum unit as used by the KC-130 in October 2016. While the Navy has not declared its interest in the capability, it could be leveraged later on. Operational history In October 2019, the fleet of 375 V-22s operated by the U.S. Armed Forces surpassed the 500,000 flight hour mark. U.S. Marine Corps Since March 2000, VMMT-204 has conducted training for the type. In December 2005, Lieutenant General James Amos, commander of II Marine Expeditionary Force, accepted delivery of the first batch of MV-22s. The unit reactivated in March 2006 as the first MV-22 squadron, redesignated as VMM-263. In 2007, HMM-266 became Marine Medium Tiltrotor Squadron 266 (VMM-266) and reached initial operational capability. It started replacing the CH-46 Sea Knight in 2007; the CH-46 was retired in October 2014. On 13 April 2007, the USMC announced the first V-22 combat deployment at Al Asad Airbase, Iraq. V-22s in Iraq's Anbar province were used for transport and scout missions. General David Petraeus, the top U.S. military commander in Iraq, used one to visit troops on Christmas Day 2007; as did Barack Obama during his 2008 presidential campaign tour in Iraq. USMC Col. Kelly recalled how visitors were reluctant to fly on the unfamiliar aircraft, but after seeing its speed and ability to fly above ground fire, "All of a sudden, the entire flight schedule was booked. No senior officer wanted to go anywhere unless they could fly on the V-22". Obtaining spares proved problematic. By July 2008, the V-22 had flown 3,000 sorties totaling 5,200 hours in Iraq. General George J. Trautman III praised its greater speed and range over legacy helicopters, saying "it turned his battle space from the size of Texas into the size of Rhode Island." Despite attacks by man-portable air-defense systems and small arms, none were lost to enemy fire by late 2009. A Government Accountability Office study stated that by January 2009, the 12 MV-22s in Iraq had completed all assigned missions; mission capable rates averaged 57% to 68%, and an overall full mission capable rate of 6%. It also noted weaknesses in situational awareness, maintenance, shipboard operations and transport capability. The report concluded: "deployments confirmed that the V-22's enhanced speed and range enable personnel and internal cargo to be transported faster and farther than is possible with the legacy helicopters". MV-22s deployed to Afghanistan in November 2009 with VMM-261; it saw its first offensive combat mission, Operation Cobra's Anger, on 4 December 2009. V-22s assisted in inserting 1,000 USMC and 150 Afghan troops into the Now Zad Valley of Helmand Province in southern Afghanistan to disrupt Taliban operations. General James Amos stated that Afghanistan's MV-22s had surpassed 100,000 flight hours, calling it "the safest airplane, or close to the safest airplane" in the USMC inventory. The V-22's Afghan deployment was set to end in late 2013 with the drawdown of combat operations; however, VMM-261 was directed to extend operations for casualty evacuation, being quicker than helicopters enabled more casualties to reach a hospital within the 'golden hour'; they were fitted with medical equipment such as heart monitors and triage supplies. In January 2010, the MV-22 was sent to Haiti as part of Operation Unified Response relief efforts after an earthquake, the type's first humanitarian mission. In March 2011, two MV-22s from helped rescue a downed USAF F-15E crew member during Operation Odyssey Dawn. On 2 May 2011, following Operation Neptune's Spear, the body of Osama bin Laden, founder of the al-Qaeda terrorist group, was flown by a MV-22 to the aircraft carrier in the Arabian Sea, prior to his burial at sea. In 2013, several MV-22s received communications and seating modifications to support the Marine One presidential transport squadron because of the urgent need for CH-53Es in Afghanistan. In May 2010, Boeing announced plans to submit the V-22 for the VXX presidential transport replacement. From 2 to 5 August 2013, two MV-22s completed the longest distance Osprey tanking mission to date. Flying from Marine Corps Air Station Futenma in Okinawa alongside two KC-130J tankers, they flew to Clark Air Base in the Philippines on 2 August, then to Darwin, Australia on 3 August, Townsville, Australia on 4 August, and finally rendezvoused with on 5 August. In 2013, the USMC formed an intercontinental response force, the Special Purpose Marine Air-Ground Task Force – Crisis Response – Africa, using V-22s outfitted with specialized communications gear. In 2013, following Typhoon Haiyan, 12 MV-22s of the 3rd Marine Expeditionary Brigade were deployed to the Philippines for disaster relief operations; its abilities were described as "uniquely relevant", flying faster and with greater payloads while moving supplies throughout the island archipelago. U.S. Air Force The USAF's first operational CV-22 was delivered to the 58th Special Operations Wing (58th SOW) at Kirtland Air Force Base, New Mexico, in March 2006. Early aircraft were delivered to the 58th SOW and used for training personnel for special operations use. On 16 November 2006, the USAF officially accepted the CV-22 in a ceremony conducted at Hurlburt Field, Florida. The USAF's first operational deployment sent four CV-22s to Mali in November 2008 in support of Exercise Flintlock. The CV-22s flew nonstop from Hurlburt Field, Florida with in-flight refueling. AFSOC declared that the 8th Special Operations Squadron reached Initial Operational Capability in March 2009, with six CV-22s in service. In December 2013, three CV-22s came under small arms fire while trying to evacuate American civilians in Bor, South Sudan, during the 2013 South Sudanese political crisis; the aircraft flew to Entebbe, Uganda after the mission was aborted. South Sudanese officials stated that the attackers were rebels. The CV-22s had flown to Bor over three countries across . The formation was hit 119 times, wounding four crew and causing flight control failures and hydraulic and fuel leaks on all three aircraft. Fuel leaks resulted in multiple air-to-air refuelings en route. After the incident, AFSOC developed optional armor floor panels. The USAF found that "CV-22 wake modeling is inadequate for a trailing aircraft to make accurate estimations of safe separation from the preceding aircraft." In 2015, the USAF sought to configure the CV-22 to perform combat search and rescue in addition to its long-range special operations transport mission. It would complement the HH-60G Pave Hawk and planned HH-60W rescue helicopters, being employed in scenarios where high speed is better suited to search and rescue than more nimble but slower helicopters. U.S. Navy The V-22 program originally included Navy 48 HV-22s, but none were ordered. In 2009, it was proposed that it replace the C-2 Greyhound for carrier onboard delivery (COD) duties. One advantage of the V-22 is the ability to deliver supplies and people between non-carrier ships beyond helicopter range. Proponents said that it is capable of similar speed, payload capacity, and lift performance as the C-2, and can carry greater payloads over short ranges, up to 20,000 lb, including suspended external loads. The C-2 can only deliver cargo to carriers, requiring further distribution to smaller vessels via helicopters, while the V-22 is certified for operating upon amphibious ships, aircraft carriers, and logistics ships. It could also take some helicopter roles by fitting a 600 lb hoist to the ramp and a cabin configuration for 12 non-ambulatory patients and 5 seats for medical attendants. Bell and P&W designed a frame for the V-22 to transport the Pratt & Whitney F135 engine of the Lockheed Martin F-35. On 5 January 2015, the Navy and USMC signed a memorandum of understanding to buy the V-22 for the COD mission. Initially designated HV-22, four aircraft were bought each year from 2018 to 2020. It incorporates an extended-range fuel system for an unrefueled range, a high-frequency radio for over-the-horizon communications, and a public address system to communicate with passengers; the range increase comes from extra fuel bladders through larger external sponsons, the only external difference from other variants. Its primary mission is long-range logistics, other conceivable missions include personnel recovery and special warfare. In February 2016, the Navy officially designated it as the CMV-22B. The Navy's program of record originally called for 48 aircraft, it later determined that only 44 were required. Production began in FY 2018, and deliveries start in 2020. The Navy ordered the first 39 CMV-22Bs in June 2018; initial operating capability is anticipated to be achieved in 2021, with fielding to the fleet by the mid-2020s. The first CMV-22B made its initial flight in December 2019. Japan Self-Defense Forces In 2012, former Defense Minister Satoshi Morimoto ordered an investigation of the costs of V-22 operations. The V-22's capabilities exceeded current Japan Self-Defense Forces helicopters in terms of range, speed and payload. The ministry anticipated deployments to the Nansei Islands and the Senkaku Islands, as well as in multinational cooperation with the U.S. In November 2014, the Japanese Ministry of Defense decided to procure 17 V-22s. The first V-22 for Japan was delivered in August 2017. In September 2018, the Japanese Ministry of Defense decided to delay the deployment of the first five MV-22Bs it had received amid opposition and ongoing negotiations in the Saga Prefecture, where the aircraft are to be based. On 8 May 2020, the first two of the five aircraft were delivered to the JGSDF at Kisarazu Air Field after failing to reach an agreement with Saga prefecture residents. It is planned to eventually station some V-22s on board the Izumo-class helicopter destroyers. Potential operators India In 2015, the Indian Aviation Research Centre showed interest in acquiring four V-22s for personnel evacuation in hostile conditions, logistic supplies, and deployment of the Special Frontier Force in border areas. US V-22s performed relief operations after the April 2015 Nepal earthquake. The Indian Navy also studied the V-22 rather than the E-2D for airborne early warning and control to replace the short-range Kamov Ka-31. India is interested in purchasing six attack version V-22s for rapid troop insertion in border areas. Indonesia On 6 July 2020, the U.S. State Department announced that they had approved a possible Foreign Military Sale to Indonesia of eight Block C MV-22s and related equipment for an estimated cost of $2 billion. The U.S. |
children in peace" but denied there was any "professional, career or social discrimination" against homosexuals in Russia. In June 2013, Putin attended a televised rally of the All-Russia People's Front where he was elected head of the movement, which was set up in 2011. According to journalist Steve Rosenberg, the movement is intended to "reconnect the Kremlin to the Russian people" and one day, if necessary, replace the increasingly unpopular United Russia party that currently backs Putin. Russo-Ukrainian conflict In 2014, Russia made several military incursions into Ukrainian territory. After the Euromaidan protests and the fall of Ukrainian president Viktor Yanukovych, Russian soldiers without insignias took control of strategic positions and infrastructure within the Ukrainian territory of Crimea. Russia then annexed the Republic of Crimea and City of Sevastopol after a referendum in which Crimeans voted to join the Russian Federation, according to official results. Subsequently, demonstrations against Ukrainian Rada legislative actions by pro-Russian groups in the Donbas area of Ukraine escalated into an armed conflict between the Ukrainian government and the Russia-backed separatist forces of the self-declared Donetsk and Luhansk People's Republics. In August Russian military vehicles crossed the border in several locations of Donetsk Oblast. The incursion by the Russian military was seen by Ukrainian authorities as responsible for the defeat of Ukrainian forces in early September. In November 2014, the Ukrainian military reported intensive movement of troops and equipment from Russia into the separatist-controlled parts of eastern Ukraine. The Associated Press reported 80 unmarked military vehicles on the move in rebel-controlled areas. An OSCE Special Monitoring Mission observed convoys of heavy weapons and tanks in DPR-controlled territory without insignia. OSCE monitors further stated that they observed vehicles transporting ammunition and soldiers' dead bodies crossing the Russian-Ukrainian border under the guise of humanitarian-aid convoys. As of early August 2015, the OSCE observed over 21 such vehicles marked with the Russian military code for soldiers killed in action. According to The Moscow Times, Russia has tried to intimidate and silence human-rights workers discussing Russian soldiers' deaths in the conflict. The OSCE repeatedly reported that its observers were denied access to the areas controlled by "combined Russian-separatist forces". The majority of members of the international community and organizations such as Amnesty International have condemned Russia for its actions in post-revolutionary Ukraine, accusing it of breaking international law and of violating Ukrainian sovereignty. Many countries implemented economic sanctions against Russia, Russian individuals or companies to which Russia responded in kind. In October 2015, The Washington Post reported that Russia had redeployed some of its elite units from Ukraine to Syria in recent weeks to support Syrian President Bashar al-Assad. In December 2015, Russian Federation President Putin admitted that Russian military intelligence officers were operating in Ukraine. According to academic Andrei Tsygankov, many members of the international community assumed that Putin's annexation of Crimea had initiated a completely new kind of Russian foreign policy. They took the annexation of Crimea to mean that his foreign policy had shifted "from state-driven foreign policy" to taking an offensive stance to recreate the Soviet Union. He also says, that this policy shift can be understood as Putin trying to defend nations in Russia's sphere of influence from "encroaching western power". While the act to annex the Crimea was bold and drastic, his "new" foreign policy may have more similarities to his older policies. Intervention in Syria On 30 September 2015, President Putin authorized Russian military intervention in the Syrian civil war, following a formal request by the Syrian government for military help against rebel and jihadist groups. The Russian military activities consisted of air strikes, cruise missile strikes and the use of front line advisors and Russian special forces against militant groups opposed to the Syrian government, including the Syrian opposition, as well as Islamic State of Iraq and the Levant (ISIL), al-Nusra Front (al-Qaeda in the Levant), Tahrir al-Sham, Ahrar al-Sham and the Army of Conquest. After Putin's announcement on 14 March 2016 that the mission he had set for the Russian military in Syria had been "largely accomplished" and ordered the withdrawal of the "main part" of the Russian forces from Syria, Russian forces deployed in Syria continued to actively operate in support of the Syrian government. Russia's interference in the 2016 US election In January 2017, a U.S. intelligence community assessment expressed high confidence that Putin personally ordered an influence campaign, initially to denigrate Hillary Clinton and to harm her electoral chances and potential presidency, then later developing "a clear preference" for Donald Trump. Both Trump and Putin have consistently denied any Russian interference in the U.S. election. However, Putin later stated that interference was "theoretically possible" and could have been perpetrated by "patriotically minded" Russian hackers, and on another occasion claimed "not even Russians, but Ukrainians, Tatars or Jews, but with Russian citizenship" might have been responsible. The New York Times reported in July 2018 that the CIA had long nurtured a Russian source who eventually rose to a position close to Putin, allowing the source to pass key information in 2016 about Putin's direct involvement. Putin continued similar attempts in the 2020 U.S. election. 2018–present: Fourth presidential term Putin won the 2018 presidential election with more than 76% of the vote. His fourth term began on 7 May 2018 and will last until 2024. On the same day, Putin invited Dmitry Medvedev to form a new government. On 15 May 2018, Putin took part in the opening of the movement along the highway section of the Crimean bridge. On 18 May 2018, Putin signed decrees on the composition of the new Government. On 25 May 2018, Putin announced that he would not run for president in 2024, justifying this in compliance with the Russian Constitution. On 14 June 2018, Putin opened the 21st FIFA World Cup, which took place in Russia for the first time. In September 2019, Putin's administration interfered with the results of Russia's nationwide regional elections and manipulated it by eliminating all candidates in the opposition. The event that was aimed at contributing to the ruling party, United Russia's victory, also contributed to inciting mass protests for democracy, leading to large-scale arrests and cases of police brutality. On 15 January 2020, Dmitry Medvedev and his entire government resigned after Vladimir Putin's Address to the Federal Assembly. Putin suggested major constitutional amendments that could extend his political power after presidency. At the same time, on behalf of Putin, he continued to exercise his powers until the formation of a new government. The president suggested that Medvedev take the newly created post of Deputy Chairman of the Security Council. On the same day, Putin nominated Mikhail Mishustin, head of the country's Federal Tax Service for the post of Prime Minister. The next day, he was confirmed by the State Duma to the post and appointed Prime Minister by Putin's decree. This was the first time ever that a PM was confirmed without any votes against. On 21 January 2020, Mishustin presented to Vladimir Putin a draft structure of his Cabinet. On the same day, the President signed a decree on the structure of the Cabinet and appointed the proposed Ministers. COVID-19 pandemic On 15 March 2020, Putin instructed to form a Working Group of the State Council to counteract the spread of coronavirus. Putin appointed Moscow Mayor Sergey Sobyanin as the head of the Group. On 22 March 2020, after a phone call with Italian Prime Minister Giuseppe Conte, Putin arranged the Russian army to send military medics, special disinfection vehicles and other medical equipment to Italy, which was the European country hardest hit by the COVID-19 pandemic. On 24 March 2020, Putin visited a hospital in Moscow's Kommunarka, where patients with coronavirus are kept, where he spoke with them and with doctors. Vladimir Putin began working remotely from his office at Novo-Ogaryovo. According to Dmitry Peskov, Putin passes daily tests for coronavirus, and his health is not in danger. On 25 March, President Putin announced in a televised address to the nation that the 22 April constitutional referendum would be postponed due to the coronavirus. He added that the next week would be a nationwide paid holiday and urged Russians to stay at home. Putin also announced a list of measures of social protection, support for small and medium-sized enterprises, and changes in fiscal policy. Putin announced the following measures for microenterprises, small- and medium-sized businesses: deferring tax payments (except Russia's value-added tax) for the next six months, cutting the size of social security contributions in half, deferring social security contributions, deferring loan repayments for the next six months, a six-month moratorium on fines, debt collection, and creditors' applications for bankruptcy of debtor enterprises. On 2 April 2020, Putin again issued an address in which he announced prolongation of the non-working time until 30 April. Putin likened Russia's fight against COVID-19 to Russia's battles with invading Pecheneg and Cuman steppe nomads in the 10th and 11th centuries. In a 24 to 27 April Levada poll, 48% of Russian respondents said that they disapproved of Putin's handling of the coronavirus pandemic, and his strict isolation and lack of leadership during the crisis was widely commented as sign of losing his "strongman" image. In June 2021, Putin said he was fully vaccinated against the disease with the Sputnik V vaccine, emphasising that while vaccinations should be voluntary, making them mandatory in some professions would slow down the spread of COVID-19. In September, Putin entered self-isolation after people in his inner circle tested positive for the disease. Constitutional referendum and amendments Putin signed an executive order on 3 July 2020 to officially insert amendments into the Russian Constitution, allowing him to run for two additional six-year terms. These amendments took effect on 4 July 2020. Since 11 July, protests have been held in the Khabarovsk Krai in Russia's Far East in support of arrested regional governor Sergei Furgal. The 2020 Khabarovsk Krai protests have become increasingly anti-Putin. A July 2020 Levada poll found that 45% of surveyed Russians supported the protests. On 22 December 2020, Putin signed a bill giving lifetime prosecutorial immunity to Russian ex-presidents. 2021–2022 Russo-Ukrainian crisis and invasion In September 2021, Ukraine conducted military exercises with NATO forces. The Kremlin warned that NATO expanding military infrastructure in Ukraine would cross "red lines" for Putin. Putin's spokesman Dmitry Peskov denied allegations that Russia was preparing for a possible invasion of Ukraine. On 30 November 2021, Putin stated that an expansion of NATO's presence in Ukraine, especially the deployment of any long-range missiles capable of striking Russian cities or missile defence systems similar to those in Romania and Poland, would be a "red line" issue for the Kremlin. Putin asked President Joe Biden for legal guarantees that NATO wouldn't expand eastward or put "weapons systems that threaten us in close vicinity to Russian territory." The U.S. and NATO have rejected Putin's demands. The Kremlin repeatedly denied that it had any plans to invade Ukraine. Putin dismissed such fears as "alarmist". In December 2021, a Levada Center poll found that about 50% of Russians believed the U.S. and NATO are to blame for the Russo-Ukrainian crisis, while 16% blamed Ukraine and just 4% blamed Russia. However, on 7 February 2022, retired Russian Colonel-General Leonid Ivashov, who is active in politics as the chairman of the All-Russian Officers Assembly, publicly called for Putin to resign over threats of a "criminal" invasion of Ukraine. In February 2022, Putin warned that Ukraine's accession to NATO could embolden Ukraine to reclaim control over Russian-annexed Crimea or areas ruled by pro-Russian separatists in Donbas, saying "Imagine that Ukraine is a NATO member and a military operation [to regain Crimea] begins. What – are we going to fight with NATO? Has anyone thought about this?" On 7 February 2022, Putin said at a joint press conference with French President Emmanuel Macron that "A number of [Macron's] ideas, proposals ... are possible as a basis for further steps. We will do everything to find compromises that suit everyone." Putin promised not to carry out new military initiatives near Ukraine. On 15 February 2022, the Russian parliament's lower chamber, the State Duma, backed a resolution calling for diplomatic recognition of two self-proclaimed separatist republics in Donbas. On 21 February, Putin signed a decree recognizing the separatist republics as independent states. On 24 February, Putin in a televised address announced a "special military operation" in Ukraine, launching a full-scale invasion of Ukraine. British Prime Minister Boris Johnson suggested Putin could face war crimes charges, and said that the UK and its allies are working to set up a "particular international war crimes tribunal for those involved in war crimes in the Ukraine theatre." As a result of the invasion, further sanctions were introduced against Russia, including against Putin personally. In response to the sanctions, Putin put the Strategic Rocket Forces nuclear deterrence units on high alert. Domestic policies Putin's domestic policies, particularly early in his first presidency, were aimed at creating a vertical power structure. On 13 May 2000, he issued a decree organizing the 89 federal subjects of Russia into seven administrative federal districts and appointed a presidential envoy responsible for each of those districts (whose official title is Plenipotentiary Representative). According to Stephen White, under the presidency of Putin, Russia made it clear that it had no intention of establishing a "second edition" of the American or British political system, but rather a system that was closer to Russia's own traditions and circumstances. Some commentators have described Putin's administration as a "sovereign democracy". According to the proponents of that description (primarily Vladislav Surkov), the government's actions and policies ought above all to enjoy popular support within Russia itself and not be directed or influenced from outside the country. The practice of the system is, however, characterized by Swedish economist Anders Åslund: The period after 2012 also saw mass protests against the falsification of elections, censorship and toughening of free assembly laws. In July 2000, according to a law proposed by Putin and approved by the Federal Assembly of Russia, Putin gained the right to dismiss the heads of the 89 federal subjects. In 2004, the direct election of those heads (usually called "governors") by popular vote was replaced with a system whereby they would be nominated by the president and approved or disapproved by regional legislatures. This was seen by Putin as a necessary move to stop separatist tendencies and get rid of those governors who were connected with organised crime. This and other government actions effected under Putin's presidency have been criticised by many independent Russian media outlets and Western commentators as anti-democratic. In 2012, as proposed by Putin's successor, Dmitry Medvedev, the direct election of governors was re-introduced. During his first term in office, Putin opposed some of the Yeltsin-era oligarchs, as well as his political opponents, resulting in the exile or imprisonment of such people as Boris Berezovsky, Vladimir Gusinsky, and Mikhail Khodorkovsky; other oligarchs such as Roman Abramovich and Arkady Rotenberg are friends and allies with Putin. Putin succeeded in codifying land law and tax law and promulgated new codes on labor, administrative, criminal, commercial and civil procedural law. Under Medvedev's presidency, Putin's government implemented some key reforms in the area of state security, the Russian police reform and the Russian military reform. Economic, industrial, and energy policies Sergey Guriyev, when talking about Putin's economic policy, divided it into four distinct periods: the "reform" years of his first term (1999–2003); the "statist" years of his second term (2004 – the first half of 2008); the world economic crisis and recovery (the second half of 2008–2013); and the Russo-Ukrainian War, Russia's growing isolation from the global economy, and stagnation (2014–present). In 2000, Putin launched the "Programme for the Socio-Economic Development of the Russian Federation for the Period 2000–2010", but it was abandoned in 2008 when it was 30% complete. Fueled by the 2000s commodities boom including record-high oil prices, under the Putin administration from 2000 to 2016, an increase in income in USD terms was 4.5 times. During Putin's first eight years in office, industry grew substantially, as did production, construction, real incomes, credit, and the middle class. A fund for oil revenue allowed Russia to repay all of the Soviet Union's debts by 2005. Russia joined the World Trade Organization on 22 August 2012. In 2006, Putin launched an industry consolidation programme to bring the main aircraft-producing companies under a single umbrella organization, the United Aircraft Corporation (UAC). In September 2020, the UAC general director announced that the UAC will receive the largest-ever post-Soviet government support package for the aircraft industry in order to pay and renegotiate the debt. In 2014, Putin signed a deal to supply China with 38 billion cubic meters of natural gas per year. Power of Siberia, which Putin has called the "world's biggest construction project", was launched in 2019 and is expected to continue for 30 years at an ultimate cost to China of $400bn. The ongoing financial crisis began in the second half of 2014 when the Russian ruble collapsed due to a decline in the price of oil and international sanctions against Russia. These events in turn led to loss of investor confidence and capital flight, though it has also been argued that the sanctions had little to no effect on Russia's economy. In 2014, the Organized Crime and Corruption Reporting Project named Putin their Person of the Year for furthering corruption and organized crime. According to Meduza, Putin has since 2007 predicted on a number of occasions that Russia will become one of the world's five largest economies. In 2013, he said Russia was one of the five biggest economies in terms of gross domestic product but still lagged behind other countries on indicators such as labour productivity. Environmental policy In 2004, Putin signed the Kyoto Protocol treaty designed to reduce greenhouse gas emissions. However, Russia did not face mandatory cuts, because the Kyoto Protocol limits emissions to a percentage increase or decrease from 1990 levels and Russia's greenhouse-gas emissions fell well below the 1990 baseline due to a drop in economic output after the breakup of the Soviet Union. Putin personally supervises a number of protection programmes for rare and endangered animals in Russia, such as the Amur tiger, the white whale, the polar bear and the snow leopard. Religious policy Putin regularly attends the most important services of the Russian Orthodox Church on the main holy days, and has established a good relationship with Patriarchs of the Russian Church, the late Alexy II of Moscow and the current Kirill of Moscow. As president, Putin took an active personal part in promoting the Act of Canonical Communion with the Moscow Patriarchate, signed 17 May 2007, which restored relations between the Moscow-based Russian Orthodox Church and the Russian Orthodox Church Outside Russia after the 80-year schism. Under Putin, the Hasidic Federation of Jewish Communities of Russia became increasingly influential within the Jewish community, partly due to the influence of Federation-supporting businessmen mediated through their alliances with Putin, notably Lev Leviev and Roman Abramovich. According to the Jewish Telegraphic Agency, Putin is popular amongst the Russian Jewish community, who see him as a force for stability. Russia's chief rabbi, Berel Lazar, said Putin "paid great attention to the needs of our community and related to us with a deep respect". In 2016, Ronald S. Lauder, the president of the World Jewish Congress, also praised Putin for making Russia "a country where Jews are welcome". Human rights organizations and religious freedom advocates have also, however, criticized the state of religious freedom in Russia. In 2016, Putin oversaw the passage of legislation that prohibited missionary activity in Russia. Nonviolent religious minority groups have been repressed under anti-extremism laws. Military development The resumption of long-distance flights of Russia's strategic bombers was followed by the announcement by Russian Defense Minister Anatoliy Serdyukov during his meeting with Putin on 5 December 2007, that 11 ships, including the aircraft carrier Kuznetsov, would take part in the first major navy sortie into the Mediterranean since Soviet times. While from the early 2000s Russia started placing more money into its military and defense industry, it was only in 2008 that full-scale Russian military reform began, aiming to modernize the Russian Armed Forces and make them significantly more effective. The reform was largely carried out by Defense Minister Serdyukov during Medvedev's presidency, under the supervision of both Putin, as the Head of Government, and Medvedev, as the Commander-in-Chief of the Russian Armed Forces. Key elements of the reform included reducing the armed forces to a strength of one million; reducing the number of officers; centralising officer training from 65 military schools into 10 'systemic' military training centres; creating a professional NCO corps; reducing the size of the central command; introducing more civilian logistics and auxiliary staff; elimination of cadre-strength formations; reorganising the reserves; reorganising the army into a brigade system, and reorganising air forces into an airbase system instead of regiments. The number of Russia's military districts was reduced to four. The term of draft service was reduced from two years to one. The gradual transition to the majority professional army by the late 2010s was announced, and a large programme of supplying the Armed Forces with new military equipment and ships was started. The Russian Space Forces were replaced on 1 December 2011 with the Russian Aerospace Defence Forces. According to the Kremlin, Putin embarked on a build-up of Russia's nuclear capabilities because of U.S. President George W. Bush's unilateral decision to withdraw from the 1972 Anti-Ballistic Missile Treaty. To counter what Putin sees as the United States’ goal of undermining Russia’s strategic nuclear deterrent, Moscow has embarked on a program to develop new weapons capable of defeating any new American ballistic missile defense or interception system. Some analysts believe that this nuclear strategy under Putin has brought Russia into violation of the 1987 Intermediate-Range Nuclear Forces Treaty. Accordingly, U.S. President Donald Trump announced the U.S. would no longer consider itself bound by the treaty's provisions, raising nuclear tensions between the two powers. This prompted Putin to state that Russia would not launch first in a nuclear conflict but that "an aggressor should know that vengeance is inevitable, that he will be annihilated, and we would be the victims of the aggression. We will go to heaven as martyrs". Putin has also sought to increase Russian territorial claims in the Arctic and its military presence there. In August 2007, Russian expedition Arktika 2007, part of research related to the 2001 Russian territorial extension claim, planted a flag on the seabed at the North Pole. Both Russian submarines and troops deployed in the Arctic have been increasing. Human rights policy New York City-based NGO Human Rights Watch, in a report entitled Laws of Attrition, authored by Hugh Williamson, the British director of HRW's Europe & Central Asia Division, has claimed that since May 2012, when Putin was re-elected as president, Russia has enacted many restrictive laws, started inspections of non-governmental organizations, harassed, intimidated and imprisoned political activists, and started to restrict critics. The new laws include the "foreign agents" law, which is widely regarded as over-broad by including Russian human rights organizations which receive some international grant funding, the treason law, and the assembly law which penalizes many expressions of dissent. Human rights activists have criticized Russia for censoring speech of LGBT activists due to "the gay propaganda law" and increasing violence against LGBT+ people due to the law. In 2020, Putin signed a law on labelling individuals and organizations receiving funding from abroad as "foreign agents". The law is an expansion of "foreign agent" legislation adopted in 2012. As of June 2020, per Memorial Human Rights Center, there were 380 political prisoners in Russia, including 63 individuals prosecuted, directly or indirectly, for political activities (including Alexey Navalny) and 245 prosecuted for their involvement with one of the Muslim organizations that are banned in Russia. 78 individuals on the list, i.e. more than 20% of the total, are residents of Crimea. The media Scott Gehlbach, a Professor of Political Science at the University of Wisconsin–Madison, has claimed that since 1999, Putin has systematically punished journalists who challenge his official point of view. Maria Lipman, an American writing in Foreign Affairs claims, "The crackdown that followed Putin's return to the Kremlin in 2012 extended to the liberal media, which had until then been allowed to operate fairly independently." The Internet has attracted Putin's attention because his critics have tried to use it to challenge his control of information. Marian K. Leighton, who worked for the CIA as a Soviet analyst in the 1980s says, "Having muzzled Russia's print and broadcast media, Putin focused his energies on the Internet." Robert W. Orttung and Christopher Walker report: Reporters Without Borders, for instance, ranked Russia 148 in its 2013 list of 179 countries in terms of freedom of the press. It particularly criticized Russia for the crackdown on the political opposition and the failure of the authorities to vigorously pursue and bring to justice criminals who have murdered journalists. Freedom House ranks Russian media as "not free", indicating that basic safeguards and guarantees for journalists and media enterprises are absent. In the early 2000s, Putin began promoting the idea in Russian media that they are the modern-day version of the 17th-century Romanov tsars who ended Russia's "Time of Troubles", meaning they claim to be the peacemakers and stabilizers after the fall of the Soviet Union. Promoting conservatism Putin has promoted explicitly conservative policies in social, cultural, and political matters, both at home and abroad. Putin has attacked globalism and neo-liberalism and is identified by scholars with Russian conservatism. Putin has promoted new think tanks that bring together like-minded intellectuals and writers. For example, the Izborsky Club, founded in 2012 by the conservative right-wing journalist Alexander Prokhanov, stresses (i) Russian nationalism, (ii) the restoration of Russia's historical greatness, and (iii) systematic opposition to liberal ideas and policies. Vladislav Surkov, a senior government official, has been one of the key economics consultants during Putin's presidency. In cultural and social affairs Putin has collaborated closely with the Russian Orthodox Church. Patriarch Kirill of Moscow, head of the Church, endorsed his election in 2012 stating Putin's terms were like "a miracle of God." Steven Myers reports, "The church, once heavily repressed, had emerged from the Soviet collapse as one of the most respected institutions... Now Kiril led the faithful directly into an alliance with the state." Mark Woods, a Baptist Union of Great Britain minister and contributing editor to Christian Today, provides specific examples of how the Church has backed the expansion of Russian power into Crimea and eastern Ukraine. Some Russian Orthodox believers consider Putin a corrupt and brutal strongman or even a tyrant. Others do not admire him, but appreciate that he aggravates their political opponents. Still others appreciate that Putin defends some although not all Orthodox teachings, whether or not he believes in them himself. On abortion, Putin stated that, "In the modern world, the decision is up to the woman herself", which puts him at odds with the Russian Orthodox Church. In 2020, he supported efforts to reduce the number of abortions instead of prohibiting it. Also in 2020, Putin supported the 2020 Russian constitutional referendum which passed, it defining marriage as a relationship between one man and one woman in the Constitution of Russia. International sporting events In 2007, Putin led a successful effort on behalf of Sochi for the 2014 Winter Olympics and the 2014 Winter Paralympics, the first Winter Olympic Games to ever be hosted by Russia. Likewise, in 2008, the city of Kazan won the bid for the 2013 Summer Universiade, and on 2 December 2010 Russia won the right to host the 2017 FIFA Confederations Cup and 2018 FIFA World Cup, also for the first time in Russian history. In 2013, Putin stated that gay athletes would not face any discrimination at the 2014 Sochi Winter Olympics. Foreign policy Leonid Bershidsky analyzed Putin's interview with the Financial Times and concluded, "Putin is an imperialist of the old Soviet school, rather than a nationalist or a racist, and he has cooperated with, and promoted, people who are known to be gay." Putin spoke favorably of artificial intelligence in regards to foreign policy, "Artificial intelligence is the future, not only for Russia, but for all humankind. It comes with colossal opportunities, but also threats that are difficult to predict. Whoever becomes the leader in this sphere will become the ruler of the world." Mikhail Khodorkovsky stated, "[Putin] would like to sit at a table with the US president, and maybe the president of China, and just these three will decide the fate of the world." Asia In 2012, Putin wrote an article in Indian newspaper The Hindu, saying that "The Declaration on Strategic Partnership between India and Russia signed in October 2000 became a truly historic step". Today, India remains the largest customer of Russian military equipment, and the two countries share a historically strong strategic and diplomatic relationship. Russia, under Putin, has maintained positive relations with the Asian states of SCO and BRICS. In the 21st century, Sino-Russian relations have significantly strengthened bilaterally and economically—the Treaty of Friendship, and the construction of the ESPO oil pipeline and the Power of Siberia gas pipeline formed a special relationship between the two great powers. Post-Soviet states Under Putin, the Kremlin has consistently stated that Russia has a sphere of influence and "privileged interests" over other Post-Soviet states, which are referred to as the "near abroad" in Russia. It has also been stated that the post-Soviet states are strategically vital to Russian interests. Some Russia experts have compared this concept to the Monroe Doctrine. A series of so-called colour revolutions in the post-Soviet states, namely the Rose Revolution in Georgia in 2003, the Orange Revolution in Ukraine in 2004 and the Tulip Revolution in Kyrgyzstan in 2005, led to frictions in the relations of those countries with Russia. In December 2004, Putin criticized the Rose and Orange revolutions, saying: "If you have permanent revolutions you risk plunging the post-Soviet space into endless conflict". Putin allegedly declared at a NATO-Russia summit in 2008 that if Ukraine joined NATO Russia could contend to annex the Ukrainian East and Crimea. At the summit, he told US President George W. Bush that "Ukraine is not even a state!" while the following year Putin referred to Ukraine as "Little Russia". Following the 2014 Ukrainian revolution in March 2014, the Russian Federation annexed Crimea. According to Putin, this was done because "Crimea has always been and remains an inseparable part of Russia". After the Russian annexation of Crimea, he said that Ukraine includes "regions of Russia's historic south" and "was created on a whim by the Bolsheviks". He went on to declare that the February 2014 ousting of Ukrainian President Viktor Yanukovych had been orchestrated by the West as an attempt to weaken Russia. "Our Western partners have crossed a line. They behaved rudely, irresponsibly and unprofessionally," he said, adding that the people who had come to power in Ukraine were "nationalists, neo-Nazis, Russophobes and anti-Semites". In a July 2014 speech during a Russian-supported armed insurgency in Eastern Ukraine, Putin stated he would use Russia's "entire arsenal of available means" up to "operations under international humanitarian law and the right of self-defence" to protect Russian speakers outside Russia. With the attainment of autocephaly by the Ukrainian Orthodox Church in December 2018 and subsequent schism of the Russian Orthodox Church from Constantinople, a number of experts came to the conclusion that Putin's policy of forceful engagement in post-Soviet republics significantly backfired on him, leading to a situation where he "annexed Crimea, but lost Ukraine", and provoked a much more cautious approach to Russia among other post-Soviet countries. In late August 2014, Putin stated: "People who have their own views on history and the history of our country may argue with me, but it seems to me that the Russian and Ukrainian peoples are practically one people". After making a similar statement, in late December 2015 he stated: "the Ukrainian culture, as well as Ukrainian literature, surely has a source of its own". In July 2021 he published a lengthy article "On the Historical Unity of Russians and Ukrainians" revisiting these themes, and saying the formation of a Ukrainian state hostile to Moscow was "comparable in its consequences to the use of weapons of mass destruction against us",—it was made mandatory reading for military-political training in the Russian Armed Forces. In August 2008, Georgian President Mikheil Saakashvili attempted to restore control over the breakaway South Ossetia. However, the Georgian military was soon defeated in the resulting 2008 South Ossetia War after regular Russian forces entered South Ossetia and then other parts of Georgia, then also opened a second front in the other Georgian breakaway province of Abkhazia with Abkhazian forces. Despite existing or past tensions between Russia and most of the post-Soviet states, Putin has followed the policy of Eurasian integration. Putin endorsed the idea of a Eurasian Union in 2011; the concept was proposed by the President of Kazakhstan in 1994. On 18 November 2011, the presidents of Belarus, Kazakhstan and Russia signed an agreement setting a target of establishing the Eurasian Union by 2015. The Eurasian Union was established on 1 January 2015. United States, Western Europe, and NATO Under Putin, Russia's relationships with NATO and the U.S. have passed through several stages. When he first became president, relations were cautious, but after the 9/11 attacks Putin quickly supported the U.S. in the War on Terror and the opportunity for partnership appeared. According to Stephen F. Cohen, the U.S. "repaid by further expansion of NATO to Russia's borders and by unilateral withdrawal from the 1972 Anti-Ballistic Missile Treaty", but others pointed out the applications from new countries willing to join NATO was driven primarily by Russian's behavior in Chechnya, Transnitria, Abkhazia, Yanayev putsch as well as calls to restore USSR in its previous borders by prominent Russian politicians. From 2003, when Russia strongly opposed the U.S. when it waged the Iraq War, Putin became ever more distant from the West, and relations steadily deteriorated. According to Russia scholar Stephen F. Cohen, the narrative of the mainstream U.S. media, following that of the White House, became anti-Putin. In an interview with Michael Stürmer, Putin said there were three questions which most concerned Russia and Eastern Europe: namely, the status of Kosovo, the Treaty on Conventional Armed Forces in Europe and American plans to build missile defence sites in Poland and the Czech Republic, and suggested that all three were linked. His view was that concessions by the West on one of the questions might be met with concessions from Russia on another. In a January 2007 interview, Putin said Russia was in favor of a democratic multipolar world and strengthening the systems of international law. In February 2007, Putin criticized what he called the United States' monopolistic dominance in global relations, and "almost uncontained hyper use of force in international relations". He said the result of it is that "no one feels safe! Because no one can feel that international law is like a stone wall that will protect them. Of course such a policy stimulates an arms race". This came to be known as the Munich Speech, and NATO secretary Jaap de Hoop Scheffer called the speech "disappointing and not helpful." The months following Putin's Munich Speech were marked by tension and a surge in rhetoric on both sides of the Atlantic. Both Russian and American officials, however, denied the idea of a new cold war. Putin publicly opposed plans for the U.S. missile shield in Europe and presented President George W. Bush with a counterproposal on 7 June 2007 which was declined. Russia suspended its participation in the Conventional Forces in Europe treaty on 11 December 2007. Putin opposed Kosovo's unilateral declaration of independence from Serbia on 17 February 2008, warning that it would destabilize the whole system of international relations. He described the recognition of Kosovo's independence by several major world powers as "a terrible precedent, which will de facto blow apart the whole system of international relations, developed not over decades, but over centuries", and that "they have not thought through the results of what they are doing. At the end of the day it is a two-ended stick and the second end will come back and hit them in the face". In March 2014, Putin used Kosovo's declaration of independence as a justification for recognizing the independence of Crimea, citing the so-called "Kosovo independence precedent". After the 9/11 attacks on the U.S. in 2001, Putin had good relations with American President George W. Bush, and many western European leaders. His "cooler" and "more business-like" relationship with German chancellor, Angela Merkel is often attributed to Merkel's upbringing in the former DDR, where Putin was stationed as a KGB agent. He had a very friendly and warm relationship with the former Prime Minister of Italy Silvio Berlusconi; the two leaders often described their relationship as a close friendship, continuing to organize bilateral meetings even after Berlusconi's resignation in November 2011. The NATO-led military intervention in Libya in 2011 prompted a widespread wave of criticism from several world leaders, including Putin, who said that "[UNSC Resolution 1973] is defective and flawed...It allows everything. It resembles medieval calls for crusades." In late 2013, Russian-American relations deteriorated further when the United States canceled a summit for the first time since 1960 after Putin gave asylum to American Edward Snowden, who had leaked massive amounts of classified information from the NSA. In 2014, Russia was suspended from the G8 group as a result of its annexation of Crimea. However, in June 2015, Putin said that Russia has no intention of attacking NATO. On 9 November 2016, Putin congratulated Donald Trump on becoming the 45th President of the United States. In December 2016, US intelligence officials (headed by James Clapper) quoted by CBS News stated that Putin approved the email hacking and cyber attacks during the U.S. election, against the Democratic presidential nominee Hillary Clinton. A spokesman for Putin denied the reports. Putin has repeatedly accused Hillary Clinton, who served as U.S. Secretary of State from 2009 to 2013, of interfering in Russia's internal affairs, and in December 2016, Clinton accused Putin of having a personal grudge against her. With the election of Trump, Putin's favorability in the U.S. increased. A Gallup poll in February 2017 revealed a positive view of Putin among 22% of Americans, the highest since 2003. However, Putin has stated that U.S.–Russian relations, already at the lowest level since the end of the Cold War, have continued to deteriorate after Trump took office in January 2017. On 18 June 2020, The National Interest published a nine thousand word essay by Putin, titled 'The Real Lessons of the 75th Anniversary of World War II'. In the essay, Putin criticizes the western historical view of the Molotov–Ribbentrop Pact as the start of World War II, stating that the Munich Agreement was the beginning. United Kingdom In 2003, relations between Russia and the United Kingdom deteriorated when the United Kingdom granted political asylum to Putin's former patron, oligarch Boris Berezovsky. This deterioration was intensified by allegations that the British were spying and making secret payments to pro-democracy and human rights groups. Poisoning of Alexander Litvinenko The end of 2006 brought more strained relations in the wake of the death by polonium poisoning in London of former KGB and FSB officer Alexander Litvinenko, who became an MI6 agent in 2003. In 2007, the crisis in relations continued with expulsion of four Russian envoys over Russia's refusal to extradite former KGB bodyguard Andrei Lugovoi to face charges in the murder of Litvinenko. Mirroring the British actions, Russia expelled UK diplomats and took other retaliatory steps. In 2015–16, the British Government conducted an inquiry into the death of Alexander Litvinenko. Its report states, "The FSB operation to kill Mr. Litvinenko was probably approved by Mr Patrushev and also by President Putin." The report outlined some possible motives for the murder, including Litvinenko's public statements and books about the alleged involvement of the FSB in mass murder, and what was "undoubtedly a personal dimension to the antagonism" between Putin and Litvinenko, led to the murder. Poisoning of Sergei Skripal On 4 March 2018, former double agent Sergei Skripal was poisoned with a Novichok nerve agent in Salisbury. Ten days later, the British government formally accused the Russian state of attempted murder, a charge which Russia denied. After the UK expelled 23 Russian diplomats (an action which would later be responded to with a Russian expulsion of 23 British diplomats), British Foreign Secretary Boris Johnson said on 16 March that it was "overwhelmingly likely" Putin had personally ordered the poisoning of Skripal. Putin's spokesman Dmitry Peskov called the allegation "shocking and unpardonable diplomatic misconduct". Australia and Latin America Putin and his successor, Medvedev, enjoyed warm relations with Hugo Chávez of Venezuela. Much of this has been through the sale of military equipment; since 2005, Venezuela has purchased more than $4 billion worth of arms from Russia. In September 2008, Russia sent Tupolev Tu-160 | for that party, and from 1995 through June 1997, he was the leader of its Saint Petersburg branch. 1996–1999: Early Moscow career In June 1996, Sobchak lost his bid for re-election in Saint Petersburg, and Putin, who had led his election campaign, resigned from his positions in the city administration. He moved to Moscow and was appointed as Deputy Chief of the Presidential Property Management Department headed by Pavel Borodin. He occupied this position until March 1997. He was responsible for the foreign property of the state and organized the transfer of the former assets of the Soviet Union and Communist Party to the Russian Federation. On 26 March 1997, President Boris Yeltsin appointed Putin deputy chief of the Presidential Staff, a post which he retained until May 1998, and chief of the Main Control Directorate of the Presidential Property Management Department (until June 1998). His predecessor in this position was Alexei Kudrin and his successor was Nikolai Patrushev, both future prominent politicians and Putin's associates. On 27 June 1997, at the Saint Petersburg Mining Institute, guided by rector Vladimir Litvinenko, Putin defended his Candidate of Science dissertation in economics, titled The Strategic Planning of Regional Resources Under the Formation of Market Relations. This exemplified the custom in Russia whereby a young rising official wrote a scholarly work in mid-career. When Putin later became president, the dissertation became a target of plagiarism accusations by fellows at the Brookings Institution after it was discovered that 15 pages were copied from an American textbook. Putin responded that the dissertation was referenced, the Brookings fellows asserted that it constituted plagiarism albeit perhaps unintentional. The dissertation committee refuted the accusations. On 25 May 1998, Putin was appointed First Deputy Chief of the Presidential Staff for the regions, in succession to Viktoriya Mitina; and, on 15 July, he was appointed head of the commission for the preparation of agreements on the delimitation of the power of the regions and head of the federal center attached to the president, replacing Sergey Shakhray. After Putin's appointment, the commission completed no such agreements, although during Shakhray's term as the head of the Commission 46 such agreements had been signed. Later, after becoming president, Putin cancelled all 46 agreements. On 25 July 1998, Yeltsin appointed Putin Director of the Federal Security Service (FSB), the primary intelligence and security organization of the Russian Federation and the successor to the KGB. 1999: First premiership On 9 August 1999, Putin was appointed one of three First Deputy Prime Ministers, and later on that day, was appointed acting Prime Minister of the Government of the Russian Federation by President Yeltsin. Yeltsin also announced that he wanted to see Putin as his successor. Later on that same day, Putin agreed to run for the presidency. On 16 August, the State Duma approved his appointment as Prime Minister with 233 votes in favor (vs. 84 against, 17 abstained), while a simple majority of 226 was required, making him Russia's fifth PM in fewer than eighteen months. On his appointment, few expected Putin, virtually unknown to the general public, to last any longer than his predecessors. He was initially regarded as a Yeltsin loyalist; like other prime ministers of Boris Yeltsin, Putin did not choose ministers himself, his cabinet was determined by the presidential administration. Yeltsin's main opponents and would-be successors were already campaigning to replace the ailing president, and they fought hard to prevent Putin's emergence as a potential successor. Following the Russian apartment bombings and the invasion of Dagestan by mujahideens, including the former KGB agents, based in the Chechen Republic of Ichkeria, Putin's law-and-order image and unrelenting approach to the Second Chechen War soon combined to raise his popularity and allowed him to overtake his rivals. While not formally associated with any party, Putin pledged his support to the newly formed Unity Party, which won the second largest percentage of the popular vote (23.3%) in the December 1999 Duma elections, and in turn supported Putin. 1999–2000: Acting presidency On 31 December 1999, Yeltsin unexpectedly resigned and, according to the Constitution of Russia, Putin became Acting President of the Russian Federation. On assuming this role, Putin went on a previously scheduled visit to Russian troops in Chechnya. The first Presidential Decree that Putin signed, on 31 December 1999, was titled "On guarantees for the former president of the Russian Federation and the members of his family". This ensured that "corruption charges against the outgoing President and his relatives" would not be pursued. This was most notably targeted at the Mabetex bribery case in which Yeltsin's family members were involved. On 30 August 2000, a criminal investigation (number 18/238278-95) in which Putin himself, as a member of the Saint Petersburg city government, was one of the suspects was dropped. On 30 December 2000, yet another case against the prosecutor general was dropped "for lack of evidence", despite thousands of documents having been forwarded by Swiss prosecutors. On 12 February 2001, Putin signed a similar federal law which replaced the decree of 1999. A case regarding Putin's alleged corruption in metal exports from 1992 was brought back by Marina Salye, but she was silenced and forced to leave Saint Petersburg. While his opponents had been preparing for an election in June 2000, Yeltsin's resignation resulted in the presidential elections being held within three months, on 26 March 2000; Putin won in the first round with 53% of the vote. 2000–2004: First presidential term The inauguration of President Putin occurred on 7 May 2000. Putin appointed the Minister of Finance, Mikhail Kasyanov, as the Prime Minister. The first major challenge to Putin's popularity came in August 2000, when he was criticized for the alleged mishandling of the Kursk submarine disaster. That criticism was largely because it took several days for Putin to return from vacation, and several more before he visited the scene. Between 2000 and 2004, Putin set about the reconstruction of the impoverished condition of the country, apparently winning a power-struggle with the Russian oligarchs, reaching a 'grand bargain' with them. This bargain allowed the oligarchs to maintain most of their powers, in exchange for their explicit support for—and alignment with—Putin's government. The Moscow theater hostage crisis occurred in October 2002. Many in the Russian press and in the international media warned that the deaths of 130 hostages in the special forces' rescue operation during the crisis would severely damage President Putin's popularity. However, shortly after the siege had ended, the Russian president enjoyed record public approval ratings—83% of Russians declared themselves satisfied with Putin and his handling of the siege. In 2003, a referendum was held in Chechnya, adopting a new constitution which declares that the Republic of Chechnya is a part of Russia; on the other hand, the region did acquire autonomy. Chechnya has been gradually stabilized with the establishment of the Parliamentary elections and a Regional Government. Throughout the Second Chechen War, Russia severely disabled the Chechen rebel movement; however, sporadic attacks by rebels continued to occur throughout the northern Caucasus. 2004–2008: Second presidential term On 14 March 2004, Putin was elected to the presidency for a second term, receiving 71% of the vote. The Beslan school hostage crisis took place on 1–3 September 2004; more than 330 people died, including 186 children. The near 10-year period prior to the rise of Putin after the dissolution of Soviet rule was a time of upheaval in Russia. In a 2005 Kremlin speech, Putin characterized the collapse of the Soviet Union as the "greatest geopolitical catastrophe of the Twentieth Century." Putin elaborated, "Moreover, the epidemic of disintegration infected Russia itself." The country's cradle-to-grave social safety net was gone and life expectancy declined in the period preceding Putin's rule. In 2005, the National Priority Projects were launched to improve Russia's health care, education, housing, and agriculture. The continued criminal prosecution of Russia's then richest man, President of Yukos oil and gas company Mikhail Khodorkovsky, for fraud and tax evasion was seen by the international press as a retaliation for Khodorkovsky's donations to both liberal and communist opponents of the Kremlin. Khodorkovsky was arrested, Yukos was bankrupted, and the company's assets were auctioned at below-market value, with the largest share acquired by the state company Rosneft. The fate of Yukos was seen as a sign of a broader shift of Russia towards a system of state capitalism. This was underscored in July 2014, when shareholders of Yukos were awarded $50 billion in compensation by the Permanent Arbitration Court in The Hague. On 7 October 2006, Anna Politkovskaya, a journalist who exposed corruption in the Russian army and its conduct in Chechnya, was shot in the lobby of her apartment building, on Putin's birthday. The death of Politkovskaya triggered international criticism, with accusations that Putin had failed to protect the country's new independent media. Putin himself said that her death caused the government more problems than her writings. In 2007, "Dissenters' Marches" were organized by the opposition group The Other Russia, led by former chess champion Garry Kasparov and national-Bolshevist leader Eduard Limonov. Following prior warnings, demonstrations in several Russian cities were met by police action, which included interfering with the travel of the protesters and the arrests of as many as 150 people who attempted to break through police lines. On 12 September 2007, Putin dissolved the government upon the request of Prime Minister Mikhail Fradkov. Fradkov commented that it was to give the President a "free hand" in the run-up to the parliamentary election. Viktor Zubkov was appointed the new prime minister. In December 2007, United Russia won 64.24% of the popular vote in their run for State Duma according to election preliminary results. United Russia's victory in the December 2007 elections was seen by many as an indication of strong popular support of the then Russian leadership and its policies. 2008–2012: Second premiership Putin was barred from a third consecutive term by the Constitution. First Deputy Prime Minister Dmitry Medvedev was elected his successor. In a power-switching operation on 8 May 2008, only a day after handing the presidency to Medvedev, Putin was appointed Prime Minister of Russia, maintaining his political dominance. Putin has said that overcoming the consequences of the world economic crisis was one of the two main achievements of his second Premiership. The other was stabilizing the size of Russia's population between 2008 and 2011 following a long period of demographic collapse that began in the 1990s. At the United Russia Congress in Moscow on 24 September 2011, Medvedev officially proposed that Putin stand for the Presidency in 2012, an offer Putin accepted. Given United Russia's near-total dominance of Russian politics, many observers believed that Putin was assured of a third term. The move was expected to see Medvedev stand on the United Russia ticket in the parliamentary elections in December, with a goal of becoming Prime Minister at the end of his presidential term. After the parliamentary elections on 4 December 2011, tens of thousands of Russians engaged in protests against alleged electoral fraud, the largest protests in Putin's time. Protesters criticized Putin and United Russia and demanded annulment of the election results. Those protests sparked the fear of a colour revolution in society. Putin allegedly organized a number of paramilitary groups loyal to himself and to the United Russia party in the period between 2005 and 2012. 2012–2018: Third presidential term On 24 September 2011, while speaking at the United Russia party congress, Medvedev announced that he would recommend the party nominate Putin as its presidential candidate. He also revealed that the two men had long ago cut a deal to allow Putin to run for president in 2012. This switch was termed by many in the media as "Rokirovka", the Russian term for the chess move "castling". On 4 March 2012, Putin won the 2012 Russian presidential elections in the first round, with 63.6% of the vote, despite widespread accusations of vote-rigging. Opposition groups accused Putin and the United Russia party of fraud. While efforts to make the elections transparent were publicized, including the usage of webcams in polling stations, the vote was criticized by the Russian opposition and by international observers from the Organization for Security and Co-operation in Europe for procedural irregularities. Anti-Putin protests took place during and directly after the presidential campaign. The most notorious protest was the Pussy Riot performance on 21 February, and subsequent trial. An estimated 8,000–20,000 protesters gathered in Moscow on 6 May, when eighty people were injured in confrontations with police, and 450 were arrested, with another 120 arrests taking place the following day. A counter-protest of Putin supporters occurred which culminated in a gathering of an estimated 130,000 supporters at the Luzhniki Stadium, Russia's largest stadium. Some of the attendees stated that they had been paid to come, were forced to come by their employers, or were misled into believing that they were going to attend a folk festival instead. The rally is considered to be the largest in support of Putin to date. Putin's presidency was inaugurated in the Kremlin on 7 May 2012. On his first day as president, Putin issued 14 Presidential decrees, which are sometimes called the "May Decrees" by the media, including a lengthy one stating wide-ranging goals for the Russian economy. Other decrees concerned education, housing, skilled labor training, relations with the European Union, the defense industry, inter-ethnic relations, and other policy areas dealt with in Putin's program articles issued during the presidential campaign. In 2012 and 2013, Putin and the United Russia party backed stricter legislation against the LGBT community, in Saint Petersburg, Arkhangelsk and Novosibirsk; a law called the Russian gay propaganda law, that is against "homosexual propaganda" (which prohibits such symbols as the rainbow flag as well as published works containing homosexual content) was adopted by the State Duma in June 2013. Responding to international concerns about Russia's legislation, Putin asked critics to note that the law was a "ban on the propaganda of pedophilia and homosexuality" and he stated that homosexual visitors to the 2014 Winter Olympics should "leave the children in peace" but denied there was any "professional, career or social discrimination" against homosexuals in Russia. In June 2013, Putin attended a televised rally of the All-Russia People's Front where he was elected head of the movement, which was set up in 2011. According to journalist Steve Rosenberg, the movement is intended to "reconnect the Kremlin to the Russian people" and one day, if necessary, replace the increasingly unpopular United Russia party that currently backs Putin. Russo-Ukrainian conflict In 2014, Russia made several military incursions into Ukrainian territory. After the Euromaidan protests and the fall of Ukrainian president Viktor Yanukovych, Russian soldiers without insignias took control of strategic positions and infrastructure within the Ukrainian territory of Crimea. Russia then annexed the Republic of Crimea and City of Sevastopol after a referendum in which Crimeans voted to join the Russian Federation, according to official results. Subsequently, demonstrations against Ukrainian Rada legislative actions by pro-Russian groups in the Donbas area of Ukraine escalated into an armed conflict between the Ukrainian government and the Russia-backed separatist forces of the self-declared Donetsk and Luhansk People's Republics. In August Russian military vehicles crossed the border in several locations of Donetsk Oblast. The incursion by the Russian military was seen by Ukrainian authorities as responsible for the defeat of Ukrainian forces in early September. In November 2014, the Ukrainian military reported intensive movement of troops and equipment from Russia into the separatist-controlled parts of eastern Ukraine. The Associated Press reported 80 unmarked military vehicles on the move in rebel-controlled areas. An OSCE Special Monitoring Mission observed convoys of heavy weapons and tanks in DPR-controlled territory without insignia. OSCE monitors further stated that they observed vehicles transporting ammunition and soldiers' dead bodies crossing the Russian-Ukrainian border under the guise of humanitarian-aid convoys. As of early August 2015, the OSCE observed over 21 such vehicles marked with the Russian military code for soldiers killed in action. According to The Moscow Times, Russia has tried to intimidate and silence human-rights workers discussing Russian soldiers' deaths in the conflict. The OSCE repeatedly reported that its observers were denied access to the areas controlled by "combined Russian-separatist forces". The majority of members of the international community and organizations such as Amnesty International have condemned Russia for its actions in post-revolutionary Ukraine, accusing it of breaking international law and of violating Ukrainian sovereignty. Many countries implemented economic sanctions against Russia, Russian individuals or companies to which Russia responded in kind. In October 2015, The Washington Post reported that Russia had redeployed some of its elite units from Ukraine to Syria in recent weeks to support Syrian President Bashar al-Assad. In December 2015, Russian Federation President Putin admitted that Russian military intelligence officers were operating in Ukraine. According to academic Andrei Tsygankov, many members of the international community assumed that Putin's annexation of Crimea had initiated a completely new kind of Russian foreign policy. They took the annexation of Crimea to mean that his foreign policy had shifted "from state-driven foreign policy" to taking an offensive stance to recreate the Soviet Union. He also says, that this policy shift can be understood as Putin trying to defend nations in Russia's sphere of influence from "encroaching western power". While the act to annex the Crimea was bold and drastic, his "new" foreign policy may have more similarities to his older policies. Intervention in Syria On 30 September 2015, President Putin authorized Russian military intervention in the Syrian civil war, following a formal request by the Syrian government for military help against rebel and jihadist groups. The Russian military activities consisted of air strikes, cruise missile strikes and the use of front line advisors and Russian special forces against militant groups opposed to the Syrian government, including the Syrian opposition, as well as Islamic State of Iraq and the Levant (ISIL), al-Nusra Front (al-Qaeda in the Levant), Tahrir al-Sham, Ahrar al-Sham and the Army of Conquest. After Putin's announcement on 14 March 2016 that the mission he had set for the Russian military in Syria had been "largely accomplished" and ordered the withdrawal of the "main part" of the Russian forces from Syria, Russian forces deployed in Syria continued to actively operate in support of the Syrian government. Russia's interference in the 2016 US election In January 2017, a U.S. intelligence community assessment expressed high confidence that Putin personally ordered an influence campaign, initially to denigrate Hillary Clinton and to harm her electoral chances and potential presidency, then later developing "a clear preference" for Donald Trump. Both Trump and Putin have consistently denied any Russian interference in the U.S. election. However, Putin later stated that interference was "theoretically possible" and could have been perpetrated by "patriotically minded" Russian hackers, and on another occasion claimed "not even Russians, but Ukrainians, Tatars or Jews, but with Russian citizenship" might have been responsible. The New York Times reported in July 2018 that the CIA had long nurtured a Russian source who eventually rose to a position close to Putin, allowing the source to pass key information in 2016 about Putin's direct involvement. Putin continued similar attempts in the 2020 U.S. election. 2018–present: Fourth presidential term Putin won the 2018 presidential election with more than 76% of the vote. His fourth term began on 7 May 2018 and will last until 2024. On the same day, Putin invited Dmitry Medvedev to form a new government. On 15 May 2018, Putin took part in the opening of the movement along the highway section of the Crimean bridge. On 18 May 2018, Putin signed decrees on the composition of the new Government. On 25 May 2018, Putin announced that he would not run for president in 2024, justifying this in compliance with the Russian Constitution. On 14 June 2018, Putin opened the 21st FIFA World Cup, which took place in Russia for the first time. In September 2019, Putin's administration interfered with the results of Russia's nationwide regional elections and manipulated it by eliminating all candidates in the opposition. The event that was aimed at contributing to the ruling party, United Russia's victory, also contributed to inciting mass protests for democracy, leading to large-scale arrests and cases of police brutality. On 15 January 2020, Dmitry Medvedev and his entire government resigned after Vladimir Putin's Address to the Federal Assembly. Putin suggested major constitutional amendments that could extend his political power after presidency. At the same time, on behalf of Putin, he continued to exercise his powers until the formation of a new government. The president suggested that Medvedev take the newly created post of Deputy Chairman of the Security Council. On the same day, Putin nominated Mikhail Mishustin, head of the country's Federal Tax Service for the post of Prime Minister. The next day, he was confirmed by the State Duma to the post and appointed Prime Minister by Putin's decree. This was the first time ever that a PM was confirmed without any votes against. On 21 January 2020, Mishustin presented to Vladimir Putin a draft structure of his Cabinet. On the same day, the President signed a decree on the structure of the Cabinet and appointed the proposed Ministers. COVID-19 pandemic On 15 March 2020, Putin instructed to form a Working Group of the State Council to counteract the spread of coronavirus. Putin appointed Moscow Mayor Sergey Sobyanin as the head of the Group. On 22 March 2020, after a phone call with Italian Prime Minister Giuseppe Conte, Putin arranged the Russian army to send military medics, special disinfection vehicles and other medical equipment to Italy, which was the European country hardest hit by the COVID-19 pandemic. On 24 March 2020, Putin visited a hospital in Moscow's Kommunarka, where patients with coronavirus are kept, where he spoke with them and with doctors. Vladimir Putin began working remotely from his office at Novo-Ogaryovo. According to Dmitry Peskov, Putin passes daily tests for coronavirus, and his health is not in danger. On 25 March, President Putin announced in a televised address to the nation that the 22 April constitutional referendum would be postponed due to the coronavirus. He added that the next week would be a nationwide paid holiday and urged Russians to stay at home. Putin also announced a list of measures of social protection, support for small and medium-sized enterprises, and changes in fiscal policy. Putin announced the following measures for microenterprises, small- and medium-sized businesses: deferring tax payments (except Russia's value-added tax) for the next six months, cutting the size of social security contributions in half, deferring social security contributions, deferring loan repayments for the next six months, a six-month moratorium on fines, debt collection, and creditors' applications for bankruptcy of debtor enterprises. On 2 April 2020, Putin again issued an address in which he announced prolongation of the non-working time until 30 April. Putin likened Russia's fight against COVID-19 to Russia's battles with invading Pecheneg and Cuman steppe nomads in the 10th and 11th centuries. In a 24 to 27 April Levada poll, 48% of Russian respondents said that they disapproved of Putin's handling of the coronavirus pandemic, and his strict isolation and lack of leadership during the crisis was widely commented as sign of losing his "strongman" image. In June 2021, Putin said he was fully vaccinated against the disease with the Sputnik V vaccine, emphasising that while vaccinations should be voluntary, making them mandatory in some professions would slow down the spread of COVID-19. In September, Putin entered self-isolation after people in his inner circle tested positive for the disease. Constitutional referendum and amendments Putin signed an executive order on 3 July 2020 to officially insert amendments into the Russian Constitution, allowing him to run for two additional six-year terms. These amendments took effect on 4 July 2020. Since 11 July, protests have been held in the Khabarovsk Krai in Russia's Far East in support of arrested regional governor Sergei Furgal. The 2020 Khabarovsk Krai protests have become increasingly anti-Putin. A July 2020 Levada poll found that 45% of surveyed Russians supported the protests. On 22 December 2020, Putin signed a bill giving lifetime prosecutorial immunity to Russian ex-presidents. 2021–2022 Russo-Ukrainian crisis and invasion In September 2021, Ukraine conducted military exercises with NATO forces. The Kremlin warned that NATO expanding military infrastructure in Ukraine would cross "red lines" for Putin. Putin's spokesman Dmitry Peskov denied allegations that Russia was preparing for a possible invasion of Ukraine. On 30 November 2021, Putin stated that an expansion of NATO's presence in Ukraine, especially the deployment of any long-range missiles capable of striking Russian cities or missile defence systems similar to those in Romania and Poland, would be a "red line" issue for the Kremlin. Putin asked President Joe Biden for legal guarantees that NATO wouldn't expand eastward or put "weapons systems that threaten us in close vicinity to Russian territory." The U.S. and NATO have rejected Putin's demands. The Kremlin repeatedly denied that it had any plans to invade Ukraine. Putin dismissed such fears as "alarmist". In December 2021, a Levada Center poll found that about 50% of Russians believed the U.S. and NATO are to blame for the Russo-Ukrainian crisis, while 16% blamed Ukraine and just 4% blamed Russia. However, on 7 February 2022, retired Russian Colonel-General Leonid Ivashov, who is active in politics as the chairman of the All-Russian Officers Assembly, publicly called for Putin to resign over threats of a "criminal" invasion of Ukraine. In February 2022, Putin warned that Ukraine's accession to NATO could embolden Ukraine to reclaim control over Russian-annexed Crimea or areas ruled by pro-Russian separatists in Donbas, saying "Imagine that Ukraine is a NATO member and a military operation [to regain Crimea] begins. What – are we going to fight with NATO? Has anyone thought about this?" On 7 February 2022, Putin said at a joint press conference with French President Emmanuel Macron that "A number of [Macron's] ideas, proposals ... are possible as a basis for further steps. We will do everything to find compromises that suit everyone." Putin promised not to carry out new military initiatives near Ukraine. On 15 February 2022, the Russian parliament's lower chamber, the State Duma, backed a resolution calling for diplomatic recognition of two self-proclaimed separatist republics in Donbas. On 21 February, Putin signed a decree recognizing the separatist republics as independent states. On 24 February, Putin in a televised address announced a "special military operation" in Ukraine, launching a full-scale invasion of Ukraine. British Prime Minister Boris Johnson suggested Putin could face war crimes charges, and said that the UK and its allies are working to set up a "particular international war crimes tribunal for those involved in war crimes in the Ukraine theatre." As a result of the invasion, further sanctions were introduced against Russia, including against Putin personally. In response to the sanctions, Putin put the Strategic Rocket Forces nuclear deterrence units on high alert. Domestic policies Putin's domestic policies, particularly early in his first presidency, were aimed at creating a vertical power structure. On 13 May 2000, he issued a decree organizing the 89 federal subjects of Russia into seven administrative federal districts and appointed a presidential envoy responsible for each of those districts (whose official title is Plenipotentiary Representative). According to Stephen White, under the presidency of Putin, Russia made it clear that it had no intention of establishing a "second edition" of the American or British political system, but rather a system that was closer to Russia's own traditions and circumstances. Some commentators have described Putin's administration as a "sovereign democracy". According to the proponents of that description (primarily Vladislav Surkov), the government's actions and policies ought above all to enjoy popular support within Russia itself and not be directed or influenced from outside the country. The practice of the system is, however, characterized by Swedish economist Anders Åslund: The period after 2012 also saw mass protests against the falsification of elections, censorship and toughening of free assembly laws. In July 2000, according to a law proposed by Putin and approved by the Federal Assembly of Russia, Putin gained the right to dismiss the heads of the 89 federal subjects. In 2004, the direct election of those heads (usually called "governors") by popular vote was replaced with a system whereby they would be nominated by the president and approved or disapproved by regional legislatures. This was seen by Putin as a necessary move to stop separatist tendencies and get rid of those governors who were connected with organised crime. This and other government actions effected under Putin's presidency have been criticised by many independent Russian media outlets and Western commentators as anti-democratic. In 2012, as proposed by Putin's successor, Dmitry Medvedev, the direct election of governors was re-introduced. During his first term in office, Putin opposed some of the Yeltsin-era oligarchs, as well as his political opponents, resulting in the exile or imprisonment of such people as Boris Berezovsky, Vladimir Gusinsky, and Mikhail Khodorkovsky; other oligarchs such as Roman Abramovich and Arkady Rotenberg are friends and allies with Putin. Putin succeeded in codifying land law and tax law and promulgated new codes on labor, administrative, criminal, commercial and civil procedural law. Under Medvedev's presidency, Putin's government implemented some key reforms in the area of state security, the Russian police reform and the Russian military reform. Economic, industrial, and energy policies Sergey Guriyev, when talking about Putin's economic policy, divided it into four distinct periods: the "reform" years of his first term (1999–2003); the "statist" years of his second term (2004 – the first half of 2008); the world economic crisis and recovery (the second half of 2008–2013); and the Russo-Ukrainian War, Russia's growing isolation from the global economy, and stagnation (2014–present). In 2000, Putin launched the "Programme for the Socio-Economic Development of the Russian Federation for the Period 2000–2010", but it was abandoned in 2008 when it was 30% complete. Fueled by the 2000s commodities boom including record-high oil prices, under the Putin administration from 2000 to 2016, an increase in income in USD terms was 4.5 times. During Putin's first eight years in office, industry grew substantially, as did production, construction, real incomes, credit, and the middle class. A fund for oil revenue allowed Russia to repay all of the Soviet Union's debts by 2005. Russia joined the World Trade Organization on 22 August 2012. In 2006, Putin launched an industry consolidation programme to bring the main aircraft-producing companies under a single umbrella |
that represents a quantity in a mathematical expression, as used in many sciences Variable (research), a logical set of attributes Variable star, | a symbol that represents a quantity in a mathematical expression, as used in many sciences Variable (research), a logical set of attributes Variable star, a type of astronomical star "The Variable", an |
has no freedom to move quickly enough to produce a velar trill or flap. Examples The velar consonants identified by the International Phonetic Alphabet are: Lack of velars The velar consonant is the most common consonant in human languages. The only languages recorded to lack velars (and any dorsal consonant at all) may be Xavante, Tahitian, and (phonologically but not phonetically) several Skou languages (Wutung, a dialect of Vanimo, and Bobe). In Pirahã, men may lack the only velar consonant. Other languages lack simple velars. An areal feature of the indigenous languages of the Americas of the coastal regions of the Pacific Northwest is that historical *k was palatalized. When such sounds remained stops, they were transcribed in Americanist phonetic notation, presumably corresponding to IPA , but in others, such as the Saanich dialect of Coastal Salish, Salish-Spokane-Kalispel, and Chemakum, *k went further and affricated to . Likewise, historical *k’ has become and historical *x has become ; there was no *g or *ŋ. In the Northwest Caucasian languages, historical * has also become palatalized, becoming in Ubykh and in most Circassian varieties. In both regions the languages retain a labialized velar series (e.g. in the Pacific Northwest) as well as uvular consonants. In the languages of those families that retain plain velars, both the plain and labialized velars are pre-velar, perhaps to make them more distinct from the uvulars which may be post-velar. Prevelar consonants are susceptible to palatalization. A similar system, contrasting with and leaving marginal at best, is reconstructed for Proto-Indo-European. Apart from the voiced stop , no other velar consonant is particularly common, even the and that occur in English. Of course, there can be no phoneme in a language that lacks voiced stops, like Mandarin Chinese, but it is sporadically missing elsewhere. Of the languages surveyed in the World Atlas of Language Structures, about 10% of | ambiguous situation is often called labiovelar. A velar trill or tap is not possible according to the International Phonetics Association: see the shaded boxes on the table of pulmonic consonants. In the velar position, the tongue has an extremely restricted ability to carry out the type of motion associated with trills or taps, and the body of the tongue has no freedom to move quickly enough to produce a velar trill or flap. Examples The velar consonants identified by the International Phonetic Alphabet are: Lack of velars The velar consonant is the most common consonant in human languages. The only languages recorded to lack velars (and any dorsal consonant at all) may be Xavante, Tahitian, and (phonologically but not phonetically) several Skou languages (Wutung, a dialect of Vanimo, and Bobe). In Pirahã, men may lack the only velar consonant. Other languages lack simple velars. An areal feature of the indigenous languages of the Americas of the coastal regions of the Pacific Northwest is that historical *k was palatalized. When such sounds remained stops, they were transcribed in Americanist phonetic notation, presumably corresponding to IPA , but in others, such as the Saanich dialect of Coastal Salish, Salish-Spokane-Kalispel, and Chemakum, *k went further and affricated to . Likewise, historical *k’ has become and historical *x has become ; there was no *g or *ŋ. In the Northwest Caucasian languages, historical * has also become palatalized, becoming in Ubykh and in most Circassian varieties. In both regions the languages retain a labialized velar series (e.g. in the Pacific Northwest) as well as uvular consonants. In the languages of those families that retain plain velars, both the plain and labialized velars are pre-velar, perhaps to make them more distinct from the uvulars which may be post-velar. Prevelar consonants are susceptible to palatalization. A similar system, contrasting with and leaving marginal at best, is reconstructed for Proto-Indo-European. Apart from the voiced stop , no other velar consonant is particularly common, even the and that occur in English. Of course, there can be no phoneme in a language that lacks voiced stops, like Mandarin Chinese, but it is sporadically missing elsewhere. Of the languages surveyed in the World Atlas of Language Structures, about 10% of languages that otherwise have are missing . Pirahã has both a and a phonetically. However, the does not behave as other |
and correct settings in the V-1 guidance system, the Germans needed to know where the V-1s were impacting. Therefore, German intelligence was requested to obtain this impact data from their agents in Britain. However, all German agents in Britain had been turned, and were acting as double agents under British control. On 16 June 1944, British double agent Garbo (Juan Pujol) was requested by his German controllers to give information on the sites and times of V-1 impacts, with similar requests made to the other German agents in Britain, Brutus (Roman Czerniawski) and Tate (Wulf Schmidt). If given this data, the Germans would be able to adjust their aim and correct any shortfall. However, there was no plausible reason why the double agents could not supply accurate data; the impacts would be common knowledge amongst Londoners and very likely reported in the press, which the Germans had ready access to through the neutral nations. In addition, as John Cecil Masterman, chairman of the Twenty Committee, commented, "If, for example, St Paul's Cathedral were hit, it was useless and harmful to report that the bomb had descended upon a cinema in Islington, since the truth would inevitably get through to Germany ..." While the British decided how to react, Pujol played for time. On 18 June it was decided that the double agents would report the damage caused by V-1s fairly accurately and minimise the effect they had on civilian morale. It was also decided that Pujol should avoid giving the times of impacts, and should mostly report on those which occurred in the north west of London, to give the impression to the Germans that they were overshooting the target area. While Pujol downplayed the extent of V-1 damage, trouble came from Ostro, an agent in Lisbon who pretended to have agents reporting from London. He told the Germans that London had been devastated and had been mostly evacuated as a result of enormous casualties. The Germans could not perform aerial reconnaissance of London, and believed his damage reports in preference to Pujol's. They thought that the Allies would make every effort to destroy the V-1 launch sites in France. They also accepted Ostros impact reports. Due to Ultra, however, the Allies read his messages and adjusted for them. A certain number of the V-1s fired had been fitted with radio transmitters, which had clearly demonstrated a tendency for the V-1 to fall short. Max Wachtel, commander of Flak Regiment 155 (W), which was responsible for the V-1 offensive, compared the data gathered by the transmitters with the reports obtained through the double agents. He concluded, when faced with the discrepancy between the two sets of data, that there must be a fault with the radio transmitters, as he had been assured that the agents were completely reliable. It was later calculated that if Wachtel had disregarded the agents' reports and relied on the radio data, he would have made the correct adjustments to the V-1's guidance, and casualties might have increased by 50 percent or more. The policy of diverting V-1 impacts away from central London was initially controversial. The War Cabinet refused to authorise a measure that would increase casualties in any area, even if it reduced casualties elsewhere by greater amounts. It was thought that Churchill would reverse this decision later (he was then away at a conference); but the delay in starting the reports to Germans might be fatal to the deception. So Sir Findlater Stewart of Home Defence Executive took responsibility for starting the deception programme immediately, and his action was approved by Churchill when he returned. Effect By September 1944, the V-1 threat to England was temporarily halted when the launch sites on the French coast were overrun by the advancing Allied armies. In total, 10,492 V1s were launched against Britain, with a nominal aiming point of Tower Bridge. 4,261 V-1s had been destroyed by fighters, anti-aircraft fire and barrage balloons. Approximately 2,400 V-1s landed within Greater London, inflicting 6,000 fatalities and 18,000 serious injuries. The last enemy action of any kind on British soil occurred on 29 March 1945, when a V-1 struck Datchworth in Hertfordshire. Assessment Unlike the V-2, the V-1 was a cost-effective weapon for the Germans as it forced the Allies to spend heavily on defensive measures and divert bombers from other targets. More than 25% of Combined Bomber Offensive's bombs in July and August 1944 were used against V-weapon sites, often ineffectively. In early December 1944, American General Clayton Bissell wrote a paper that argued strongly in favour of the V-1 when compared with conventional bombers. The following is a table he produced: The statistics of this report, however, have been the subject of some dispute. The V-1 missiles launched from bombers were often prone to exploding prematurely, occasionally resulting in the loss of the aircraft to which they were attached. The Luftwaffe lost 77 aircraft in 1,200 of these sorties. Wright Field technical personnel reverse-engineered the V-1 from the remains of one that had failed to detonate in Britain and the Republic-Ford JB-2 was being delivered by early 1945. After the end of the war in Europe it was in consideration for use against Japan. General Hap Arnold of the United States Army Air Forces was concerned that this weapon could be built of steel and wood, in 2,000 man-hours and approximate cost of US$600 (in 1943). To put this figure in perspective, a Boeing B-29 Superfortress cost about 1,000 times more, and still about 100 times more when taking into account its 10 times higher payload ( compared to for V-1)—payload, which cost has to be added (while it is included in V-1 cost)—with the additional drawback of requiring (and putting in danger) 11 flying crew members (which generally are considered to cost far more than the aircraft itself, with costs of recruiting, training, housing, feeding, pensions and pay, equipment, etc.). Belgian attacks The attacks on Antwerp and Brussels began in October 1944, with the last V-1 launched against Antwerp on 30 March 1945. The shorter range improved the accuracy of the V-1 which was deviation per of flight, the flight level was also reduced to around . The Port of Antwerp was recognised by both the German and Allied high commands as a very important port. It was essential logistically for the further progression of Allied armies into Germany, although initially Montgomery had not given high priority to seizure of the Scheldt estuary giving access to the port. Countermeasures at Antwerp Both British (80 AA Brigade) and US Army anti-aircraft batteries (30th AAA Group) were sent to Antwerp together with a searchlight regiment. The zone of command under the 21st Army Group was called "Antwerp-X" and given the object of protecting an area with a radius of covering the city and dock area. Initially attacks came from the south-east, accordingly a screen of observers and searchlights was deployed along the attack azimuth, behind which were three rows of batteries with additional searchlights. US units deployed SCR-584 radar units controlling four 90mm guns per battery using an M9 director to electrically control the battery guns. Backup for the American guns was automatic 40mm batteries, which were not effective against V-1s. British gun batteries were each equipped with eight 94 mm QF 3.7-inch AA gun and two radar units, preferably the US SCR-584 with M9 director as it was more accurate than the British system. Backup for the British guns was also automatic 40mm batteries. The radar was effective from , the M9 director predicted the target location position based on course, height and speed which combined with the gun, shell and fuse characteristics predicted an impact position, adjusted each gun and fired the shell. In November attacks began from the north-east and additional batteries were deployed along the new azimuths, including the 184th AAA Battalion (United States) brought from Paris. Additional radar units and observers were deployed up to 40 miles from Antwerp to give early warning of V-1 bombs approaching. The introduction of the VT fuse in January 1945 improved the effectiveness of the guns and reduced ammunition consumption. From October 1944 to March 1945, 4,883 V-1s were detected. Of these, only 4.5% fell into the designated protected area. The effectiveness of the anti-aircraft defence meant that only 211 got through the defences; however, those that fell within the area caused damage and loss of life. Japanese developments In 1943, an Argus pulsejet engine was shipped to Japan by German submarine. The Aeronautical Institute of Tokyo Imperial University and the Kawanishi Aircraft Company conducted a joint study of the feasibility of mounting a similar engine on a piloted plane. The resulting design was named ("plum blossom") but bore no more than a superficial resemblance to the Fi 103. never left the design stage but technical drawings and notes suggest that several versions were considered: an air-launched version with the engine under the fuselage, a ground-launched version that could take off without a ramp and a submarine launched version with the engine moved forwards. Post-war After the war, the armed forces of France, the Soviet Union and the United States experimented with the V-1. France After reverse-engineering captured V-1s in 1946, the French began producing copies for use as target drones, starting in 1951. These were called the ARSAERO CT 10 and were smaller than the V-1. The CT 10 could be ground-launched using solid rocket boosters or air-launched from a LeO 45 bomber. More than 400 were produced, some of which were exported to the UK, Sweden, and Italy. Soviet Union The Soviet Union captured V-1s when they overran the Blizna test range in Poland, as well as from the Mittelwerk. The 10Kh was their copy of the V-1, later called Izdeliye 10. Initial tests began in March 1945 at a test range in Tashkent, with further launches from ground sites and from aircraft of improved versions continuing into the late 1940s. The inaccuracy of the guidance system when compared with new methods such as beam-riding and TV guidance saw development end in the early 1950s. The Soviets also worked on a piloted attack aircraft based on the Argus pulsejet engine of the V-1, which began as a German project, the Junkers EF 126 , in the latter stages of the war. The Soviet development of the ended in 1946 after a crash that killed the test pilot. United States The United States reverse-engineered the V-1 in 1944 from salvaged parts recovered in England during June. By 8 September, the first of thirteen complete prototype Republic-Ford JB-2, was assembled at Republic Aviation. The United States JB-2 was different from the German V-1 in only the smallest of dimensions, with only the forward pulsejet support pylon visibly differing in shape from the original German pilotless ordnance design. The wing span was only wider and the length was extended less than . The difference gave the JB-2 of wing area versus for the V-1. A navalised version, designated KGW-1, was developed to be launched from LSTs as well as escort carriers (CVEs) and long-range 4-engine reconnaissance aircraft. Waterproof carriers for the KGW-1 were developed for launches of the missile from surfaced submarines. Both the USAAF JB-2 and Navy KGW-1 were put into production and were planned to be used in the Allied invasion of Japan (Operation Downfall). However, the surrender of Japan obviated the need for its use. After the end of the war, the JB-2/KGW-1 played a significant role in the development of more advanced surface-to-surface tactical missile systems such as the MGM-1 Matador and later MGM-13 Mace. Operators Surviving examples Australia The Australian War Memorial in Canberra, Australia Belgium The Stampe et Vertongen Museum at Antwerp International Airport has 2 V1's on display: 1 complete (serial 256978) that was used as a teaching aid by the Germans, and 1 partial which got shot down, but did not explode. Canada The Atlantic Canada Aviation Museum in Halifax, Nova Scotia Denmark The Danish War Museum (Krigsmuseet, formerly Tøjhusmuseet) in Copenhagen France The Grand Bunker Museum in Ouistreham, near Caen and Sword Beach, displays a V1 flying bomb. Blockhaus d'Éperlecques, near Saint-Omer. Although this was intended as a V2 launch site the museum on the site has a display devoted to the V1, including a V1 cruise missile and an entire launch ramp. Le Val Ygot at Ardouval, north of Saint-Saëns. Disabled by Allied bombing in December 1943, before completion. Remains of blockhouses, with recreated launch ramp and mock V1. La Coupole, near Saint-Omer, has a V-1 that it was lent by the Science Museum in London. The Overlord Museum in Colleville-sur-Mer, near Normandy American Cemetery and Memorial and Omaha Beach, displays a French copy of the V1 flying bomb (actually a CT 10 target drone). Tosny Museum, near Les Andelys, displays a restored Fieseler 103 A1, launched on 13 June from Pont-Montauban base and crashed in the mud without exploding after flying 10 km. Germany Deutsches Museum in Munich The Netherlands Overloon War Museum in Overloon Museum Vliegbasis Deelen in Schaarsbergen National Military Museum in Soesterberg has a V1 and a V1 Reichenberg New Zealand Auckland War Memorial Museum, Auckland Museum of Transport and Technology, Auckland Sweden A V-1 in the Arboga Missile museum Switzerland A restored original V-1 on display as well as one of only six worldwide remaining original Reichenberg (Re 4-27) at the Swiss Military Museum in Full. United Kingdom A | production of the FZG-76 did not start until the spring of 1944, and FR 155(W) was not equipped until late May 1944. Operation Eisbär, the missile attacks on London, commenced on 12 June. However, the four launch battalions could only operate from the Pas-de-Calais area, amounting to only 72 launchers. They had been supplied with missiles, Walter catapults, fuel, and other associated equipment since D-Day. None of the nine missiles launched on the 12th reached England, while only four did so on the 13th. The next attempt to start the attack occurred on the night of 15/16 June, when 144 missiles reached England, of which 73 struck London, while 53 struck Portsmouth and Southampton. Damage was widespread and Eisenhower ordered attacks on the V-1 sites as a priority. Operation Cobra forced a retreat from the French launch sites in August, with the last battalion leaving on 29 August. Operation Donnerschlag began from Germany on 21 October 1944. Operation and effectiveness The first complete V-1 airframe was delivered on 30 August 1942, and after the first complete As.109-014 was delivered in September, the first glide test flight was on 28 October 1942 at Peenemünde, from under a Focke-Wulf Fw 200. The first powered trial was on 10 December, launched from beneath an He 111. The LXV Armeekorps z.b.V. ("65th Army Corps for special deployment) formed during the last days of November 1943 in France commanded by General der Artillerie z.V. Erich Heinemann was responsible for the operational use of V-1. The conventional launch sites could theoretically launch about 15 V-1s per day, but this rate was difficult to achieve on a consistent basis; the maximum rate achieved was 18. Overall, only about 25% of the V-1s hit their targets, the majority being lost because of a combination of defensive measures, mechanical unreliability or guidance errors. With the capture or destruction of the launch facilities used to attack England, the V-1s were employed in attacks against strategic points in Belgium, primarily the port of Antwerp. Launches against Britain were met by a variety of countermeasures, including barrage balloons and aircraft such as the Hawker Tempest and newly introduced jet Gloster Meteor. These measures were so successful that by August 1944 about 80% of V-1s were being destroyed (Although the Meteors were fast enough to catch the V-1s, they suffered from frequent cannon failures, and accounted for only 13.) In all, about 1,000 V-1s were destroyed by aircraft. The intended operational altitude was originally set at . However, repeated failures of a barometric fuel-pressure regulator led to it being changed in May 1944, halving the operational height, thereby bringing V-1s into range of the 40mm Bofors light anti-aircraft guns commonly used by Allied AA units. The trial versions of the V-1 were air-launched. Most operational V-1s were launched from static sites on land, but from July 1944 to January 1945, the launched approximately 1,176 from modified Heinkel He 111 H-22s of the 's Kampfgeschwader 3 (3rd Bomber Wing, the so-called "Blitz Wing") flying over the North Sea. Apart from the obvious motive of permitting the bombardment campaign to continue after static ground sites on the French coast were lost, air launching gave the the opportunity to outflank the increasingly effective ground and air defences put up by the British against the missile. To minimise the associated risks (primarily radar detection), the aircrews developed a tactic called "lo-hi-lo": the He 111s would, upon leaving their airbases and crossing the coast, descend to an exceptionally low altitude. When the launch point was neared, the bombers would swiftly ascend, fire their V-1s, and then rapidly descend again to the previous "wave-top" level for the return flight. Research after the war estimated a 40% failure rate of air-launched V-1s, and the He 111s used in this role were vulnerable to night-fighter attack, as the launch lit up the area around the aircraft for several seconds. The combat potential of air-launched V-1s dwindled during 1944 at about the same rate as that of the ground-launched missiles, as the British gradually took the measure of the weapon and developed increasingly effective defence tactics. Experimental, piloted, and long-range variants Piloted variant Late in the war, several air-launched piloted V-1s, known as , were built, but these were never used in combat. Hanna Reitsch made some flights in the modified V-1 Fieseler when she was asked to find out why test pilots were unable to land it and had died as a result. She discovered, after simulated landing attempts at high altitude, where there was air space to recover, that the craft had an extremely high stall speed, and the previous pilots with little high-speed experience had attempted their approaches much too slowly. Her recommendation of much higher landing speeds was then introduced in training new volunteer pilots. The s were air-launched rather than fired from a catapult ramp, as erroneously portrayed in the film Operation Crossbow. Air launch by Ar 234 There were plans, not put into practice, to use the Arado Ar 234 jet bomber to launch V-1s either by towing them aloft or by launching them from a "piggy back" position (in the manner of the , but in reverse) atop the aircraft. In the latter configuration, a pilot-controlled, hydraulically operated dorsal trapeze mechanism would elevate the missile on the trapeze's launch cradle about clear of the 234's upper fuselage. This was necessary to avoid damaging the mother craft's fuselage and tail surfaces when the pulsejet ignited, as well as to ensure a "clean" airflow for the Argus motor's intake. A somewhat less ambitious project undertaken was the adaptation of the missile as a "flying fuel tank" for the Messerschmitt Me 262 jet fighter, which was initially test-towed behind an He 177A Greif bomber. The pulsejet, internal systems and warhead of the missile were removed, leaving only the wings and basic fuselage, now containing a single large fuel tank. A small cylindrical module, similar in shape to a finless dart, was placed atop the vertical stabiliser at the rear of the tank, acting as a centre of gravity balance and attachment point for a variety of equipment sets. A rigid towbar with a pitch pivot at the forward end connected the flying tank to the Me 262. The operational procedure for this unusual configuration saw the tank resting on a wheeled trolley for take-off. The trolley was dropped once the combination was airborne, and explosive bolts separated the towbar from the fighter upon exhaustion of the tank's fuel supply. A number of test flights were conducted in 1944 with this set-up, but inflight "porpoising" of the tank, with the instability transferred to the fighter, meant that the system was too unreliable to be used. An identical utilisation of the V-1 flying tank for the Ar 234 bomber was also investigated, with the same conclusions reached. Some of the "flying fuel tanks" used in trials utilised a cumbersome fixed and spatted undercarriage arrangement, which (along with being pointless) merely increased the drag and stability problems already inherent in the design. F-1 version One variant of the basic Fi 103 design did see operational use. The progressive loss of French launch sites as 1944 proceeded and the area of territory under German control shrank meant that soon the V-1 would lack the range to hit targets in England. Air launching was one alternative utilised, but the most obvious solution was to extend the missile's range. Thus the F-1 version developed. The weapon's fuel tank was increased in size, with a corresponding reduction in the capacity of the warhead. Additionally, the nose cones and wings of the F-1 models were made of wood, affording a considerable weight saving. With these modifications, the V-1 could be fired at London and nearby urban centres from prospective ground sites in the Netherlands. Frantic efforts were made to construct a sufficient number of F-1s in order to allow a large-scale bombardment campaign to coincide with the Ardennes Offensive, but numerous factors (bombing of the factories producing the missiles, shortages of steel and rail transport, the chaotic tactical situation Germany was facing at this point in the war, etc.) delayed the delivery of these long-range V-1s until February/March 1945. Beginning on 2 March 1945, slightly more than three weeks before the V-1 campaign finally ended, several hundred F-1s were launched at Britain from Dutch sites under Operation "Zeppelin". Frustrated by increasing Allied dominance in the air, Germany also employed V-1s to attack the RAF's forward airfields, such as Volkel, in the Netherlands. FZG-76 version There was also a turbojet-propelled upgraded variant proposed, meant to use the Porsche 109-005 low-cost turbojet engine with about thrust. Success of operations Almost 30,000 V-1s were made; by March 1944, they were each produced in 350 hours (including 120 for the autopilot), at a cost of just 4% of a V-2, which delivered a comparable payload. Approximately 10,000 were fired at England; 2,419 reached London, killing about 6,184 people and injuring 17,981. The greatest density of hits was received by Croydon, on the south-east fringe of London. Antwerp, Belgium was hit by 2,448 V-1s from October 1944 to March 1945. Intelligence reports The codename " 76"—"Flak target apparatus" helped to hide the nature of the device, and some time passed before references to FZG 76 were linked to the V-83 pilotless aircraft (an experimental V-1) that had crashed on Bornholm in the Baltic and to reports from agents of a flying bomb capable of being used against London. Importantly, the Luxembourgish Resistance, as well as the Polish Home Army intelligence contributed information on V-1 construction and a place of development (Peenemünde). Initially, British experts were sceptical of the V-1 because they had considered only solid-fuel rockets, which could not attain the stated range of . However, they later considered other types of engine, and by the time German scientists had achieved the needed accuracy to deploy the V-1 as a weapon, British intelligence had a very accurate assessment of it. Countermeasures in England Anti-aircraft guns The British defence against German long-range weapons was known by the codename Crossbow with Operation Diver covering countermeasures to the V-1. Anti-aircraft guns of the Royal Artillery and RAF Regiment redeployed in several movements: first in mid-June 1944 from positions on the North Downs to the south coast of England, then a cordon closing the Thames Estuary to attacks from the east. In September 1944, a new linear defence line was formed on the coast of East Anglia, and finally in December there was a further layout along the Lincolnshire–Yorkshire coast. The deployments were prompted by changes to the approach tracks of the V-1 as launch sites were overrun by the Allies' advance. On the first night of sustained bombardment, the anti-aircraft crews around Croydon were jubilant—suddenly they were downing unprecedented numbers of German bombers; most of their targets burst into flames and fell when their engines cut out. There was great disappointment when the truth was announced. Anti-aircraft gunners soon found that such small fast-moving targets were, in fact, very difficult to hit. The cruising altitude of the V-1, between meant that anti-aircraft guns could not traverse fast enough to hit the missile. The altitude and speed were more than the rate of traverse of the standard British QF 3.7-inch mobile gun could cope with. The static version of the QF 3.7-inch, designed for use on a permanent, concrete platform, had a faster traverse. The cost and delay of installing new permanent platforms for the guns was fortunately found to be unnecessary, a temporary platform devised by the Royal Electrical and Mechanical Engineers and made from railway sleepers and rails was found to be adequate for the static guns, making them considerably easier to re-deploy as the V-1 threat changed. The development of the proximity fuze and of centimetric, 3 gigahertz frequency gun-laying radars based on the cavity magnetron helped to counter the V-1's high speed and small size. In 1944, Bell Labs started delivery of an anti-aircraft predictor fire-control system based on an analogue computer, just in time for the Allied invasion of Europe. These electronic aids arrived in quantity from June 1944, just as the guns reached their firing positions on the coast. Seventeen percent of all flying bombs entering the coastal "gun belt" were destroyed by guns in their first week on the coast. This rose to 60 percent by 23 August and 74 percent in the last week of the month, when on one day 82 percent |
first commercial MOS integrated circuit in 1964. In the early 1970s, MOS integrated circuit technology allowed the integration of more than 10,000 transistors in a single chip. This paved the way for VLSI in the 1970s and 1980s, with tens of thousands of MOS transistors on a single chip (later hundreds of thousands, then millions, and now billions). The first semiconductor chips held two transistors each. Subsequent advances added more transistors, and as a consequence, more individual functions or systems were integrated over time. The first integrated circuits held only a few devices, perhaps as many as ten diodes, transistors, resistors and capacitors, making it possible to fabricate one or more logic gates on a single device. Now known retrospectively as small-scale integration (SSI), improvements in technique led to devices with hundreds of logic gates, known as medium-scale integration (MSI). Further improvements led to large-scale integration (LSI), i.e. systems with at least a thousand logic gates. Current technology has moved far past this mark and today's microprocessors have many millions of gates and billions of individual transistors. At one time, there was an effort to name and calibrate various levels of large-scale integration above VLSI. Terms like ultra-large-scale integration (ULSI) were used. But the huge number of gates and transistors available on common devices has rendered such fine distinctions moot. Terms suggesting greater than VLSI levels of integration are no longer in widespread use. In 2008, billion-transistor processors became commercially available. This became more commonplace as semiconductor fabrication advanced from the then-current generation of 65 nm processes. Current designs, unlike the earliest devices, use extensive design automation and automated logic synthesis to lay out the transistors, enabling higher levels of complexity in the resulting logic functionality. Certain high-performance logic blocks like the SRAM (static random-access memory) cell, are still designed by hand to ensure the highest efficiency. Structured design Structured VLSI design is a modular methodology originated by Carver Mead and Lynn Conway for saving microchip area by minimizing the interconnect fabrics area. This is obtained by repetitive arrangement of rectangular macro blocks which can be interconnected using wiring by abutment. An example is partitioning the layout of an adder into a row of equal bit slices cells. In complex designs this structuring may be achieved | by making all the components and the chip out of the same block (monolith) of semiconductor material. The circuits could be made smaller, and the manufacturing process could be automated. This led to the idea of integrating all components on a single-crystal silicon wafer, which led to small-scale integration (SSI) in the early 1960s, and then medium-scale integration (MSI) in the late 1960s. VLSI General Microelectronics introduced the first commercial MOS integrated circuit in 1964. In the early 1970s, MOS integrated circuit technology allowed the integration of more than 10,000 transistors in a single chip. This paved the way for VLSI in the 1970s and 1980s, with tens of thousands of MOS transistors on a single chip (later hundreds of thousands, then millions, and now billions). The first semiconductor chips held two transistors each. Subsequent advances added more transistors, and as a consequence, more individual functions or systems were integrated over time. The first integrated circuits held only a few devices, perhaps as many as ten diodes, transistors, resistors and capacitors, making it possible to fabricate one or more logic gates on a single device. Now known retrospectively as small-scale integration (SSI), improvements in technique led to devices with hundreds of logic gates, known as medium-scale integration (MSI). Further improvements led to large-scale integration (LSI), i.e. systems with at least a thousand logic gates. Current technology has moved far past this mark and today's microprocessors have many millions of gates and billions of individual transistors. At one time, there was an effort to name and calibrate various levels of large-scale integration above VLSI. Terms like ultra-large-scale integration (ULSI) were used. But the huge number of gates and transistors available on common devices has rendered such fine distinctions moot. Terms suggesting greater than VLSI levels of integration are no longer in widespread use. In 2008, billion-transistor processors became commercially available. This became more commonplace as semiconductor fabrication advanced from the then-current generation of 65 nm processes. Current designs, unlike the earliest devices, use extensive design automation and automated logic synthesis to lay out the transistors, enabling higher levels of complexity in the resulting logic functionality. Certain high-performance logic blocks like the SRAM (static random-access memory) cell, are still designed by hand to ensure the highest efficiency. Structured design Structured VLSI design is a modular methodology originated by Carver Mead and Lynn Conway for saving microchip area by minimizing the interconnect fabrics area. This is obtained by repetitive arrangement of rectangular macro blocks which can be interconnected using wiring by abutment. An example is partitioning the layout of an adder into a row of equal bit slices cells. In complex designs this structuring may be achieved by hierarchical nesting. Structured VLSI design had been popular in the early 1980s, but lost its popularity later because of the advent of placement and routing tools wasting a lot of area by routing, which is tolerated because of the progress of Moore's Law. When introducing the hardware description language KARL in the mid' 1970s, Reiner Hartenstein coined the term "structured VLSI design" (originally as "structured LSI design"), echoing Edsger Dijkstra's structured programming approach by procedure nesting to avoid chaotic spaghetti-structured programs. Difficulties As microprocessors become more complex due to technology scaling, microprocessor designers have encountered several challenges which force them to think beyond the design plane, and look ahead to post-silicon: Process variation – As photolithography techniques get closer to the fundamental laws of optics, achieving high accuracy in doping |
partnership called (iVO) in India with , an existing volunteering program of MITRA, an Indian NGO. VSO's structure evolved to become an international federation which now includes Ireland, China and India as well as the above named countries. International volunteers are recruited through all of these bases, and they can be placed in any one of VSO's programmes (e.g. an Irish volunteer working in Nepal, or a Ugandan volunteer working in Tajikistan). From 2011, VSO led a consortium to deliver the UK government's International Citizen Service programme that provides international volunteer placements for 18- to 25-year-olds. The programme, funded by the Department for International Development (DFID), now includes Raleigh International and Restless Development. In 2016/17, 3,090 young people volunteered through the International Citizen Service programme. In 2017, VSO was awarded a grant of £50 million from the UK's Department of International Development (DFID) for a program called "Volunteering for Development." The three-year initiative aims to improve quality and access to health and education services as well as livelihood opportunities for the most poor and vulnerable, and targets more than 2 million of the poorest and most marginalised people across the globe. The grant supports VSO's vision to enhance effectiveness across a number of vital areas - including in VSO's "core approaches" of social inclusion & gender, social accountability, and resilience. During its first year the project successfully placed 606 international volunteers and 920 national volunteers across VSO's four areas of focus. VSO today Highlights of VSO today include: VSO supports the delivery of integrated, large-scale education, health and livelihoods programmes in a range of countries. Its programmes reached 1.4m people in 2017/18 VSO now works in post-crisis situations and has recently responded to disasters in Bangladesh, Nepal, the Philippines and Sierra Leone. Most recently it has supported the establishment of a home-based early childhood care and education (ECCE) in emergencies to support refugee Rohingya communities in Bangladesh It supports communities and governments to inform and influence policy dialogues. | Inclusion and Gender Social Accountability Resilience In addition, VSO has a youth focus in which young people are both the beneficiaries of social change outcomes as well as the primary actors in creating the change. Structure and governance Voluntary Service Overseas (VSO) is a company limited by guarantee. VSO operates internationally largely through branch offices. Exceptions to this are: Voluntary Service Overseas (Ireland) Limited Company Limited by Guarantee, which is a subsidiary of VSO and incorporated as a charitable entity in Ireland. VSO India, which has agreements in place with the independent Indian charitable organisation, VSO India Trust. These agreements permit the Trust to carry out VSO's work using the VSO trademark. Stichting VSO Netherland, which is a Dutch independent charitable organisation that has agreements with VSO, including a trademark license, and whose accounts were integrated with VSO's as of April 2018. In March 2018, Voluntary Service Overseas USA, Inc. was incorporated, and an application has been made to register this entity as a US 501 (c) organisation(iii). VSO's governing body is the International Board, currently comprising 9 trustees. It also has two youth advisors to the Board. The day-to-day management of VSO is carried out by the executive board. The executive board has operational oversight of VSO's global work. Each Executive Board member is responsible for a function of VSO: People, Programmes, Business Development, and Finance. History VSO was founded in 1958 by Alec and Mora Dickson through a bishop's letter to the London paper, The Sunday Times, as an educational experience overseas for school-leavers, initially only male, before starting university. Volunteers offered unskilled help in return for basic accommodation and pocket money. In 1962, the practice changed to using university graduate volunteers. By 1980, the unskilled volunteers had been completely phased out and the length of service had been extended to two years. Active volunteer numbers initially dropped to about 750, but by 2003 had returned to about 1,400. Since December 2004, applications to volunteer have been accepted from those between ages 20 and 75, who also must have at least two years' experience in their field. In the early 1990s, in order to meet growing demand for highly specialised and skilled volunteers from its partners in developing countries, VSO established partner agencies in Canada, the Netherlands, Kenya/Uganda (VSO Jitolee), and the Philippines (VSO Bahaginan). In 2004, VSO launched a partnership called (iVO) in India with , an existing volunteering program of MITRA, an Indian NGO. VSO's structure evolved to become an international federation which now includes Ireland, China and India as well as the above named countries. International volunteers are recruited through all of these bases, and they can be placed in any one of VSO's programmes (e.g. an Irish volunteer working in Nepal, |
capillaries and are smaller. Treatment may involve lifestyle changes or medical procedures with the goal of improving symptoms and appearance. Lifestyle changes may include wearing compression stockings, exercising, elevating the legs, and weight loss. Possible medical procedures include sclerotherapy, laser surgery, and vein stripping. Reoccurrence is not uncommon following treatment. Varicose veins are very common, affecting about 30% of people at some time in their lives. They become more common with age. Women develop varicose veins about twice as often as men. Varicose veins have been described throughout history and have been treated with surgery since at least A.D. 400. Signs and symptoms Aching, heavy legs Appearance of spider veins (telangiectasia) in the affected leg Ankle swelling A brownish-yellow shiny skin discoloration near the affected veins Redness, dryness, and itchiness of areas of skin, termed stasis dermatitis or venous eczema Muscle cramps when making sudden movements, such as standing Abnormal bleeding or healing time for injuries in the affected area Lipodermatosclerosis or shrinking skin near the ankles Restless legs syndrome appears to be a common overlapping clinical syndrome in people with varicose veins and other chronic venous insufficiency Atrophie blanche, or white, scar-like formations Burning or throbbing sensation in the legs Complications Most varicose veins are reasonably benign, but severe varicosities can lead to major complications, due to the poor circulation through the affected limb. Pain, tenderness, heaviness, inability to walk or stand for long hours Skin conditions / dermatitis which could predispose skin loss Skin ulcers especially near the ankle, usually referred to as venous ulcers Development of carcinoma or sarcoma in longstanding venous ulcers. Over 100 reported cases of malignant transformation have been reported at a rate reported as 0.4% to 1% Severe bleeding from minor trauma, of particular concern in the elderly Blood clotting within affected veins, termed superficial thrombophlebitis. These are frequently isolated to the superficial veins, but can extend into deep veins, becoming a more serious problem. Acute fat necrosis can occur, especially at the ankle of overweight people with varicose veins. Females have a higher tendency of being affected than males Causes Varicose veins are more common in women than in men and are linked with heredity. Other related factors are pregnancy, obesity, menopause, aging, prolonged standing, leg injury and abdominal straining. Varicose veins are unlikely to be caused by crossing the legs or ankles. Less commonly, but not exceptionally, varicose veins can be due to other causes, such as post-phlebitic obstruction or incontinence, venous and arteriovenous malformations. Venous reflux is a significant cause. Research has also shown the importance of pelvic vein reflux (PVR) in the development of varicose veins. Varicose veins in the legs could be due to ovarian vein reflux. Both ovarian and internal iliac vein reflux causes leg varicose veins. This condition affects 14% of women with varicose veins or 20% of women who have had vaginal delivery and have leg varicose veins. In addition, evidence suggests that failing to look for and treat pelvic vein reflux can be a cause of recurrent varicose veins. There is increasing evidence for the role of incompetent perforator veins (or "perforators") in the formation of varicose veins. and recurrent varicose veins. Varicose veins could also be caused by hyperhomocysteinemia in the body, which can degrade and inhibit the formation of the three main structural components of the artery: collagen, elastin and the proteoglycans. Homocysteine permanently degrades cysteine disulfide bridges and lysine amino acid residues in proteins, gradually affecting function and structure. Simply put, homocysteine is a 'corrosive' of long-living proteins, i.e. collagen or elastin, or lifelong proteins, i.e. fibrillin. These long-term effects are difficult to establish in clinical trials focusing on groups with existing artery decline. Klippel–Trenaunay syndrome and Parkes Weber syndrome are relevant for differential diagnosis. Another cause is chronic alcohol consumption due to the vasodilatation side effect in relation to gravity and blood viscosity. Diagnosis Clinical test Clinical tests that may be used include: Trendelenburg test–to determine the site of venous reflux and the nature of the saphenofemoral junction Investigations Traditionally, varicose veins were investigated using imaging techniques only if there was a suspicion of deep venous insufficiency, if they were recurrent, or if they involved the saphenopopliteal junction. This practice is now less widely accepted. People with varicose veins should now be | atrophie blanche C4c- Corona phlebectatica C5 – healed venous ulcer C6 – active venous ulcer C6r- recurrent active ulcer Each clinical class is further characterized by a subscript depending upon whether the patient is symptomatic (S) or asymptomatic (A), e.g. C2S. Treatment Treatment can be either active or conservative. Active Treatment options include surgery, laser and radiofrequency ablation, and ultrasound-guided foam sclerotherapy. Newer treatments include cyanoacrylate glue, mechanochemical ablation, and endovenous steam ablation. No real difference could be found between the treatments, except that radiofrequency ablation could have a better long-term benefit. Conservative The National Institute for Health and Clinical Excellence (NICE) produced clinical guidelines in July 2013 recommending that all people with symptomatic varicose veins (C2S) and worse should be referred to a vascular service for treatment. Conservative treatments such as support stockings should not be used unless treatment was not possible. The symptoms of varicose veins can be controlled to an extent with the following: Elevating the legs often provides temporary symptomatic relief. Advice about regular exercise sounds sensible but is not supported by any evidence. The wearing of graduated compression stockings with variable pressure gradients (Class II or III) has been shown to correct the swelling, nutritional exchange, and improve the microcirculation in legs affected by varicose veins. They also often provide relief from the discomfort associated with this disease. Caution should be exercised in their use in patients with concurrent peripheral arterial disease. The wearing of intermittent pneumatic compression devices have been shown to reduce swelling and pain. Diosmin/hesperidin and other flavonoids. Anti-inflammatory medication such as ibuprofen or aspirin can be used as part of treatment for superficial thrombophlebitis along with graduated compression hosiery – but there is a risk of intestinal bleeding. In extensive superficial thrombophlebitis, consideration should be given to anti-coagulation, thrombectomy, or sclerotherapy of the involved vein. Topical gel application helps in managing symptoms related to varicose veins such as inflammation, pain, swelling, itching, and dryness. Procedures Stripping Stripping consists of removal of all or part the saphenous vein (great/long or lesser/short) main trunk. The complications include deep vein thrombosis (5.3%), pulmonary embolism (0.06%), and wound complications including infection (2.2%). There is evidence for the great saphenous vein regrowing after stripping. For traditional surgery, reported recurrence rates, which have been tracked for 10 years, range from 5% to 60%. In addition, since stripping removes the saphenous main trunks, they are no longer available for use as venous bypass grafts in the future (coronary or leg artery vital disease). Other Other surgical treatments are: CHIVA method (ambulatory conservative haemodynamic correction of venous insufficiency) is a relatively low-invasive surgical technique that incorporates venous hemodynamics and preserves the superficial venous system. The overall effectiveness compared to stripping, radiofrequency ablation treatment, or endovenous laser therapy is not clear and there is no strong evidence to suggest that CHIVA is superior to stripping, radiofrequency ablation, or endovenous laser therapy for recurrence of varicose veins. There is some low-certainity evidence that CHIVA may result in more bruising compared to radiofrequency ablation treatment. Ambulatory phlebectomy. Vein ligation is done at the saphenofemoral junction after ligating the tributaries at the sephanofemoral junction without stripping the long saphenous vein provided the perforator veins are competent and absent DVT in the deep veins. With this method, the long saphenous vein is preserved. Cryosurgery- A cryoprobe is passed down the long saphenous vein following saphenofemoral ligation. Then the probe is cooled with NO2 or CO2 to −85o F. The vein freezes to the probe and can be retrogradely stripped after 5 seconds of freezing. It is a variant of Stripping. The only point of this technique is to avoid a distal incision to remove the stripper. Sclerotherapy A commonly performed non-surgical treatment for varicose and "spider leg veins" is sclerotherapy, in which medicine (sclerosant) is injected into the veins to make them shrink. The medicines that are commonly used as sclerosants are polidocanol (POL branded Asclera in the United States, Aethoxysklerol in Australia), sodium tetradecyl sulphate (STS), Sclerodex (Canada), Hypertonic Saline, Glycerin and Chromated Glycerin. STS (branded Fibrovein in Australia) liquids can be mixed at varying concentrations of sclerosant and varying sclerosant/gas proportions, with air or CO2 or O2 to create foams. Foams may allow more veins to be treated per session with comparable efficacy. Their use in contrast to liquid sclerosant is still somewhat controversial. Sclerotherapy has been used in the treatment of varicose veins for over 150 years. Sclerotherapy is often used for telangiectasias (spider veins) and varicose veins that persist or recur after vein stripping. Sclerotherapy can also be performed using foamed sclerosants under ultrasound guidance to treat larger varicose veins, including the great saphenous and small saphenous veins. A 1996 study reported a 76% success rate at 24 months in treating saphenofemoral junction and great saphenous vein incompetence with STS 3% solution. A Cochrane Collaboration review concluded sclerotherapy was better than surgery in the short term (1 year) for its treatment success, complication rate and cost, but surgery was better after 5 years, although the research is weak. A Health Technology Assessment found that sclerotherapy provided less benefit than surgery, but is likely to provide a small benefit in varicose veins without reflux. This Health Technology Assessment monograph included reviews of epidemiology, assessment, and treatment, as well as a study on clinical and cost effectiveness of surgery and sclerotherapy. Complications of sclerotherapy are rare but can include blood clots and ulceration. Anaphylactic reactions are "extraordinarily rare but can be life-threatening," and doctors should have resuscitation equipment ready. There has been one reported case of stroke after ultrasound-guided sclerotherapy when an unusually large dose of sclerosant foam was injected. Endovenous thermal ablation There are three kinds of endovenous thermal ablation treatment possible: laser, radiofrequency, and steam. The Australian Medical Services Advisory Committee (MSAC) in 2008 determined that endovenous laser treatment/ablation (ELA) for varicose veins "appears to be more effective in the short term, and at least as effective overall, as the comparative procedure of junction ligation and vein stripping for the treatment of varicose veins." It also found in its assessment of available literature, that "occurrence rates of more severe complications such as DVT, nerve injury, and paraesthesia, post-operative infections, and haematomas, appears to be greater after ligation and stripping than after EVLT". Complications for ELA include minor skin burns (0.4%) and temporary paresthesia (2.1%). The longest study of endovenous laser ablation is 39 months. Two prospective randomized trials found speedier recovery and fewer complications after radiofrequency ablation (ERA) compared to open surgery. Myers wrote that open surgery for small saphenous vein reflux is obsolete. Myers said these veins should be treated with endovenous techniques, citing high recurrence rates after surgical management, and risk of nerve damage up to 15%. By comparison ERA has been shown to control 80% of cases of small saphenous vein reflux at 4 years, said Myers. Complications for ERA include burns, paraesthesia, clinical phlebitis and slightly higher rates of deep vein thrombosis (0.57%) and pulmonary embolism (0.17%). One 3-year study compared ERA, with a recurrence rate of 33%, to open surgery, which had a recurrence rate of 23%. Steam treatment consists in injection of pulses of steam into the sick vein. This treatment which works with a natural agent (water) has similar results than laser or radiofrequency. The steam presents a lot of post-operative advantages for the patient (good aesthetic results, less pain, etc.) ELA and ERA require specialized training for doctors and special equipment. ELA is performed as an outpatient procedure |
and instructed him to limit his comments about the United States and suggested that Castro leave Mexico after he delivered his speech and ate his meal. Castro later called this a "despicable betrayal." In May 2005, a controversy arose over comments Fox made during a meeting with Texas business people in which he said, "There is no doubt that Mexicans, filled with dignity, willingness and ability to work, are doing jobs that not even blacks want to do there in the United States." This angered African-Americans in the United States, prompting many black leaders to demand an apology from Fox. Reverend Al Sharpton requested a formal apology from Fox to the African-American community and called for an economic boycott of Mexican products until an apology was received. Sharpton, along with many African-Americans felt that Fox's comments were insensitive and racist. Reverend Jesse Jackson, during a news conference concerning Fox's statement about African-Americans, said that he felt that the comments were, "unwitting, unnecessary and inappropriate," and added that "[Fox's] statement had the impact of being inciting and divisive." Fox was also known to have mispronounced the name of Argentine writer Jorge Luis Borges as "José Luis Borgues" in the Royal Congress of the Spanish Language. This error sparked accusations of an "uncultured" President. On 30 May 2005, President Fox told reporters that the majority of the female homicides in Ciudad Juárez had been resolved and the perpetrators placed behind bars. He went on to criticize the media for "rehashing" the same 300 or 400 murders, and said matters needed to be seen in their "proper dimension." In 2006, after Bolivian President Evo Morales refused to sell natural gas, Fox said, "Well, they'll either have to consume it all themselves or they're going to have to eat it." On 8 March 2006, in the wake of the murder of Canadians Domenico and Nancy Ianiero at a resort in Cancún, Fox said there was evidence that pointed to Canadian suspects from Thunder Bay, in an apparent attempt to portray Cancún as a safe vacation resort. Fox's comments were criticized by the Ianieros' lawyer Edward Greenspan for compromising the investigation, which the Canadian press characterized as mishandled by Mexican authorities. Thereafter, attorney general Bello Melchor Rodríguez later stated that Canadians were never considered as suspects. In November 2006, the TV network Telemundo released a video of a previously recorded interview with President Fox in which he stated: "Ya hoy hablo libre, ya digo cualquier tontería, ya no importa, ya total, yo ya me voy" which means "Now, I speak freely. Now, I say whatever nonsense. It doesn't matter anymore. Anyway, I'm already leaving." Then, during the interview he talked about the violent situation in Oaxaca. The President's office complained about the release of this footage and said he was not aware of the camera and microphones being turned on. News agency EFE accused Telemundo of acting unethically, because the video was EFE's intellectual property. In 2006, Fox decided to cancel the parade commemorating the 96th anniversary of the Mexican Revolution which was scheduled to take place on 20 November, arguing it was an obsolete celebration that nobody wanted to participate in any more. Some commentators considered that this was a response to Andrés Manuel López Obrador's assumption of an alternative presidency to take place the same day. Others considered Fox's move a smart decision, while others viewed it as a sign of political weakness. In a lecture in the United States, in which he was a keynote speaker, he identified Peruvian writer Mario Vargas Llosa as a Colombian Nobel laureate (Spanish by naturalization). At the time, however, Vargas Llosa was not a Nobel Laureate. Later, in October 2010, Fox congratulated Vargas Llosa on Twitter for winning the Nobel Prize in Literature, but he incorrectly attributed the Nobel Prize to Jorge Luis Borges. Legacy and assessment Although Fox's victory in the 2000 election and the end of seven decades of PRI rule raised great expectations of change among the Mexican people, his administration was criticized for failing to fulfill those expectations, as little progress was made in fighting corruption, crime, poverty, unemployment and inequality. Few key reforms were implemented during the Fox administration, which became characterised by a growing sense of power vacuum as Fox was increasingly perceived by Mexican society and political actors as a "lame duck" incapable of pushing the ambitious reform agenda that swept him into power in 2000. Alejandro Cacho points out that "Fox incarnated the hope of alternancy [...] and he managed to kick the PRI out of Los Pinos, but his government was a disappointment. Corruption persisted; in fact, his sons-in-law (the Bribiesca-Sahagún brothers) became rich quickly and without explanation. The economy wasn't much better than it had been under Ernesto Zedillo, the wages didn't increase significantly, neither did jobs. His "super cabinet" ["gabinetazo", as Fox himself referred to it] created more controversy than it did good results. His wife, Marta Sahagún, had a big influence in the presidential decisions". Having assumed office with an approval rating of 80%, by the time he left office in 2006 his public image had become exhausted by the controversial presidential elections of that year and the few reforms implemented. In terms of the significance of Fox's presidency, historian Philip Russell asserts that, "Marketed on television, Fox made a far better candidate than he did president. He failed to take charge and provide cabinet leadership, failed to set priorities, and turned a blind eye to alliance building." Fox himself asserted in 2001 (one year into his administration) that he much preferred his experience as candidate than actually being president. Russell also pointed to 2006 comments by political scientist Soledad Loaeza, who noted, "The eager candidate became a reluctant president who avoided tough choices and appeared hesitant and unable to hide the weariness caused by the responsibilities and constraints of the office." Russell also asserted that Fox "had little success in fighting crime. Even though he maintained the macroeconomic stability inherited from his predecessor, economic growth barely exceeded the rate of population increase. Similarly, the lack of fiscal reform left tax collection at a rate similar to that of Haiti . . . ." Finally, Russell noted that "during Fox's administration, only 1.4 million formal-sector jobs were created, leading to massive immigration to the United States and an explosive increase in informal employment." Ultimately, however, Russell concluded that Fox will be viewed by history as a transitional figure who was able to defeat one of Mexico's long-entrenched political parties. In a national survey conducted in 2012 by BGC-Excelsior regarding former presidents, 32% of the respondents considered that the Fox administration was "very good" or "good", 25% responded that it was an "average" administration, and 42% responded that it was a "very bad" or "bad" administration. Post-presidential life Public speaking and advocacy After leaving office in December 2006, Fox has maintained himself in the public eye by speaking in countries such as Nigeria, Ireland, Canada, and the United States about topics such as the controversial 2006 election and the Iraq War. In Mexico, Fox has been criticized by some for his busy post-presidency since former Mexican presidents are traditionally expected to stay out of the political spotlight. In response, Fox has stated, "There is no reason to hold to the anti-democratic rules of those who still live in the authoritarian past . . . now that Mexico is a democracy, every citizen has the right to express himself, even a former president." Vicente Fox joined four other Latin American presidents at the One Young World Summit 2014 in Dublin, Ireland, to discuss the Telefónica Millennial Survey. He told those in the audience that eradicating corruption "has to start with education" and that his focus is now on promoting leadership. Vicente Fox is a member of the Global Leadership Foundation, a not-for-profit organization that offers, discreetly and confidentially, a range of experienced advisors to political leaders facing difficult situations. In 2013, Fox discussed why the West has pursued a moral crusade against drugs at HowTheLightGetsIn festival in Hay-on-Wye. with Chris Bryant and John Ralston Saul. The three debated whether it is hypocritical to ban certain drugs while continuing to export others such as alcohol and tobacco, and whether to follow the lead of Washington and Colorado states in the U.S. and allow the free trading of drugs. Vicente Fox gave a video interview in July 2013 to High Times, in which he discussed the failure of drug prohibition, and cited Portugal's decriminalization policies as "working splendid(ly)." He said he supports drug legalization despite not being a user himself, just as he said he also "fully respects" same-sex marriage although he does not personally agree with it. In February 2014, Fox wrote an opinion piece that was published in Toronto's The Globe and Mail in which he stated that, "Legalization of not just marijuana, but all drugs, is the right thing to do." He also said that "we must be given the very freedom to decide our own behaviour and to act responsibly, as long as we do not detrimentally affect the rights of others". In 2016, Fox co-signed a letter to Ban Ki-moon calling for a more humane drug policy. In July 2017, Fox was an international observer to the unofficial Venezuelan referendum held by the opposition. During the trip, Fox gave a speech that compared the referendum to the 2000 Mexican elections. He said that "this battle has been won" and "step by step, vote by vote, the dictator will leave." He was subsequently declared a persona non grata by the Venezuelan government. Venezuelan Foreign Minister Samuel Moncada said that Fox had taken advantage of the country's hospitality and "was paid to come to Venezuela to promote violence and the intervention of foreign powers." Moncado said the ban came from Maduro and criticized Fox and the other former Latin American leaders invited as observers (Andrés Pastrana, Jorge Quiroga, Laura Chinchilla and Miguel Ángel Rodríguez) as "political sicarios," "clowns" and "mercenaries" that "sell themselves to the highest bidder to go to various destinations and repeat what they are told." Fox said he was not surprised by the ban and that the vote would weaken Maduro. In 2018, Fox joined the High Times board of directors. He left the board in 2020 over concerns surrounding the company's stock offering. Criticism of Donald Trump Fox has been an outspoken critic of U.S. President Donald Trump, beginning with Trump's bid for the Republican candidacy in the 2016 presidential election. In an interview with Univision's Jorge Ramos in February 2016, Fox responded to then-candidate Trump's proposal to build a wall at the border between the United States and Mexico at Mexico's expense, declaring in English, "I am not going to pay for that fucking wall. He should pay for it. He's got the money." Fox went on to call Trump a "crazy guy" and a "false prophet," and questioned the claim that Trump received 44% of the Hispanic vote in the Republican caucus in Nevada. Trump took to Twitter in response, demanding that Fox apologize for using "the F word while discussing the wall." Fox eventually apologized for the remark, while also asking for Trump to apologize for his remarks about Mexicans and inviting Trump to visit Mexico. Despite his apology, Fox continued to criticize Trump to the international media and troll Trump on Twitter, stating, "I'm committed to be Donald Trump's shadow until he is done with politics." Fox would later go on to congratulate President-elect Joe Biden and his victory in the 2020 United States presidential election, defeating Trump. When Trump visited Mexico on 31 August 2016 upon President Enrique Peña Nieto's invitation, Fox slammed the visit, calling it a "desperate move" on the part of Peña Nieto and stating, "He is not welcome in Mexico. We don't like him. We don't want him. We reject his visit." Trump responded by pointing out Fox's previous invitation, to which Fox clarified that he invited Trump to Mexico on the condition that he used the visit to apologize to the Mexican people. He directly addressed the American people the next day on CNN, where he described Trump as a "false prophet" who is "absolutely crazy" and warned that they need to "wake up" and realize the harm that Trump's immigration and economic policies would inflict on the United States. Later in September 2016, The Washington Post reported that Fox had received multiple emails from Trump's campaign soliciting donations throughout the month. Fox received the first email on 9 September, which he posted on Twitter and responded, "Donald Trump, I won't pay for that fucking wall! Also, campaigning in Mexico? Running out of money and friends?" Fox received two additional emails on 24 and 27 September, both of which he also posted on Twitter and mocked as being "desperate" and "begging." The revelation of the emails has raised concern, as accepting campaign donations from foreign nationals is illegal in the United States. During a September 2016 appearance on the radio show El Show de Piolín, Fox smashed a Trump piñata hanging on the streets of Los Angeles while loudly singing the traditional Piñata song. Upon breaking it open, Fox noted its lack of contents and remarked, "Empty. Totally Empty. He doesn't have any brains." Discussing the event during a subsequent interview with GQ, Fox expanded, "I had such a joy in my heart by doing that, because in Mexico, piñatas are very meaningful. Piñatas are a celebration. Piñatas let you send messages. And the message is: Trump is empty inside. He's empty in his head. That's why I put my hand into his head. There was no brain there. That's what he is, an empty person." The day after Trump won the election, Fox wrote an editorial on the International Business Times website where he lamented Trump's victory and explored what Mexico could do in response. "Even though Trump is not the prettiest person in the room, we still have to dance with him. Now, we ought to look out for ourselves and find a way to work with the most powerful economy in the world, which is now led by an authoritarian racist[...]Donald Trump's promises have an expiration date. When the time comes to truly deliver to the American people, his "billion dollar show" will finally crumble beneath his feet," Fox wrote, concluding his editorial with, "I find quite sad that America, formerly the most open and cutting edge nation, has chosen to lock itself down inside concrete walls. It's tragic that fear, anger and wrath took over and pierced the hearts of their people. It will be hard to recover from this wound; but we better start working to heal as quickly as possible – and bring down the walls that blinded us in the beginning." Fox has continued criticizing Trump on Twitter after the election. In a series of tweets in January 2017, Fox again criticized Trump's proposed Mexican border wall, calling it a "racist monument" and insisted that Mexico will never fund it, calling on Trump to "be honest with US taxpayers" about that fact. Following the release of a U.S. government intelligence report that accused Russia of interfering in the 2016 election to ensure Trump's victory, Fox tweeted, "Sr Trump, the intelligence report is devastating. Losing election by more than 3M votes and in addition this. Are you a legitimate president?" Fox further criticized Trump's response to the intelligence report, calling him a "bully" and a "bluff" and stating that Trump is "bringing in a new era of dictatorship." Though on 12 January, Fox broke with his criticism of Trump and simply tweeted, "America Will Survive." In an interview with Anderson Cooper on 25 January 2017, and during an appearance on Conan O'Brien's late night talk show on 1 March 2017, Fox again asserted that Mexico should not have to pay for the wall. In September 2017, Fox was once again in the news after President Trump announced he would end the Deferred Action for Childhood Arrivals (DACA) program in six months if the U.S. congress failed to pass legislation to address the issue. In response, Fox tweeted to President Trump's Twitter account, "Ending DACA is on the top of the vilest acts you’ve pulled off. You’re destroying the legacy of greater men before you." In another tweet, Fox suggested that President Trump's DACA decision was a result of him compensating for earlier failures to pass healthcare legislation to replace the Affordable Care Act. Fox then went on to post a video in which he claimed that President Trump had "failed America" and stated that "[t]his measure is cruel and heartless, worse than any machine. You’re cancelling the future of 800,000 children and young people." As Fox frequently uses Twitter (in English) to respond to tweets by President Trump, he has attracted more than 1 million followers on his Twitter account. Since May 2017, Fox has appeared in a series of humorous videos seriously denouncing Donald Trump, including "Vicente Fox is Running for President of the United States" (fake announcement for the candidacy) which was released in September. Autobiography Fox's autobiography, entitled Revolution of Hope: The Life, Faith and Dreams of a Mexican President, was released in September 2007. To promote its release, Fox toured many U.S. cities to do book-signings and interviews with U.S. media. During his tour, however, he faced protests from Mexican immigrants who accused him of actions that forced them to emigrate and find jobs in the United States. He faced the subject several times during interviews, such as one held with Fox News's Bill O'Reilly, who questioned him about the massive illegal immigration problem of Mexicans into the United States. Finally, during an interview with Telemundo's Rubén Luengas, the interviewer asked Fox about allegations concerning some properties of Vicente Fox's wife, Marta Sahagún. After Fox explained the situation, he asked the interviewer not to make false accusations and to prove what he was saying. Luengas said, "I'm telling you in your face, I'm not a liar." After this, Fox walked out of the studio, calling the interviewer a "liar," "vulgar," and "stupid." Upon the book's release, some readers viewed several excerpts as being highly critical of U.S. President George W. Bush, considered by many to be a close friend. For example, Fox wrote that Bush was "the cockiest guy I have ever met in my life," and claimed that he was surprised that Bush had ever made it to the White House. Later, in an interview with Larry King, Fox explained that this was a misunderstanding and that what he meant by calling George W. Bush "cocky" was to say he was "confident." Fox also referred to Bush in his autobiography as a "windshield cowboy," due to Bush's apparent fear of a horse Fox offered him to ride. Fox Center of Studies, Library and Museum See: Vicente Fox Center of Studies, Library and Museum On 12 January 2007, over a month after he left office, Fox announced the construction of a center of studies, library and museum that was labeled by the U.S. press as Mexico's first presidential library. The project will be a library, museum, a center for the advancement of democracy, a study center and a hotel, and it will be completely privately funded. It is expected to be a genuine U.S.-style presidential library. It will be built in Fox's home state of Guanajuato, in his home town of San Francisco del Rincón. While museums are abundant throughout the country, there is nothing comparable to a presidential library where personal documents, records, and gifts amassed by the country's leader are open to the public. Fox's library will be modeled after the Bill Clinton Library in Little Rock, Arkansas, which, according to the former president, will allow Mexicans to enjoy, for the first time in Mexico's history, a library in which to review the documents, images and records that made up his six years as president. According to the official website, the construction of the center is in progress and advancing. Final completion | immigrant from San Sebastián, Gipuzkoa, in Spain. Previously, there was a presumption that Fox was of Irish descent, but it was discovered that Vicente's grandfather was born Joseph Louis Fuchs in Cincinnati, Ohio, and was the son of German Catholic immigrants, Louis Fuchs and Catherina Elisabetha Flach, of Strasbourg, now in France. In the 1870s, the "Fuchs" surname was changed from German to its English equivalent, "Fox". The family was unaware of its German origins and they believed the Fox family had their origins in Ireland. Fox spent his childhood and adolescence at the family ranch in San Francisco del Rincón in Guanajuato. Fox has polydactyly, having six toes on each foot. He spent a year at Campion High School in Prairie du Chien, Wisconsin where he learned English. Upon reaching college age, Fox moved to Mexico City to attend the Universidad Iberoamericana and received a bachelor's degree in business administration in 1964. Then in 1974, Fox received a certificate in management skills from Harvard Business School. Business career In 1964, Fox was hired by the Coca-Cola Company as a route supervisor and drove a delivery truck. After nine years, he had risen to the top, serving as the President and Chief Executive of Coca-Cola Mexico; after six years in this role, he was invited to lead all of Coca-Cola's operations in Latin America, but Fox declined and later resigned from Coca-Cola in 1979. It was during the Fox's leadership of Coca-Cola Mexico that Coke became Mexico's top-selling soft drink, increasing Coca-Cola's sales by almost 50%. After retiring from Coca-Cola, Fox began to participate in various public activities in Guanajuato, where he created the "Patronato de la Casa Cuna Amigo Daniel", an orphanage. He was also the president of the Patronato Loyola, a sponsor of the León campus of the Universidad Iberoamericana and of the Lux Institute. Family life In 1969, Fox married Lilian de la Concha, a receptionist at Coca-Cola. They had four children, Ana Cristina, Vicente, Paulina and Rodrigo. In 1990, after 20 years of marriage, Lilian filed for and was granted a divorce. Fox remarried on 2 July 2001, while serving as President of Mexico, to Marta María Sahagún Jiménez (until then his spokesperson). The wedding date was the first anniversary of his presidential election and his 59th birthday. For both Fox and Sahagún Jiménez, it was their second marriage. Early political career With the support of Manuel Clouthier, Vicente Fox joined the Partido Acción Nacional on 1 March 1988. That same year, he was elected to the federal Chamber of Deputies, representing the Third Federal District in León, Guanajuato. Governor of Guanajuato In 1991, after serving in the Chamber of Deputies, Fox sought the governorship in Guanajuato, but lost the election to Ramón Aguirre Velázquez of the PRI. Following the election, local discontent was so great that the state congress appointed Carlos Medina Plascencia of the PAN as interim governor. Four years later, Fox ran again, this time winning by a vote of 2 to 1. As governor, Fox promoted government efficiency and transparency. He was one of the first state governors of Mexico to give a clear, public and timely account of the finances of his state. Fox also pushed for the consolidation of small firms, promoted the overseas sales of goods manufactured in Guanajuato, and created an extensive system of small loans to allow the poor to open a changarro (a small shop) and buy a car and a television. Under Fox, Guanajuato became the fifth most important Mexican state economy. Campaign for President On 7 July 1997, after the opposition parties first won a majority in the Chamber of Deputies, Vicente Fox decided to run for President of Mexico. In spite of opposition within his political party, Fox secured his candidacy representing the Alliance for Change, a political coalition formed by the National Action Party and the Green Ecological Party of Mexico on 14 November 1999. During the course of his campaign, a presidential debate was organized, but the three main contenders (Fox, Francisco Labastida of the PRI, and Cuauhtémoc Cárdenas of the PRD) disagreed on the details. One notable disagreement, which was broadcast on national television, was whether the presidential debate should be held that same day or on the following Friday. During the nationally televised presidential debate, Fox's main opponent, Francisco Labastida, claimed that Fox had repeatedly called him a "sissy" and a "cross-dresser" ("La vestida", a pun on his last name). Fox's campaign slogans were "¡Ya!" ("Right now!"), "Ya ganamos" ("We've already won"), and "Vota Alianza por el Cambio" ("Vote for Alliance for Change"). In addition to some debate controversies, Fox also faced some controversy due to Amigos de Fox (Friends of Fox), a non-profit fundraising group established by Denise Montaño. The group was instrumental in getting Vicente Fox elected President of Mexico, and the phrase "Amigos de Fox" was also used as a campaign slogan referring to the millions of people supporting Fox in the 2000 presidential election. In 2003, money-laundering charges were lodged against Amigos de Fox, but were dropped shortly before the July 2003 mid-term elections. Election results On 2 July 2000, his 58th birthday, Fox won the presidential election with 43% (15,989,636 votes) of the popular vote, followed by the Institutional Revolutionary Party (PRI) candidate Francisco Labastida with 36% (13,579,718 votes), and Cuauhtémoc Cárdenas of the Party of the Democratic Revolution (PRD) with 17% (6,256,780 votes). Fox declared victory that same night, a victory which was ratified by then-President Zedillo. After the final results were announced, President-elect Fox addressed thousands of supporters and celebrated his victory with them at the Angel of Independence monument in Mexico City. His opponents conceded the election later that night. After securing the election, Fox received a substantial amount of media coverage, as well as numerous congratulatory messages and phone calls from world leaders, including then-President of the United States Bill Clinton. He took office as president on 1 December 2000, marking the first time since 1917 that an opposition candidate had taken power from the long reigning Institutional Revolutionary Party (PRI) Presidency See article Fox administration Public image During his campaign for president, Vicente Fox became well known for his cowboy style and quirkiness. As a speaker, Fox usually attracted big crowds in the early years of his presidency. At , Fox easily stood out in most crowds, and is believed to be one of the tallest presidents in Mexico's history. After his inauguration, President Fox usually wore suits for formal occasions, but opted to wear his signature boots and jeans during his many visits around Mexico. Fox spread his image as one of peace and welcomed many to his own ranch in Guanajuato, Mexico. When Fox welcomed U.S. President George W. Bush to the ranch, both presidents were wearing Fox's signature black cowboy boots, prompting The Wall Street Journal to call it "The Boot Summit". Approval ratings When Fox took office on 1 December 2000, his approval rating neared 80%. During the rest of his presidency, his average approval rating was of 53%, while his average disapproval rating was of 40%. As seen in the graphic, after taking office the particularly high points of his approval ratings were: August 2002 (58% approval, 39% disapproval, 3% unsure), after Fox suspended the construction of a new airport in the State of Mexico following months of protests by local residents who had resisted their displacement. May 2003 (57% approval, 37% disapproval, 6% unsure), after Fox announced that Mexico would not support the US invasion of Iraq. Throughout 2006, his average approval rating was 58% and his average disapproval rating was 37%, as Fox was in his last year as president and the public focus was on the Presidential elections of that year. The popularity enjoyed by Fox during this period, however, didn't seem to largely benefit the Presidential candidate of his party (PAN) Felipe Calderón, who was controversially declared winner with only 35.9% of the votes, against Andrés Manuel López Obrador of the PRD who officially obtained 35.3% of the votes and claimed that the election had been fraudulent. While the lowest points of his approval ratings were: March 2002 (39% approval, 52% disapproval, 9% unsure), in the wake of the "Comes y te vas" ("Eat and then leave") scandal: during the United Nations International Conference on Financing for Development, which took place between 18 and 22 March 2002 in the city of Monterrey and was hosted by Fox, a diplomatic incident occurred when on the night of the 19th Fox received a letter from Cuban leader Fidel Castro informing him that Castro intended to attend the event on the 21st, as he had been invited by the United Nations. Hours after receiving the letter, Fox made a telephone call to Castro in which he expressed his surprise at Castro's intention to attend the conference and scolded him for not telling him earlier. During the call, Fox suggested to Castro that he and the Cuban delegation arrive on the 21st as scheduled to make their presentation, and finally attend a lunch with the other leaders, after which they would return to Cuba. Fox was apparently worried that US President George W. Bush, who was also scheduled to arrive on the 21st, would be offended by Castro's presence at the conference, which is why Fox suggested Castro to leave after the lunch. Castro was outraged at the proposal, and told Fox that in response, he would make the contents of the call which he was secretly taping public, which he indeed did. The media quickly caught onto the incident, dubbing it "Comes y te vas" ("Eat and then leave") after Fox's suggestion towards Castro to leave the conference after the aforementioned lunch. The scandal badly hurt the Fox administration, as it made him seem subservient to the United States and it also broke with the Mexican diplomatic tradition of neutrality towards Cuba. February 2004 (42% approval, 48% disapproval, 10% unsure), in the midst of scandals surrounding the First Lady Marta Sahagún, who was accused |
people, or Kinh people, a Southeast Asian ethnic group native to Vietnam Overseas Vietnamese, Vietnamese people | Vietnamese may refer to: Something of, from, or related to Vietnam, a country in Southeast Asia |
One Plants Alone, which won the 1982 Grand Prix at Cinéma du Réel (Paris), and a Silver Hugo at the Chicago Film Festival. His debut feature-length movie, Vigil (1984), follows "a solitary child who imagines, fantasises and dreams". Partly inspired by Ward's partly rural upbringing in the Wairarapa. It was produced by John Maynard and shot in Taranaki after an exhaustive search for the right location, and the right person (Fiona Kay) to play the central role. Ward's first three feature-length films, Vigil, The Navigator: A Medieval Odyssey (1988) and Map of the Human Heart (1993) were the first films by a New Zealander to be officially selected ‘in competition’ at the Cannes Film Festival. Between them they garnered close to 30 national and international awards (including the Grand Prix at festivals in Italy, Spain, Germany, France and the United States). After Vigil, Ward continued working with producer John Maynard and co-wrote and directed The Navigator: A Medieval Odyssey (1988), a fantasy film which follows a group of 14th-century Cumbrian villagers who tunnel through the earth, and find themselves in modern-day Auckland. Ward describes it as “a collision, a juxtaposition of two time periods which enables you to see your own time through fresh eyes”. Rolling Stone's review hailed it as “A visionary film of rare courage and imperishable heart.” And The New York Times said it was “a thrilling fantasy that places Ward…amongst the most innovative and authoritative young film makers.” The film won the Grand Prix at four film festivals including; Sitges Film Festival, Fanta Film Festival, and Oporto Film Festival 1998/89. And took home Best Film and Best Director at both the Australian and New Zealand film industry awards in 1989. In 1990, Ward wrote the story for Alien 3, a proposed sequel to the film Aliens; he was the fourth of ten different writers to tackle the Alien 3 project. Much of the plot and several of the characters from Ward's script, were later fused with the prison setting from David Twohy's proposed script to form the basis of Alien 3 as it was ultimately made. Ward received a ‘story by’ credit on the final film. The heart of his story, known as ‘the monks in space’ version, was however not captured in the final film and has since been recognised by the London Times Online, who in 2008 gave it the top spot on their list of 'greatest sci-fi movies never made’. Ward's next film Map of the Human Heart (1993) charts the ebbs and flows of a relationship between an Inuit boy, a Métis girl and a visiting British cartographer. Ward and his co-writer Louis Nowra spent time travelling and researching the project together in Canada and Vincent went on to travel extensively in the Arctic before they began writing the script. Ward suffered minor frostbite whilst location scouting in the Arctic that was still visible throughout the shoot. The film stars Jason Scott Lee, Anne Parillaud and Patrick Bergin, and features John Cusack in a minor role. It was produced by Tim Bevan and Ward with Tim White who produced A State of Siege for Ward acting as Australian co-producer. It was screened as a work in progress at Cannes Film Festival in 1992, it was later nominated for best film at the Australian Film Institute Awards. American critic Roger Ebert praised its unpredictability and sense of adventure and said it had "two of the most astonishing romantic scenes I've ever seen in a movie". In the 1990s Ward spent several years in and out of Hollywood, where he developed multiple projects before he signed on to direct | setting from David Twohy's proposed script to form the basis of Alien 3 as it was ultimately made. Ward received a ‘story by’ credit on the final film. The heart of his story, known as ‘the monks in space’ version, was however not captured in the final film and has since been recognised by the London Times Online, who in 2008 gave it the top spot on their list of 'greatest sci-fi movies never made’. Ward's next film Map of the Human Heart (1993) charts the ebbs and flows of a relationship between an Inuit boy, a Métis girl and a visiting British cartographer. Ward and his co-writer Louis Nowra spent time travelling and researching the project together in Canada and Vincent went on to travel extensively in the Arctic before they began writing the script. Ward suffered minor frostbite whilst location scouting in the Arctic that was still visible throughout the shoot. The film stars Jason Scott Lee, Anne Parillaud and Patrick Bergin, and features John Cusack in a minor role. It was produced by Tim Bevan and Ward with Tim White who produced A State of Siege for Ward acting as Australian co-producer. It was screened as a work in progress at Cannes Film Festival in 1992, it was later nominated for best film at the Australian Film Institute Awards. American critic Roger Ebert praised its unpredictability and sense of adventure and said it had "two of the most astonishing romantic scenes I've ever seen in a movie". In the 1990s Ward spent several years in and out of Hollywood, where he developed multiple projects before he signed on to direct What Dreams May Come (1998) a screenplay adapted by Ronald Bass from Richard Matheson's 1978 novel. Ward came up with a new plot idea which allowed him to develop the films unusual painterly look. What Dreams May Come was released in the United States on 2,600 screens and starred Robin Williams, Annabella Sciorra, Cuba Gooding Jr. and Max von Sydow. It got ‘two enthusiastic thumbs up’ from Siskel and Ebert who lauded it as ‘one of the great visual achievements in film history’. Overall reviews were divided amongst critics. It reached US$90 million in theatrical sales and performed strongly in the video market, with long term reach winning a Best Renting Drama Award with Video Ezy. The film was nominated for Best Production Design and Best Visual Effects at the 1999 Academy Awards and won an Oscar for visual effects. It continues to be popular with audiences scoring 84% on Rotten Tomatoes, 7.1/10 stars on IMDb and 4.7/5 stars on Amazon where is ranks highly with viewers. The 2003 epic, The Last Samurai was based on a project Ward spent four years developing with the films producers. Eventually, after Ward approached several directors, including Francis Ford Coppola and Peter Weir, he got Edward Zwick to helm the film. Ward was an executive producer of the film. During his time in Hollywood, Ward became interested in acting and trained under acting coach Penny Allen. He had a small part in Mike Figgis’ film Leaving Las Vegas (1995), and a larger role in Figgis’ next film One Night Stand (1997). He was given one of the leading role in a US independent feature film The Shot (1996), and a role in Geoff Murphy's film Spooked (2004). In 2005, he returned to New Zealand and made River Queen. The film won respectable audiences at home, but initial reviews were disappointing, and tales of the troubled winter shoot dominated the film's release. Rain of the Children followed in 2008, wherein Ward retells the story of Puhi, the elderly Tuhoe woman who was the subject of his earlier documentary In Spring One Plants Alone. Chosen by the audience from among 250 feature films, Rain of the Children won the Grand Prix at Era New Horizons Film Festival. The film was nominated for best director and won best composer at the Qantas Film and TV Awards in New Zealand. Vincent Ward was also nominated for best director at the Australian Directors Guild Awards. Ward has had 2 full retrospectives of his films. In 1984 at Germany's Hof International Film Festival and in 2008 at Poland's Era New Horizons Film Festival. Since 2010 Ward has launched a second career as a painter and video artist whilst still actively developing new film projects. In 2012 Rhana Devenport curated, Breath, a major solo show of Ward's paintings and video work at New Zealand's cutting edge public gallery, the Govett-Brewster Art Gallery/Len Lye Centre in New Plymouth. This was followed by two other public gallery showings in Auckland and a solo pavilion at the 9th Shanghai Biennale 2012. In October 2020, filming began in Ukraine on Ward's new feature Storm School with further shooting planned in China, UK and Australia in the new year. It is based on a script cowritten by Ward and long-term collaborator Louis Nowra. Painting and photography In 2010 Craig Potton Publishing published Vincent Ward: The Past Awaits, part mid-career chronicle and part large-format film photo book. The book collects together images from all of his feature films, including Vigil, The Navigator: A Medieval Odyssey, Map of the Human Heart, What Dreams May Come, River Queen and Rain of the Children, as well as earlier films and others developed but never made. Interwoven with the images in The |
Critics of publicly editable wiki systems argue that these systems could be easily tampered with by malicious individuals ("vandals") or even by well-meaning but unskilled users who introduce errors into the content, while proponents maintain that the community of users can catch such malicious or erroneous content and correct it. Lars Aronsson, a data systems specialist, summarizes the controversy as follows: "Most people when they first learn about the wiki concept, assume that a Web site that can be edited by anybody would soon be rendered useless by destructive input. It sounds like offering free spray cans next to a grey concrete wall. The only likely outcome would be ugly graffiti and simple tagging and many artistic efforts would not be long lived. Still, it seems to work very well." High editorial standards in medicine and health sciences articles, in which users typically use peer-reviewed journals or university textbooks as sources, have led to the idea of expert-moderated wikis. Some wikis allow one to link to specific versions of articles, which has been useful to the scientific community, in that expert peer reviewers could analyse articles, improve them and provide links to the trusted version of that article. Noveck points out that "participants are accredited by members of the wiki community, who have a vested interest in preserving the quality of the work product, on the basis of their ongoing participation." On controversial topics that have been subject to disruptive editing, a wiki author may restrict editing to registered users. Security The open philosophy of wiki – allowing anyone to edit content – does not ensure that every editor's intentions are well-mannered. For example, vandalism (changing wiki content to something offensive, adding nonsense, maliciously removing encyclopedic content, or deliberately adding incorrect information, such as hoax information) can be a major problem. On larger wiki sites, such as those run by the Wikimedia Foundation, vandalism can go unnoticed for some period of time. Wikis, because of their open nature, are susceptible to intentional disruption, known as "trolling". Wikis tend to take a soft-security approach to the problem of vandalism, making damage easy to undo rather than attempting to prevent damage. Larger wikis often employ sophisticated methods, such as bots that automatically identify and revert vandalism and JavaScript enhancements that show characters that have been added in each edit. In this way, vandalism can be limited to just "minor vandalism" or "sneaky vandalism", where the characters added/eliminated are so few that bots do not identify them and users do not pay much attention to them. An example of a bot that reverts vandalism on Wikipedia is ClueBot NG. ClueBot NG can revert edits, often within minutes, if not seconds. The bot uses machine learning in lieu of heuristics. The amount of vandalism a wiki receives depends on how open the wiki is. For instance, some wikis allow unregistered users, identified by their IP addresses, to edit content, while others limit this function to just registered users. Edit wars can also occur as users repetitively revert a page to the version they favor. In some cases, editors with opposing views of which content should appear or what formatting style should be used will change and re-change each other's edits. This results in the page being "unstable" from a general user's perspective, because each time a general user comes to the page, it may look different. Some wiki software allows an administrator to stop such edit wars by locking a page from further editing until a decision has been made on what version of the page would be most appropriate. Some wikis are in a better position than others to control behavior due to governance structures existing outside the wiki. For instance, a college teacher can create incentives for students to behave themselves on a class wiki they administer by limiting editing to logged-in users and pointing out that all contributions can be traced back to the contributors. Bad behavior can then be dealt with under university policies. Potential malware vector Malware can also be a problem for wikis, as users can add links to sites hosting malicious code. For example, a German Wikipedia article about the Blaster Worm was edited to include a hyperlink to a malicious website. Users of vulnerable Microsoft Windows systems who followed the link would be infected. A countermeasure is the use of software that prevents users from saving an edit that contains a link to a site listed on a blacklist of malicious sites. Communities Applications The English Wikipedia has the largest user base among wikis on the World Wide Web and ranks in the top 10 among all Web sites in terms of traffic. Other large wikis include the WikiWikiWeb, Memory Alpha, Wikivoyage, and Susning.nu, a Swedish-language knowledge base. Medical and health-related wiki examples include Ganfyd, an online collaborative medical reference that is edited by medical professionals and invited non-medical experts. Many wiki communities are private, particularly within enterprises. They are often used as internal documentation for in-house systems and applications. Some companies use wikis to allow customers to help produce software documentation. A study of corporate wiki users found that they could be divided into "synthesizers" and "adders" of content. Synthesizers' frequency of contribution was affected more by their impact on other wiki users, while adders' contribution frequency was affected more by being able to accomplish their immediate work. From a study of thousands of wiki deployments, Jonathan Grudin concluded careful stakeholder analysis and education are crucial to successful wiki deployment. In 2005, the Gartner Group, noting the increasing popularity of wikis, estimated that they would become mainstream collaboration tools in at least 50% of companies by 2009. Wikis can be used for project management. Wikis have also been used in the academic community for sharing and dissemination of information across institutional and international boundaries. In those settings, they have been found useful for collaboration on grant writing, strategic planning, departmental documentation, and committee work. In the mid-2000s, the increasing trend among industries toward collaboration placed a heavier impetus upon educators to make students proficient in collaborative work, inspiring even greater interest in wikis being used in the classroom. Wikis have found some use within the legal profession and within the government. Examples include the Central Intelligence Agency's Intellipedia, designed to share and collect intelligence, DKospedia, which was used by the American Civil Liberties Union to assist with review of documents about the internment of detainees in Guantánamo Bay; and the wiki of the United States Court of Appeals for the Seventh Circuit, used to post court rules and allow practitioners to comment and ask questions. The United States Patent and Trademark Office operates Peer-to-Patent, a wiki to allow the public to collaborate on finding prior art relevant to the examination of pending patent applications. Queens, New York has used a wiki to allow citizens to collaborate on the design and planning of a local park. Cornell Law School founded a wiki-based legal dictionary called Wex, whose growth has been hampered by restrictions on who can edit. In academic contexts, wikis have also been used as project collaboration and research support systems. City wikis A city wiki (or local wiki) is a wiki used as a knowledge base and social network for a specific geographical locale. The term 'city wiki' or its foreign language equivalent (e.g. German 'Stadtwiki') is sometimes also used for wikis that cover not just a city, but a small town or an entire region. A city wiki contains information about specific instances of things, ideas, people and places. Much of this information might not be appropriate for encyclopedias such as Wikipedia (e.g. articles on every retail outlet in a town), but might be appropriate for a wiki with more localized content and viewers. A city wiki could also contain information about the following subjects, that may or may not be appropriate for a general knowledge wiki, such as: Details of public establishments such as public houses, bars, accommodation or social centers Owner name, opening hours and statistics for a specific shop Statistical information about a specific road in a city Flavors of ice cream served at a local ice cream parlor A biography of a local mayor and other persons WikiNodes WikiNodes are pages on wikis that describe related wikis. They are usually organized as neighbors and delegates. A neighbor wiki is simply a wiki that may discuss similar content or may otherwise be of interest. A delegate wiki is a wiki that agrees to have certain content delegated to that wiki. One way of finding a wiki on a specific subject is to follow the wiki-node network from wiki to wiki; another is to take a Wiki "bus tour", for example: . Participants The four basic types of users who participate in wikis are reader, author, wiki administrator and system administrator. The system administrator is responsible for the installation and maintenance of the wiki engine and the container web server. The wiki administrator maintains wiki content and is provided additional functions about pages (e.g. page protection and deletion), and can adjust users' access rights by, for instance, blocking them from editing. Growth factors A study of several hundred wikis showed that a relatively high number of administrators for a given | Cunningham was, in part, inspired by the Apple HyperCard, which he had used. HyperCard, however, was single-user. Apple had designed a system allowing users to create virtual "card stacks" supporting links among the various cards. Cunningham developed Vannevar Bush's ideas by allowing users to "comment on and change one another's text." Cunningham says his goals were to link together people's experiences to create a new literature to document programming patterns, and to harness people's natural desire to talk and tell stories with a technology that would feel comfortable to those not used to "authoring". Wikipedia became the most famous wiki site, launched in January 2001 and entering the top ten most popular websites in 2007. In the early 2000s (decade), wikis were increasingly adopted in enterprise as collaborative software. Common uses included project communication, intranets, and documentation, initially for technical users. Some companies use wikis as their only collaborative software and as a replacement for static intranets, and some schools and universities use wikis to enhance group learning. There may be greater use of wikis behind firewalls than on the public Internet. On March 15, 2007, the word wiki was listed in the online Oxford English Dictionary. Alternative definitions In the late 1990s and early 2000s, the word "wiki" was used to refer to both user-editable websites and the software that powers them; the latter definition is still occasionally in use. Wiki inventor Ward Cunningham wrote in 2014 that the word "wiki" should not be used to refer to a single website, but rather to a mass of user-editable pages or sites so that a single website is not "a wiki" but "an instance of wiki". He wrote that the concept of wiki federation, in which the same content can be hosted and edited in more than one location in a manner similar to distributed version control, meant that the concept of a single discrete "wiki" no longer made sense. Implementations Wiki software is a type of collaborative software that runs a wiki system, allowing web pages to be created and edited using a common web browser. It may be implemented as a series of scripts behind an existing web server or as a standalone application server that runs on one or more web servers. The content is stored in a file system, and changes to the content are stored in a relational database management system. A commonly implemented software package is MediaWiki, which runs Wikipedia. Alternatively, personal wikis run as a standalone application on a single computer. Wikis can also be created on a "wiki farm", where the server-side software is implemented by the wiki farm owner. Some wiki farms can also make private, password-protected wikis. Free wiki farms generally contain advertising on every page. For more information, see Comparison of wiki hosting services. Trust and security Controlling changes Wikis are generally designed with the philosophy of making it easy to correct mistakes, rather than making it difficult to make them. Thus, while wikis are very open, they provide a means to verify the validity of recent additions to the body of pages. The most prominent, on almost every wiki, is the "Recent Changes" page—a specific list showing recent edits, or a list of edits made within a given time frame. Some wikis can filter the list to remove minor edits and edits made by automatic importing scripts ("bots"). From the change log, other functions are accessible in most wikis: the revision history shows previous page versions and the diff feature highlights the changes between two revisions. Using the revision history, an editor can view and restore a previous version of the article. This gives great power to the author to eliminate edits. The diff feature can be used to decide whether or not this is necessary. A regular wiki user can view the diff of an edit listed on the "Recent Changes" page and, if it is an unacceptable edit, consult the history, restoring a previous revision; this process is more or less streamlined, depending on the wiki software used. In case unacceptable edits are missed on the "recent changes" page, some wiki engines provide additional content control. It can be monitored to ensure that a page, or a set of pages, keeps its quality. A person willing to maintain pages will be warned of modifications to the pages, allowing them to verify the validity of new editions quickly. This can be seen as a very pro-author and anti-editor feature. A watchlist is a common implementation of this. Some wikis also implement "patrolled revisions", in which editors with the requisite credentials can mark some edits as not vandalism. A "flagged revisions" system can prevent edits from going live until they have been reviewed. Trustworthiness and reliability of content Critics of publicly editable wiki systems argue that these systems could be easily tampered with by malicious individuals ("vandals") or even by well-meaning but unskilled users who introduce errors into the content, while proponents maintain that the community of users can catch such malicious or erroneous content and correct it. Lars Aronsson, a data systems specialist, summarizes the controversy as follows: "Most people when they first learn about the wiki concept, assume that a Web site that can be edited by anybody would soon be rendered useless by destructive input. It sounds like offering free spray cans next to a grey concrete wall. The only likely outcome would be ugly graffiti and simple tagging and many artistic efforts would not be long lived. Still, it seems to work very well." High editorial standards in medicine and health sciences articles, in which users typically use peer-reviewed journals or university textbooks as sources, have led to the idea of expert-moderated wikis. Some wikis allow one to link to specific versions of articles, which has been useful to the scientific community, in that expert peer reviewers could analyse articles, improve them and provide links to the trusted version of that article. Noveck points out that "participants are accredited by members of the wiki community, who have a vested interest in preserving the quality of the work product, on the basis of their ongoing participation." On controversial topics that have been subject to disruptive editing, a wiki author may restrict editing to registered users. Security The open philosophy of wiki – allowing anyone to edit content – does not ensure that every editor's intentions are well-mannered. For example, vandalism (changing wiki content to something offensive, adding nonsense, maliciously removing encyclopedic content, or deliberately adding incorrect information, such as hoax information) can be a major problem. On larger wiki sites, such as those run by the Wikimedia Foundation, vandalism can go unnoticed for some period of time. Wikis, because of their open nature, are susceptible to intentional disruption, known as "trolling". Wikis tend to take a soft-security approach to the problem of vandalism, making damage easy to undo rather than attempting to prevent damage. Larger wikis often employ sophisticated methods, such as bots that automatically identify and revert vandalism and JavaScript enhancements that show characters that have been added in each edit. In this way, vandalism can be limited to just "minor vandalism" or "sneaky vandalism", where the characters added/eliminated are so few that bots do not identify them and users do not pay much attention to them. An example of a bot that reverts vandalism on Wikipedia is ClueBot NG. ClueBot NG can revert edits, often within minutes, if not seconds. The bot uses machine learning in lieu of heuristics. The amount of vandalism a wiki receives depends on how open the wiki is. For instance, some wikis allow unregistered users, identified by their IP addresses, to edit content, while others limit this function to just registered users. Edit wars can also occur as users repetitively revert a page to the version they favor. In some cases, editors with opposing views of which content should appear or what formatting style should be used will change and re-change each other's edits. This results in the page being "unstable" from a general user's perspective, because each time a general user comes to the page, it may look different. Some wiki software allows an administrator to stop such edit wars by locking a page from further editing until a decision has been made on what version of the page would be most appropriate. Some wikis are in a better position than others to control behavior due to governance structures existing outside the wiki. For instance, a college teacher can create incentives for students to behave themselves on a class wiki they administer by limiting editing to logged-in users and pointing out that all contributions can be traced back to the contributors. Bad behavior can then be dealt with under university policies. Potential malware vector Malware can also be a problem for wikis, as users can add links to sites hosting malicious code. For example, a German Wikipedia article about the Blaster Worm was edited to include a hyperlink to a malicious website. Users of vulnerable Microsoft Windows systems who followed the link would be infected. A countermeasure is the use of software that prevents users from saving an edit that contains a link to a site listed on a blacklist of malicious sites. Communities Applications The English Wikipedia has the largest user base among wikis on the World Wide Web and ranks in the top 10 among all Web sites in terms of traffic. Other large wikis include the WikiWikiWeb, Memory Alpha, Wikivoyage, and Susning.nu, a Swedish-language knowledge base. Medical and health-related wiki examples include Ganfyd, an online collaborative medical reference that is edited by medical professionals and invited non-medical experts. Many wiki communities are private, particularly within enterprises. They are often used as internal documentation for in-house systems and applications. Some companies use wikis to allow customers to help produce software documentation. A study of corporate wiki users found that they could be divided into "synthesizers" and "adders" of content. Synthesizers' frequency of contribution was affected more by their impact on other wiki users, while adders' contribution frequency was affected more by being able to accomplish their immediate work. From a study of thousands of wiki deployments, Jonathan Grudin concluded careful stakeholder analysis and education are crucial to successful wiki deployment. In 2005, the Gartner Group, noting the increasing popularity of wikis, estimated that they would become mainstream collaboration tools in at least 50% of companies by |
of "wiki", a Hawaiian language word for "quick". Cunningham's idea was to make WikiWikiWeb's pages quickly editable by its users, so he initially thought about calling it "QuickWeb", but later changed his mind and dubbed it "WikiWikiWeb". , the WikiWikiWeb's WelcomeVisitors page contained the following description in the first two paragraphs: Hyperlinks between pages on WikiWikiWeb are created by joining capitalized words together, a technique referred to as camel case. This convention of wiki markup formatting is still followed by some more recent wiki software, whereas others, such as the MediaWiki software that powers Wikipedia, allow links without camel case. In December 2014, WikiWikiWeb came under the attack of vandals, and was put into a read-only state. On February 1, 2015 Cunningham announced that the Wiki had been rewritten as a single-page application and migrated to the new Federated Wiki. See also History of wikis References External links WikiWikiWeb () The WikiBase software () Wiki design principles () The history of WikiWikiWeb, including comments by Ward Cunningham () Correspondence on the Etymology of Wiki () Wiki communities Perl software Free wiki software Internet properties established | is the first wiki, or user-editable website. It was launched on 25 March 1995 by programmer Ward Cunningham to accompany the Portland Pattern Repository website discussing software design patterns. The name WikiWikiWeb originally also applied to the wiki software that operated the website, written in the Perl programming language and later renamed to "WikiBase". The site is frequently referred to by its users as simply "Wiki", and a convention established among users of the early network of wiki sites that followed was that using the word with a capitalized W referred exclusively to the original site. History The software and website were developed in 1994 by Cunningham in order to make the exchange of ideas between programmers easier. The concept was based on the ideas developed in HyperCard stacks that Cunningham built in the late 1980s. On March 25, 1995, he installed |
a unit words (Unix), a standard file in UNIX Microsoft Word, a word-processing application Calligra Words, a word-processing application William Whitaker's Words, a program for translating Latin Lexicography Word (journal), the journal of the International Linguistic Association (formerly the Linguistic Circle of New York) Mathematics Word (mathematics), an ordered sequence of symbols chosen from a predetermined set or alphabet Word (group theory), a product of group elements and their inverses Media WORD (AM), a radio station (950 AM) in Spartanburg, South Carolina, United States WORD-FM, a radio station (101.5 FM) in Pittsburgh, Pennsylvania, United States Word Magazine, an influential online magazine, active from 1995 to 2000 Word: Live at Carnegie Hall, a Louis C.K. live comedy album Word Books, an imprint of publisher Thomas Nelson Music Record Labels Word Records, a record label Albums Words (Sherrié Austin album), 1997 Words | States WORD-FM, a radio station (101.5 FM) in Pittsburgh, Pennsylvania, United States Word Magazine, an influential online magazine, active from 1995 to 2000 Word: Live at Carnegie Hall, a Louis C.K. live comedy album Word Books, an imprint of publisher Thomas Nelson Music Record Labels Word Records, a record label Albums Words (Sherrié Austin album), 1997 Words (Tony Rich album), 1996 Words (F. R. David album), 1982 Songs "The Word" (song), 1965 song by the Beatles "Words" (Bee Gees song), 1968 "Words" (The Christians song), 1989 "Words" (Anthony David song), 2008 "Words" (F. R. David song), 1982 "Words" (Daya song), 2016 "Words I Never Said", aka "Words" by Skylar Grey, 2012 "Words" (Kate Miller-Heidke song), 2007 "Words" (The Monkees song), 1967 "Words", song by |
to continue. There is also a movement, exemplified by groups like The Pirate Party and scholars at The Mises Institute, that the very idea of intellectual property is an anathema to free society. This is in contrast to some of the more traditional open source advocates such as Lawrence Lessig, who advocate for middle ground between freedom and intellectual property. Legality Generally, there are four elements of criminal copyright infringement: the existence of a valid copyright, that copyright was infringed, the infringement was willful, and the infringement was either substantial, or for commercial gain (at levels often set by statute). Offering warez is generally understood to be a form of copyright infringement that is punishable as either a civil wrong or a crime. Often sites hosting torrent files claim that they are not breaking any laws because they are not offering the actual data, rather only a link to other places or peers that contain the infringing material. However, many prosecution cases and convictions argue to the contrary. For instance, Dimitri Mader, the French national who operates a movie distribution warez site, Wawa-Mania, was fined 20,000 € and sentenced, in absentia, to a year in jail by a European court (after fleeing France for the Philippines), for his role in managing the site. In the U.S., through 2004, more than 80 individuals had been prosecuted and convicted for trade in warez products (under the NET Act and other statutes), for movie and software pirating in particular, with a number of individuals being imprisoned, including some enthusiast traders. However, laws and their application to warez activities may vary greatly from country to country; for instance, while Wawa-Mania is under sanction in France, it remains in operation via a host in Moldova, and through use of an Ecuadorian top-level domain. Hence, while high-profile web hosts and domain providers generally do not permit the hosting of warez, and delete sites found to be hosting them, private endeavours and small commercial entities continue to allow the trade in warez to continue. And, in some countries, and at some times, software "piracy" has been encouraged, and international and usual national legal protections ignored. A dispute between Iran and United States over membership in WTO and subsequent U.S. block of Iran's attempts at full-membership has led Iran to encourage the copying of U.S. software; hence, there has been a subsequent surge in Iranian "warez" and "crackz" websites (as Iranian laws do not forbid hosting them inside Iran). The same policy has been adopted by Antigua, and others. Distribution Warez are often distributed outside of The Scene (a collection of warez groups) by torrents (files including tracker info, piece size, uncompressed file size, comments, and vary in size from 1 k, to 400 k.) uploaded to a popular P2P website by an associate or friend of the cracker or cracking crew. An nfo or FILE ID.DIZ is often made to promote who created the release. It is then leeched (downloaded) by users of the tracker and spread to other sharing sites using P2P, or other sources such as newsgroups. From there, it can be downloaded by millions of users all over the world. Often, one release is duplicated, renamed, then re-uploaded to different sites so that eventually, it can become impossible to trace the original file. Another increasingly popular method of distributing Warez is via one-click hosting websites. In the early 1990s, warez were often traded on cassette tapes with different groups and published on bulletin boards that had a warez section. Rise of software infringement Unauthorized copying has been an ongoing phenomenon that started when high quality, commercially produced software was released for sale. Whether the medium was cassette tape or floppy disk, cracking enthusiasts found a way to duplicate the software and spread it without the permission of the maker. Thriving bootlegging communities were built around the Apple II, Commodore 64, the Atari 400 and Atari 800 line, the ZX Spectrum, the Amiga, and the Atari ST, among other personal computers. Entire networks of BBSes sprang up to traffic illegal software from one user to the next. Machines like the Amiga and the Commodore 64 had an international network, through which software not available on one continent would eventually make its way to every region via bulletin board systems. It was also quite common in the 1980s to use physical floppy disks and the postal service for spreading software, in an activity known as mail trading. Prior to the sale of software that came on CD-ROM discs and after hard drives had become available, the software did not require the floppy disc to be in the drive when starting and using the program. So, a user could install it onto his/her computer and mail the disk to the next person, who could do the same. Particularly widespread in continental Europe, mail trading was even used by many of the leading cracker groups as their primary channel of interaction. Software copyright violation via mail trading was also the most common means for many computer hobbyists in the Eastern bloc countries to receive new Western software for their computers. Copy-protection schemes for the early systems were designed to defeat casual duplication attempts, as "crackers" would typically release a copied game to the "pirate" community the day they were earmarked for market. A famous event in the history of software copyright policy was an open letter written by Bill Gates of Microsoft, dated February 3, 1976, in which he argued that the quality of available software would increase if "software piracy" were less prevalent. However, until the early 1990s, software copyright infringement was not yet considered a serious problem by most people. In 1992, the Software Publishers Association began to battle against this phenomenon, with its promotional video "Don't Copy That Floppy". It and the Business Software Alliance have remained the most active anti-infringement organizations worldwide, although to compensate for extensive growth in recent years, they have gained the assistance of the Recording Industry Association of America (RIAA), the Motion Picture Association of America (MPAA), as well as American Society of Composers, Authors, and Publishers (ASCAP) and Broadcast Music Incorporated (BMI). Today most warez files are distributed to the public via bittorrent and One-click hosting sites. Some of the most popular software companies that are being targeted are Adobe, Microsoft, Nero, Apple, DreamWorks, and Autodesk, to name a few. To reduce the spread of illegal copying, some companies have hired people to release "fake" torrents (known as Torrent poisoning), which look real and are meant to be downloaded, but while downloading the individual does not realize that the company that owns the software has received his/her IP address. They will then contact his/her ISP, and further legal action may be taken by the company/ISP. Causes that have accelerated its growth Similar to televisions and telephones, computers have become a necessity to every person in the information age. As the use of computers increased, so had software and cyber crimes. In the mid-1990s, the average Internet user was still on dial-up, with average speed ranging between 28.8 and 33.6 kbit/s. If one wished to download a piece of software, which could run about 200 MB, the download time could be longer than one day, depending on network traffic, the Internet Service Provider, and the server. Around 1997, broadband began to gain popularity due to its greatly increased network speeds. As "large-sized file transfer" problems became less severe, warez became more widespread and began to affect large software files like animations and movies. In the past, files were distributed by point-to-point technology: with a central uploader distributing files to downloaders. With these systems, a large number of downloaders for a popular file uses an increasingly larger amount of bandwidth. If there are too many downloads, the server can become unavailable. The opposite is true for peer-to-peer networking; the more downloaders the faster the file distribution is. With swarming technology as implemented in file sharing systems like eDonkey2000 or BitTorrent, downloaders help the uploader by picking up some of its uploading responsibilities. There are many sites with links to One-click hosting websites and other sites where one can upload files that contribute to the growing amount of warez. Distribution via compromised FTP servers Prior to the development of modern peer-to-peer sharing systems and home broadband service, sharing warez sometimes involved warez groups scanning the Internet for weakly secured computer systems with high-speed connections. These weakly secured systems would be compromised by exploiting the poor FTP security, creating a special directory on the server with an unassuming name to contain the illegal content. A common mistake of early FTP administrators was to permit a directory named /incoming that allows full read and write access by external users, but the files themselves in /incoming were hidden; by creating a directory inside /incoming, this hidden directory would then allow normal file viewing. Users of the compromised site would be directed to log in and go to a location such as /incoming/data/warez to find the warez content. Messages could be left for other warez users by uploading a plain text file with the message inside. Hackers would also use known software bugs to illicitly gain full administrative remote control over a computer, and install a hidden FTP service to host their wares. This FTP service was usually running on an unusual port number, or with a non-anonymous login name like "login: warez / Password: warez" to help prevent discovery by legitimate users; information about this compromised system would then be distributed to a select group of people who were part of the warez scene. It was important for warez group members to regulate who had access to these compromised FTP servers, to keep the network bandwidth usage low. A site that suddenly became very popular would be noticed by the real owners of the equipment, as their business systems became slow or low on disk space; investigation of system usage would then inevitably result in discovery and removal of the warez, and tightening of the site security. Automated warez distribution via IRC bots As the ability to compromise and attain full remote control of business servers became more developed, the warez groups would hack a server and install an IRC bot on the compromised systems alongside the FTP service, or the IRC bot would provide file sharing directly by itself. This software would intelligently regulate access to the illicit data by using file queues to limit bandwidth usage, or by only running during off-hours overnight when the business owning the compromised hardware was closed for the day. In order to advertise the existence of the compromised site, the IRC software would join public IRC warez channels as a bot and post into the channel with occasional status messages every few minutes, providing information about how many people are logged into the warez host, how many files are currently being downloaded, what the upload/download ratio is (to force users into contributing data of their own before they can download), which warez distributor is running the bot, and other status information. This functionality still exists and can still be found on IRC warez channels, as an alternative to the modern and streamlined P2P distribution systems. The opportunity to find and compromise poorly secured systems on which to create an illicit warez distribution site has only increased with the popular use of broadband service by home users who may not fully understand the security implications of having their home computer always turned on and connected to the Internet Types There is generally a distinction made between different sub-types of warez. The unusual spellings shown here were commonly used as directory names within a compromised server, to organize the files rather than having them all thrown together in a single random collection. Apps – Applications: Generally a retail version of a software package. Cracks – Cracked applications: A modified executable or more (usually one) and/or a library (usually one) or more and/or a patch designed to turn a trial version of a software package into the full version and/or bypass copy protections. Dox – Video game add-ons: These include nocds, cracks, trainers, cheat codes etc. EBook – E-books: These include unlicensed copies of e-books, scanned books, scanned comics, etc. Games – Video games: This scene concentrates on both computer based | the same. Particularly widespread in continental Europe, mail trading was even used by many of the leading cracker groups as their primary channel of interaction. Software copyright violation via mail trading was also the most common means for many computer hobbyists in the Eastern bloc countries to receive new Western software for their computers. Copy-protection schemes for the early systems were designed to defeat casual duplication attempts, as "crackers" would typically release a copied game to the "pirate" community the day they were earmarked for market. A famous event in the history of software copyright policy was an open letter written by Bill Gates of Microsoft, dated February 3, 1976, in which he argued that the quality of available software would increase if "software piracy" were less prevalent. However, until the early 1990s, software copyright infringement was not yet considered a serious problem by most people. In 1992, the Software Publishers Association began to battle against this phenomenon, with its promotional video "Don't Copy That Floppy". It and the Business Software Alliance have remained the most active anti-infringement organizations worldwide, although to compensate for extensive growth in recent years, they have gained the assistance of the Recording Industry Association of America (RIAA), the Motion Picture Association of America (MPAA), as well as American Society of Composers, Authors, and Publishers (ASCAP) and Broadcast Music Incorporated (BMI). Today most warez files are distributed to the public via bittorrent and One-click hosting sites. Some of the most popular software companies that are being targeted are Adobe, Microsoft, Nero, Apple, DreamWorks, and Autodesk, to name a few. To reduce the spread of illegal copying, some companies have hired people to release "fake" torrents (known as Torrent poisoning), which look real and are meant to be downloaded, but while downloading the individual does not realize that the company that owns the software has received his/her IP address. They will then contact his/her ISP, and further legal action may be taken by the company/ISP. Causes that have accelerated its growth Similar to televisions and telephones, computers have become a necessity to every person in the information age. As the use of computers increased, so had software and cyber crimes. In the mid-1990s, the average Internet user was still on dial-up, with average speed ranging between 28.8 and 33.6 kbit/s. If one wished to download a piece of software, which could run about 200 MB, the download time could be longer than one day, depending on network traffic, the Internet Service Provider, and the server. Around 1997, broadband began to gain popularity due to its greatly increased network speeds. As "large-sized file transfer" problems became less severe, warez became more widespread and began to affect large software files like animations and movies. In the past, files were distributed by point-to-point technology: with a central uploader distributing files to downloaders. With these systems, a large number of downloaders for a popular file uses an increasingly larger amount of bandwidth. If there are too many downloads, the server can become unavailable. The opposite is true for peer-to-peer networking; the more downloaders the faster the file distribution is. With swarming technology as implemented in file sharing systems like eDonkey2000 or BitTorrent, downloaders help the uploader by picking up some of its uploading responsibilities. There are many sites with links to One-click hosting websites and other sites where one can upload files that contribute to the growing amount of warez. Distribution via compromised FTP servers Prior to the development of modern peer-to-peer sharing systems and home broadband service, sharing warez sometimes involved warez groups scanning the Internet for weakly secured computer systems with high-speed connections. These weakly secured systems would be compromised by exploiting the poor FTP security, creating a special directory on the server with an unassuming name to contain the illegal content. A common mistake of early FTP administrators was to permit a directory named /incoming that allows full read and write access by external users, but the files themselves in /incoming were hidden; by creating a directory inside /incoming, this hidden directory would then allow normal file viewing. Users of the compromised site would be directed to log in and go to a location such as /incoming/data/warez to find the warez content. Messages could be left for other warez users by uploading a plain text file with the message inside. Hackers would also use known software bugs to illicitly gain full administrative remote control over a computer, and install a hidden FTP service to host their wares. This FTP service was usually running on an unusual port number, or with a non-anonymous login name like "login: warez / Password: warez" to help prevent discovery by legitimate users; information about this compromised system would then be distributed to a select group of people who were part of the warez scene. It was important for warez group members to regulate who had access to these compromised FTP servers, to keep the network bandwidth usage low. A site that suddenly became very popular would be noticed by the real owners of the equipment, as their business systems became slow or low on disk space; investigation of system usage would then inevitably result in discovery and removal of the warez, and tightening of the site security. Automated warez distribution via IRC bots As the ability to compromise and attain full remote control of business servers became more developed, the warez groups would hack a server and install an IRC bot on the compromised systems alongside the FTP service, or the IRC bot would provide file sharing directly by itself. This software would intelligently regulate access to the illicit data by using file queues to limit bandwidth usage, or by only running during off-hours overnight when the business owning the compromised hardware was closed for the day. In order to advertise the existence of the compromised site, the IRC software would join public IRC warez channels as a bot and post into the channel with occasional status messages every few minutes, providing information about how many people are logged into the warez host, how many files are currently being downloaded, what the upload/download ratio is (to force users into contributing data of their own before they can download), which warez distributor is running the bot, and other status information. This functionality still exists and can still be found on IRC warez channels, as an alternative to the modern and streamlined P2P distribution systems. The opportunity to find and compromise poorly secured systems on which to create an illicit warez distribution site has only increased with the popular use of broadband service by home users who may not fully understand the security implications of having their home computer always turned on and connected to the Internet Types There is generally a distinction made between different sub-types of warez. The unusual spellings shown here were commonly used as directory names within a compromised server, to organize the files rather than having them all thrown together in a single random collection. Apps – Applications: Generally a retail version of a software package. Cracks – Cracked applications: A modified executable or more (usually one) and/or a library (usually one) or more and/or a patch designed to turn a trial version of a software package into the full version and/or bypass copy protections. Dox – Video game add-ons: These include nocds, cracks, trainers, cheat codes etc. EBook – E-books: These include unlicensed copies of e-books, scanned books, scanned comics, etc. Games – Video games: This scene concentrates on both computer based games, and video game consoles, often released as ISO or other format disk image. Hacks – Simplified/Specific Hacking Tools: Programs designed to perform specific hacks at the click of a button, typically with a limited scope, such as AOHell and AOL4Free. Keygens – Keygen software are tools that replicate the registration/activation process of a genuine software product and generate the necessary keys to activate the software. Movies – Movies: Unauthorized copies of movies, can be released while still in theaters or from CDs/DVDs/Blu-ray prior to the actual retail date. MP3s – MP3 audio: Audio from albums, singles, or other sources usually obtained by ripping a CD or a radio broadcast and released in the compressed audio format MP3. MVids – Music videos – Can be ripped from TV, HDTV, DVDs or VCDs. NoCD, NoDVD, FixedExe – A file modification that allows an installed program to be run without inserting the CD or DVD into the drive. RIP – A game that doesn't have to be installed; any required registry entry can be included as a .reg file. RIP games can be ripped of music and/or video files, or, for video games, ROMs, thus decreasing the size of the download. RIPs with nothing ripped out sometimes are referred to as DP (direct play). Portables – Portable applications: Similar to RIPs, but in this case they're software applications instead of video games. The point of portable software is the fact that it can be placed on removable media (or any place on the local hard drive) and doesn't need installing; usually it is compressed into one executable file, by using software like VMware ThinApp or MoleBox. Scripts – Scripts: These include unlicensed copies of commercial scripts (such as vBulletin, Invision Power Board, etc.) coded by companies in PHP, ASP, and other languages. Subs – Subtitles: can be integrated in a TV-Rip or Movie. Serials – Refers to a collection of product keys such as serial numbers made available for the purpose of activating trial software, without payment. Templates – Web templates: These include leaked commercial website templates coded by companies. TV-Rips – Television programs: Television shows or movies, usually with commercials edited out. Commonly released within a few hours after airing. DVD Rips of television series fall under this sub-type. XXX – Pornography: These can be imagesets, paysite videos or retail movies. Zero-day or 0-day – Any copyrighted work that has been released the same day as the original product, or sometimes even before. It is considered a mark of skill among warez distribution groups to crack and distribute a program on the same day as its commercial release. Movie infringement Movie copyright infringement was looked upon as impossible by the major studios. When dial-up was common in early and mid-1990s, movies distributed on the Internet tended to be small. The technique that was usually used to make them small was to use compression software, thus lowering the video quality significantly. At that time, the largest copyright violation threat was software. However, along with the rise in broadband internet connections beginning around 1998, higher quality movies began to see widespread distribution – with the release of DeCSS, ISO images copied directly from the original DVDs were slowly becoming a feasible distribution method. Today, movie sharing has become so common that it has caused major concern amongst movie studios and their representative organizations. Because of this the MPAA is often running campaigns during movie trailers where it tries to discourage people from copying material without permission. Unlike the music industry, which has had online music stores available for several years, the movie industry moved to online distribution only in 2006, after the launch of Amazon Unbox. Because of this, cameras are sometimes forbidden in movie theaters. File formats A CD software release can contain up to 700 megabytes of data, which presented challenges when sending over the Internet, particularly in the late 1990s when broadband was unavailable to most home consumers. These challenges apply to an even greater extent for a single-layer |
Lounge suit Non-traditional "tuxedo" variants (colored jackets/ties, "wedding suits") Ao dai, traditional garments of Vietnam Barong Tagalog, an embroidered, formal men's garment of the Philippines Batik and Kebaya, a garment worn by the Javanese people of Indonesia and also by the Malay people of Malaysia Dashiki, the traditional West African wedding attire Dhoti, male garment in South India Hanbok, the traditional garment of Korea Kilt, male garment particular to Scottish culture Kittel, a white robe worn by the groom at an Orthodox Jewish wedding. The kittel is worn only under the chuppah, and is removed before the reception. Qun Gua or Kua (裙褂 pinyin qún guà, Cantonese kwàhn kwáa), Chinese traditional formal wear. This can be in the form of a qipao or hanfu. Ribbon shirt, often worn by American Indian men on auspicious occasions, such as weddings, another common custom is to wrap bride and groom in a blanket Sampot, traditional dress in Cambodia Sari/Lehenga, Indian popular and traditional dress in India Seshweshe, a female dress worn by the Basotho women during special ceremonies. Although it has recently been adopted to men attire as well. Sherwani, a long coat-like garment worn in South Asia Shiromuku Kimono, a traditional wedding garment in Japan Tiara, or wedding crown, worn by Syrian and Greek couples (which are called "τα στέφανα," which literally means "wreaths") and Scandinavian brides Topor, a type of conical headgear traditionally worn by grooms as part of the Bengali Hindu wedding ceremony Wedding music Western weddings Music played at Western weddings includes a processional song for walking down the aisle (ex: wedding march) either before or after the marriage service. An example of such use is reported in the wedding of Nora Robinson and Alexander Kirkman Finlay in 1878. The "Bridal Chorus" from Lohengrin by Richard Wagner, commonly known as "Here Comes the Bride", is often used as the processional. Wagner is said to have been anti-Semitic, and as a result, the Bridal Chorus is normally not used at Jewish weddings. UK law forbids music with any religious connotations to be used in a civil ceremony. Johann Pachelbel's Canon in D is an alternative processional. Other alternatives include various contemporary melodies, such as Bob Marley's One Love, which is sometimes performed by a steel drum band. The Music used in modern weddings is left completely up to the Bride and Groom and it is also becoming growingly popular for couples to add their own twist to the song they walk down the aisle to. Many Brides and Grooms use songs that are sentimental or hold special value to them. In the United States, approximately 2 million people get married each year and close to 70 million people attend a wedding and spend more than $100 on a gift. In the United Kingdom, according to a survey, the average spend minimum spend on a wedding gift is £24.70 and the average maximum spend is £111.46. 85% of people said that they were more likely to spend more money on a person if they had a better relationship with them. Religious aspects Most religions recognize a lifelong union with established ceremonies and rituals. Some religions permit polygamous marriages or same-sex marriages. Many Christian faiths emphasize the raising of children as a priority in a marriage. In Judaism, marriage is so important that remaining unmarried is deemed unnatural. Islam also recommends marriage highly; among other things, it helps in the pursuit of spiritual perfection. The Baháʼí Faith believes that marriage is a foundation of the structure of society, and considers it both a physical and spiritual bond that endures into the afterlife. Hinduism sees marriage as a sacred duty that entails both religious and social obligations. By contrast, Buddhism does not encourage or discourage marriage, although it does teach how one might live a happily married life and emphasizes that marital vows are not to be taken lightly. Different religions have different beliefs regarding divorce and remarriage. In Christianity for example, the Roman Catholic Church and Allegheny Wesleyan Methodist Connection believe that marriage is a sacrament and a valid marriage between two baptized persons cannot be broken by any other means than death. This means that civil divorcés cannot remarry in a Catholic marriage or Wesleyan Methodist marriage while their spouse is alive. In the area of nullity, religions and the state often apply different rules. A couple, for example, may begin the process to have their marriage annulled by the Catholic Church only after they are no longer married in the eyes of the civil authority. Customs associated with various religions and cultures Christian customs Most Christian churches give some form of blessing to a marriage, which is seen as a sacred institution in some sense, although terminology and associated theological meanings vary widely from one denomination to another: e.g., "holy matrimony," "sacrament of marriage," "holy ordinance of marriage," "holy union," and so forth. A celebration of Holy Matrimony typically includes mutual vows or solemn promises of lifelong love and fidelity by the couple, and may include some sort of pledge by the community to support the couple's relationship. A church wedding is a ceremony held in a church and presided over by a Christian pastor. Traditionally, Christian weddings occur in a church as Christian marriage ideally begins where one also starts their faith journey (Christians receive the sacrament of baptism in church in the presence of their congregation). Catholic Christian weddings must "take place in a church building" as holy matrimony is a sacrament; sacraments normatively occur in the presence of Christ in the house of God, and "members of the faith community [should be] present to witness the event and provide support and encouragement for those celebrating the sacrament." Bishops never grant permission "to those requesting to be married in a garden, on the beach, or some other place outside of the church" and a dispensation is only granted "in extraordinary circumstances (for example, if a bride or groom is ill or disabled and unable to come to the church)." Marriage in the church, for Christians, is seen as contributing to the fruit of the newlywed couple regularly attending church each Lord's Day and raising children in the faith. Wedding ceremonies typically contain prayers and readings from the Holy Bible and reflect the church's teachings about the spiritual significance of marriage, as well as its purpose and obligations. The wedding service often includes the reception of Holy Communion, especially in the context of Mass (as with Catholicism, Lutheranism, and Anglicanism). In some traditional weddings of Western Christianity (especially Catholicism, Lutheranism and Anglicanism), a 'care cloth' or 'nuptial veil' (velatio nuptialis) "signifying a marriage yoke joining the bride and groom together" may be held over the kneeling couple during the nuptial blessing given by the priest. Pre-marital counseling may be urged or required for the engaged couple. In some Christian countries or denominations, a betrothal rite, as well as the reading of banns of marriage may also be required before the wedding date. In the Roman Catholic Church, Holy Matrimony is considered to be one of the seven sacraments, in this case, one that the spouses bestow upon each other in front of a priest and members of the community as witnesses. As with all sacraments, it is seen as having been instituted by Jesus himself (see Gospel of Matthew 19:1–2, Catechism of the Catholic Church §1614–1615). In the Eastern Orthodox Church, it is one of the Mysteries and is seen as an ordination and a martyrdom. The Christian wedding ceremony of Saint Thomas Christians, an ethnoreligious group of Christians in India, incorporates elements from local Indian traditions. Protestant weddings may be elaborate (as with Lutheranism and Anglicanism) or simple (as with Baptists). For example, in the United Methodist Church, the Service of Christian Marriage (Rite I) includes the elements found in a typical Sunday service, such as hymns, prayers, and readings from the Bible, as well as other elements unique to a wedding, including taking marriage vows and an optional exchange of wedding rings, as well as a special benediction for the couple. Holy Communion may be part of the wedding service in liturgical Protestant churches (e.g., Lutheran, Anglican, or Methodist), but is rarely, if ever, found in weddings of other low-church Protestant denominations (e.g., Baptists). A Quaker wedding ceremony in a Friends meeting is similar to any other meeting for worship, and therefore often very different from the experience expected by non-Friends. In some Western countries, a separate and secular civil wedding ceremony is required for recognition by the state, while in other Western countries, couples must merely obtain a marriage license from a local government authority and can be married by Christian or other clergy authorized by law to do so. Since the beginning of the 21st century, same-sex couples have been allowed to marry civilly in many countries, and some Christian churches in those countries allow religious marriages of same-sex couples, though some forbid it. See the article Same-sex marriage. Hindu customs Hindu ceremonies are usually conducted totally or at least partially in Sanskrit, the language of the Hindu scriptures. The wedding celebrations may last for several days and they can be extremely diverse, depending upon the region, denomination, and caste. Mehendi ceremony is a traditional ritual in Hindu weddings, where Henna application takes place on the bride's hands and legs, before the wedding. On the wedding day, the bride and the bridegroom garland each other in front of the guests. Most guests witness only this short ceremony and then socialize, have food, and leave. The religious part (if applicable) comes hours later, witnessed by close friends and relatives. In cases where a religious ceremony is present, a Brahmin (Hindu priest) arranges a sacred yajna (fire-sacrifice), and the sacred fire (Agni) is considered the prime witness (sākshī) of the marriage. He chants mantras from the Vedas and subsidiary texts while the couple is seated before the fire. The most important step is saptapadi or saat phere, wherein the bride and the groom, hand-in-hand, encircle the sacred fire seven times, each circle representing a matrimonial vow. Then the groom marks the bride's hair parting with vermilion (sindoor) and puts a gold necklace (mangalsutra) around her neck. Or a yellow thread applied with turmeric is knotted around the bride's neck 3 times at marriage. The first knot represents her obedience and respect to her husband, the second one to his parents and the third represents her respect to God. Several other rituals may precede or follow these afore-mentioned rites. Then the bride formally departs from her blood-relatives to join the groom's family. Jewish customs A traditional Jewish wedding usually follows this format: Before the ceremony, the couple formalize a written ketubah (marriage contract), specifying the obligations of husband to the wife and contingencies in case of divorce. The ketubah is signed by two witnesses and later read under the chuppah (wedding canopy). The couple is married under the chuppah signifying their new home together. The chuppah can be made from a piece of cloth or other material attached to four poles, or a giant tallit (prayer shawl) held over the couple by four family members or friends. The wedding couple is accompanied by both sets of parents and they join the wedding couple under the chuppah. In Orthodox Jewish weddings, the bride is accompanied to the chuppah by both mothers, and the groom is accompanied to the chuppah by both fathers. Seven blessings are recited, blessing the bride and groom and their new home. The couple sip a glass of wine from a Kiddush cup. The groom will smash a wine glass with his right foot, ostensibly in remembrance of the destruction of the Second Temple. In Reform Jewish weddings, the bride and groom can smash the wine glass together. At some weddings, the couple may declare that each is sanctified to the other, repeat other vows and exchange rings. In Orthodox Jewish weddings, the bride does not speak under the chuppah and only she receives a ring. The groom recites "Harei at mekudeshet li k'dat Moshe V'Yisrael"- "behold you are [thus] sanctified to me by the law of Moses and Israel" as he places the ring on the bride's right index finger. The bride's silence and acceptance of the ring signify her agreement to the marriage. This part of the ceremony is called kiddushin. The groom's giving an object of value to the bride is necessary for the wedding to be valid. In more egalitarian weddings, the bride responds verbally, often giving the groom a ring in return. A common response is "ani l'dodi, v'dodi li" (I am my beloved's, my beloved is mine) In some Orthodox weddings, the groom then says: "If I forget you, O Jerusalem, may my right hand forget its skill.May my tongue cling to the roof of my mouth.If I do not remember you,if I do not consider Jerusalem in my highest joy." The ceremony ends with the groom breaking a glass underfoot. The couple spend their first moments as husband and wife in seclusion (apart from the wedding guests, and with no other person present). This cheder yichud – "the room of seclusion (or 'oneness')" halachically strengthens the marriage bond since Orthodox Jews are forbidden to be secluded with an unrelated person of the opposite sex. The ceremony is followed by a seudat mitzvah, the wedding meal, as well as music and dancing. At the conclusion of the wedding meal, Birkat Hamazon (Grace After Meals) is recited, as well as the seven wedding blessings. In more observant communities, the couple will celebrate for seven more days, called the Sheva Brachot (seven blessings) during which the seven wedding blessings are recited at every large gathering during this time. Islamic customs A wedding is typically a happy time for families to celebrate. In the Middle-east, there are colorful, cultural variations from place to place. Two male witnesses who are the members of the family in most cases are required for Nikah. According to the Quran, in a married Muslim couple, both husband and wife act as each other's protector and comforter and therefore only meant "for each other". All Muslim marriages have to be declared publicly and are never to be undertaken in secret. For many Muslims, it is the ceremony that counts as the actual wedding alongside a confirmation of that wedding in a registry office according to fiqh. In Islam a wedding is also viewed as a legal contract particularly in Islamic jurisprudences. However, most Muslim cultures separate both the institutions of the mosque and marriage; no religious official is necessary, but very often an Imam presides and performs the ceremony, he may deliver a short sermon. Celebrations may differ from country to country depending on their culture but the main ceremony is followed by a Walima (the marriage banquet). In Islam, polygyny is allowed with certain religious restrictions. Despite that, an overwhelming majority of Muslims traditionally practice monogamy. It is forbidden in Islam for parents or anyone else: to force, coerce, or trick either man or woman into a marriage that is contrary to the individual will of any one of the couples. It is also necessary for all marriages to commence with the best of intentions. Chinese customs At traditional Chinese weddings, the tea ceremony is the equivalent of an exchange of vows at a Western wedding ceremony. This ritual is still practiced widely among rural Chinese; however, young people in larger cities, as well as in Taiwan, Hong Kong, Malaysia, and Singapore, tend to practice a combination of Western style of marriage together with the tea ceremony. When the bride leaves her home with the groom to his house, a "Good Luck Woman" will hold a red umbrella over her head, meaning, "Raise the bark, spread the leaves." This "Good | days, called the Sheva Brachot (seven blessings) during which the seven wedding blessings are recited at every large gathering during this time. Islamic customs A wedding is typically a happy time for families to celebrate. In the Middle-east, there are colorful, cultural variations from place to place. Two male witnesses who are the members of the family in most cases are required for Nikah. According to the Quran, in a married Muslim couple, both husband and wife act as each other's protector and comforter and therefore only meant "for each other". All Muslim marriages have to be declared publicly and are never to be undertaken in secret. For many Muslims, it is the ceremony that counts as the actual wedding alongside a confirmation of that wedding in a registry office according to fiqh. In Islam a wedding is also viewed as a legal contract particularly in Islamic jurisprudences. However, most Muslim cultures separate both the institutions of the mosque and marriage; no religious official is necessary, but very often an Imam presides and performs the ceremony, he may deliver a short sermon. Celebrations may differ from country to country depending on their culture but the main ceremony is followed by a Walima (the marriage banquet). In Islam, polygyny is allowed with certain religious restrictions. Despite that, an overwhelming majority of Muslims traditionally practice monogamy. It is forbidden in Islam for parents or anyone else: to force, coerce, or trick either man or woman into a marriage that is contrary to the individual will of any one of the couples. It is also necessary for all marriages to commence with the best of intentions. Chinese customs At traditional Chinese weddings, the tea ceremony is the equivalent of an exchange of vows at a Western wedding ceremony. This ritual is still practiced widely among rural Chinese; however, young people in larger cities, as well as in Taiwan, Hong Kong, Malaysia, and Singapore, tend to practice a combination of Western style of marriage together with the tea ceremony. When the bride leaves her home with the groom to his house, a "Good Luck Woman" will hold a red umbrella over her head, meaning, "Raise the bark, spread the leaves." This "Good Luck Woman" should be someone who is blessed with a good marriage, healthy children, and husband and living parents. Other relatives will scatter rice, red beans, and green beans in front of her. The red umbrella protects the bride from evil spirits, and the rice and beans are to attract the attention of the gold chicken. The newlyweds kneel in front of parents presenting tea. A Good Luck Woman making the tea says auspicious phrases to bless the newlyweds and their families. The newlyweds also present tea to each other, raising the tea cups high to show respect before presenting the tea to each other. The attendants receiving the tea usually give the bride gifts such as jewelry or a red envelope. The tea ceremony is an official ritual to introduce the newlyweds to each other's family, and a way for newlyweds to show respect and appreciation to their parents. The newlyweds kneel in front of their parents, serving tea to both sides of parents, as well as elder close relatives. Parents give their words of blessing and gifts to the newlyweds. Humanist weddings While many wedding traditions and rituals have origins in religions and are still performed by religious leaders, some marriage traditions are cultural and predate the prevalent religions in those regions. Non-religious people will often want to have a wedding that is secular (not religious) in content. In order to meet this demand, secular ceremonies by carried out by humanist celebrants first developed in the 19th century. Humanists UK members pioneered humanist weddings in the 1890s, and its weddings continue to be popular with couples across England, Wales, and Northern Ireland. In Scotland, Humanist Society Scotland (HSS) has carried out secular ceremonies in the country since the 1980s. These have been legally recognised since 2005, and became more numerous than church weddings in 2018. Humanist wedding ceremonies are carried out in a variety of countries like the U.S., Canada and recently Brazil, having legal status in only a few of these countries. Humanist celebrants are able to perform valid civil marriages and civil partnerships in the Republic of Ireland. Secular weddings are becoming more popular in Ireland due to a declining influence of the Catholic Church. Since 2015, Irish humanists have conducted more weddings than the Church of Ireland. Types There are many ways to categorize weddings, such as by the size or cultural traditions. A wedding may fall into several categories, such as a destination microwedding, or a civil elopement. White wedding A white wedding is a term for a traditional formal or semi-formal Western wedding. This term refers to the color of the wedding dress, which became popular after Queen Victoria wore a pure white gown when she married Prince Albert and many were quick to copy her choice. At the time, the color white symbolized both extravagance and virginal purity to many and had become the color for use by young women being formally presented to the royal court. Civil wedding A civil wedding is a ceremony presided over by a local civil authority, such as an elected or appointed judge, Justice of the peace or the mayor of a locality. Civil wedding ceremonies may use references to God or a deity (except in U.K law where readings and music are also restricted), but generally no references to a particular religion or denomination. Civil weddings allow partners of different faiths to marry without one partner converting to the other partner's religion. They can be either elaborate or simple. Many civil wedding ceremonies take place in local town or city halls or courthouses in judges' chambers. The relevance of civil weddings varies greatly from country to country. Some countries do not provide any form of civil wedding at all (Israel and many Islamic countries), while in others it is the only legally recognized form of marriage (most countries in Latin America, Europe, and Asia). In this case civil weddings are typically either a mandatory prerequisite for any religious ceremony or religious weddings have no legal significance at all. See Civil Marriage Destination wedding Not to be confused with an elopement, a destination wedding is one in which a wedding is hosted, often in a vacation-like setting, at a location to which most of the invited guests must travel and often stay for several days. This could be a beach ceremony in the tropics, a lavish event in a metropolitan resort, or a simple ceremony at the home of a geographically distant friend or relative. During the recession of 2009, destination weddings continued to see growth compared to traditional weddings, as the typically smaller size results in lower costs. Weddings held at prestigious venues such as castles or stately homes have become increasingly popular in the 21st century particularly in European countries such as the UK, France and Germany. From 2010 onwards, there has been an increase in destination weddings that are hosted in exotic places like Indonesia, Maldives, India, and Pakistan. Destination weddings are prohibited in certain denominations of Christianity, such as the Catholic Church, which teach that Christian marriages should take place in the presence of God at church, where Christians began their journey of faith in the sacrament of baptism. Double wedding A double wedding is a double ceremony where two affianced couples rendezvous for two simultaneous or consecutive weddings. Typically, a fiancé with a sibling who is also engaged, or four close friends in which both couples within the friendship are engaged might plan a double wedding where both couples legally marry. Elopement Elopement is the act of getting married, often unexpectedly, without inviting guests to the wedding. In some cases, a small group of family or friends may be present, while in others, the engaged couple may marry without the consent or knowledge of parents or others. While the couple may or may not be widely known to be engaged prior to the elopement, the wedding itself is generally a surprise to those who are later informed of its occurrence. Handfasting A handfasting is an old pagan custom, dating back to the time of the ancient Celts. A handfasting was originally more like an engagement period, where two people would declare a binding union between themselves for a year and a day. The original handfasting was a trial marriage. Highland or Scottish wedding A Highland or Scottish wedding has the groom, with some or all of the groom's men wear a kilt. The bride may wear a sash or other tartan clothing. The Scottish basket sword is used for any Saber Arch. Mass wedding A collective or mass wedding is a single ceremony where numerous couples are married simultaneously. Microwedding A microwedding is defined by the small number of friends and family members present. The number of guests is usually understood to be no more than 10 or 15 people including family members, although some sources will use this label for a small wedding with up to 50 guests. Compared to an elopement or a civil wedding with no guests, a microwedding is planned and announced in advance and may incorporate whatever traditions and activities the family wants to maintain, such as a wedding cake, photographs, or religious ceremonies. Although the cost per guest may be higher, the overall cost of a microwedding is usually significantly less than a large wedding. Microweddings gained |
was marked andante con moto, or "at a walking pace with motion", but the flow of the dance was sped-up in Vienna leading to the Geschwindwalzer, and the Galloppwalzer. In the 19th century, the word primarily indicated that the dance was a turning one; one would "waltz" in the polka to indicate rotating rather than going straight forward without turning. Shocking many when it was first introduced, the waltz became fashionable in Vienna around the 1780s, spreading to many other countries in the years to follow. According to contemporary singer Michael Kelly, it reached England in 1791. During the Napoleonic Wars, infantry soldiers of the King's German Legion introduced the dance to the people of Bexhill, Sussex from 1804. It became fashionable in Britain during the Regency period, having been made respectable by the endorsement of Dorothea Lieven, wife of the Russian ambassador. Diarist Thomas Raikes later recounted that "No event ever produced so great a sensation in English society as the introduction of the waltz in 1813." In the same year, a sardonic tribute to the dance by Lord Byron was anonymously published (written the previous autumn). Influential dance master and author of instruction manuals, Thomas Wilson published A Description of the Correct Method of Waltzing in 1816. Almack's, the most exclusive club in London, permitted the waltz, though the entry in the Oxford English Dictionary shows that it was considered "riotous and indecent" as late as 1825. In The Tenant of Wildfell Hall, by Anne Brontë, in a scene set in 1827, the local vicar Reverend Milward tolerates quadrilles and country dances but intervenes decisively when a waltz is called for, declaring "No, no, I don't allow that! Come, it's time to be going home." The waltz, especially its closed position, became the example for the creation of many other ballroom dances. Subsequently, new types of waltz have developed, including many folk and several ballroom dances. Variants In the 19th and early 20th century, numerous different waltz forms existed, including versions performed in , or (sauteuse), and time ( waltz, half and half). In the 1910s, a form called the Hesitation Waltz was introduced by Vernon and Irene Castle. It incorporated "hesitations" and was danced to fast music. A hesitation is basically a halt on the standing foot during the full waltz bar, with the moving foot suspended in the air or slowly dragged. Similar figures (Hesitation Change, Drag Hesitation, and Cross Hesitation) are incorporated in the International Standard Waltz Syllabus. The Country Western Waltz is mostly progressive, moving counter clock wise around the dance floor. Both the posture and frame are relaxed, with posture bordering on a slouch. The exaggerated hand and arm gestures of some ballroom styles are not part of this style. Couples may frequently dance in the promenade position, depending on local preferences. Within Country Western waltz, there is the Spanish Waltz and the more modern (for the late 1930s- early 1950s) Pursuit Waltz. At one time it was considered ill treatment for a man to make the woman walk backwards in some locations. In California, the waltz was banned by Mission priests until 1834 because of the "closed" dance position. Thereafter a Spanish Waltz was danced. This Spanish Waltz was a combination of dancing around the room in closed position, and a "formation" dance of two couples facing each other and performing a sequence of steps. "Valse a Trois Temps" was the "earliest" waltz step, and the Rye Waltz was preferred as a couple dance. In contemporary ballroom dance, the fast versions of the waltz are called Viennese Waltz as opposed to the Slow waltz. In traditional Irish music, the waltz was taught by travelling dancing masters to those who could afford their lessons during the 19th century. By the end of that century, the dance spread to the middle and lower classes of Irish society and traditional triple-tune tunes and songs were altered to fit the waltz rhythm. During the 20th century, the waltz found a distinctively Irish playing style in the hands of Céilidh musicians at dances. International Standard Waltz has only closed figures; | the weight of fall, uses his surplus energy to press all his strength into the proper beat of the bar, thus intensifying his personal enjoyment in dancing." Around 1750, the lower classes in the regions of Bavaria, Tyrol, and Styria began dancing a couples dance called Walzer. The Ländler, also known as the Schleifer, a country dance in time, was popular in Bohemia, Austria, and Bavaria, and spread from the countryside to the suburbs of the city. While the eighteenth-century upper classes continued to dance the minuets (such as those by Mozart, Haydn and Handel), bored noblemen slipped away to the balls of their servants. In the 1771 German novel Geschichte des Fräuleins von Sternheim by Sophie von La Roche, a high-minded character complains about the newly introduced waltz among aristocrats thus: "But when he put his arm around her, pressed her to his breast, cavorted with her in the shameless, indecent whirling-dance of the Germans and engaged in a familiarity that broke all the bounds of good breeding—then my silent misery turned into burning rage." Describing life in Vienna (dated at either 1776 or 1786), Don Curzio wrote, "The people were dancing mad ... The ladies of Vienna are particularly celebrated for their grace and movements of waltzing of which they never tire." There is a waltz in the second act finale of the 1786 opera Una Cosa Rara by Martin y Soler. Soler's waltz was marked andante con moto, or "at a walking pace with motion", but the flow of the dance was sped-up in Vienna leading to the Geschwindwalzer, and the Galloppwalzer. In the 19th century, the word primarily indicated that the dance was a turning one; one would "waltz" in the polka to indicate rotating rather than going straight forward without turning. Shocking many when it was first introduced, the waltz became fashionable in Vienna around the 1780s, spreading to many other countries in the years to follow. According to contemporary singer Michael Kelly, it reached England in 1791. During the Napoleonic Wars, infantry soldiers of the King's German Legion introduced the dance to the people of Bexhill, Sussex from 1804. It became fashionable in Britain during the Regency period, having been made respectable by the endorsement of Dorothea Lieven, wife of the Russian ambassador. Diarist Thomas Raikes later recounted that "No event ever produced so great a sensation in English society as the introduction of the waltz in 1813." In the same year, a sardonic tribute to the dance by Lord Byron was anonymously published (written the previous autumn). Influential dance master and author of instruction manuals, Thomas Wilson published A Description of the Correct Method of Waltzing in 1816. Almack's, the most exclusive club in London, permitted the waltz, though the entry in the Oxford English Dictionary shows that it was considered "riotous and indecent" as late as 1825. In The Tenant of Wildfell Hall, by Anne Brontë, in a scene set in 1827, the local vicar Reverend Milward tolerates quadrilles and country dances but intervenes decisively when a waltz is called for, declaring "No, no, I don't allow that! Come, it's time to be going home." The waltz, especially its closed position, became the example for the creation of many other ballroom dances. Subsequently, new types of waltz have developed, including many folk and several ballroom dances. Variants In the 19th and early 20th century, numerous different waltz forms existed, including versions performed in , or (sauteuse), and time ( waltz, half and half). In the 1910s, a form called the Hesitation Waltz was introduced by Vernon and Irene Castle. It incorporated "hesitations" and was danced |
London. John Aubrey reported that Shakespeare had been a country schoolmaster. Some 20th-century scholars suggested that Shakespeare may have been employed as a schoolmaster by Alexander Hoghton of Lancashire, a Catholic landowner who named a certain "William Shakeshafte" in his will. Little evidence substantiates such stories other than hearsay collected after his death, and Shakeshafte was a common name in the Lancashire area. London and theatrical career It is not known definitively when Shakespeare began writing, but contemporary allusions and records of performances show that several of his plays were on the London stage by 1592. By then, he was sufficiently known in London to be attacked in print by the playwright Robert Greene in his Groats-Worth of Wit: ... there is an upstart Crow, beautified with our feathers, that with his Tiger's heart wrapped in a Player's hide, supposes he is as well able to bombast out a blank verse as the best of you: and being an absolute Johannes factotum, is in his own conceit the only Shake-scene in a country. Scholars differ on the exact meaning of Greene's words, but most agree that Greene was accusing Shakespeare of reaching above his rank in trying to match such university-educated writers as Christopher Marlowe, Thomas Nashe, and Greene himself (the so-called "University Wits"). The italicised phrase parodying the line "Oh, tiger's heart wrapped in a woman's hide" from Shakespeare's Henry VI, Part 3, along with the pun "Shake-scene", clearly identify Shakespeare as Greene's target. As used here, Johannes Factotum ("Jack of all trades") refers to a second-rate tinkerer with the work of others, rather than the more common "universal genius". Greene's attack is the earliest surviving mention of Shakespeare's work in the theatre. Biographers suggest that his career may have begun any time from the mid-1580s to just before Greene's remarks. After 1594, Shakespeare's plays were performed only by the Lord Chamberlain's Men, a company owned by a group of players, including Shakespeare, that soon became the leading playing company in London. After the death of Queen Elizabeth in 1603, the company was awarded a royal patent by the new King James I, and changed its name to the King's Men. In 1599, a partnership of members of the company built their own theatre on the south bank of the River Thames, which they named the Globe. In 1608, the partnership also took over the Blackfriars indoor theatre. Extant records of Shakespeare's property purchases and investments indicate that his association with the company made him a wealthy man, and in 1597, he bought the second-largest house in Stratford, New Place, and in 1605, invested in a share of the parish tithes in Stratford. Some of Shakespeare's plays were published in quarto editions, beginning in 1594, and by 1598, his name had become a selling point and began to appear on the title pages. Shakespeare continued to act in his own and other plays after his success as a playwright. The 1616 edition of Ben Jonson's Works names him on the cast lists for Every Man in His Humour (1598) and Sejanus His Fall (1603). The absence of his name from the 1605 cast list for Jonson's Volpone is taken by some scholars as a sign that his acting career was nearing its end. The First Folio of 1623, however, lists Shakespeare as one of "the Principal Actors in all these Plays", some of which were first staged after Volpone, although one cannot know for certain which roles he played. In 1610, John Davies of Hereford wrote that "good Will" played "kingly" roles. In 1709, Rowe passed down a tradition that Shakespeare played the ghost of Hamlet's father. Later traditions maintain that he also played Adam in As You Like It, and the Chorus in Henry V, though scholars doubt the sources of that information. Throughout his career, Shakespeare divided his time between London and Stratford. In 1596, the year before he bought New Place as his family home in Stratford, Shakespeare was living in the parish of St. Helen's, Bishopsgate, north of the River Thames. He moved across the river to Southwark by 1599, the same year his company constructed the Globe Theatre there. By 1604, he had moved north of the river again, to an area north of St Paul's Cathedral with many fine houses. There, he rented rooms from a French Huguenot named Christopher Mountjoy, a maker of women's wigs and other headgear. Later years and death Rowe was the first biographer to record the tradition, repeated by Johnson, that Shakespeare retired to Stratford "some years before his death". He was still working as an actor in London in 1608; in an answer to the sharers' petition in 1635, Cuthbert Burbage stated that after purchasing the lease of the Blackfriars Theatre in 1608 from Henry Evans, the King's Men "placed men players" there, "which were Heminges, Condell, Shakespeare, etc.". However, it is perhaps relevant that the bubonic plague raged in London throughout 1609. The London public playhouses were repeatedly closed during extended outbreaks of the plague (a total of over 60 months closure between May 1603 and February 1610), which meant there was often no acting work. Retirement from all work was uncommon at that time. Shakespeare continued to visit London during the years 1611–1614. In 1612, he was called as a witness in Bellott v Mountjoy, a court case concerning the marriage settlement of Mountjoy's daughter, Mary. In March 1613, he bought a gatehouse in the former Blackfriars priory; and from November 1614, he was in London for several weeks with his son-in-law, John Hall. After 1610, Shakespeare wrote fewer plays, and none are attributed to him after 1613. His last three plays were collaborations, probably with John Fletcher, who succeeded him as the house playwright of the King's Men. He retired in 1613, before the Globe Theatre burned down during the performance of Henry VIII on 29 June. Shakespeare died on 23 April 1616, at the age of 52. He died within a month of signing his will, a document which he begins by describing himself as being in "perfect health". No extant contemporary source explains how or why he died. Half a century later, John Ward, the vicar of Stratford, wrote in his notebook: "Shakespeare, Drayton, and Ben Jonson had a merry meeting and, it seems, drank too hard, for Shakespeare died of a fever there contracted", not an impossible scenario since Shakespeare knew Jonson and Drayton. Of the tributes from fellow authors, one refers to his relatively sudden death: "We wondered, Shakespeare, that thou went'st so soon / From the world's stage to the grave's tiring room." He was survived by his wife and two daughters. Susanna had married a physician, John Hall, in 1607, and Judith had married Thomas Quiney, a vintner, two months before Shakespeare's death. Shakespeare signed his last will and testament on 25 March 1616; the following day, his new son-in-law, Thomas Quiney was found guilty of fathering an illegitimate son by Margaret Wheeler, who had died during childbirth. Thomas was ordered by the church court to do public penance, which would have caused much shame and embarrassment for the Shakespeare family. Shakespeare bequeathed the bulk of his large estate to his elder daughter Susanna under stipulations that she pass it down intact to "the first son of her body". The Quineys had three children, all of whom died without marrying. The Halls had one child, Elizabeth, who married twice but died without children in 1670, ending Shakespeare's direct line. Shakespeare's will scarcely mentions his wife, Anne, who was probably entitled to one-third of his estate automatically. He did make a point, however, of leaving her "my second best bed", a bequest that has led to much speculation. Some scholars see the bequest as an insult to Anne, whereas others believe that the second-best bed would have been the matrimonial bed and therefore rich in significance. Shakespeare was buried in the chancel of the Holy Trinity Church two days after his death. The epitaph carved into the stone slab covering his grave includes a curse against moving his bones, which was carefully avoided during restoration of the church in 2008: Good frend for Iesvs sake forbeare, To digg the dvst encloased heare. Bleste be yͤ man yͭ spares thes stones, And cvrst be he yͭ moves my bones. (Modern spelling: Good friend, for Jesus' sake forbear, / To dig the dust enclosed here. / Blessed be the man that spares these stones, / And cursed be he that moves my bones.) Some time before 1623, a funerary monument was erected in his memory on the north wall, with a half-effigy of him in the act of writing. Its plaque compares him to Nestor, Socrates, and Virgil. In 1623, in conjunction with the publication of the First Folio, the Droeshout engraving was published. Shakespeare has been commemorated in many statues and memorials around the world, including funeral monuments in Southwark Cathedral and Poets' Corner in Westminster Abbey. Plays Most playwrights of the period typically collaborated with others at some point, as critics agree Shakespeare did, mostly early and late in his career. The first recorded works of Shakespeare are Richard III and the three parts of Henry VI, written in the early 1590s during a vogue for historical drama. Shakespeare's plays are difficult to date precisely, however, and studies of the texts suggest that Titus Andronicus, The Comedy of Errors, The Taming of the Shrew, and The Two Gentlemen of Verona may also belong to Shakespeare's earliest period. His first histories, which draw heavily on the 1587 edition of Raphael Holinshed's Chronicles of England, Scotland, and Ireland, dramatise the destructive results of weak or corrupt rule and have been interpreted as a justification for the origins of the Tudor dynasty. The early plays were influenced by the works of other Elizabethan dramatists, especially Thomas Kyd and Christopher Marlowe, by the traditions of medieval drama, and by the plays of Seneca. The Comedy of Errors was also based on classical models, but no source for The Taming of the Shrew has been found, though it is related to a separate play of the same name and may have derived from a folk story. Like The Two Gentlemen of Verona, in which two friends appear to approve of rape, the Shrews story of the taming of a woman's independent spirit by a man sometimes troubles modern critics, directors, and audiences. Shakespeare's early classical and Italianate comedies, containing tight double plots and precise comic sequences, give way in the mid-1590s to the romantic atmosphere of his most acclaimed comedies. A Midsummer Night's Dream is a witty mixture of romance, fairy magic, and comic lowlife scenes. Shakespeare's next comedy, the equally romantic Merchant of Venice, contains a portrayal of the vengeful Jewish moneylender Shylock, which reflects Elizabethan views but may appear derogatory to modern audiences. The wit and wordplay of Much Ado About Nothing, the charming rural setting of As You Like It, and the lively merrymaking of Twelfth Night complete Shakespeare's sequence of great comedies. After the lyrical Richard II, written almost entirely in verse, Shakespeare introduced prose comedy into the histories of the late 1590s, Henry IV, parts 1 and 2, and Henry V. His characters become more complex and tender as he switches deftly between comic and serious scenes, prose and poetry, and achieves the narrative variety of his mature work. This period begins and ends with two tragedies: Romeo and Juliet, the famous romantic tragedy of sexually charged adolescence, love, and death; and Julius Caesar—based on Sir Thomas North's 1579 translation of Plutarch's Parallel Lives—which introduced a new kind of drama. According to Shakespearean scholar James Shapiro, in Julius Caesar, "the various strands of politics, character, inwardness, contemporary events, even Shakespeare's own reflections on the act of writing, began to infuse each other". In the early 17th century, Shakespeare wrote the so-called "problem plays" Measure for Measure, Troilus and Cressida, and All's Well That Ends Well and a number of his best known tragedies. Many critics believe that Shakespeare's greatest tragedies represent the peak of his art. The titular hero of one of Shakespeare's greatest tragedies, Hamlet, has probably been discussed more than any other Shakespearean character, especially for his famous soliloquy which begins "To be or not to be; that is the question". Unlike the introverted Hamlet, whose fatal flaw is hesitation, the heroes of the tragedies that followed, Othello and King Lear, are undone by hasty errors of judgement. The plots of Shakespeare's tragedies often hinge on such fatal errors or flaws, which overturn order and destroy the hero and those he loves. In Othello, the villain Iago stokes Othello's sexual jealousy to the point where he murders the innocent wife who loves him. In King Lear, the old king commits the tragic error of giving up his powers, initiating the events which lead to the torture and blinding of the Earl of Gloucester and the murder of Lear's youngest daughter Cordelia. According to the critic Frank Kermode, "the play...offers neither its good characters nor its audience any relief from its cruelty". In Macbeth, the shortest and most compressed of Shakespeare's tragedies, uncontrollable ambition incites Macbeth and his wife, Lady Macbeth, to murder the rightful king and usurp the throne until their own guilt destroys them in turn. In this play, Shakespeare adds a supernatural element to the tragic structure. His last major tragedies, Antony and Cleopatra and Coriolanus, contain some of Shakespeare's finest poetry and were considered his most successful tragedies by the poet and critic T. S. Eliot. In his final period, Shakespeare turned to romance or tragicomedy and completed three more major plays: Cymbeline, The Winter's Tale, and The Tempest, as well as the collaboration, Pericles, Prince of Tyre. Less bleak than the tragedies, these four plays are graver in tone than the comedies of the 1590s, but they end with reconciliation and the forgiveness of potentially tragic errors. Some commentators have seen this change in mood as evidence of a more serene view of life on Shakespeare's part, but it may merely reflect the theatrical fashion of the day. Shakespeare collaborated on two further surviving plays, Henry VIII and The Two Noble Kinsmen, probably with John Fletcher. Performances It is not clear for which companies Shakespeare wrote his early plays. The title page of the 1594 edition of Titus Andronicus reveals that the play had been acted by three different troupes. After the plagues of 1592–93, Shakespeare's plays were performed by his own company at The Theatre and the Curtain in Shoreditch, north of the Thames. Londoners flocked there to see the first part of Henry IV, Leonard Digges recording, "Let but Falstaff come, Hal, Poins, the rest ... and you scarce shall have a room". When the company found themselves in dispute with their landlord, they pulled The Theatre down and used the timbers to construct the Globe Theatre, the first playhouse built by actors for actors, on the south bank of the Thames at Southwark. The Globe opened in autumn 1599, with Julius Caesar one of the first plays staged. Most of Shakespeare's greatest post-1599 plays were written for the Globe, including Hamlet, Othello, and King Lear. After the Lord Chamberlain's Men were renamed the King's Men in 1603, they entered a special relationship with the new King James. Although the performance records are patchy, the King's Men performed seven of Shakespeare's plays at court between 1 November 1604, and 31 October 1605, including two performances of The Merchant of Venice. After 1608, they performed at the indoor Blackfriars Theatre during the winter and the Globe during the summer. The indoor setting, combined with the Jacobean fashion for lavishly staged masques, allowed Shakespeare to introduce more elaborate stage devices. In Cymbeline, for example, Jupiter descends "in thunder and lightning, sitting upon an eagle: he throws a thunderbolt. The ghosts fall on their knees." The actors in Shakespeare's company included the famous Richard Burbage, William Kempe, Henry Condell and John Heminges. Burbage played the leading role in the first performances of many of Shakespeare's plays, including Richard III, Hamlet, Othello, and King Lear. The popular comic actor Will Kempe played the servant Peter in Romeo and Juliet and Dogberry in Much Ado About Nothing, among other characters. He was replaced around 1600 by Robert Armin, who played roles such as Touchstone in As You Like It and the fool in King Lear. In 1613, Sir Henry Wotton recorded that Henry VIII "was set forth with many extraordinary circumstances of pomp and ceremony". On 29 June, however, a cannon set fire to the thatch of the Globe and burned the theatre to the ground, an event which pinpoints the date of a Shakespeare play with rare precision. Textual sources In 1623, John Heminges and Henry Condell, two of Shakespeare's friends from the King's Men, published the First Folio, a collected edition of Shakespeare's plays. It contained 36 texts, including 18 printed for the first time. Many of the plays had already appeared in quarto versions—flimsy books made from sheets of paper folded twice to make four leaves. No evidence suggests that Shakespeare approved these editions, which the First Folio describes as "stol'n and surreptitious copies". Nor did Shakespeare plan or expect his works to survive in any form at all; those works likely would have faded into oblivion but for his friends' spontaneous idea, after his death, | to the point where he murders the innocent wife who loves him. In King Lear, the old king commits the tragic error of giving up his powers, initiating the events which lead to the torture and blinding of the Earl of Gloucester and the murder of Lear's youngest daughter Cordelia. According to the critic Frank Kermode, "the play...offers neither its good characters nor its audience any relief from its cruelty". In Macbeth, the shortest and most compressed of Shakespeare's tragedies, uncontrollable ambition incites Macbeth and his wife, Lady Macbeth, to murder the rightful king and usurp the throne until their own guilt destroys them in turn. In this play, Shakespeare adds a supernatural element to the tragic structure. His last major tragedies, Antony and Cleopatra and Coriolanus, contain some of Shakespeare's finest poetry and were considered his most successful tragedies by the poet and critic T. S. Eliot. In his final period, Shakespeare turned to romance or tragicomedy and completed three more major plays: Cymbeline, The Winter's Tale, and The Tempest, as well as the collaboration, Pericles, Prince of Tyre. Less bleak than the tragedies, these four plays are graver in tone than the comedies of the 1590s, but they end with reconciliation and the forgiveness of potentially tragic errors. Some commentators have seen this change in mood as evidence of a more serene view of life on Shakespeare's part, but it may merely reflect the theatrical fashion of the day. Shakespeare collaborated on two further surviving plays, Henry VIII and The Two Noble Kinsmen, probably with John Fletcher. Performances It is not clear for which companies Shakespeare wrote his early plays. The title page of the 1594 edition of Titus Andronicus reveals that the play had been acted by three different troupes. After the plagues of 1592–93, Shakespeare's plays were performed by his own company at The Theatre and the Curtain in Shoreditch, north of the Thames. Londoners flocked there to see the first part of Henry IV, Leonard Digges recording, "Let but Falstaff come, Hal, Poins, the rest ... and you scarce shall have a room". When the company found themselves in dispute with their landlord, they pulled The Theatre down and used the timbers to construct the Globe Theatre, the first playhouse built by actors for actors, on the south bank of the Thames at Southwark. The Globe opened in autumn 1599, with Julius Caesar one of the first plays staged. Most of Shakespeare's greatest post-1599 plays were written for the Globe, including Hamlet, Othello, and King Lear. After the Lord Chamberlain's Men were renamed the King's Men in 1603, they entered a special relationship with the new King James. Although the performance records are patchy, the King's Men performed seven of Shakespeare's plays at court between 1 November 1604, and 31 October 1605, including two performances of The Merchant of Venice. After 1608, they performed at the indoor Blackfriars Theatre during the winter and the Globe during the summer. The indoor setting, combined with the Jacobean fashion for lavishly staged masques, allowed Shakespeare to introduce more elaborate stage devices. In Cymbeline, for example, Jupiter descends "in thunder and lightning, sitting upon an eagle: he throws a thunderbolt. The ghosts fall on their knees." The actors in Shakespeare's company included the famous Richard Burbage, William Kempe, Henry Condell and John Heminges. Burbage played the leading role in the first performances of many of Shakespeare's plays, including Richard III, Hamlet, Othello, and King Lear. The popular comic actor Will Kempe played the servant Peter in Romeo and Juliet and Dogberry in Much Ado About Nothing, among other characters. He was replaced around 1600 by Robert Armin, who played roles such as Touchstone in As You Like It and the fool in King Lear. In 1613, Sir Henry Wotton recorded that Henry VIII "was set forth with many extraordinary circumstances of pomp and ceremony". On 29 June, however, a cannon set fire to the thatch of the Globe and burned the theatre to the ground, an event which pinpoints the date of a Shakespeare play with rare precision. Textual sources In 1623, John Heminges and Henry Condell, two of Shakespeare's friends from the King's Men, published the First Folio, a collected edition of Shakespeare's plays. It contained 36 texts, including 18 printed for the first time. Many of the plays had already appeared in quarto versions—flimsy books made from sheets of paper folded twice to make four leaves. No evidence suggests that Shakespeare approved these editions, which the First Folio describes as "stol'n and surreptitious copies". Nor did Shakespeare plan or expect his works to survive in any form at all; those works likely would have faded into oblivion but for his friends' spontaneous idea, after his death, to create and publish the First Folio. Alfred Pollard termed some of the pre-1623 versions as "bad quartos" because of their adapted, paraphrased or garbled texts, which may in places have been reconstructed from memory. Where several versions of a play survive, each differs from the other. The differences may stem from copying or printing errors, from notes by actors or audience members, or from Shakespeare's own papers. In some cases, for example, Hamlet, Troilus and Cressida, and Othello, Shakespeare could have revised the texts between the quarto and folio editions. In the case of King Lear, however, while most modern editions do conflate them, the 1623 folio version is so different from the 1608 quarto that the Oxford Shakespeare prints them both, arguing that they cannot be conflated without confusion. Poems In 1593 and 1594, when the theatres were closed because of plague, Shakespeare published two narrative poems on sexual themes, Venus and Adonis and The Rape of Lucrece. He dedicated them to Henry Wriothesley, Earl of Southampton. In Venus and Adonis, an innocent Adonis rejects the sexual advances of Venus; while in The Rape of Lucrece, the virtuous wife Lucrece is raped by the lustful Tarquin. Influenced by Ovid's Metamorphoses, the poems show the guilt and moral confusion that result from uncontrolled lust. Both proved popular and were often reprinted during Shakespeare's lifetime. A third narrative poem, A Lover's Complaint, in which a young woman laments her seduction by a persuasive suitor, was printed in the first edition of the Sonnets in 1609. Most scholars now accept that Shakespeare wrote A Lover's Complaint. Critics consider that its fine qualities are marred by leaden effects. The Phoenix and the Turtle, printed in Robert Chester's 1601 Love's Martyr, mourns the deaths of the legendary phoenix and his lover, the faithful turtle dove. In 1599, two early drafts of sonnets 138 and 144 appeared in The Passionate Pilgrim, published under Shakespeare's name but without his permission. Sonnets Published in 1609, the Sonnets were the last of Shakespeare's non-dramatic works to be printed. Scholars are not certain when each of the 154 sonnets was composed, but evidence suggests that Shakespeare wrote sonnets throughout his career for a private readership. Even before the two unauthorised sonnets appeared in The Passionate Pilgrim in 1599, Francis Meres had referred in 1598 to Shakespeare's "sugred Sonnets among his private friends". Few analysts believe that the published collection follows Shakespeare's intended sequence. He seems to have planned two contrasting series: one about uncontrollable lust for a married woman of dark complexion (the "dark lady"), and one about conflicted love for a fair young man (the "fair youth"). It remains unclear if these figures represent real individuals, or if the authorial "I" who addresses them represents Shakespeare himself, though Wordsworth believed that with the sonnets "Shakespeare unlocked his heart". The 1609 edition was dedicated to a "Mr. W.H.", credited as "the only begetter" of the poems. It is not known whether this was written by Shakespeare himself or by the publisher, Thomas Thorpe, whose initials appear at the foot of the dedication page; nor is it known who Mr. W.H. was, despite numerous theories, or whether Shakespeare even authorised the publication. Critics praise the Sonnets as a profound meditation on the nature of love, sexual passion, procreation, death, and time. Style Shakespeare's first plays were written in the conventional style of the day. He wrote them in a stylised language that does not always spring naturally from the needs of the characters or the drama. The poetry depends on extended, sometimes elaborate metaphors and conceits, and the language is often rhetorical—written for actors to declaim rather than speak. The grand speeches in Titus Andronicus, in the view of some critics, often hold up the action, for example; and the verse in The Two Gentlemen of Verona has been described as stilted. However, Shakespeare soon began to adapt the traditional styles to his own purposes. The opening soliloquy of Richard III has its roots in the self-declaration of Vice in medieval drama. At the same time, Richard's vivid self-awareness looks forward to the soliloquies of Shakespeare's mature plays. No single play marks a change from the traditional to the freer style. Shakespeare combined the two throughout his career, with Romeo and Juliet perhaps the best example of the mixing of the styles. By the time of Romeo and Juliet, Richard II, and A Midsummer Night's Dream in the mid-1590s, Shakespeare had begun to write a more natural poetry. He increasingly tuned his metaphors and images to the needs of the drama itself. Shakespeare's standard poetic form was blank verse, composed in iambic pentameter. In practice, this meant that his verse was usually unrhymed and consisted of ten syllables to a line, spoken with a stress on every second syllable. The blank verse of his early plays is quite different from that of his later ones. It is often beautiful, but its sentences tend to start, pause, and finish at the end of lines, with the risk of monotony. Once Shakespeare mastered traditional blank verse, he began to interrupt and vary its flow. This technique releases the new power and flexibility of the poetry in plays such as Julius Caesar and Hamlet. Shakespeare uses it, for example, to convey the turmoil in Hamlet's mind: After Hamlet, Shakespeare varied his poetic style further, particularly in the more emotional passages of the late tragedies. The literary critic A. C. Bradley described this style as "more concentrated, rapid, varied, and, in construction, less regular, not seldom twisted or elliptical". In the last phase of his career, Shakespeare adopted many techniques to achieve these effects. These included run-on lines, irregular pauses and stops, and extreme variations in sentence structure and length. In Macbeth, for example, the language darts from one unrelated metaphor or simile to another: "was the hope drunk/ Wherein you dressed yourself?" (1.7.35–38); "... pity, like a naked new-born babe/ Striding the blast, or heaven's cherubim, hors'd/ Upon the sightless couriers of the air ..." (1.7.21–25). The listener is challenged to complete the sense. The late romances, with their shifts in time and surprising turns of plot, inspired a last poetic style in which long and short sentences are set against one another, clauses are piled up, subject and object are reversed, and words are omitted, creating an effect of spontaneity. Shakespeare combined poetic genius with a practical sense of the theatre. Like all playwrights of the time, he dramatised stories from sources such as Plutarch and Holinshed. He reshaped each plot to create several centres of interest and to show as many sides of a narrative to the audience as possible. This strength of design ensures that a Shakespeare play can survive translation, cutting, and wide interpretation without loss to its core drama. As Shakespeare's mastery grew, he gave his characters clearer and more varied motivations and distinctive patterns of speech. He preserved aspects of his earlier style in the later plays, however. In Shakespeare's late romances, he deliberately returned to a more artificial style, which emphasised the illusion of theatre. Influence Shakespeare's work has made a lasting impression on later theatre and literature. In particular, he expanded the dramatic potential of characterisation, plot, language, and genre. Until Romeo and Juliet, for example, romance had not been viewed as a worthy topic for tragedy. Soliloquies had been used mainly to convey information about characters or events, but Shakespeare used them to explore characters' minds. His work heavily influenced later poetry. The Romantic poets attempted to revive Shakespearean verse drama, though with little success. Critic George Steiner described all English verse dramas from Coleridge to Tennyson as "feeble variations on Shakespearean themes." Shakespeare influenced novelists such as Thomas Hardy, William Faulkner, and Charles Dickens. The American novelist Herman Melville's soliloquies owe much to Shakespeare; his Captain Ahab in Moby-Dick is a classic tragic hero, inspired by King Lear. Scholars have identified 20,000 pieces of music linked to Shakespeare's works. These include three operas by Giuseppe Verdi, Macbeth, Otello and Falstaff, whose critical standing compares with that of the source plays. Shakespeare has also inspired many painters, including the Romantics and the Pre-Raphaelites. The Swiss Romantic artist Henry Fuseli, a friend of William Blake, even translated Macbeth into German. The psychoanalyst Sigmund Freud drew on Shakespearean psychology, in particular, that of Hamlet, for his theories of human nature. In Shakespeare's day, English grammar, spelling, and pronunciation were less standardised than they are now, and his use of language helped shape modern English. Samuel Johnson quoted him more often than any other author in his A Dictionary of the English Language, the first serious work of its type. Expressions such as "with bated breath" (Merchant of Venice) and "a foregone conclusion" (Othello) have found their way into everyday English speech. Shakespeare's influence extends far beyond his native England and the English language. His reception in Germany was particularly significant; as early as the 18th century Shakespeare was widely translated and popularised in Germany, and gradually became a "classic of the German Weimar era;" Christoph Martin Wieland was the first to produce complete translations of Shakespeare's plays in any language. Actor and theatre director Simon Callow writes, "this master, this titan, this genius, so profoundly British and so effortlessly universal, each different culture – German, Italian, Russian – was obliged to respond to the Shakespearean example; for the most part, they embraced it, and him, with joyous abandon, as the possibilities of language and character in action that he celebrated liberated writers across the continent. Some of the most deeply affecting productions of Shakespeare have been non-English, and non-European. He is that unique writer: he has something for everyone." According to Guinness World Records, Shakespeare remains the world's best-selling playwright, with sales of his plays and poetry believed to have achieved in excess of four billion copies in the almost 400 years since his death. He is also the third most translated author in history. Critical reputation Shakespeare was not revered in his lifetime, but he received a large amount of praise. In 1598, the cleric and author Francis Meres singled him out from a group of English playwrights as "the most excellent" in both comedy and tragedy. The authors of the Parnassus plays at St John's College, Cambridge, numbered him with Chaucer, Gower, and Spenser. In the First Folio, Ben Jonson called Shakespeare the "Soul of the age, the applause, delight, the wonder of our stage", although he had remarked elsewhere that "Shakespeare wanted art" (lacked skill). Between the Restoration of the monarchy in 1660 and the end of the 17th century, classical ideas were in vogue. As a result, critics of the time mostly rated Shakespeare below John Fletcher and Ben Jonson. Thomas Rymer, for example, condemned Shakespeare for mixing the comic with the tragic. Nevertheless, poet and critic John Dryden rated Shakespeare highly, saying of Jonson, "I admire him, but I love Shakespeare". For several decades, Rymer's view held sway; but during the 18th century, critics began to respond to Shakespeare on his own terms and acclaim what they termed his natural genius. A series of scholarly editions of his work, notably those of Samuel Johnson in 1765 and Edmond Malone in 1790, added to his growing reputation. By 1800, he was firmly enshrined as the national poet. In the 18th and 19th centuries, his reputation also spread abroad. Among those who championed him were the writers Voltaire, Goethe, Stendhal, and Victor Hugo. During |
the Eastman company to develop a practical celluloid film for this application. Initially using 19mm film, fed horizontally, shooting circular images, Dickson eventually settled on 35 mm film with a 1.33:1 picture ratio, a standard format which is still in use to this day in cinema. William Dickson and his team, at the Edison lab, simultaneously worked on the development of the Kinetoscope viewing machine. The first working prototype, using the 19mm film, was unveiled in May 1891 to a meeting of the National Federation of Women's Clubs, hosted by his wife. The 35mm camera was essentially finalised by the fall of 1892. The completed version of the 35mm Kinetoscope was unveiled at the Brooklyn Institute of Arts and Sciences on 9 May 1893. It was a peep show machine showing a continuous loop of film, lit by a small lamp, viewed individually through the window of a cabinet housing its components. William Dickson and his team created the illusion of movement by continuously moving the strip of perforated film, bearing sequential images, whilst illuminating it by brief flashes of light through the slit in a rotating shutter. They also devised the Kinetograph, a motion picture camera with rapid intermittent, or stop-and-go, film movement, to photograph films for in-house experiments and eventually, commercial Kinetoscope presentations, at speeds of up to 46 frames per second. In late 1894 or early 1895, William Dickson became an ad hoc advisor to the motion picture operation of the Latham brothers, Otway and Grey, who ran one of the leading Kinetoscope exhibition companies, and their father, Woodville Latham who had lectured in science. Seeking to develop a movie projector system, they hired former Edison employee Eugene Lauste, probably at Dickson's suggestion. In April 1895, Dickson left Edison's employ and provided some assistance to the Latham outfit. Alongside Lauste, he may have devised what would become known as the Latham loop, allowing the photography and exhibition of much longer filmstrips than had previously been possible. This idea had first been made public in 1890 in descriptions of the moving picture camera of William Friese-Greene. These former Edison associates helped to design the Eidoloscope projector system and a widescreen camera to film with, which would be used in the first commercial movie screening in world history on 20 May 1895. But Dickson soon parted company with them, to become part of the group that formed the American Mutoscope and Biograph Company, returning permanently to work in the United Kingdom in 1897 for the British side of the company. William Dickson was the first person to make a film of the Pope, and at the time his Biograph camera was blessed by Pope Leo XIII. The Mutoscope machines produced moving images by means of a revolving drum of photographs/frames, similar in concept to flip-books, taken from an actual piece of film. They were often featured at seaside locations, showing (usually) sequences of women undressing or acting as an artist's model. In Britain, they became known as "What the butler saw" machines, taking the name from one of the first and most famous softcore reels. Death His association with Biograph ended inexplicably in 1911. Dickson spent his last years quietly in his house in Twickenham, England. He died on September 28, 1935, at the age of 75. He died without being given credit for his contributions to the history of modern filmography. This omission was corrected by the exhaustive research of Gordon Hendricks and Paul Spehr who revealed the full extent of his contributions to many moving picture projects. Legacy Dickson was the first to direct and likely star in a film with live recording. In 1894, he directed The Dickson Experimental | films for in-house experiments and eventually, commercial Kinetoscope presentations, at speeds of up to 46 frames per second. In late 1894 or early 1895, William Dickson became an ad hoc advisor to the motion picture operation of the Latham brothers, Otway and Grey, who ran one of the leading Kinetoscope exhibition companies, and their father, Woodville Latham who had lectured in science. Seeking to develop a movie projector system, they hired former Edison employee Eugene Lauste, probably at Dickson's suggestion. In April 1895, Dickson left Edison's employ and provided some assistance to the Latham outfit. Alongside Lauste, he may have devised what would become known as the Latham loop, allowing the photography and exhibition of much longer filmstrips than had previously been possible. This idea had first been made public in 1890 in descriptions of the moving picture camera of William Friese-Greene. These former Edison associates helped to design the Eidoloscope projector system and a widescreen camera to film with, which would be used in the first commercial movie screening in world history on 20 May 1895. But Dickson soon parted company with them, to become part of the group that formed the American Mutoscope and Biograph Company, returning permanently to work in the United Kingdom in 1897 for the British side of the company. William Dickson was the first person to make a film of the Pope, and at the time his Biograph camera was blessed by Pope Leo XIII. The Mutoscope machines produced moving images by means of a revolving drum of photographs/frames, similar in concept to flip-books, taken from an actual piece of film. They were often featured at seaside locations, showing (usually) sequences of women undressing or acting as an artist's model. In Britain, they became known as "What the butler saw" machines, taking the name from one of the first and most famous softcore reels. Death His association with Biograph ended inexplicably in 1911. Dickson spent his last years quietly in his house in Twickenham, England. He died on September 28, 1935, at the age of 75. He died without being given credit for his contributions to the history of modern filmography. This omission was corrected by the exhaustive research of Gordon Hendricks and Paul Spehr who revealed the full extent of his contributions to many moving picture projects. Legacy Dickson was the first to direct and likely star in a film with live recording. In 1894, he directed The Dickson Experimental Sound Film. A man (likely Dickson) played "The Song of the Cabin Boy" on the violin into a megaphone used for a partially off-camera phonograph. The film was the first to use the Kinetophone, the first device used in the earliest sound films. Publications The Biograph in Battle (T. Fisher Unwin, London 1901). (reprinted Flicks Books, UK, 1995). History of the Kinetograph, Kinetoscope, and Kinetophonograph (with Antonia Dickson, MOMA Publications 2000 Facsimile of Dickson's own copy of the book published in 1895) An Authentic Life of Edison. The Life and Inventions of Thomas Alva Edison. (with Antonia Dickson, 8 volumes. New-York. Thomas Y. Crowell & Co. 1894) Timeline, the history of editing (John Buck 2018). (incl Dickson inventions)(Tablo Books ). See also The Dickson Experimental Sound Film Blacksmith Scene Fred Ott's Sneeze Edison's Black Maria List of people on stamps of the United States Eugene Lauste List of William Kennedy Dickson films References John Barnes, Filming the |
language. His views on foundationalism, internalism and externalism, speech acts, and the epistemic value of mystical experience, among many other topics, have been very influential. He earned his PhD from the University of Chicago and taught at the University of Michigan, Rutgers University, University of Illinois, and Syracuse University. Early life and education Alston was born to Eunice Schoolfield and William Alston on November 29, 1921, in Shreveport, Louisiana. He graduated from high school when he was 15 and went on to Centenary College of Louisiana, graduating in 1942 with a Bachelor of Music in piano. During World War II, he played clarinet and bass drum in a military band in California. During this time, he became interested in philosophy, sparked by W. Somerset Maugham's book The Razor's Edge, and read the works of well-known philosophers such as Jacques Maritain, Mortimer J. Adler, Francis Bacon, Plato, René Descartes, and John Locke. Alston was honorably discharged from the US army in 1946, going on to enter a graduate program for philosophy at the University of Chicago, even though he had never formally taken a class on the subject. While he was there, he learned more about philosophy from Richard McKeon and Charles Hartshorne, and he received his PhD in 1951. His dissertation was on the subject of the philosophy of Alfred North Whitehead. Career From 1949 until 1971, Alston was a professor at the University of Michigan, and he became professor of philosophy in 1961. He then taught at Rutgers University for five years, followed by the University of Illinois at Urbana–Champaign from 1976 to 1980 and then Syracuse University from 1980 to 1992. Alston's early work was on the philosophy of language, later going on to focus on epistemology and the philosophy of religion from | an Episcopalian, never fully endorsed), one of the most important contributions to Christian thought in the twentieth century. Alston was president of the Western Division (now the Central Division) of the American Philosophical Association in 1979, the Society for Philosophy and Psychology, and the Society of Christian Philosophers, which he co-founded. He was widely recognized as one of the core figures in the late twentieth-century revival of the philosophy of religion. He was elected a Fellow of the American Academy of Arts and Sciences in 1990. Death Alston died in a nursing home in Jamesville, New York, on September 13, 2009, at the age of 87. Bibliography Beyond "Justification": Dimensions of Epistemic Evaluation, Ithaca, New York: Cornell University Press, 2005. A Sensible Metaphysical Realism (The Aquinas Lecture, 2001), Milwaukee, Wisconsin: Marquette University Press, 2001. Illocutionary Acts and Sentence Meaning, Ithaca, New York: Cornell University Press, 2000. A Realist Conception of Truth, Ithaca, New York: Cornell University Press, 1996. Epistemic Justification: Essays in the Theory of Knowledge, Ithaca, New York: Cornell University Press, 1996. The Reliability of Sense Perception, Ithaca, New York: Cornell University Press, 1993. Perceiving God: The Epistemology of Religious Experience, Ithaca, New York: Cornell University Press, 1991. Divine Nature and Human Language: |
Cotillard, Rachel McAdams, Michael Sheen, Corey Stoll, Allison Pill, Tom Hiddleston, Adrien Brody, Kathy Bates, and Carla Bruni, the First Lady of France at the time of production. The film follows a young engaged couple in Paris who see their lives transformed. It debuted at the 2011 Cannes Film Festival on May 12, 2011. Allen said he wanted to "show the city emotionally" during the press conference. "I just wanted it to be the way I saw Paris—Paris through my eyes," he added. The film was almost universally praised, receiving a 93% on Rotten Tomatoes. Midnight in Paris won the Academy Award for Best Original Screenplay and became his highest-grossing film, making $151 million worldwide on a $17 million budget. In February 2012, Allen appeared on a panel at the 92nd Street Y in New York City with moderators Dick Cavett and Annette Insdorf, discussing his films and career. His next film, To Rome with Love, was a Rome-set comedy released in 2012. The film was structured in four vignettes featuring dialogue in both Italian and English. It marked Allen's return to acting since his last role in Scoop. Blue Jasmine debuted in July 2013. The film is set in San Francisco and New York, and stars Alec Baldwin, Cate Blanchett, Louis C.K., Andrew Dice Clay, Sally Hawkins, and Peter Sarsgaard. Opening to critical acclaim, the film earned Allen another Academy Award nomination for Best Original Screenplay, and Blanchett received the Academy Award for Best Actress. Allen co-starred with John Turturro in Fading Gigolo, written and directed by Turturro, which premiered in September 2013. In 2013 Allen shot the romantic comedy Magic in the Moonlight with Emma Stone, and Colin Firth in Nice, France. The film is set in the 1920s on the French Riviera. The film was a modest financial success, earning $51 million off a budget of $16 million. From July to August 2014 Allen filmed the mystery drama Irrational Man in Newport, Rhode Island, with Joaquin Phoenix, Emma Stone, Parker Posey and Jamie Blackley. Allen said that this film, as well as the next three he had planned, had the financing and full support of Sony Pictures Classics. His next film, Café Society, starred an ensemble cast, including Jesse Eisenberg, Kristen Stewart, and Blake Lively. Bruce Willis was set to co-star, but was replaced by Steve Carell during filming. The film is distributed by Amazon Studios, and opened the 2016 Cannes Film Festival on May 11, 2016, the third time Allen has opened the festival. On January 14, 2015, Amazon Studios announced a full-season order for a half-hour Amazon Prime Instant Video series that Allen would write and direct, marking the first time he has developed a television show. Allen said of the series, "I don't know how I got into this. I have no ideas and I'm not sure where to begin. My guess is that Roy Price [the head of Amazon Studios] will regret this." At the 2015 Cannes Film Festival, Allen said, in reference to his upcoming Amazon show, "It was a catastrophic mistake. I don't know what I'm doing. I'm floundering. I expect this to be a cosmic embarrassment." On September 30, 2016, Amazon Video debuted Allen's first television series production, Crisis in Six Scenes. The series is a comedy that takes place during the 1960s. It focuses on the life of a suburban family after a surprise visitor creates chaos among them. It stars Allen alongside Elaine May and Miley Cyrus. Cyrus plays a radical hippie fugitive who sells marijuana. In September 2016 Allen started filming Wonder Wheel, set in the 1950s in Coney Island, and starring Kate Winslet and Justin Timberlake. The film served as the closing night selection at the 55th New York Film Festival on October 15, 2017, and was theatrically released on December 1, 2017, as the first movie self-distributed to theaters by Amazon Studios. In 2017, Allen received a standing ovation when he made a rare public appearance at the 45th Annual Life Achievement Tribute award ceremony for Diane Keaton. Before presenting her with the award he spoke about their longtime collaboration and friendship, saying, "From the minute I met her, she was a great, great inspiration to me. Much of what I have accomplished in my life I owe for sure to her". His film A Rainy Day in New York, starring Timothée Chalamet, Selena Gomez, Elle Fanning, Jude Law, Diego Luna, Liev Schreiber and Rebecca Hall began production in New York in September 2017. Chalamet, Gomez and Hall announced, in the light of the #MeToo movement, that they would be donating their salaries to various charities. In February 2019 it was announced that Amazon Studios had dropped A Rainy Day in New York and would no longer finance, produce, or distribute films with Allen. He filed a lawsuit for $68 million, alleging Amazon gave "vague reasons" to terminate the contract, dropped the film over "a 25-year old, baseless allegation" and did not make payments. The case was later settled and dismissed. It was released throughout Europe beginning in July 2019, receiving mixed reviews and grossing $20 million at the box office. After over a year of delays, the film was released in the United States on October 9, 2020, by MPI Media Group and Signature Entertainment. 2020s In May 2019 it was announced that Allen's latest film would be titled Rifkin's Festival, and Variety magazine confirmed that its cast would include Christoph Waltz, Elena Anaya, Louis Garrel, Gina Gershon, Sergi López and Wallace Shawn and it would be produced by Gravier Productions. The film was produced with Mediapro, an independent Spanish TV-film company. Rifkin's Festival completed filming in October 2019. On September 18, 2020, it premiered at the San Sebastián International Film Festival. It has received mixed reviews, though Jessica Kiang of The New York Times called it "to the ravenous captive, like finding an unexpected stash of dessert". On March 2, 2020, it was announced that Grand Central Publishing would release Allen's autobiography, Apropos of Nothing, on April 7, 2020, This was after it was announced Allen had written a memoir and shopped it around to multiple prominent publishers who rejected it. The book was set to be released in the United States, Canada, Italy, Spain, and France, among others. According to the publisher, the book is a "comprehensive account of Allen's life, both personal and professional, and describes his work in films, theater, television, nightclubs, and print...Allen also writes of his relationships with family, friends, and the loves of his life." The decision to publish the book was met with backlash from Ronan Farrow, who cut ties with the publisher. Dylan Farrow also responded to the announcement of the release, saying "Hachette's publishing of Woody Allen's memoir is deeply upsetting to me personally and an utter betrayal of my brother." On March 5, 2020, 75 employees of Grand Central Publishing held a walkout to protest the release. On March 6, the publisher announced that it had canceled the book's release and returned the rights to Allen, saying, "The decision to cancel Mr. Allen's book was a difficult one. Over the past few days, HBG leadership had extensive conversations with our staff and others. After listening, we came to the conclusion that moving forward with publication would not be feasible for HBG." Novelist Stephen King criticized Hachette's decision to withdraw the book, saying it "makes me very uneasy. It's not him; I don't give a damn about Mr. Allen. It's who gets muzzled next that worries me." Executive director of PEN America Suzanne Nossel also criticized the decision. On March 6, 2020, Manuel Carcassonne of the Hachette's French branch, the publishing company Stock, announced it would publish the book if Allen permitted it. On March 23, 2020, Arcade published the memoir in English and La nave di Teseo published it in Italian. In June 2020, Allen appeared on Alec Baldwin's podcast Here's the Thing and talked about his career as a standup comedian, comedy writer, and filmmaker, as well as his life during the COVID-19 pandemic. In 2022, Allen promoted his film Rifkin's Festival and talked about his work, comedy career, and filmmaking in the age of streaming and covid on Leonard Maltin's podcast. Theatre While best known for his films, Allen has enjoyed a successful career in theatre, starting as early as 1960, when he wrote sketches for the revue From A to Z. His first great success was Don't Drink the Water, which opened in 1968, and ran for 598 performances for almost two years on Broadway. His success continued with Play It Again, Sam, which opened in 1969, starring Allen and Diane Keaton. The show played for 453 performances and was nominated for three Tony Awards, although none of the nominations were for Allen's writing or acting. In the 1970s, Allen wrote a number of one-act plays, most notably God and Death, which were published in his 1975 collection Without Feathers. In 1981, Allen's play The Floating Light Bulb opened on Broadway. It was a critical success and a commercial flop. Despite two Tony Award nominations, a Tony win for the acting of Brian Backer (who won the 1981 Theater World Award and a Drama Desk Award for his work), the play only ran for 62 performances. After a long hiatus from the stage, Allen returned to the theatre in 1995 with the one-act Central Park West, an installment in an evening of theatre, Death Defying Acts, that also included new work by David Mamet and Elaine May. For the next few years, Allen had no direct involvement with the stage, but notable productions of his work were staged. A production of God was staged at The Bank of Brazil Cultural Center in Rio de Janeiro, and theatrical adaptations of Allen's films Bullets Over Broadway and September were produced in Italy and France, respectively, without Allen's involvement. In 1997, rumors of Allen returning to the theatre to write a starring role for his wife Soon-Yi Previn turned out to be false. In 2003, Allen finally returned to the stage with Writer's Block, an evening of two one-acts—Old Saybrook and Riverside Drive—that played Off-Broadway. The production marked his stage-directing debut and sold out the entire run. Also in 2003, reports of Allen writing the book for a musical based on Bullets Over Broadway surfaced, and it opened in New York in 2014. The musical closed on August 24, 2014, after 156 performances and 33 previews. In 2004, Allen's first full-length play since 1981, A Second Hand Memory, was directed by Allen and enjoyed an extended run Off-Broadway. In June 2007 it was announced that Allen would make two more creative debuts in the theatre, directing a work he did not write and directing an opera—a reinterpretation of Puccini's Gianni Schicchi for the Los Angeles Opera—which debuted at the Dorothy Chandler Pavilion on September 6, 2008. Of his direction of the opera, Allen said, "I have no idea what I'm doing." His production of the opera opened the Festival of Two Worlds in Spoleto, Italy, in June 2009. In October 2011 Allen's one-act play Honeymoon Motel premiered as one in a series of one-act plays on Broadway titled Relatively Speaking. Also contributing to the plays are Elaine May and Ethan Coen with John Turturro directing. It was announced in February 2012 that Allen would adapt Bullets over Broadway into a Broadway musical. It opened on April 10, 2014, and closed on August 24, 2014. In March 2014 Allen's musical Bullets Over Broadway premiered at the St. James Theatre. The cast included Zach Braff, Nick Cordero and Betsy Wolfe. The show was directed and choreographed by Susan Stroman, known for directing the stage and film productions of Mel Brooks's The Producers. The show drew mixed reviews from critics but received six Tony Award nominations, including one for Allen for Best Book of a Musical. Jazz band Allen is a passionate fan of jazz, which appears often in the soundtracks to his films. He began playing clarinet as a child and took his stage name from clarinetist Woody Herman. He has performed publicly at least since the late 1960s, including with the Preservation Hall Jazz Band on the soundtrack of Sleeper. Woody Allen and his New Orleans Jazz Band have been playing each Monday evening at the Carlyle Hotel in Manhattan for many years specializing in New Orleans jazz from the early 20th century. He plays songs by Sidney Bechet, George Lewis, Johnny Dodds, Jimmie Noone, and Louis Armstrong. The documentary film Wild Man Blues (directed by Barbara Kopple) chronicles a 1996 European tour by Allen and his band, as well as his relationship with Previn. The band released the albums The Bunk Project (1993) and the soundtrack of Wild Man Blues (1997). In a 2011 review of a concert by Allen's jazz band, critic Kirk Silsbee of the Los Angeles Times suggested that Allen should be regarded a competent musical hobbyist with a sincere appreciation for early jazz: "Allen's clarinet won't make anyone forget Sidney Bechet, Barney Bigard or Evan Christopher. His piping tone and strings of staccato notes can't approximate melodic or lyrical phrasing. Still his earnestness and the obvious regard he has for traditional jazz counts for something." Allen and his band played at the Montreal International Jazz Festival on two consecutive nights in June 2008. For many years he wanted to make a film about the origins of jazz in New Orleans. Tentatively titled American Blues, the film would follow the different careers of Louis Armstrong and Sidney Bechet. Allen stated that the film would cost between $80 and $100 million and is therefore unlikely to be made. Influence Allen has said that he was enormously influenced by comedians Bob Hope, Groucho Marx, Mort Sahl, Charlie Chaplin, W.C. Fields, playwright George S. Kaufman and filmmakers Ernst Lubitsch and Ingmar Bergman. Many comedians have cited Allen as an influence, including Louis C.K., Larry David, Jon Stewart, Chris Rock, Steve Martin, John Mulaney, Bill Hader, Aziz Ansari, Sarah Silverman, Conan O'Brien, Seth MacFarlane, Seth Meyers, Richard Ayoade, Bill Maher, Albert Brooks, John Cleese and Garry Shandling. Many filmmakers have also cited Allen as an influence, including Wes Anderson, Greta Gerwig, Noah Baumbach, Luca Guadagnino, Nora Ephron, Whit Stillman, Mike Mills, Ira Sachs, Richard Linklater, Charlie Kaufman, Nicole Holofcener, Rebecca Miller, Tamara Jenkins, Alex Ross Perry, Greg Mottola, Lynn Shelton, Lena Dunham, Lawrence Michael Levine, Olivier Assayas, and the Safdie brothers. Directors who admire Allen's work include Quentin Tarantino, who called him "one of the greatest screenwriters of all time", as well as Martin Scorsese, who said in Woody Allen: A Documentary, "Woody's sensibilities of New York City is one of the reasons why I love his work, but they are extremely foreign to me. It's not another world; it's another planet". Stanley Donen stated he liked Allen's films, Spike Lee has called Allen a "great, great filmmaker" and Pedro Almodóvar has said he admires Allen's work. In 2012, directors Mike Leigh, Asghar Farhadi, and Martin McDonagh respectively included Radio Days (1987), Take the Money and Run (1969), and Manhattan among their Top 10 films for Sight & Sound. Other admirers of his work include Olivia Wilde and Jason Reitman, who staged live readings of Hannah and Her Sisters and Manhattan respectively. Filmmaker Edgar Wright listed five of Allen's films (Take the Money and Run, Bananas, Play It Again, Sam, Sleeper, Annie Hall) in his list of 100 Favorite Comedy films. Film critics including Roger Ebert and Barry Norman have highly praised Allen's work. In 1980, on Sneak Previews, Siskel and Ebert called Allen and Mel Brooks "the two most successful comedy directors in the world today ... America's two funniest filmmakers." Pauline Kael wrote of Allen that "his comic character is enormously appealing to people partly because he's the smart, urban guy who at the same time is intelligent, is vulnerable, and somehow by his intelligence, he triumphs". Favorite films In 2012, Allen participated in the Sight & Sound film polls. Held every ten years to select the greatest films of all time, contemporary directors were asked to select ten films of their choice. Allen's choices, in alphabetical order, were: The 400 Blows (France, 1959) 8½ (Italy, 1963) Amarcord (Italy, 1972) Bicycle Thieves (Italy, 1948) Citizen Kane (USA, 1941) The Discreet Charm of the Bourgeoisie (France, 1972) La Grande Illusion (France, 1937) Paths of Glory (USA, 1957) Rashomon (Japan, 1950) The Seventh Seal (Sweden, 1957) In his 2020 autobiography Apropos of Nothing Allen praised Elia Kazan's A Streetcar Named Desire (1951): Film activism and preservation In 1987, Allen joined Ginger Rogers, Sydney Pollack, and Miloš Forman at a Senate Judiciary committee hearing in Washington, D.C., where they each gave testimony against Ted Turner's and other companies' colorizing films without the artists' consent. Only one senator, Patrick Leahy, was present for the testimony. Allen testified: Allen also spoke about his decisions to make films in black and white, such as Manhattan, Stardust Memories, Broadway Danny Rose, and Zelig. Film director John Huston appeared in a pre-taped video, and Rogers read a statement by Jimmy Stewart criticizing the colorization of his film It's a Wonderful Life. In 1990, Allen and Martin Scorsese created The Film Foundation, a nonprofit film preservation organization that collaborates with film studios to restore prints of old or damaged films. Allen sat on the foundation's original board of directors alongside Robert Altman, Francis Ford Coppola, Clint Eastwood, Stanley Kubrick, George Lucas, Sydney Pollack, Robert Redford, and Steven Spielberg. Works Filmography Theatrical works In addition to directing, writing, and acting in films, Allen has written and performed in a number of Broadway theater productions. Bibliography Getting Even (1971) Without Feathers (1975) Side Effects (1980) The Insanity Defense: The Complete Prose (2007) Mere Anarchy (2007) Apropos of Nothing (2020) Zero Gravity (TBD) Discography Woody Allen (Colpix Records, 1964) Woody Allen Vol. 2 (Colpix Records, 1965) The Third Woody Allen Album (Capitol Records, 1968) The Nightclub Years 1964–1968 (United Artists Records, 1972) Standup Comic (Casablanca Records, 1978) Wild Man Blues (RCA Victor, 1998) Awards and honors Over his 50-year film career, Allen has received many award nominations. He currently holds the record for the most Academy Award nominations for Best Original Screenplay, with 16 nominations and three wins (Annie Hall, Hannah and Her Sisters, and Midnight in Paris). Allen has been nominated for Best Director seven times and won for Annie Hall. Three of Allen's films have been nominated for Academy Award for Best Picture, Annie Hall, Hannah and Her Sisters, and Midnight in Paris. Allen famously shuns award ceremonies, citing their subjectivity. His first and only appearance at the Academy Awards was at the 2002 Oscars, where he received a standing ovation. As a New York icon, he had been asked by the Academy to present a film montage of clips of New York City in the movies, which was put together by Nora Ephron, to honor the city after the 9/11 attack. Allen has received numerous honors including a Honorary Golden Palm from the Cannes Film Festival in 2002 and an Career Golden Lion from the Venice International Film Festival in 1995. He also received a BAFTA Fellowship in 1997, a Lifetime Achievement Award from the Directors Guild of America and a Golden Globe Cecil B. DeMille Award in 2014. He was elected a member of the American Philosophical Society in 2010. Personal life Allen has been married three times: to Harlene Rosen from 1956 to 1959, Louise Lasser from 1966 to 1970, and Soon-Yi Previn since 1997. He also had a 12-year relationship with actress Mia Farrow and relationships with Stacey Nelkin and Diane Keaton. Early marriages and relationships In 1956, Allen married Harlene Rosen. He was 20 and she was 17. The marriage lasted until 1959. Rosen, whom Allen called "the Dread Mrs. Allen" in his standup act, sued him for defamation as a result of comments he made during a television appearance shortly after their divorce. In his mid-1960s album Standup Comic, Allen said that Rosen had sued him because of a joke he made in an interview. Rosen had been sexually assaulted outside her apartment. According to Allen, the newspapers reported that she had been "violated". In the interview, Allen said, "Knowing my ex-wife, it probably wasn't a moving violation." In an interview on The Dick Cavett Show, Allen repeated his comments and said he had been sued for "$1 million". In 1966, Allen married Louise Lasser. They divorced in 1970. Lasser provided voice dubbing in Allen's What's Up, Tiger Lily? and appeared in three of his other films: Take the Money and Run, Bananas, and Everything You Always Wanted to Know About Sex* (*But Were Afraid to Ask). She also appeared briefly in Stardust Memories. According to the Los Angeles Times, Manhattan was based on Allen's romantic relationship with actress Stacey Nelkin. Her bit part in Annie Hall ended up on the cutting room floor, and their relationship, never publicly acknowledged by Allen, reportedly began when she was 17 and a student at Stuyvesant High School in New York. In December 2018 The Hollywood Reporter interviewed Babi Christina Engelhardt, who said she had an eight-year affair with Allen that began in 1976 when she was 17 years old (they met when she was 16), and that she believes the character of Tracy in Manhattan is a composite of any number of Allen's presumed other real-life young paramours from that period, not necessarily Nelkin or Engelhardt. When asked, Allen declined to comment. Diane Keaton In 1969, Allen cast Diane Keaton in his Broadway show Play It Again, Sam. During the run she and Allen became romantically involved. Although they broke up after a year, she continued to star in his films, including Sleeper as a futuristic poet and Love and Death as a composite character based on the novels of Tolstoy and Dostoevsky. Annie Hall was very important in Allen's and Keaton's careers. It is said that the role was written for her, as Keaton's birth name was Diane Hall. She then starred in Interiors as a poet, followed by Manhattan. In 1987, she had a cameo as a nightclub singer in Radio Days, and she was chosen to replace Mia Farrow in Manhattan Murder Mystery after Allen and Farrow began having problems with their relationship. In total Keaton has starred in eight of Allen's films. As of 2018 Keaton and Allen remain close friends. In a rare public appearance, Allen presented Keaton with the AFI Life Achievement Award in 2017. Mia Farrow Allen and Mia Farrow met in 1979 and began a relationship in 1980; Farrow starred in 13 of Allen's films from 1982 to 1992. Throughout the relationship they lived in separate apartments on opposite sides of Central Park in Manhattan. Farrow had seven children when they met: three biological sons from her marriage to composer André Previn, three adopted girls (two Vietnamese and one South Korean, Soon-Yi Previn), and an adopted South Korean boy, Moses Farrow. In 1984, she and Allen tried to conceive a child together; Allen agreed to this on the understanding that he need not be involved in the child's care. When the effort to get pregnant failed, Farrow adopted a baby girl, Dylan Farrow, in July 1985. Allen was not involved in the adoption, but when Dylan arrived he assumed a parental role toward her and began spending more time in Farrow's home. On December 19, 1987, Farrow gave birth to their son Satchel Farrow (later known as Ronan Farrow). According to Allen, his intimate relationship with Mia Farrow ceased completely after Satchel's birth and he was asked to return her apartment key; they maintained a working relationship when they filmed a movie, and he regularly visited Moses, Dylan and Satchel, but he and Mia were only "social companions on those occasions where there'd be a dinner, an event, but after the event she'd go home and I'd go home." In 1991, Farrow wanted to adopt another child. According to a 1993 custody hearing, Allen told her he would not object to another adoption so long as she would agree to his adoption of Dylan and Moses; that adoption was finalized in December 1991. Eric Lax, Allen's biographer, wrote in The New York Times that Allen was "there before they [the children] wake up in the morning, he sees them during the day and he helps put them to bed at night". Soon-Yi Previn In 1977, Mia Farrow and André Previn adopted Soon-Yi Previn from Seoul, South Korea. She had been abandoned. The Seoul Family Court established a Family Census Register (legal birth document) on her behalf on December 28, 1976, with a presumptive birth date of October 8, 1970; according to Maureen Orth, a bone scan in the U.S. estimated that she was between five and seven years old. According to Previn, her first friendly interaction with Allen took place when she was injured playing soccer during 11th grade and Allen offered to transport her to school. After her injury, she began attending New York Knicks basketball games with Allen in 1990. They attended more games and by 1991 had become closer. In September 1991, she began studies at Drew University in | In 1997, Allen was awarded the BAFTA Fellowship by the British Academy of Film and Television Arts. In 2014, he received the Golden Globe Cecil B. DeMille Award for Lifetime Achievement and a Tony Award nomination for Best Book of a Musical for Bullets over Broadway. In 2015, the Writers Guild of America named his screenplay for Annie Hall first on its list of the "101 Funniest Screenplays". In 2011, PBS televised the film biography Woody Allen: A Documentary on its series American Masters. Early life Allen was born in Brooklyn, New York, as Allan Stewart Konigsberg at Mount Eden Hospital in the Bronx, New York City, on November 30, 1935. He is Jewish. Allen's parents were Nettie (née Cherry; 1906–2002), a bookkeeper at her family's delicatessen, and Martin Konigsberg (1900–2001), a jewelry engraver and waiter. His grandparents were immigrants to the U.S. from Austria and the Lithuanian city of Panevėžys. They spoke German, Hebrew and Yiddish. He and his younger sister, film producer Letty, were raised in Brooklyn's Midwood neighborhood. Both of their parents were born and raised on the Lower East Side of Manhattan. Allen's parents did not get along, and he had an estranged relationship with his authoritarian, ill-tempered mother. He spoke German in his early years. He later joked that he was often sent to inter-faith summer camps when he was young. While attending Hebrew school for eight years, he went to Public School 99 (now the Isaac Asimov School for Science and Literature) and Midwood High School, graduating in 1953. Unlike his comic persona, he was more interested in baseball than school and his strong arm ensured he was picked first for teams. He impressed students with his talent for cards and magic tricks. Allen wrote jokes (or "gags") for agent David O. Alber to make money, and Alber sold them to newspaper columnists. At age 17, he legally changed his name to Heywood Allen and later began to call himself Woody. According to Allen, his first published joke read: "Woody Allen says he ate at a restaurant that had O.P.S. prices—over people's salaries." He was soon earning more than both of his parents combined. After high school, he attended New York University, studying communication and film in 1953, before dropping out after failing the course "Motion Picture Production". He studied film at City College of New York in 1954, but left during the first semester. He taught himself rather than studying in the classroom. He later taught at The New School and studied with writing teacher Lajos Egri. Career Comedy writer Allen began writing short jokes when he was 15, and the following year began sending them to various Broadway writers to see if they'd be interested in buying any. One of those writers was Abe Burrows, coauthor of Guys and Dolls, who wrote, "Wow! His stuff was dazzling." Burrows then wrote Allen letters of introduction to Sid Caesar, Phil Silvers, and Peter Lind Hayes, who immediately sent Allen a check for just the jokes Burrows included as samples. As a result of the jokes Allen mailed to various writers, he was invited, then age 19, to join the NBC Writer's Development Program in 1955, followed by a job on The NBC Comedy Hour in Los Angeles. He was later hired as a full-time writer for humorist Herb Shriner, initially earning $25 a week. He began writing scripts for The Ed Sullivan Show, The Tonight Show, specials for Sid Caesar post-Caesar's Hour (1954–1957), and other television shows. By the time he was working for Caesar, he was earning $1,500 a week. He worked alongside Mel Brooks, Carl Reiner, Larry Gelbart, and Neil Simon. He also worked with Danny Simon, whom Allen credits for helping form his writing style. In 1962 alone, he estimated that he wrote twenty thousand jokes for various comics. Allen also wrote for the Candid Camera television show, and appeared in some episodes. He wrote jokes for the Buddy Hackett sitcom Stanley and for The Pat Boone Chevy Showroom, and in 1958 he co-wrote a few Sid Caesar specials with Larry Gelbart. After writing for many of television's leading comedians and comedy shows, Allen was gaining a reputation as a "genius", composer Mary Rodgers said. When given an assignment for a show he would leave and come back the next day with "reams of paper", according to producer Max Liebman. Similarly, after he wrote for Bob Hope, Hope called him "half a genius". His daily writing routine could last as long as 15 hours, and he could focus and write anywhere necessary. Dick Cavett was amazed at Allen's capacity to write: "He can go to a typewriter after breakfast and sit there until the sun sets and his head is pounding, interrupting work only for coffee and a brief walk, and then spend the whole evening working." When Allen wrote for other comedians, they would use eight out of ten of his jokes. When he began performing as a stand-up, he was much more selective, typically using only one out of ten jokes. He estimated that to prepare for a 30-minute show, he spent six months of intensive writing. He enjoyed writing, however, despite the work: "Nothing makes me happier than to tear open a ream of paper. And I can't wait to fill it! I love to do it." Allen started writing short stories and cartoon captions for magazines such as The New Yorker; he was inspired by the tradition of New Yorker humorists S. J. Perelman, George S. Kaufman, Robert Benchley, and Max Shulman, whose material he modernized. His collections of short pieces includes Getting Even, Without Feathers, Side Effects, and Mere Anarchy. His early comic fiction was influenced by the zany, pun-ridden humor of S.J. Perelman. In 2010 Allen released audio versions of his books in which he read 73 selections entitled, The Woody Allen Collection. He was nominated for a Grammy Award for Best Spoken Word Album. Stand-up comedian From 1960 to 1969 Allen performed as a comedian to supplement his comedy writing. He worked in various places around Greenwich Village, including The Bitter End and Cafe Au Go Go, alongside such contemporaries as Lenny Bruce, the team of Mike Nichols and Elaine May, Joan Rivers, George Carlin, Richard Pryor, Dick Cavett, Bill Cosby and Mort Sahl (his personal favorite), as well as such other artists of the day as Bob Dylan and Barbra Streisand. Comedian Milton Berle claims to have suggested to Allen to go into standup comedy and even introduced him at the Village Vanguard. Comedy historian Gerald Nachman writes that Allen, while not the first to do standup, eventually had greater impact than all the others in the 1960s, and redefined standup comedy: "He helped turn it into biting, brutally honest satirical commentary on the cultural and psychological tenor of the times." After Allen was taken under the wing of his new manager, Jack Rollins, who had recently discovered Nichols and May, Rollins suggested he perform his written jokes as a stand-up. Allen was resistant at first, but after seeing Mort Sahl on stage, he felt safer to give it a try: "I'd never had the nerve to talk about it before. Then Mort Sahl came along with a whole new style of humor, opening up vistas for people like me." Allen made his professional stage debut at the Blue Angel nightclub in Manhattan in October 1960, where comedian Shelley Berman introduced him as a young television writer who would perform his own material. His early stand-up shows with his different style of humor were not always well received or understood by his audiences. Unlike other comedians, Allen spoke to his audiences in a gentle and conversational style, often appearing to be searching for words, although he was well rehearsed. He acted "normal", dressed casually, and made no attempt to project a stage "personality". And he did not improvise: "I put very little premium on improvisation," he told Studs Terkel. His jokes were created from life experiences, and typically presented with a dead serious demeanor that made them funnier: "I don't think my family liked me. They put a live teddy bear in my crib." The subjects of his jokes were rarely topical, political or socially relevant. Unlike Bruce and Sahl, he did not discuss current events such as civil rights, women's rights, the Cold War, or Vietnam. And although he was described as a "classic nebbish", he did not tell the standard Jewish jokes of the period. Comedy screenwriter Larry Gelbart compared Allen's style to Elaine May's: "He just styled himself completely after her". Like Nichols and May, he often made fun of intellectuals. Cavett, who was among the minority to quickly appreciate Allen's style, recalls seeing the Blue Angel audience mostly ignore Allen's monologue: "I recognized immediately that there was no young comedian in the country in the same class with him for sheer brilliance of jokes, and I resented the fact that the audience was too dumb to realize what they were getting." It was his subdued stage presence that eventually became one of Allen's strongest traits, Nachman argues: "The utter absence of showbiz veneer and shtick was the best shtick any comedian had ever devised. This uneasy onstage naturalness became a trademark." When the media finally noticed, writers like The New York Timess Arthur Gelb described Allen's nebbish quality as "Chaplinesque" and "refreshing". Allen developed an anxious, nervous, and intellectual persona for his stand-up act, a successful move that secured regular gigs for him in nightclubs and on television. He brought innovation to the comedy monologue genre and his stand-up comedy is considered influential. Allen first appeared on The Tonight Show Starring Johnny Carson on November 1, 1963, and over nine years his guest appearances included 17 in the host's chair. He subsequently released three LP albums of live nightclub recordings: the self-titled Woody Allen (1964), Volume 2 (1965), and The Third Woody Allen Album (1968), recorded at a fund-raiser for Senator Eugene McCarthy's presidential run. In 1965, Allen filmed a half-hour standup special in England for Granada Television, titled The Woody Allen Show in the U.K. and Woody Allen: Standup Comic in the U.S. It is the only complete standup show of Allen's on film. The same year, Allen along with Nichols and May, Barbara Streisand, Carol Channing, Harry Belafonte, Julie Andrews, Carol Burnett, and Alfred Hitchcock took part in Lyndon B. Johnson’s inaugural gala in Washington, D.C., on January 18, 1965. First Lady Lady Bird Johnson described Allen and the event in her published diary, A White House Diary, writing in part, "Woody Allen, that forlorn, undernourished little comedian, stopped shooting a movie in Paris and flew across the Atlantic for about five minutes of jokes". In 1966, Allen wrote an hourlong musical comedy television special for CBS, Gene Kelly in New York City. It focused on Gene Kelly in a musical tour around Manhattan, dancing along such landmarks as Rockefeller Center, the Plaza Hotel and the Museum of Modern Art, which serve as backdrops for the show's production numbers. Allen appeared in the special alongside Kelly. Guest stars included choreographer Gower Champion, British musical comedy star Tommy Steele, and songstress Damita Jo DeBlanc. In 1967, Allen hosted a TV special for NBC, Woody Allen Looks at 1967. It featured Liza Minnelli, who acted alongside Allen in some skits; Aretha Franklin, the musical guest; and conservative writer William F. Buckley, the featured guest. In 1969, Allen hosted his first American special for CBS television, The Woody Allen Special, which included skits with Candice Bergen, a musical performance from the 5th Dimension, and an interview between Allen and Billy Graham. Allen also performed standup comedy on other series, including The Andy Williams Show and The Perry Como Show, where he interacted with other guests and occasionally sang. In 1971, he hosted one of his final Tonight Shows, with guests Bob Hope and James Coco. Hope praised Allen on the show, calling him "one of the finest young talents in show business and a great delight". Life magazine put Allen on the cover of its March 21, 1969, issue. In 1979, Allen paid tribute to one of his comedy idols, Bob Hope, at the Film Society at Lincoln Center, creating a special for the event titled "My Favorite Comedian" that included clips from Hope's films, selected and narrated by Allen. Hope said of the honor, "It's great to have your past spring up in front of your eyes, especially when it's done by Woody Allen, because he's a near genius. Not a whole genius, but a near genius". Dick Cavett served as the host, but Allen was absent, editing Manhattan. Guests at the event included Diane Keaton, Kurt Vonnegut, and Andy Warhol. Playwright In 1966, Allen wrote the play Don't Drink the Water. The play starred Lou Jacobi, Kay Medford, Anita Gillette and Allen's future movie co-star Tony Roberts. A film adaptation of the play, directed by Howard Morris, was released in 1969, starring Jackie Gleason. Because he was not particularly happy with that version, in 1994 Allen directed and starred in a second version for television, with Michael J. Fox and Mayim Bialik. The next play Allen wrote for Broadway was Play It Again, Sam, in which he also starred. The play opened on February 12, 1969, and ran for 453 performances. It featured Diane Keaton and Roberts. The play was significant to Keaton's budding career, and she has said she was in "awe" of Allen even before auditioning for her role, which was the first time she met him. In a 2013 interview Keaton said that she "fell in love with him right away", adding, "I wanted to be his girlfriend so I did something about it." After co-starring alongside Allen in the subsequent film version of Play It Again, Sam, she later co-starred in Sleeper, Love and Death, Annie Hall, Interiors and Manhattan. "He showed me the ropes and I followed his lead. He is the most disciplined person I know. He works very hard," Keaton has said. In 1981, Allen's play The Floating Light Bulb, starring Danny Aiello and Bea Arthur, premiered on Broadway and ran for 65 performances. While receiving mixed reviews, it gave autobiographical insight into Allen's childhood, specifically his fascination with magic tricks. The play, set in 1945, is a semi-autobiographical tale of a lower-middle-class family in Brooklyn. New York Times critic Frank Rich gave the play a mild review, writing, "there are a few laughs, a few well-wrought characters, and, in Act II, a beautifully written scene that leads to a moving final curtain". Rich also compared the play to Tennessee Williams's work. Allen has written several one-act plays off Broadway, including Riverside Drive, Old Saybrook and A Second Hand Memory, at the Variety Arts Theatre. On March 8, 1995, Allen's one-act play Central Park West opened off-Broadway as a part of a larger piece titled Death Defying Acts, with two other one-act plays, one by David Mamet, and one by Elaine May. Critics described Allen's contribution as "the longest and most substantial of the evening". On October 20, 2011, Allen's one-act play Honeymoon Motel opened on Broadway as part of a larger piece titled Relatively Speaking, with two other one-act plays, one by Ethan Coen and one by Elaine May. On March 11, 2014, Allen's musical Bullets over Broadway opened on Broadway at the St. James Theatre. It was directed and choreographed by Susan Stroman and starred Zack Braff, Nick Cordero, and Betsy Wolfe. The production received mixed reviews, with The Hollywood Reporter writing, "this frothy show does provide dazzling art direction and performances, as well as effervescent ensemble numbers." Allen received a Tony Award nomination for Best Book of a Musical. The show received six Tony nominations. Early films Allen's first movie was the Charles K. Feldman production What's New, Pussycat? (1965), for which he wrote the screenplay. He was disappointed with the final product, which inspired him to direct every film he wrote thereafter except Play It Again, Sam. Allen's first directorial effort was What's Up, Tiger Lily? (1966, co-written with Mickey Rose), in which an existing Japanese spy movie—Kokusai himitsu keisatsu: Kagi no kagi (1965), "International Secret Police: Key of Keys"—was redubbed in English by Allen and friends with fresh new, comic dialogue. In 1967, Allen played Jimmy Bond in the 007 spoof Casino Royale. In 1969, Allen directed, starred in, and co-wrote (with Mickey Rose) Take the Money and Run, which he considers his true film directorial debut. The film received positive reviews; critic Vincent Canby of The New York Times wrote, "Allen has made a movie that is, in effect, a feature-length, two-reel comedy—something very special and eccentric and funny." Allen later signed a deal with United Artists to produce several films. 1970s During the 1970s, Allen directed films that were later known as his "early, funny" work. These include Bananas (1971, co-written with Rose), Everything You Always Wanted to Know About Sex* (*But Were Afraid to Ask) (1972), Sleeper (1973), and Love and Death (1975). Sleeper was the first of four screenplays co-written by Allen and Marshall Brickman. In 1972, Allen wrote and starred in the film version of Play It Again, Sam, directed by Herbert Ross and co-starring Diane |
for Best Direction for his narrative drama Paris, Texas (1984), which also won the Palme d'Or at the 1984 Cannes Film Festival. Many of his subsequent films have also been recognized at Cannes, including Wings of Desire (1987), for which he won the Best Director Award at the 1987 Cannes Film Festival. Wenders has been the president of the European Film Academy in Berlin since 1996. Alongside filmmaking, he is an active photographer, emphasizing images of desolate landscapes. He is considered an auteur director. Early life Wenders was born in Düsseldorf into a traditionally Catholic family. His father, Heinrich Wenders, was a surgeon. The Dutch name "Wim" is a shortened version of the baptismal name "Wilhelm". As a boy, Wenders took unaccompanied trips to Amsterdam to visit the Rijksmuseum. He graduated from high school in Oberhausen in the Ruhr area. He then studied medicine at the University of Freiburg (1963–64) and philosophy at the University of Dusseldorf (1964–65), but dropped out and moved to Paris in October 1966 in order to become a painter. Wenders failed his entry test at France's national film school, IDHEC (now La Fémis), and instead became an engraver at Johnny Friedlaender's studio in Montparnasse. During this time Wenders became fascinated with cinema, and saw up to five movies a day at the local movie theater. Set on making his obsession his life's work, he returned to Germany in 1967 to work in the Düsseldorf office of United Artists. That fall, he entered the Hochschule für Fernsehen und Film München (University of Television and Film Munich). Between 1967 and 1970, while at the "HFF", he also worked as a film critic for FilmKritik, the Munich daily newspaper Süddeutsche Zeitung, Twen magazine, and Der Spiegel. Wenders completed several short films before graduating from the Hochschule with a 16mm black-and-white film, Summer in the City (1970), his feature directorial debut. Career Wenders's career began in the late 1960s, the New German Cinema era. Much of the distinctive cinematography in his movies is the result of a long-term collaboration with Dutch cinematographer Robby Müller. Paris, Texas and Wings of Desire were the result of collaborations with avant-garde authors Peter Handke and Sam Shepard. Handke's novel The Goalie's Anxiety at the Penalty Kick was adapted for Wenders's second feature film, The Goalkeeper's Fear of the Penalty. Handke co-wrote the script for Wings of Desire and Until the end of the World. Wenders has directed several highly acclaimed documentaries, most notably Buena Vista Social Club (1999), about Cuban musicians, and The Soul of a Man (2003), on American blues. He also directed a documentary-style film on the Skladanowsky brothers, known in English as A Trick of the Light. The Skladanowsky brothers were inventing "moving pictures" when several others like the Lumière brothers and William Friese-Greene were doing the same. Buena Vista Social Club and his documentaries on Pina Bausch, Pina, and Sebastiao Salgado, The Salt of the Earth, received nominations for the Academy Award for Best Documentary Feature. Wenders has also directed many music videos for groups such as U2 and Talking Heads, including "Stay (Faraway, So Close!)" and "Sax and Violins". His television commercials include a UK advertisement for Carling Premier Canadian beer. Wenders's book Emotion Pictures, a collection of diary essays written as a film student, was adapted and broadcast as a series of plays on BBC Radio 3, featuring Peter Capaldi as Wenders, with Gina McKee, Saskia Reeves, Dennis Hopper, Harry Dean Stanton and Ricky Tomlinson, dramatised by Neil Cargill. In 2015, Wenders collaborated with artist/journalist and longtime friend Melinda Camber Porter on a documentary feature about his body of work, Wim Wenders – Visions on Film, when Porter died. The film remains incomplete. Wenders is a member of the advisory board of World Cinema Foundation. The project was founded by Martin Scorsese and aims to find and reconstruct world cinema films that have been neglected. As of 2015 he served as a Jury Member for the digital studio Filmaka, a platform for undiscovered filmmakers to show their work to industry professionals. In 2011, Wenders was | "Sax and Violins". His television commercials include a UK advertisement for Carling Premier Canadian beer. Wenders's book Emotion Pictures, a collection of diary essays written as a film student, was adapted and broadcast as a series of plays on BBC Radio 3, featuring Peter Capaldi as Wenders, with Gina McKee, Saskia Reeves, Dennis Hopper, Harry Dean Stanton and Ricky Tomlinson, dramatised by Neil Cargill. In 2015, Wenders collaborated with artist/journalist and longtime friend Melinda Camber Porter on a documentary feature about his body of work, Wim Wenders – Visions on Film, when Porter died. The film remains incomplete. Wenders is a member of the advisory board of World Cinema Foundation. The project was founded by Martin Scorsese and aims to find and reconstruct world cinema films that have been neglected. As of 2015 he served as a Jury Member for the digital studio Filmaka, a platform for undiscovered filmmakers to show their work to industry professionals. In 2011, Wenders was selected to stage the 2013 cycle of Richard Wagner's Der Ring des Nibelungen at the Bayreuth Festival. The project fell through when he insisted on filming in 3-D, which the Wagner family found too costly and disruptive. In 2012, while promoting his 3-D dance film Pina, Wenders told the Documentary channel Blog that he had begun work on a new 3-D documentary about architecture. He also said he would only work in 3-D from then on. Wenders had admired the dance choreographer Pina Bausch since 1985, but only with the advent of digital 3-D cinema did he decide that he could sufficiently capture her work on screen. In June 2017, Wenders stage-directed Georges Bizet's opera Les Pêcheurs de perles, starring Olga Peretyatko and Francesco Demuro and conducted by Daniel Barenboim at the Berlin State Opera (Staatsoper). In a 2018 interview, Wenders said his favorite movie of all time was his film about Pope Francis, and that his entire career had been building up to it. His admiration for Francis is profound; he said he felt Francis is doing his best in a world full of calamities. He also said that, though raised Catholic, he had converted to Protestantism years earlier. In 2019 Wenders acted as executive producer for his former assistant director Luca Lucchesi's documentary A Black Jesus, which has similar themes to Pope Francis: A Man of His Word. The film explores the role of religion in communal identity and how this can create or dissolve differences in a small Sicilian town during the height of the refugee crisis. Lucchesi noted that Wenders pushed the film to be more symbolic and philosophical, saying that Wenders wanted the film to have a "universal fairy-tale aspect" and to represent "Europe in a nutshell." Photography Wenders has worked with photographic images of desolate landscapes and themes of memory, time, loss, nostalgia and movement. He began his long-running project "Pictures from the Surface of the Earth" in the early 1980s and pursued it for 20 years. The initial photographic series was titled "Written in the West" and was produced while Wenders criss-crossed the American West in preparation for his film Paris, Texas (1984). It became the starting point for a nomadic journey across the globe, including Germany, Australia, Cuba, Israel and Japan, to take photographs capturing the essence of a moment, place or space. Selected exhibitions 1986–1992 Written in the West, in conjunction with the publication, Written in the West, Munich: Schirmer/Mosel (1987), touring exhibition: Centre Georges Pompidou, Paris (1986); Encontros de Fotografia, Coimbra (1987); Palazzo della Triennale di Milano (1988); Film Society of Miami (1988); Goethe Institut, Stockholm (1988); Goethe Institut, Copenhagen (1988); Saint-Yrieix-La-Perche (1990); Städtische Galerie Schwarzes Kloster, Freiburg |
some of the most frequent precipitation in the nation, with Snowshoe averaging nearly 200 days a year with either rain or snow. Snow usually lasts only a few days in the lower sections but may persist for weeks in the higher mountain areas. An average of of snow falls annually in Charleston, although during the winter of 1995–1996 more than three times that amount fell as several cities in the state established new records for snowfall. Average snowfall in the Allegheny Highlands can range up to per year. Severe weather is somewhat less prevalent in West Virginia than in most other eastern states, and it ranks among the least tornado-prone states east of the Rockies. Adjacent states Pennsylvania (North) Maryland (Northeast) Kentucky (Southwest) Virginia (East) Ohio (West) Flora and fauna Major cities Originally, the state capital was Wheeling, from 1863 to 1870. It was then moved to Charleston, a more central city, from 1870 to 1875, when it returned to Wheeling. In 1885, the capitol burned down and it was moved back to Charleston that year, where a vote was held to determine the permanent capital between Charleston, Clarksburg, and Martinsburg. Charleston was selected, and it has remained the capital since. There are 232 incorporated municipalities in West Virginia. Metropolitan areas Beckley Charleston Huntington-Ashland Morgantown Parkersburg-Marietta-Vienna Weirton-Steubenville Wheeling Other metropolitan areas that contain cities in West Virginia, but are primarily in other states include: Cumberland Hagerstown-Martinsburg Washington-Arlington-Alexandria Winchester Micropolitan areas Bluefield Clarksburg Elkins Fairmont Logan Point Pleasant Demographics The United States Census Bureau estimates that the population of West Virginia was 1,792,147 on July 1, 2018, a 3.28% decrease since the 2010 United States census. The center of population of West Virginia is located in Braxton County, in the town of Gassaway. As of 2019, West Virginia has an estimated population of 1,792,147, which is a decrease of 10,025 (0.55%) from the prior year and a decrease of 47,162 (2.55%) since the previous census. This includes a natural decrease of 3,296 (108,292 births minus 111,588 deaths) and an increase from net migration of 14,209 into the state. West Virginia is the least populous southeastern state. Immigration from outside the United States resulted in a net increase of 3,691, and migration within the country produced a net increase of 10,518. Only 1.6% of the state's residents were foreign-born, placing West Virginia last among the 50 states in that statistic. It also has the lowest percentage of residents who speak a language other than English at home (2.6%). The five largest ancestry groups in West Virginia are: German (18.9%), Irish (15.1%) American (12.9%), English (11.8%) and Italian (4.7%) In the 2000 census, people who identified their ethnicity as simply American made up 18.7% of the population. Large numbers of people of German ancestry are present in the northeastern counties of the state. People of English ancestry are present throughout the entire state. Many West Virginians who self-identify as Irish are actually Scots-Irish Protestants. 2010 census data show that 16 percent of West Virginia's residents are 65 or older (exceeded only by Florida's 17 percent). There were 20,928 births in 2006. Of these, 19,757 (94.40% of the births, 95.19% of the population) were to non-Hispanic whites. There were 22 births to American Indians (0.11% of the births and 0.54% of the population), 177 births to Asians (0.85% of the births and 0.68% of the population), 219 births to Hispanics (1.05% of the births and 0.88% of the population) and 753 births to blacks and others (3.60% of the births and 3.56% of the population). The state's Northern Panhandle, and North-Central region feel an affinity for Pittsburgh, Pennsylvania. Also, those in the Eastern Panhandle feel a connection with the Washington, D.C. suburbs in Maryland and Virginia, and southern West Virginians often consider themselves Southerners. Finally, the towns and farms along the mid-Ohio River, which forms most of the state's western border, have an appearance and culture somewhat resembling the Midwest. Birth data Note: Births in table do not add up, because Hispanics are counted both by their ethnicity and by their race, giving a higher overall number. Since 2016, data for births of White Hispanic origin are not collected, but included in one Hispanic group; persons of Hispanic origin may be of any race. Languages In 2010 97.67% (1,697,042) of West Virginia residents aged 5 years and older spoke English as their primary language. 2.33% of residents spoke a mother language other than English. Religion Several surveys have been made in recent years, in 2008 by the American Religion Identity Survey, in 2010 by the Pew Forum on Religion and Public Life. The Pew survey results admit to a 6.5% margin of error plus or minus, while the ARIS survey says "estimates are subject to larger sampling errors in states with small populations." A characteristic of religion in Appalachian communities is the abundance of independent, non-affiliated churches, which "remain unnoted and uncounted in any census of church life in the United States". This sometimes leads to the belief that these communities are "unchurched". The largest denomination as of 2010 was the United Methodist Church with 136,000 members in 1,200 congregations. The second-largest Protestant church was the American Baptist Churches USA with 88,000 members and 381 congregations. The Southern Baptist church had 44,000 members and 232 congregations. The Churches of Christ had 22,000 members and 287 congregations. The Presbyterian Church (USA) had 200 congregations and 20,000 members. A survey conducted in 2015 by the Pew Research Center found that West Virginia was the seventh most "highly religious" state in the United States. Economy Overview The economy of West Virginia nominally would be the 62nd largest economy globally behind Iraq and ahead of Croatia according to 2009 World Bank projections, and the 64th largest behind Iraq and ahead of Libya according to 2009 International Monetary Fund projections. The state has a projected nominal GSP of $63.34 billion in 2009 according to the Bureau of Economic Analysis report of November 2010, and a real GSP of $55.04 billion. The real GDP growth of the state in 2009 of .7% was the 7th best in the country. West Virginia was one of only ten states in 2009 that grew economically. While per capita income fell 2.6% nationally in 2009, West Virginia's grew at 1.8%. Through the first half of 2010, exports from West Virginia topped $3 billion, growing 39.5% over the same period from the previous year and ahead of the national average by 15.7%. Morgantown was ranked by Forbes as the #10 best small city in the nation to conduct business in 2010. The city is also home to West Virginia University, the 95th best public university according to U.S. News & World Report in 2011. The proportion of West Virginia's adult population with a bachelor's degree is the lowest in the U.S. at 17.3%. The net corporate income tax rate is 6.5% while business costs are 13% below the national average. The U.S. Bureau of Economic Analysis reported that in 2014 West Virginia's economy grew twice as fast as the next fastest-growing state east of the Mississippi River, ranking third alongside Wyoming and just behind North Dakota and Texas among the fastest-growing states in the United States. Tourism Tourism contributed $4.27 billion to the state's economy and employed 44,400 people in 2010, making it one of the state's largest industries. Many tourists, especially in the eastern mountains, are drawn to the region's notable opportunities for outdoor recreation. Canaan Valley is popular for winter sports, Seneca Rocks is one of the premier rock climbing destinations in the eastern U.S., the New River Gorge/Fayetteville area draws rock climbers as well as whitewater rafting enthusiasts, and the Monongahela National Forest is popular with hikers, backpackers, hunters, and anglers. In addition to such outdoor recreation opportunities, the state offers a number of historic and cultural attractions. Harpers Ferry National Historical Park is a historic town situated at the confluence of the Shenandoah and Potomac rivers. Harpers Ferry was the site of John Brown's 1859 raid on the U.S. Armory and Arsenal. Located at the approximate midpoint of the Appalachian Trail, Harpers Ferry is the base of the Appalachian Trail Conservancy. The Greenbrier hotel and resort, originally built in 1778, has long been considered a premier hotel, frequented by numerous world leaders and U.S. presidents over the years. West Virginia is the site of the National Radio Astronomy Observatory, which features the Green Bank Telescope. For the 1963 Centennial of the State, it hosted two high school graduate delegates from each of the 50 States at the National Youth Science Camp near Bartow, and has continued this tradition ever since. The main building of Weston State Hospital is the largest hand-cut sandstone building in the western hemisphere, second worldwide only to the Kremlin in Moscow. Tours of the building, which is a National Historic Landmark and part of the National Civil War Trail, are offered seasonally and by appointment year-round. West Virginia has numerous popular festivals throughout the year. Resources One of the major resources in West Virginia's economy is coal. According to the Energy Information Administration, West Virginia is a top coal producer in the United States, second only to Wyoming. West Virginia is located in the heart of the Marcellus Shale Natural Gas Bed, which stretches from Tennessee north to New York in the middle of Appalachia. As of 2017, the coal industry accounted for 2% of state employment. Nearly all the electricity generated in West Virginia is from coal-fired power plants. West Virginia produces a surplus of electricity and leads the Nation in net interstate electricity exports. Farming is also practiced in West Virginia, but on a limited basis because of the mountainous terrain over much of the state. Green energy An assessment from 2012 estimated that West Virginia had the potential to generate 8,627 GWh/year from 2,772 MW of 100-meter wind turbines, and 60,000 GWh from 40,000 MW of photovoltaics, including 3,810 MW of rooftop photovoltaics. This was based on then-existing technologies and apparently was based on some assumed requirements for the economic performance of the respective resources. Source: Taxes West Virginia personal income tax is based on federal adjusted gross income (not taxable income), as modified by specific items in West Virginia law. Citizens are taxed within five income brackets, which range from 3.0% to 6.5%. The state's consumer sales tax is levied at 6% on most products except for non-prepared foods. West Virginia counties administer and collect property taxes, although property tax rates reflect levies for state government, county governments, county boards of education and municipalities. Counties may also impose a hotel occupancy tax on lodging places not located within the city limits of any municipality that levies such a tax. Municipalities may levy license and gross receipts taxes on businesses located within the city limits and a hotel occupancy tax on lodging places in the city. Although the Department of Tax and Revenue plays a major role in the administration of this tax, less than half of one percent of the property tax collected goes to state government. The primary beneficiaries of the property tax are county boards of education. Property taxes are paid to the sheriff of each of the state's 55 counties. Each county and municipality can impose its own rates of property taxation within the limits set by the West Virginia Constitution. The West Virginia legislature sets the rate of tax of county boards of education. This rate is used by all county boards of education statewide. However, the total tax rate for county boards of education may differ from county to county because of excess levies. The Department of Tax and Revenue supervises and otherwise assists counties and municipalities in their work of assessment and tax rate determination. The total tax rate is a combination of the tax levies from four state taxing authorities: state, county, schools and municipal. This total tax rate varies for each of the four classes of property, which consists of personal, real and intangible properties. Property is assessed according to its use, location and value as of July 1. WV Assessments has a free searchable database of West Virginia real estate tax assessments, covering current and past years. All property is reappraised every three years; annual adjustments are made to assessments for property with a change of value. West Virginia does not impose an inheritance tax. Because of the phase-out of the federal estate tax credit, West Virginia's estate tax is not imposed on estates of persons who died on or after January 1, 2005. Largest private employers The largest private employers in West Virginia, as of March 2019, were: Quality of life Economy West Virginia coal exports declined 40% in 2013—a loss of $2.9 billion and overall total exports declined 26%. West Virginia ranked last in the Gallup Economic Index for the fourth year running. West Virginia's score was −44, or a full 17 points lower than the average of −27 for the other states in the bottom ten. West Virginia ranked 48th in the CNBC "Top States for Business 2013" based on measures of competitiveness such as economy, workforce and cost of living—ranking among the bottom five states for the last six years running. West Virginia ranked 49th in the 2014 State New Economy Index and has ranked in the bottom three states since 1999. West Virginia ranked last or next-to-last in critical indicators such as Workforce Education, Entrepreneurial Activity, High-Tech Jobs, and Scientists and Engineers. On January 9, 2014, a chemical spill contaminated the water supply of 300,000 people in nine West Virginia counties near Charleston. According to Bloomberg News, lost wages, revenue, and other economic harm from the chemical spill could top $500 million. and West Virginia's Marshall University Center for Business and Economic Research estimated that about $61 million was lost by businesses in the first four days alone after the spill. Employment In 2012, West Virginia's Gross Domestic Product (GDP) grew by 3.3%. The state issued a report highlighting the state's GDP as indicating a fast-growing economy, but did not address employment indicators. In 2009–2013, the U.S. real GDP increased 9.6% and total employment increased 3.9%. In West Virginia during the same time period, its real GDP increased about 11%, while total employment decreased by 1,000 jobs from 746,000 to 745,000. In 2013, West Virginia ranked last in the nation with an employment-to-population ratio of only 50%, compared to the national average of 59%. The state lost 5,600 jobs in its labor force in four critical economic sectors: construction (1,900), manufacturing (1,100), retail (1,800), and education (800), while gaining just 400 in mining and logging. The state's Civilian Labor Force dropped by 15,100. Wages and poverty Personal income growth in West Virginia during 2013 was only 1.5%—the lowest in the nation—and about half the national average (2.6%). Overall income growth in West Virginia in the last thirty years has been only 13%—about a third of the national average (37%). Wages of the impoverished bottom 1% income earners decreased by 3%, compared to the national average, which increased 19%. West Virginia's poverty rate is one of the highest in the nation. 2017 estimates indicate that 19% of the state's population lives in poverty, exceeding the national average of 13%. The West Virginia teachers' strike in 2018 inspired teachers in other states to take similar action. Population United Van Lines 37th Annual Migration Study showed in 2013 that 60% more people moved out of West Virginia than moved in. West Virginia's population is expected to decline by more than 19,000 residents by 2030, and West Virginia lost one of its three seats in the United States House of Representatives in the 2020 census. West Virginia is the only state where death rates exceed birth rates. During 2010–2013, about 21,000 babies per year were born in West Virginia, but over these three years West Virginia had 3,000 more deaths than births. Family Gallup-Healthways annual "State of American Well-Being" rankings reports that 1,261 concerned West Virginians rated themselves as "suffering" in categories such as Quality of Life, Physical Health, and Access to Basic Needs. Overall, West Virginia citizens rated themselves as being more miserable than people in all other states—for five years running. In addition, the Gallup Well-Being Index for 2013 ranked Charleston, the state capital, and Huntington last and next-to-last out of 189 U.S. Metropolitan Statistical Areas. The Annie E. Casey Foundation's National Index of Children's Progress ranked West Virginia 43rd in the nation for all kids, and last for white kids. The Annie E. Casey Foundation's 2013 KIDS COUNT Data Book also ranked West Virginia's education system 47th in the nation for the second straight year. Charleston, West Virginia has the worst divorce rate among 100 cities in the nation. Stephen Smith, the executive director of the West Virginia Healthy Kids and Families Coalition, said poor employment prospects are to blame: "The pressure to make a good living puts strain on a marriage, and right now it is infinitely harder to make a living here than it was 40 years ago." Health United Health Foundation's "America's Health Rankings" for 2013 found that Americans are making considerable progress in key health measures. West Virginia, however, ranked either last or second-to-last in twenty categories, including cancer, child immunization, diabetes, disabilities, drug deaths, teeth loss, low birth weight, missed work days due to health, prescription drug overdose, preventable hospitalizations, and senior clinical care. Wisconsin Population Health Institute annual "Health Rankings" for 2012 showed West Virginia spends $9,671 per capita on health care annually. El Salvador spends just $467, yet both have the same life expectancy. In 2012, according to the Census Bureau, West Virginia was the only state where death rates exceed birth rates. During 2010–2013, about 21,000 babies per year were born in West Virginia, but there were 24,000 deaths. In demographics, this is called a "net mortality society". The National Center for Health Statistics says national birth rates for teenagers are at historic lows—during 2007–2010, teen birth rates fell 17% nationally. West Virginia, however, ranked last with a 3% increase in birth rates for teenagers. A study by West Virginia's Marshall University showed that 19% of babies born in the state have evidence of drug or alcohol exposure. This is several times the national rate, where studies show that about 5.9% of pregnant women in the U.S. use illicit drugs, and about 8.5% consume any alcohol. An Institute for Health Policy Research study determined that mortality rates in Appalachia are correlated with coal production. In twenty West Virginia coal counties mining more than a million tons of coal per year and having a total population of 850,000, there are about 10,100 deaths per year, with 1,400 of those statistically attributed to deaths from heart, respiratory and kidney disease from living in an Appalachian coal county. In 2015, McDowell County had the highest rate of drug-induced deaths of any county in the United States, with a rate of 141 deaths per 100,000 people. Four of the five counties with the highest rates of drug-induced deaths are in West Virginia (McDowell, Wyoming, Cabell and Raleigh Counties). American environmental attorney Robert Bilott exposed how DuPont had been knowingly polluting water with perfluorooctanoic acid (PFOA) in Parkersburg, West Virginia, since the 1980s. This battle with DuPont is depicted in the film Dark Waters. Life expectancy The residents of West Virginia have a lower life expectancy than the national average. In 2014 life expectancy for both sexes in the state was 76.0 years compared to 79.1 years for the United States as a whole. In 2014, males in West Virginia lived an average of 73.6 years compared to a national average of 76.7 years and females lived an average of 77.5 years compared to a national average of 81.5 years. Male life expectancy in West Virginia between 1980 and 2014 increased by 4.7 years, compared to a national average of a 6.7-year increase. Life expectancy for females in West Virginia between 1980 and 2014 increased by 1.7 years, compared to a national average of a 4.0-year increase. Life expectancy for both sexes is among the lowest of all states. Life expectancies in 2014 for both sexes in West Virginia counties ranged from a low of 70.3 years in McDowell County to a high of 79.3 years in Pendleton County. McDowell and several other West Virginia counties are among the counties in the U.S. with the lowest life expectancies. Governance Legislative branch The West Virginia Legislature is bicameral. It consists of the House of Delegates and the Senate, both housed in the West Virginia State Capitol. It is a citizen's legislature, meaning that legislative office is not a full-time occupation, but rather a part-time position. Consequently, the legislators often hold full-time jobs in their community of residence. Typically, the legislature is in session for 60 days between January and early April. The final day of the regular session ends in a bewildering fury of last-minute legislation to meet a constitutionally imposed midnight deadline. During the remainder of the year, monthly interim sessions are held in preparation for the regular session. Legislators also gather periodically for 'special' sessions when called by the governor. The title of Lieutenant Governor is assigned by statute to the senate president. Executive branch The governor, elected every four years on the same day as the U.S. presidential election, is sworn in during the following January. Governors of West Virginia can serve two consecutive terms but must sit out a term before serving a third term in office. The title of Lieutenant Governor is assigned by statute to the senate president. West Virginia's current governor is Jim Justice. Judicial branch West Virginia is one of 27 states that do not have a death penalty, and it was the only state in the southeastern United States to have abolished it until 2021, when Virginia did so as well. For the purpose of courts of general jurisdiction, the state is divided into 31 judicial circuits. Each circuit is made up of one or more counties. Circuit judges are elected in non-partisan elections to serve eight-year terms. West Virginia's highest court is the Supreme Court of Appeals. The Supreme Court of Appeals of West Virginia is the busiest appellate court of its type in the United States. West Virginia is one of 11 states with a single appellate court. The state constitution allows for the creation of an intermediate court of appeals, but the Legislature has never created one. The Supreme Court is made up of five justices, elected in non-partisan elections to 12-year terms. West Virginia is an alcoholic beverage control state. However, unlike most such states, it does not operate retail outlets, having exited that business in 1990. It retains a monopoly on wholesaling of distilled spirits only. Politics At the state level, West Virginia's politics were largely dominated by the Democratic Party from the Great Depression through the 2000s. This was a legacy of West Virginia's very strong tradition of union membership. After the 2014 midterm elections Democrats controlled the governorship, the majority of statewide offices, and one U.S. Senate seat, while Republicans held one U.S. Senate seat, all three of the state's U.S. House seats, and a majority in both houses of the West Virginia Legislature. In the 2016 elections, the Republicans held on to their seats and made gains in the State Senate and gained three statewide offices. Since 2000, West Virginians have supported the Republican candidate in every presidential election. The state is regarded as a "deep red" state at the federal level. In 2012 Republican Mitt Romney won the state, defeating Democrat Barack Obama with 62% of the vote to 35% for Obama. In the 2016 presidential election, Republican Donald Trump won the state with 67.86% of the popular vote, with West Virginia giving him the highest vote share of any state. The 2008 presidential election was the last to date in which the Democratic nominee won any of the state's counties. Evangelical Christians comprised 52% of the state's voters in 2008. A poll in 2005 showed that 53% of West Virginia voters are anti-abortion, the seventh highest in the country. A 2014 poll by Pew Research found that 35% of West Virginians supported legal abortion in "all or most cases" while 58% wanted it to be banned "in all or most cases". A September 2011 Public Policy Polling survey found that 19% of West Virginia voters thought same-sex marriage should be legal, while 71% thought it should be illegal and 10% were not sure. A separate question on the same survey found that 43% of West Virginia voters supported the legal recognition of same-sex couples, with 17% supporting same-sex marriage, 26% supporting civil unions but not marriage, 54% favoring no legal recognition and 3% not sure. In 2008, 58% favored troop withdrawal from Iraq while just 32% wanted troops to remain. On fiscal policy in 2008, 52% said raising taxes on the wealthier individuals would benefit the economy, while 45% disagreed. In a 2020 study, West Virginia was ranked as the 16th hardest state for citizens to vote in. Transportation Highways form the backbone of transportation systems in West Virginia, with over of public roads in the state. Airports, railroads, and rivers complete the commercial transportation modes for West Virginia. Commercial air travel is facilitated by airports in Charleston, Huntington, Morgantown, Beckley, Lewisburg, Clarksburg, and Parkersburg. All but Charleston and Huntington are subsidized by the federal Department of Transportation's Essential Air Service program. The cities of Charleston, Huntington, Beckley, Wheeling, Morgantown, Clarksburg, Parkersburg and Fairmont have bus-based public transit systems. West Virginia University in Morgantown boasts the PRT (personal rapid transit) system, the state's only single-rail public transit system. Developed by Boeing, the WVU School of Engineering and the Department of Transportation, it was a model for low-capacity light transport designed for smaller cities. Recreational transportation opportunities abound in West Virginia, including hiking trails, rail trails, ATV off-road trails, white water rafting rivers, and two tourist railroads, the Cass Scenic Railroad and the Potomac Eagle Scenic Railroad. West Virginia is crossed by seven Interstate Highways. I-64 enters the state near White Sulphur Springs in the mountainous east, and exits for Kentucky in the west, near Huntington. I-77 enters from Virginia in the south, near Bluefield. It runs north past Parkersburg before it crosses into Ohio. I-64 and I-77 between Charleston and Beckley are merged as toll road known as the West Virginia Turnpike, which continues as I-77 alone from Beckley to Princeton. It was constructed beginning in 1952 as a two-lane road, but rebuilt beginning in 1974 to Interstate standards. Today almost nothing of the original construction remains. I-68's western terminus is in Morgantown. From there it runs east into Maryland. At the I-68 terminus in Morgantown, it meets I-79, which enters from Pennsylvania and runs through the state to its southern terminus in Charleston. I-70 briefly runs through West Virginia, crossing the northern panhandle through Wheeling, while I-470 is a bypass of Wheeling (making Wheeling among the smallest cities with an interstate bypass). I-81 also briefly runs in West Virginia through the Eastern Panhandle where it goes through Martinsburg. The interstates are supplemented by roads constructed under the Appalachian Corridor system. Four Corridors are complete. Corridor D, carrying US 50, runs from the Ohio River, and I-77, at Parkersburg to I-79 at Clarksburg. Corridor G, carrying US 119, runs from Charleston to the Kentucky border at Williamson. Corridor L, carrying US 19, runs from the Turnpike at Beckley to I-79 near Sutton (and provides a short cut of about and bypasses Charleston's urban traffic for traveler heading to and from Florida). Corridor Q, carrying US 460, runs through Mercer County, entering the state from Giles County, Virginia and then reentering Virginia at Tazewell County. Work continues on the long-delayed Corridor H, which will carry US 48 from Weston to the Virginia line near Wardensville. As of 2018, a section from Weston to Kerens just past Elkins, and another section from Wardensville to Davis are complete. Other projects under development are a four-lane upgrade of US 35 from Scott Depot to the Ohio River at Point Pleasant, which is about two-thirds complete; a four-lane upgrade of WV 10 from Logan to Man and then of WV 80 from Man to Gilbert, which is about half completed; and four-lane upgrades to US 52 from Bluefield to Williamson, known as the "King Coal Highway" and from Williamson to Huntington, known as the "Tolsia Highway" which are many years from completion. A project known as the "Coalfields Expressway" is also ongoing, and will carry US 121 from Beckley west across Raleigh, Wyoming, and McDowell counties, entering Virginia near Bishop. Rail lines in the state used to be more prevalent, but many lines have been discontinued because of increased automobile traffic. Many old tracks have been converted to rail trails for recreational use, although the coal-producing areas still have railroads running at near capacity. Amtrak's Cardinal roughly parallels I-64's path through the state. MARC trains serve commuters to Washington, D.C. in the eastern panhandle. In 2006 Norfolk Southern along with the West Virginia and U.S. Government approved a plan to modify many of the rail tunnels in West Virginia, especially in the southern half of the state, to allow for double-stacked cars (see inter-modal freight). This is expected to also help bring economic growth to the southern half of the state. An Intermodal Freight Facility is located at Prichard, just south of Huntington. Because of the mountainous nature of the entire state, West Virginia has several notable tunnels and bridges. The most famous of these is the New River Gorge Bridge, which was at a time the longest steel single-arch bridge in the world with a 3,031-foot (924 m) span. The bridge is also pictured on the West Virginia state quarter. The Fort Steuben Bridge (Weirton-Steubenville Bridge) was at the time of its construction one of only three cable-stayed steel girder trusses in the United States. "The Veterans Memorial Bridge was designed to handle traffic from the Fort Steuben Bridge as well as its own traffic load", to quote the Weirton Daily Times newspaper. The 80-year-old Fort Steuben Bridge (Weirton-Steubenville Bridge) was permanently closed on January 8, 2009. The Wheeling Suspension Bridge was the first bridge built across the Ohio River in 1849 and for a time was the longest suspension bridge in the world. It is still the oldest vehicular suspension bridge in the United States still in use. Education 30 Colleges and universities Culture Sports West Virginia is home to college sports teams from two schools—West Virginia and Marshall—that play in NCAA DivisionI. West Virginia is also home to several professional minor league baseball, football, hockey, and other sports teams. Music Appalachian music West Virginia's folk heritage is a part of the Appalachian folk music tradition, and includes styles of fiddling, ballad singing, and other styles that draw on Scots-Irish music. Camp Washington-Carver, a Mountain Cultural Arts Center located at Clifftop in Fayette County, hosts an annual Appalachian String Band Festival. The Capitol Complex in Charleston hosts The Vandalia Gathering, where traditional Appalachian musicians compete in contests and play in impromptu jam sessions and evening concerts over the weekend. The Augusta Heritage Center sponsored by Davis & Elkins College in Elkins in Randolph County produces the annual Augusta Heritage Festival, which includes intensive week-long workshops in the summer that help preserve Appalachian heritage and traditions. Classical music The West Virginia Symphony Orchestra was founded in 1939, as the Charleston Civic Orchestra, before becoming the Charleston Symphony Orchestra in 1943. The first conductor was William R. Wiant, followed by the conductor Antonio Modarelli, who was written about in the November 7, 1949 Time Magazine for his composition of the River Saga, a six-section program piece about the Kanawha River according to the Charleston Gazettes November 6, 1999 photo essay, "Snapshots of the 20th Century". Before coming to Charleston, Modarelli had conducted the Wheeling Symphony Orchestra and the Philadelphia Orchestra, according to the orchestra's website. The Pulitzer Prize-winning 20th-century composer George Crumb was born in Charleston and earned his bachelor's degree there before moving outside the state. There had also been a series of operatic-style concerts performed in Wheeling during mid-century as well. Musical innovation The West Virginia Cultural Center in Charleston is home to the West Virginia Department of Arts, Culture and History, which helps underwrite and coordinate a large number of musical activities. The center is also home to Mountain Stage, an internationally broadcast live-performance music radio program established in 1983 which is carried by many affiliates of National Public Radio. The program also travels to other venues in the state such as the West Virginia University Creative Arts Center in Morgantown. The center hosts concerts sponsored by the Friends of Old Time Music and Dance, which brings an assortment of acoustic roots music to West Virginians. The center also hosts the West Virginia Dance Festival, which features classical and modern dance. Huntington's historic Keith-Albee Theatre, built by brothers A.B. and S.J. Hyman, was originally opened to the public on May 7, 1928, and hosts a variety of performing arts and music attractions. The theatre was eventually gifted to Marshall University and is currently going through renovation to restore it to its original splendor. Every summer Elkins hosts the Augusta Heritage Festival, which brings folk musicians from around the world. The town of Glenville has long been home to the annual West Virginia State Folk Festival. The Mountaineer Opera House in Milton hosts a variety of musical acts. John Denver's hit song "Take Me Home, Country Roads" describes the experience of driving through West Virginia. The song mentions the Shenandoah River and the Blue Ridge Mountains, both features traversing the easternmost extremity of the state's "eastern panhandle", in Jefferson County. On March 8, 2014, West Virginia Governor Earl Ray Tomblin signed House Concurrent Resolution 40 naming "Take Me Home, Country Roads" the fourth official state song of | Artifacts uncovered in these give evidence of village societies with a tribal trade system culture that crafted cold-worked copper pieces. In the 1670s, during the Beaver Wars, the powerful Iroquois, five allied nations based in present-day New York and Pennsylvania, drove out other American Indian tribes from the region to reserve the upper Ohio Valley as a hunting ground. Siouan language tribes, such as the Moneton, had previously been recorded in the area. A century later, the area now identified as West Virginia was contested territory among Anglo-Americans as well, with the colonies of Pennsylvania and Virginia claiming territorial rights under their colonial charters to this area before the American Revolutionary War. Some speculative land companies, such as the Vandalia Company, the Ohio Company and the Indiana Company, tried but failed to legitimize their claims to land in parts of West Virginia and present-day Kentucky. This rivalry resulted in some settlers petitioning the Continental Congress to create a new territory called Westsylvania. With the federal settlement of the Pennsylvania and Virginia border dispute, creating Kentucky County, Virginia, Kentuckians "were satisfied [...] and the inhabitants of a large part of West Virginia were grateful." The Crown considered the area of West Virginia part of the British Virginia Colony from 1607 to 1776. The United States considered this area the western part of the state of Virginia (commonly called Trans-Allegheny Virginia) from 1776 to 1863, before West Virginia's formation. Its residents were discontented for years with their position in Virginia, as the government was dominated by the planter elite of the Tidewater and Piedmont areas. The legislature had electoral malapportionment, based on the counting of slaves toward regional populations, and western white residents were underrepresented in the state legislature. More subsistence and yeoman farmers lived in the west, and they were generally less supportive of slavery, although many counties were divided on their support. Residents of that area became more sharply divided after the planter elite of eastern Virginia voted to secede from the Union during the Civil War. Residents of the western and northern counties set up a separate government under Francis Pierpont in 1861, which they called the Restored Government. Most voted to separate from Virginia, and the new state was admitted to the Union in 1863. In 1864 a state constitutional convention drafted a constitution, which was ratified by the legislature without putting it to popular vote. West Virginia abolished slavery by a gradual process and temporarily disenfranchised men who had held Confederate office or fought for the Confederacy. West Virginia's history has been profoundly affected by its mountainous terrain, numerous and vast river valleys, and rich natural resources. These were all factors driving its economy and the lifestyles of its residents, who tended to live in many small, relatively isolated communities in the mountain valleys. Prehistory A 2010 analysis of a local stalagmite revealed that Native Americans were burning forests to clear land as early as 100BCE. Some regional late-prehistoric Eastern Woodland tribes were more involved in hunting and fishing, practicing the Eastern Agricultural Complex gardening method which used fire to clear out underbrush from certain areas. Another group progressed to the more time-consuming, advanced companion crop fields method of gardening. Also continuing from the ancient indigenous people of the state, they cultivated tobacco through to early historic times. It was used in numerous social and religious rituals. "Maize (corn) did not make a substantial contribution to the diet until after 1150 BP", to quote Mills (OSU 2003). Eventually, tribal villages began depending on corn to feed their turkey flocks, as Kanawha Fort Ancients practiced bird husbandry. The local Indians made cornbread and a flat rye bread called "bannock" as they emerged from the protohistoric era. A horizon extending from a little before the early 18th century is sometimes called the acculturating Fireside Cabin culture. Trading posts were established by European traders along the Potomac and James rivers. Tribes that inhabited West Virginia as of 1600 were the Siouan Monongahela Culture to the north, the Fort Ancient culture along the Ohio River from the Monongahela to Kentucky and extending an unknown distance inland, and the Eastern Siouan Tutelo and Moneton tribes in the southeast. There was also the Iroquoian Susquehannock in the region approximately east of the Monongahela River and north of the Monongahela National Forest, a possible tribe called the Senandoa, or Shenandoah, in the Shenandoah Valley and the easternmost tip of the state may have been home to the Manahoac people. The Monongahela may have been the same as a people known as the Calicua, or Cali. The following may have also all been the same tribe—Moneton, Moheton, Senandoa, Tomahitan. During the Beaver Wars, other tribes moved into the region. The Iroquoian Tiontatecaga (also Little Mingo, Guyandotte) seem to have split off from the Petun after they were defeated by the Iroquois. They eventually settled somewhere between the Kanawha and Little Kanawha Rivers. During the 1750s, when the Mingo Seneca seceded from the Iroquois and returned to the Ohio River Valley, they contend that this tribe merged with them. The Shawnee arrived as well; though primarily stationed within former Monongahela territory approximately until 1750, they extended their influence throughout the Ohio River region. They were West Virginia's last Native tribe and were driven out by the United States during the Shawnee Wars (1811–1813). The Erie, who were chased out of Ohio around 1655, are now believed to be the same as the Westo, who invaded as far as South Carolina before being destroyed in the 1680s. If so, their path would have brought them through West Virginia. The historical movement of the Tutelo and carbon dating of the Fort Ancients seem to correspond with the given period of 1655–1670 as the time of their removal. The Susquehannocks were original participants in the Beaver Wars but were cut off from the Ohio River by the Iroquois around 1630 and found themselves in dire straits. Suffering from disease and constant warfare and unable to provide for themselves financially, they began to collapse and moved further and further east, to the Susquehanna River of Eastern Pennsylvania. The Manahoac were probably forced out in the 1680s when the Iroquois began to invade Virginia. The Siouan tribes there moved into North Carolina and later returned as one tribe, known as the Eastern Blackfoot, or Christannas. The Westo did not secure the territory they conquered. Even before they were gone, displaced natives from the south flooded into freshly conquered regions and took them over. These became known as the Shattaras, or West Virginia Cherokees. They took in and merged with the Monetons, who began to call themselves the Mohetons. The Calicua also began to call themselves Cherokees soon after, showing an apparent further merger. These Shattaras were closely related to the tribes that formed to the south in the aftermath of the Westo—the Yuchi and Cherokee. From 1715 to 1717, the Yamasee War sprang up. The Senandoa allegedly sided with the Yuchi and were destroyed by Yamasee allies. Therefore, if the Senandoa were the same tribe as the Moneton, this would mean the collapse of Shattara-Moneton culture. Another tribe that appeared in the region was the Canaragay, or Kanawha. It later migrated to Maryland and merged into colonial culture. European exploration and settlement In 1671, General Abraham Wood, at the direction of Royal Governor William Berkeley of the Virginia Colony, sent a party from Fort Henry led by Thomas Batts and Robert Fallam to survey this territory. They were the first Europeans recorded as discovering Kanawha Falls. Some sources state that Governor Alexander Spotswood's 1716 Knights of the Golden Horseshoe Expedition (for which the state's Golden Horseshoe Competition for 8th graders is named) had penetrated as far as Pendleton County, but modern historians interpret the original accounts of the excursion as suggesting that none of the expedition's horsemen ventured much farther west of the Blue Ridge Mountains than Harrisonburg, Virginia. John Van Metre, an Indian trader, penetrated into the northern portion in 1725. The same year, German settlers from Pennsylvania founded New Mecklenburg, the present Shepherdstown, on the Potomac River, and others followed. King Charles II of England, in 1661, granted to a company of gentlemen the land between the Potomac and Rappahannock rivers, known as the Northern Neck. Thomas Fairfax, 6th Lord Fairfax of Cameron ultimately took possession of this grant, and in 1746 a stone was erected at the source of the North Branch Potomac River to mark his grant's western limit. George Washington surveyed a considerable part of this land between 1748 and 1751. His diary recorded that there were already many squatters, largely of German origin, along the South Branch Potomac River. Christopher Gist, a surveyor in the employ of the first Ohio Company, which was composed chiefly of Virginians, explored the country along the Ohio River north of the mouth of the Kanawha River between 1751 and 1752. The company sought to have a 14th colony established with the name "Vandalia". Many settlers crossed the mountains after 1750, though they were hindered by Native American resistance. Few Native Americans lived permanently within the state's present limits, but the region was a common hunting ground, crossed by many trails. During the French and Indian War (the North American front of the Seven Years' War in Europe), Indian allies of the French nearly destroyed the scattered British settlements. Shortly before the American Revolutionary War, in 1774 Crown Governor of Virginia John Murray, 4th Earl of Dunmore, led a force over the mountains. A body of militia under then-Colonel Andrew Lewis dealt the Shawnee Indians, under Hokoleskwa (or "Cornstalk"), a crushing blow during the Battle of Point Pleasant at the junction of the Kanawha and the Ohio rivers. At the Treaty of Camp Charlotte concluding Dunmore's War, Cornstalk agreed to recognize the Ohio River as the new boundary with the "Long Knives". But by 1776 the Shawnee returned to war, joining the Chickamauga, a band of Cherokee known for the area where they lived. Native American attacks on settlers continued until after the American Revolutionary War. During the war, the settlers in western Virginia were generally active Whigs; many served in the Continental Army. Claypool's Rebellion of 1780–1781, in which a group of men refused to pay taxes to the Continental Army, showed war-weariness in what became West Virginia. Trans-Allegheny Virginia Social conditions in western Virginia were entirely unlike those in the eastern part. The population was not homogeneous, as a considerable part of the immigration came by way of Pennsylvania and included Germans, Protestant Scotch-Irish, and settlers from states farther north. Counties in the east and south were settled mostly by eastern Virginians. During the American Revolution, the movement to create a state beyond the Alleghenies was revived and a petition for the establishment of "Westsylvania" was presented to Congress, on the grounds that the mountains presented an almost impassable barrier to the east. The rugged terrain made slavery unprofitable, and time only increased the social, political, economic, and cultural differences (see Tuckahoe-Cohee) between Virginia's two sections. In 1829, a constitutional convention met in Richmond to consider reforms to Virginia's outdated constitution. Philip Doddridge of Brooke County championed the cause of western Virginians who sought a more democratic frame of government, but western reforms were rejected by leaders from east of the Alleghenies who "clung to political power in an effort to preserve their plantation lifestyles dependent on enslaving blacks". Virginia leaders maintained a property qualification for suffrage, effectively disenfranchising poorer farmers in the west whose families did much of the farm work themselves. In addition, the 1829–30 convention gave slaveholding counties the benefit of three-fifths of their slave population in apportioning the state's representation in the U.S. House of Representatives. As a result, every county west of the Alleghenies except one voted to reject the constitution, which nevertheless passed because of eastern support. The eastern planter elite's failure to make constitutional reforms exacerbated existing east–west sectionalism in Virginia and contributed to its division. The Virginia Constitutional Convention of 1850–51, the Reform Convention, addressed a number of issues important to western Virginians. It extended the vote to all white males 21 years or older. The governor, lieutenant governor, the judiciary, sheriffs, and other county officers were to be elected by public vote. The General Assembly's composition was changed. Representation in the House of Delegates was apportioned on the basis of the census of 1850, counting whites only. The Senate representation was arbitrarily fixed at 50 seats, with the west receiving 20 senators and the east 30. This was made acceptable to the west by a provision that required the General Assembly to reapportion representation on the basis of white population in 1865, or else put the matter to a public referendum. But the east also gave itself a tax advantage in requiring a property tax at true and actual value, except for slaves. Slaves under age 12 were not taxed and slaves over that age were taxed at only $300, a fraction of their true value, but small farmers had all their assets, animals, and land taxed at full value. Despite this tax and the lack of internal improvements in the west, the vote was 75,748 for and 11,063 against the new constitution. Most of the opposition came from delegates from eastern counties, who did not like the compromises made for the west. Given these differences, many in the west had long contemplated a separate state. In particular, men such as lawyer Francis H. Pierpont from Fairmont had long chafed under the Tidewater and Piedmont slaveholders' political dominance. In addition to differences over slavery, he and allies felt the Virginia government ignored and refused to spend funds on needed internal improvements in the west, such as turnpikes and railroads. Separation from Virginia West Virginia was the only state in the Union to separate from a Confederate state (Virginia) during the Civil War. In Richmond on April 17, 1861, the Virginia Secession Convention of 1861 voted to secede from the Union, but of the 49 delegates from the northwestern corner (which ultimately became West Virginia) only 17 voted in favor of the Ordinance of Secession, while 30 voted against (with two abstentions). Almost immediately after that vote, a mass meeting at Clarksburg recommended that each county in northwestern Virginia send delegates to a convention to meet in Wheeling on May 13, 1861. When this First Wheeling Convention met, 425 delegates from 25 counties were present, though more than one-third of the delegates were from the northern panhandle area. Soon there was a division of sentiment. Some delegates led by John S. Carlile favored the immediate formation of a new state, while others led by Waitman Willey argued that, as Virginia's secession had not yet been passed by the required referendum (as happened on May 23), such action would constitute revolution against the United States. The convention decided that if Virginians adopted the secession ordinance (of which there was little doubt), another convention including the members-elect of the legislature would meet in Wheeling in June 1861. On May 23, 1861, secession was ratified by a large majority in Virginia as a whole, but in the western counties 34,677 voted against and 19,121 voted for the ordinance. The Second Wheeling Convention met as agreed on June 11 and declared that, since the Secession Convention had been called without popular consent, all its acts were void and all who adhered to it had vacated their offices. The Wheeling Conventions, and the delegates themselves, were never actually elected by public ballot to act on behalf of western Virginia. Of its 103 members, 33 had been elected to the Virginia General Assembly on May 23. This included some hold-over state senators whose four-year terms had begun in 1859, and some who vacated their offices to convene in Wheeling. Other members "were chosen even more irregularly—some in mass meetings, others by county committee, and still others were seemingly self-appointed". An act for the reorganization of the government was passed on June 19. The next day, convention delegates chose Francis H. Pierpont as governor of Virginia and elected other officers to a rival state government and two U.S. senators (Willey and Carlile) to replace secessionists before adjourning. The federal government promptly recognized the new government and seated the two new senators. Thus there were two state governments in Virginia: one pledging allegiance to the United States and one to the Confederacy. The second Wheeling Convention had recessed until August 6, then reassembled on August 20 and called for a popular vote on the formation of a new state and for a convention to frame a constitution if the vote were favorable. In the October 24, 1861, election, 18,408 votes were cast for the new state and 781 against. The election results were questioned since the Union army then occupied the area and Union troops were stationed at many of the polls to prevent Confederate sympathizers from voting. This was also election day for local offices, and elections were also held in camps of Confederate soldiers, who elected rival state officials, such as Robert E. Cowan. Most pro-statehood votes came from 16 counties around the Northern panhandle. Over 50,000 votes had been cast on the Ordinance of Secession, yet the vote on statehood garnered little more than 19,000. In Ohio County, home to Wheeling, only about a fourth of the registered voters cast votes. In most of what would become West Virginia, there was no vote at all, as two-thirds of the territory of West Virginia had voted for secession and county officers remained loyal to Richmond. Votes recorded from pro-secession counties were mostly cast elsewhere by Unionist refugees from these counties. Despite that controversy, delegates (including many Methodist ministers) met to write a constitution for the new state, beginning on November 26, 1861. During that constitutional convention, a Mr. Lamb of Ohio County and a Mr. Carskadon claimed that in Hampshire County, out of 195 votes only 39 were cast by citizens of the state; the rest were cast illegally by Union soldiers. One of the key figures was Gordon Battelle, who also represented Ohio County, and who proposed resolutions to establish public schools, as well as to limit movement of slaves into the new state, and to gradually abolish slavery. The education proposal succeeded, but the convention tabled the slavery proposals before finishing its work on February 18, 1862. The new constitution was more closely modeled on Ohio's than Virginia's, adopting a township model of government rather than the "courthouse cliques" of Virginia which Carlile criticized, and a compromise demanded by the Kanawha region (Charleston lawyers Benjamin Smith and Brown) allowed counties and municipalities to vote subsidies for railroads or other improvement organizations. The resulting instrument was ratified (18,162 for and 514 against) on April 11, 1862. On May 13, 1862, the state legislature of the reorganized government approved the formation of the new state. An application for admission to the Union was made to Congress, introduced by Senator Waitman Willey of the Restored Government of Virginia. Carlile sought to sabotage the bill, first trying to expand the new state's boundaries to include the Shenandoah Valley, and then to defeat the Willey amendment at home. On December 31, 1862, President Abraham Lincoln approved an enabling act admitting West Virginia on the condition that a provision for the gradual abolition of slavery be inserted in its constitution (as Battelle had urged in the Wheeling Intelligencer and also written to Lincoln). While many felt West Virginia's admission as a state was both illegal and unconstitutional, Lincoln issued his Opinion on the Admission of West Virginia finding that "the body which consents to the admission of West Virginia is the Legislature of Virginia", and that its admission was therefore both constitutional and expedient. The convention was reconvened on February 12, 1863, and the abolition demand of the federal enabling act was met. The revised constitution was adopted on March 26, 1863, and on April 20, 1863, Lincoln issued a proclamation admitting the state 60 days later on June 20, 1863. Meanwhile, officers for the new state were chosen, while Pierpont moved his pro-Union Virginia capital to Union-occupied Alexandria, where he asserted and exercised jurisdiction over all the remaining Virginia counties within the federal lines. The question of the constitutionality of the formation of the new state was later brought before the Supreme Court of the United States in Virginia v. West Virginia. Berkeley and Jefferson counties, lying on the Potomac east of the mountains, voted in favor of annexation to West Virginia in 1863, with the consent of Virginia's reorganized government. Many voters of the strongly pro-secessionist counties were absent in the Confederate Army when the vote was taken and refused to acknowledge the transfer when they returned. The Virginia General Assembly repealed the act of secession and in 1866 brought suit against West Virginia asking the court to declare the counties part of Virginia, which would have made West Virginia's admission as a state unconstitutional. Meanwhile, on March 10, 1866, Congress passed a joint resolution recognizing the transfer. The Supreme Court decided in West Virginia's favor in 1870. During the Civil War, Union General George B. McClellan's forces gained possession of the greater part of the territory in the summer of 1861, culminating at the Battle of Rich Mountain, and Union control was never again seriously threatened. In 1863, General John D. Imboden, with 5,000 Confederates, raided a considerable portion of the state and burned Pierpont's library, although Willey escaped their grasp. Bands of guerrillas burned and plundered in some sections, and were not entirely suppressed until the war ended. The Eastern Panhandle counties were more affected by the war, with military control of the area repeatedly changing hands. The area that became West Virginia actually furnished about an equal number of soldiers to the Union and Confederate armies, about 22,000–25,000 each. In 1865, the Wheeling government found it necessary to strip voting rights from returning Confederates in order to retain control. James Ferguson, who proposed the law, said if it was not enacted he would lose the election by 500 votes. Confederates' property might also be confiscated, and in 1866 a constitutional amendment disfranchising all who had given aid and comfort to the Confederacy was adopted. The addition of the Fourteenth and Fifteenth Amendments to the U.S. Constitution caused a reaction. The Democratic party secured control in 1870, and in 1871 the constitutional amendment of 1866 was abrogated. Republicans had taken the first steps toward this change in 1870. On August 22, 1872, an entirely new constitution was adopted. Beginning in Reconstruction, and for several decades thereafter, the two states disputed the new state's share of the prewar Virginia government's debts, which had mostly been incurred to finance public infrastructure improvements, such as canals, roads, and railroads under the Virginia Board of Public Works. Virginians—led by former Confederate general William Mahone—formed a political coalition based upon this: the Readjuster Party. West Virginia's first constitution provided for the assumption of a part of the Virginia debt, but negotiations opened by Virginia in 1870 were fruitless, and in 1871 Virginia funded two-thirds of the debt and arbitrarily assigned the remainder to West Virginia. The issue was finally settled in 1915, when the Supreme Court of the United States ruled that West Virginia owed Virginia $12,393,929.50. The final installment of this sum was paid in 1939. Claims by Maryland The original charters for Maryland and Virginia were silent as to which branch of the upper Potomac was the boundary. This was settled by the 1785 Mount Vernon Conference. Nevertheless, when West Virginia seceded from Virginia, Maryland claimed West Virginia land north of the South Branch (all of Mineral and Grant Counties and parts of Hampshire, Hardy, Tucker and Pendleton Counties). The Supreme Court rejected these claims in two separate decisions in 1910. Development of natural resources After Reconstruction, the new 35th state benefited from the development of its mineral resources more than any other single economic activity. Saltpeter caves had been employed throughout Appalachia for munitions; the border between West Virginia and Virginia includes the "Saltpeter Trail", a string of limestone caverns containing rich deposits of calcium nitrate which were rendered and sold to the government. The trail stretched from Pendleton County to the western terminus of the route in the town of Union, Monroe County. Nearly half of these caves are on the West Virginia side, including Organ Cave and Haynes Cave. In the late 18th century, saltpeter miners in Haynes Cave found large animal bones in the deposits. These were sent by a local historian and frontier soldier Colonel John Stuart to Thomas Jefferson. The bones were named Megalonyx jeffersonii, or great-claw, and became known as Jefferson's three-toed sloth. It was declared the official state fossil of West Virginia in 2008. The West Virginia official state rock is bituminous coal, and the official state gemstone is silicified Mississippian fossil Lithostrotionella coral. The limestone also produced a useful quarry industry. Usually small, and softer, high-calcium seams were burned to produce industrial lime. This lime was used for agricultural and construction purposes; for many years a specific portion of the C & O Railroad carried limestone rock to Clifton Forge, Virginia as an industrial flux. Salt mining had been underway since the 18th century, though it had largely played out by the time of the American Civil War, when the red salt of Kanawha County was a valued commodity of first Confederate, and later Union, forces. In the years following, more sophisticated mining methods would restore West Virginia's role as a major producer of salt. However, in the second half of the 19th century, there was an even greater treasure not yet developed: bituminous coal. It would fuel much of the Industrial Revolution in the U.S. and the steamships of many of the world's navies. The residents (both Native Americans and early European settlers) had long known of the underlying coal, and that it could be used for heating and fuel. However, for a long time, "personal" or artisanal mining was the only practical development. After the War, with the new railroads came a practical method to transport large quantities of coal to expanding U.S. and export markets. As the anthracite mines of northwestern New Jersey and Pennsylvania began to play out during this same time period, investors and industrialists focused new interest in West Virginia. Geologists such as Dr. David T. Ansted surveyed potential coal fields and invested in land and early mining projects. The completion of the Chesapeake and Ohio Railway (C&O) across the state to the new city of Huntington on the Ohio River in 1872 opened access to the New River Coal Field. Soon, the C&O was building its huge coal pier at Newport News, Virginia, on the large harbor of Hampton Roads. In 1881, the new Philadelphia-based owners of the former Atlantic, Mississippi and Ohio Railroad (AM&O), which stretched across Virginia's southern tier from Norfolk, had sights clearly set on the Mountain State, where the owners had large landholdings. Their railroad was renamed Norfolk and Western (N&W), and a new railroad city was developed at Roanoke to handle planned expansion. After its new president Frederick J. Kimball and a small party journeyed by horseback and saw firsthand the rich bituminous coal seam, which Kimball's wife named Pocahontas, the N&W redirected its planned westward expansion to reach it. Soon, the N&W was also shipping from new coal piers at Hampton Roads. In 1889, in the southern part of the state, along the Norfolk and Western rail lines, the important coal center of Bluefield, West Virginia, was founded. The "capital" of the Pocahontas coalfield, this city would remain the largest city in the southern portion of the state for several decades. It shares its name with a sister city, Bluefield, in Virginia. In the northern portion of the state and elsewhere, the older Baltimore and Ohio Railroad (B&O) and other lines also expanded to take advantage of coal opportunities. The B&O developed coal piers in Baltimore and at several points on the Great Lakes. Other significant rail carriers of coal were the Western Maryland Railway (WM), Southern Railway (SOU), and the Louisville and Nashville Railroad (L&N). Particularly notable was a latecomer, the Virginian Railway (VGN). By 1900, only the most rugged terrain of southern West Virginia was any distance from the existing railroads and mining activity. Within this area west of the New River Coalfield in Raleigh and Wyoming counties lay the Winding Gulf Coalfield, later promoted as the "Billion Dollar Coalfield". A protégé of Dr. Ansted was William Nelson Page (1854–1932), a civil engineer and mining manager in Fayette County. Former West Virginia governor William A. MacCorkle described him as a man who knew the land "as a farmer knows a field". Beginning in 1898, Page teamed with northern and European-based investors to take advantage of the undeveloped area. They acquired large tracts of land in the area, and Page began the Deepwater Railway, a short-line railroad chartered to stretch between the C&O at its line along the Kanawha River and the N&W at Matoaka—a distance of about . Although the Deepwater plan should have provided a competitive shipping market via either railroad, leaders of the two large railroads did not appreciate the scheme. In secret collusion, each declined to negotiate favorable rates with Page, nor did they offer to purchase his railroad, as they had many other short-lines. However, if the C&O and N&W presidents thought they could thus kill the Page project, they were to be proved mistaken. One of the silent partner investors Page had enlisted was millionaire industrialist Henry Huttleston Rogers, a principal in John D. Rockefeller's Standard Oil Trust and an old hand at developing natural resources and transportation. A master at competitive "warfare", Henry Rogers did not like to lose in his endeavors and also had "deep pockets". Instead of giving up, Page (and Rogers) quietly planned and then built their tracks all the way east across Virginia, using Rogers' private fortune to finance the $40 million cost. When the renamed Virginian Railway (VGN) was completed in 1909, no fewer than three railroads were shipping ever-increasing volumes of coal to export from Hampton Roads. West Virginia coal was also under high demand at Great Lakes ports. The VGN and the N&W ultimately became parts of the modern Norfolk Southern system, and the VGN's well-engineered 20th-century tracks continue to offer a favorable gradient to Hampton Roads. As coal mining and related work became major employment activities in the state, there was considerable labor strife as working conditions, safety issues and economic concerns arose. Even in the 21st century, mining safety and ecological concerns are still challenging to the state whose coal continues to power electrical generating plants in many other states. Coal is not the only valuable mineral found in West Virginia, as the state was the site of the 1928 discovery of the 34.48 carat (6.896 g) Jones Diamond. Geography Located in the Appalachian Mountain range, West Virginia covers an area of , with of land and of water, making it the 41st-largest state in the United States. West Virginia borders Pennsylvania and Maryland in the northeast, Virginia in the southeast, Ohio in the northwest, and Kentucky in the southwest. Its longest border is with Virginia at , followed by Ohio at , Maryland at , Pennsylvania at , and Kentucky at . Geology and terrain West Virginia is located entirely within the Appalachian Region, and the state is almost entirely mountainous, giving reason to the nickname The Mountain State and the motto Montani Semper Liberi ("Mountaineers are always free"). The elevations and ruggedness drop near large rivers like the Ohio River or Shenandoah River. About 75% of the state is within the Cumberland Plateau and Allegheny Plateau regions. Though the relief is not high, the plateau region is extremely rugged in most areas. The average elevation of West Virginia is approximately above sea level, which is the highest of any U.S. state east of the Mississippi River. On the eastern state line with Virginia, high peaks in the Monongahela National Forest region give rise to an island of colder climate and ecosystems similar to those of northern New England and eastern Canada. The highest point in the state is atop Spruce Knob, at , and is covered in a boreal forest of dense spruce trees at altitudes above . Spruce Knob lies within the Monongahela National Forest and is a part of the Spruce Knob-Seneca Rocks National Recreation Area. A total of six wilderness areas can also be found within the forest. Outside the forest to the south, the New River Gorge is a canyon deep, carved by the New River. The National Park Service manages a portion of the gorge and river that has been designated as the New River Gorge National Park and Preserve. Other areas under protection and management include: Most of West Virginia lies within the Appalachian mixed mesophytic forests ecoregion, while the higher elevations along the eastern border and in the panhandle lie within the Appalachian-Blue Ridge forests. The native vegetation for most of the state was originally mixed hardwood forest of oak, chestnut, maple, beech, and white pine, with willow and American sycamore along the state's waterways. Many of the areas are rich in biodiversity and scenic beauty, a fact appreciated by native West Virginians, who refer to their home as Almost Heaven (from the song "Take Me Home, Country Roads" by John Denver). Before the song, it was known as "The Cog State" (Coal, Oil, and Gas) or "The Mountain State". The underlying rock strata are sandstone, shale, bituminous coal beds, and limestone laid down in a near-shore environment from sediments derived from mountains to the east, in a shallow inland sea on the west. Some beds illustrate a coastal swamp environment, some river delta, some shallow water. Sea level rose and fell many times during the Mississippian and Pennsylvanian eras, giving a variety of rock strata. The Appalachian Mountains are some of the oldest on earth, having formed more than three hundred million years ago. Climate The climate of West Virginia is generally a humid subtropical climate (Köppen climate classification Cfa, except Dfb at the higher elevations) with warm to hot, humid summers and chilly winters, increasing in severity with elevation. Some southern highland areas also have a mountain temperate climate (Köppen Cfb) where winter temperatures are more moderate and summer temperatures are somewhat cooler. However, the weather is subject in all parts of the state to change. The hardiness zones range from zone 5b in the central Appalachian mountains to zone 7a in the warmest parts of the lowest elevations. In the Eastern Panhandle and the Ohio River Valley, temperatures are warm enough to see and grow subtropical plants such as southern magnolia (Magnolia grandiflora), crepe myrtle, Albizia julibrissin, American sweetgum and even the occasional needle palm and sabal minor. These plants do not thrive as well in other parts of the state. The eastern prickly pear grows well in many portions of the state. Average January temperatures range from around 26 °F (−4 °C) near the Cheat River to 41 °F (5 °C) along sections of the border with Kentucky. July averages range from 67 °F (19 °C) along the North Branch Potomac River to 76 °F (24 °C) in the western part of the state. It is cooler in the mountains than in the lower sections of the state. The |
film Warsaw is the media centre of Poland, and the location of the main headquarters of TVP and other numerous local and national TV and radio stations, such as Polskie Radio (Polish Radio), TVN, Polsat, TV4, TV Puls, Canal+ Poland, Cyfra+ and MTV Poland. Since May 1661 the first Polish newspaper, the Polish Ordinary Mercury, was printed in Warsaw. The city is also the printing capital of Poland with a wide variety of domestic and foreign periodicals expressing diverse views, and domestic newspapers are extremely competitive. Rzeczpospolita, Gazeta Wyborcza and Dziennik Polska-Europa-Świat, Poland's large nationwide daily newspapers, have their headquarters in Warsaw. Warsaw also has a sizable movie and television industry. The city houses several movie companies and studios. Among the movie companies are TOR, Czołówka, Zebra and Kadr which is behind several international movie productions. Since World War II, Warsaw has been the most important centre of film production in Poland. It has also been featured in numerous movies, both Polish and foreign, for example: Kanał and Korczak by Andrzej Wajda and The Decalogue by Krzysztof Kieślowski, also including Oscar winner The Pianist by Roman Polański. It is also home to the National Film Archive, which, since 1955, has been collecting and preserving Polish film culture. Education Warsaw holds some of the finest institutions of higher education in Poland. It is home to four major universities and over 62 smaller schools of higher education. The overall number of students of all grades of education in Warsaw is almost 500,000 (29.2% of the city population; 2002). The number of university students is over 280,000. Most of the reputable universities are public, but in recent years there has also been an upsurge in the number of private universities. The University of Warsaw was established in 1816, when the partitions of Poland separated Warsaw from the oldest and most influential Polish academic center, in Kraków. Warsaw University of Technology is the second academic school of technology in the country, and one of the largest in East-Central Europe, employing 2,000 professors. Other institutions for higher education include the Medical University of Warsaw, the largest medical school in Poland and one of the most prestigious; the National Defence University, highest military academic institution in Poland; the Fryderyk Chopin University of Music, the oldest and largest music school in Poland and one of the largest in Europe; the Warsaw School of Economics, the oldest and most renowned economic university in the country; the Warsaw University of Life Sciences, the largest agricultural university, founded in 1818; and the University of Social Sciences and Humanities, the first private secular university in the country. Warsaw has numerous libraries, many of which contain vast collections of historic documents. The most important library in terms of historic document collections is the National Library of Poland. The library holds 8.2 million volumes in its collection. Formed in 1928, it sees itself as a successor to the Załuski Library, the biggest in Poland and one of the first and biggest libraries in the world. Another important library – the University Library, founded in 1816, is home to over two million items. The building was designed by architects Marek Budzyński and Zbigniew Badowski and opened on 15 December 1999. It is surrounded by green. The University Library garden, designed by Irena Bajerska, was opened on 12 June 2002. It is one of the largest roof gardens in Europe with an area of more than , and plants covering . As the university garden it is open to the public every day. Transport Warsaw is a considerable transport hub linking Western, Central and Eastern Europe. The city has a good network of buses and a continuously expanding perpendicular metro running north to south and east to west. The tram system is one of the biggest in Europe, with a total length of . As a result of increased foreign investment, economic growth and EU funding, the city has undertaken the construction of new roads, flyovers and bridges. The supervising body is the City Roads Authority (ZDM – Zarząd Dróg Miejskich). Warsaw lacks a complete ring road system and most traffic goes directly through the city centre, leading to the eleventh highest level of congestion in Europe. The Warsaw ring road has been planned to consist of three express roads: S2 (south), S8 (north-west) and S17 (east). S8 and S2 are open. The A2 motorway opened in June 2012, stretches west from Warsaw and is a direct motorway connection with Łódź, Poznań and ultimately with Berlin. The city has two international airports: Warsaw Chopin Airport, located just from the city centre, and Warsaw-Modlin Airport, located to the north, opened in July 2012. With around 100 international and domestic flights a day and with 15,500,000 passengers served in 2017, Warsaw Frédéric Chopin Airport is by far the biggest airport in Poland and in Central-Eastern Europe. and it has also been called "the most important and largest airport in Central Europe". Public transport also extends to light rail Warszawska Kolej Dojazdowa line, urban railway Szybka Kolej Miejska, regional rail Koleje Mazowieckie (Mazovian Railways), and bicycle sharing systems (Veturilo). The buses, trams, urban railway and Metro are managed by Warszawski Transport Publiczny (WTP, Warsaw Public Transpoert). The regional rail and light rail is operated by Polish State Railways (PKP). There are also some suburban bus lines run by private operators. Bus service covers the entire city, with approximately 170 routes totalling about , and with some 1,600 vehicles. The first section of the Warsaw Metro was opened in 1995 initially with a total of 11 stations. As of 2020, it has 34 stations running a distance of approximately . The main railway station is Warszawa Centralna serving both domestic traffic to almost every major city in Poland, and international connections. There are also five other major railway stations and a number of smaller suburban stations. Culture Music and theatre Thanks to numerous musical venues, including the Teatr Wielki, the Polish National Opera, the Chamber Opera, the National Philharmonic Hall and the National Theatre, as well as the Roma and Buffo music theatres and the Congress Hall in the Palace of Culture and Science, Warsaw hosts many events and festivals. Among the events worth particular attention are: the International Frédéric Chopin Piano Competition, the International Contemporary Music Festival Warsaw Autumn, the Jazz Jamboree, Warsaw Summer Jazz Days, the International Stanisław Moniuszko Vocal Competition, the Mozart Festival, and the Festival of Old Music. Warsaw is also considered one of the European hubs of underground electronic music with a very attractive house and techno music scene. Warsaw is home to over 30 major theatres spread throughout the city, including the National Theatre (founded in 1765) and the Grand Theatre (established 1778). Warsaw also attracts many young and off-stream directors and performers who add to the city's theatrical culture. Their productions may be viewed mostly in smaller theatres and Houses of Culture (Domy Kultury), mostly outside Śródmieście (Central Warsaw). Warsaw hosts the International Theatrical Meetings. From 1833 to the outbreak of World War II, Plac Teatralny (Theatre Square) was the country's cultural hub and home to the various theatres. Plac Teatralny and its environs was the venue for numerous parades, celebrations of state holidays, carnival balls and concerts. The main building housed the Great Theatre from 1833 to 1834, the Rozmaitości Theatre from 1836 to 1924 and then the National Theatre, the Reduta Theatre from 1919 to 1924, and from 1928 to 1939the Nowy Theatre, which staged productions of contemporary poetical drama, including those directed by Leon Schiller. Nearby, in Ogród Saski (the Saxon Garden), the Summer Theatre was in operation from 1870 to 1939, and in the inter-war period, the theatre complex also included Momus, Warsaw's first literary cabaret, and Leon Schiller's musical theatre Melodram. The Wojciech Bogusławski Theatre (1922–26) was the best example of "Polish monumental theatre". From the mid-1930s, the Great Theatre building housed the Upati Institute of Dramatic Artsthe first state-run academy of dramatic art, with an acting department and a stage directing department. Museums and art galleries There are over 60 museums and galleries in Warsaw which are accessible to the public. As interesting examples of expositions the most notable are: the world's first Museum of Posters boasting one of the largest collections of art posters in the world, and the Museum of the History of Polish Jews. Among the most prestigious ones are the National Museum with a collection of works whose origin ranges in time from antiquity till the present epoch as well as one of the best collections of paintings in the country including some paintings from Adolf Hitler's private collection, and the Museum of the Polish Army whose set portrays the history of arms. The collections of Łazienki and Wilanów palaces focus on the paintings of the "old masters", as do those of the Royal Castle which displays the Lanckoroński Collection including two paintings by Rembrandt. The Palace in Natolin, a former rural residence of Duke Czartoryski, is another venue with its interiors and park accessible to tourists. Holding Poland's largest private collection of art, the Carroll Porczyński Collection Museum displays works from such varied artists as Paris Bordone, Cornelis van Haarlem, José de Ribera, William-Adolphe Bouguereau, Pierre-Auguste Renoir and Vincent van Gogh along with some copies of masterpieces of European painting. A fine tribute to the fall of Warsaw and history of Poland can be found in the Warsaw Uprising Museum and in the Katyń Museum which preserves the memory of that crime. The Warsaw Uprising Museum also operates a rare preserved and operating historic stereoscopic theatre, the Warsaw Fotoplastikon. The Museum of Independence preserves patriotic and political objects connected with Poland's struggles for independence. Dating back to 1936 the Warsaw Historical Museum contains 60 rooms which host a permanent exhibition of the history of Warsaw from its origins until today. The 17th century Royal Ujazdów Castle houses the Centre for Contemporary Art, with some permanent and temporary exhibitions, concerts, shows and creative workshops. The Centre realizes about 500 projects a year. The Zachęta National Gallery of Art, the oldest exhibition site in Warsaw, with a tradition stretching back to the mid-19th century organises exhibitions of modern art by Polish and International Artists and promotes art in many other ways. Since 2011, Warsaw Gallery Weekend is held on the last weekend of September. The city also possesses some oddities such as the Neon Museum, the Museum of Caricature, the Museum of John Paul II and Primate Wyszyński, the Legia Warsaw Museum, and a Motorisation Museum in Otrębusy. Cuisine and food Warsaw's culinary tradition was shaped by its once multicultural population; its cuisine is distinct from that of other cities and towns in Poland. Strong Jewish and French influences were cultivated over the years, in particular herring, consommé, bagels, aspic and French meringue-based pastries or cakes. Traditional Varsovian food is hearty and includes a tripe soup for entrée, a pyza dumpling for main and the iconic wuzetka (voo-zetka) chocolate cream pie for dessert. Crayfish and fish in gelatin were the classical dishes in Warsaw's restaurants throughout the 1920s and the 1930s. Much like Paris or Vienna, Warsaw once possessed a prominent café culture which dated back to the early 18th century, and the city's cafeterias were a place for socializing. The historic Wedel Chocolate Lounge on Szpitalna Street remains one of the most renowned spots for social gatherings. Cafeterias, confectioneries and patisseries such as Caffè Nero, Costa Coffee and Starbucks are predominantly found along the Royal Route on New World Street. Thousands of Warsaw's residents also flock annually to the pastry workshops (pączkarnia) to buy pączki doughnuts on Fat Thursday. Restaurants offering authentic Polish cuisine are concentrated around the Old Town district. Various spit cakes of Czech or Hungarian origin (kürtőskalács and trdelník) are also sold primarily in the Old Town. Hala Koszyki is a popular meeting place in Warsaw noted for its food hall. In the 20th century, Warsaw was famed for its state-owned milk bars (bar mleczny) which offered cheap fast food in the form of home dinners. Examples of dishes popularized by these canteens include tomato soup, schnitzels, frikadeller, mizeria salad and many others. Contemporary fast food giants like McDonald's, KFC, Subway and Burger King are the successors to milk bars, though some reemerged in recent years due to widespread nostalgia. Gourmet and haute cuisine establishments are situated in the vicinity of the downtown area or in the Frascati neighbourhood. Thirteen Varsovian restaurants were appreciated by the Michelin Guide, with two receiving a michelin star in 2019. In 2021, National Geographic named Warsaw one of the top cities for vegans in Europe. Śródmieście Południowe (Southern Downtown) and its "hipster food culture" was singled out as the epicenter. Events Several commemorative events take place every year, notably the Orange Warsaw Festival featuring music concerts. One of the more popular events is the procession of the Three Wise Men (in Polish known as the Three Kings) on Epiphany, shortly after the New Year. Paper crowns are usually worn by spectators throughout the day. The event, which runs along the Royal Route, is attended by Warsaw's highest officials and by the Polish president who resides nearby. Gatherings of thousands of people on the banks of the Vistula on Midsummer's Night for a festival called Wianki (Polish for Wreaths) have also become a tradition and a yearly event in the programme of cultural events in Warsaw. The festival traces its roots to a peaceful pagan ritual where maidens would float their wreaths of herbs on the water to predict when they would be married, and to whom. By the 19th century this tradition had become a festive event, and it continues today. The city council organize concerts and other events. Each Midsummer's Eve, apart from the official floating of wreaths, jumping over fires, and looking for the fern flower, there are musical performances, dignitaries' speeches, fairs and fireworks by the river bank. Warsaw Multimedia Fountain Park is located in an enchanting place, near the Old Town and the Vistula. The ‘Water – Light – Sound’ multimedia shows take place each Friday and Saturday from May till September at 9.30 pm (May and – 9 October pm). On other weekdays, the shows do not include lasers and sound. The Warsaw Film festival, an annual festival that takes place every October. Films are usually screened in their original language with Polish subtitles and participating cinemas include Kinoteka (Palace of Science and Culture), Multikino at Golden Terraces and Kultura. Over 100 films are shown throughout the festival, and awards are given to the best and most popular films. Warsaw Mermaid The mermaid (syrenka) is Warsaw's symbol and can be found on statues throughout the city and on the city's coat of arms. This imagery has been in use since at least the mid-14th century. The oldest existing armed seal of Warsaw is from the year 1390, consisting of a round seal bordered with the Latin inscription Sigilium Civitatis Varsoviensis (Seal of the city of Warsaw). City records as far back as 1609 document the use of a crude form of a sea monster with a female upper body and holding a sword in its claws. In 1653 the poet Zygmunt Laukowski asks the question: The Mermaid Statue stands in the very centre of Old Town Square, surrounded by a fountain. Due to vandalism, the original statue had been moved to the grounds of the Museum of Warsaw – the statue in the square is a copy. This is not the only mermaid in Warsaw. Another is located on the bank of the Vistula River near Świętokrzyski Bridge and another on Karowa Street. The origin of the legendary figure is not fully known. The best-known legend, by Artur Oppman, is that long ago two of Triton's daughters set out on a journey through the depths of the oceans and seas. One of them decided to stay on the coast of Denmark and can be seen sitting at the entrance to the port of Copenhagen. The second mermaid reached the mouth of the Vistula River and plunged into its waters. She stopped to rest on a sandy beach by the village of Warszowa, where fishermen came to admire her beauty and listen to her beautiful voice. A greedy merchant also heard her songs; he followed the fishermen and captured the mermaid. Another legend says that a mermaid once swam to Warsaw from the Baltic Sea for the love of the Griffin, the ancient defender of the city, who was killed in a struggle against the Swedish invasions of the 17th century. The mermaid, wishing to avenge his death, took the position of defender of Warsaw, becoming the symbol of the city. Every member of the Queen's Royal Hussars of the UK's light cavalry wears the Maid of Warsaw, the crest of the City of Warsaw, on the left sleeve of his No. 2 (Service) Dress. Members of 651 Squadron Army Air Corps of the United Kingdom also wear the Maid of Warsaw on the left sleeve of their No. 2 (Service) Dress. Sports On 9 April 2008 the President of Warsaw, Hanna Gronkiewicz-Waltz, obtained from the mayor of Stuttgart Wolfgang Schuster a challenge award – a commemorative plaque awarded to Warsaw as the European capital of Sport in 2008. The National Stadium, a 58,580-seat-capacity football (soccer) stadium, replaced Warsaw's recently demolished 10th-Anniversary Stadium. The Stadion Narodowy hosted the opening match, two group matches, a quarter-final, and a semi-final of UEFA Euro 2012. There are many sports centres in the city as well. Most of these facilities are swimming pools and sports halls, many of them built by the municipality in the past several years. The main indoor venue is Hala Torwar, used for a variety of indoor sports (it was a venue for the 2009 EuroBasket but it is also used as an indoor skating rink). There is also an open-air skating rink (Stegny) and a horse racetrack (Służewiec). The best of the city's swimming centres is at Wodny Park Warszawianka, south of the centre at Merliniego Street, where there's an Olympic-sized pool as well as water slides and children's areas. From the Warsovian football teams, the most famous is Legia Warsaw – the army club with a nationwide following play at Stadion Wojska Polskiego, just southeast of the centre at Łazienkowska Street. Established in 1916, they have won the country's championship fifteen times (most recently in 2021) and won the Polish Cup nineteen times. In the 1995–96 UEFA Champions League season, they reached the quarter-finals, where they lost to Greek club Panathinaikos. Their local rivals, Polonia Warsaw, have significantly fewer supporters, yet they managed to win the country's championship two times (in 1946 and 2000) and won the cup twice as well. Polonia's home venue is located at Konwiktorska Street, a ten-minute walk north from the Old Town. Polonia was relegated from the country's top flight in 2013 because of their disastrous financial situation. They are now playing in the second league (3rd tier in Poland). Legia Warsaw's basketball team was one of the country's best teams in 50s and 60s. They are now participating in PLK, the highest-tier level of the Polish basketball. Famous people One of the most famous people born in Warsaw was Maria Skłodowska-Curie, who achieved international recognition for her research on radioactivity and was the first female recipient of the Nobel Prize. Famous musicians include Władysław Szpilman and Frédéric Chopin. Though Chopin was born in the village of Żelazowa Wola, about from Warsaw, he moved to the city with his family when he was seven months old. Casimir Pulaski, a Polish general and hero of the American Revolutionary War, was born here in 1745. Tamara de Lempicka was a famous artist born in Warsaw. She was born Maria Górska in Warsaw to wealthy parents and in 1916 married a Polish lawyer Tadeusz Łempicki. Better than anyone else she represented the art deco style in painting and art. Nathan Alterman, the Israeli poet, was born in Warsaw, as was Moshe Vilenski, the Israeli composer, lyricist, and pianist, who studied music at the Warsaw Conservatory. Russian Jewish poet and essayist Osip Mandelstam, one of | Office Building at Pilsudski Square by Norman Foster, Warsaw University Library (BUW) by Marek Budzyński and Zbigniew Badowski, featuring a garden on its roof and view of the Vistula River, Rondo 1 office building by Skidmore, Owings & Merrill, Złota 44 residential skyscraper by Daniel Libeskind, Museum of the History of Polish Jews by Rainer Mahlamäki and Golden Terraces, consisting of seven overlapping domes retail and business centre. Jointly with Frankfurt, London, Paris and Rotterdam, Warsaw is one of the cities with the highest number of skyscrapers in Europe. Landmarks Although contemporary Warsaw is a fairly young city compared to other European capitals, it has numerous tourist attractions and architectural monuments dating back centuries. Apart from the Warsaw Old Town quarter, reconstructed after World War II, each borough has something to offer. Among the most notable landmarks of the Old Town are the Royal Castle, Sigismund's Column, Market Square, and the Barbican. Further south is the so-called Royal Route, with many historical churches, Baroque and Classicist palaces, most notably the Presidential Palace, and the University of Warsaw campus. The former royal residence of King John III Sobieski at Wilanów is notable for its Baroque architecture and eloquent palatial garden. Powązki Cemetery is one of the oldest cemeteries in Europe, featuring of sculptures, some of them by the most renowned Polish artists of the 19th and 20th centuries. Since it serves the religious communities of Warsaw such as Catholics, Jews, Orthodox Christians, Muslims or Protestants, it is often called a necropolis. Nearby is the Okopowa Street Jewish Cemetery, one of the largest Jewish cemeteries in Europe. In many places in the city the Jewish culture and history resonates down through time. Among them the most notable are the Jewish theater, the Nożyk Synagogue, Janusz Korczak's Orphanage and the picturesque Próżna Street. The tragic pages of Warsaw's history are commemorated in places such as the Monument to the Ghetto Heroes, the Umschlagplatz, fragments of the Ghetto wall on Sienna Street and a mound in memory of the Jewish Combat Organization. Many places commemorate the heroic history of Warsaw such as Pawiak, a German Gestapo prison now occupied by a Mausoleum of Memory of Martyrdom and a museum. The Warsaw Citadel, a 19th-century fortification built after the defeat of the November Uprising, was a place of martyrdom for the Poles. Another important monument, the statue of Little Insurrectionist located at the ramparts of the Old Town, commemorates the children who served as messengers and frontline troops in the Warsaw Uprising, while the Warsaw Uprising Monument by Wincenty Kućma was erected in memory of the largest insurrection of World War II. In Warsaw there are many places connected with the life and work of Frédéric Chopin who was born near the city in Żelazowa Wola. The heart of the Polish composer is sealed inside Warsaw's Holy Cross Church. During the summer time the Chopin Statue in Łazienki Park is a place where pianists give concerts to the park audience. Also many references to Marie Curie, her work and her family can be found in Warsaw; Curie's birthplace at the Warsaw New Town, the working places where she did her first scientific works and the Radium Institute at Wawelska Street for the research and the treatment of which she founded in 1925. Flora and fauna Green space covers almost a quarter of Warsaw's total area. These range from small neighborhood parks and green spaces along streets or in courtyards, to tree-lined avenues, large historic parks, nature conservation areas and urban forests at the fringe of the city. There are as many as 82 parks in the city; the oldest ones were once part of representative palaces and include the Saxon and Krasiński Gardens, Łazienki Park (Royal Baths Park) and Wilanów Palace Parkland. The Saxon Garden, covering an area of 15.5 ha, formally served as a royal garden to the now nonexistent Saxon Palace. In 1727, it was made into one of the world's first public parks and later remodelled in the forest-like English style. The Tomb of the Unknown Soldier is situated at the east end of the park near the central fountain, on Piłsudski Square. With its benches, flower carpets and a central pond, the Krasiński Palace Garden was once a notable strolling destination for most Varsovians. The Łazienki Park covers an area of 76 ha and its unique character and history is reflected in the landscape architecture (pavilions, sculptures, bridges, water cascades) and vegetation (domestic and foreign species of trees and shrubs). The presence of peacocks, pheasants and squirrels at Łazienki attracts tourists and locals. The Wilanów Palace Parkland on the outskirts of Warsaw traces it history to the second half of the 17th century and covers an area of 43 ha. Its French-styled alleys corresponds to the ancient, Baroque forms of the palace. The Botanical Garden and the University Library rooftop garden host an extensive collection of rare domestic and foreign plants, while a palm house in the New Orangery displays plants of subtropics from all over the world. Mokotów Field (once a racetrack), Ujazdów Park and Skaryszewski Park are also located within the city borders. The oldest park in the Praga borough was established between 1865 and 1871. The flora of Warsaw may be considered very rich in species on city standards. This is mainly due to the location of Warsaw within the border region of several big floral regions comprising substantial proportions of close-to-wilderness areas (natural forests, wetlands along the Vistula) as well as arable land, meadows and forests. The nearby Kampinos Nature Reserve is the last remaining part of the Masovian Primeval Forest and is protected by law. The Kabaty Woods are by the southern city border and are visited by the residents of southern boroughs such as Ursynów. There are 13 natural reserves in the vicinity and just from Warsaw, the environment features a perfectly preserved ecosystem with a habitat of animals like the otter, beavers and hundreds of bird species. There are also several lakes in Warsaw – mainly the oxbow lakes at Czerniaków and Kamionek. The Warsaw Zoo covers an area of . There are about 5,000 animals representing nearly 500 species. Although officially created in 1928, it traces back its roots to 17th century private menageries, often open to the public. Demographics Demographically, Warsaw was the most diverse city in Poland, with significant numbers of foreign-born residents. In addition to the Polish majority, there was a large and thriving Jewish minority. According to the Imperial Census of 1897, out of the total population of 638,000, Jews constituted 219,000 (equivalent to 34%). Prior to the Second World War, Warsaw hosted the world's second largest Jewish population after New York – approximately 30 percent of the city's total population in the late 1930s. In 1933, 833,500 out of 1,178,914 people declared Polish as their mother tongue. There was also a notable German community. The ethnic composition of contemporary Warsaw is incomparable to the diversity that existed for nearly 300 years. Most of the modern-day population growth is based on internal migration and urbanisation. In 1939, approximately 1,300,000 people resided in Warsaw; by 1945 the population had dropped to 420,000. During the first years after the war, the population growth rate was high and the city soon began to suffer from the lack of flats and dwellings to house new incomers. The first remedial measure was the enlargement of Warsaw's total area (1951) – however the city authorities were still forced to introduce limitations; only the spouses and children of permanent residents as well as some persons of public importance (renowned specialists, artists, engineers) were permitted to stay. This negatively affected the image of an average Warsaw citizen, who was perceived as more privileged than those migrating from rural areas, towns or other cities. While all restrictions on residency registration were scrapped in 1990, the negative opinion of Varsovians in some form continues to this day. Immigrant population Much like most capital cities in Europe, Warsaw boasts a foreign-born population that is significantly larger than in other cities, although not coming close to the figures representing the likes of Madrid or Rome. In 2019, it was estimated that 40,000 people living in Warsaw were born overseas. Of those, Ukrainians, Vietnamese, Belarusians, Russians and Indians were the most prominent groups. Religion Throughout its existence, Warsaw had been a multi-cultural and multi-religious city. According to the 1901 census, out of 711,988 inhabitants 56.2% were Catholics, 35.7% Jews, 5% Greek Orthodox Christians and 2.8% Protestants. Eight years later, in 1909, there were 281,754 Jews (36.9%), 18,189 Protestants (2.4%) and 2,818 Mariavites (0.4%). This led to construction of hundreds of places of religious worship in all parts of the town. Most of them were destroyed in the aftermath of the Warsaw Uprising in 1944. After the war, the new communist authorities of Poland discouraged church construction and only a small number were rebuilt. The archdiocese of Warsaw and the Diocese of Warsaw-Praga are the two ecclesiastical districts active in the city which serve the large Roman Catholic population of 1.4 million. The Lutheran Diocese of Warsaw is one of six in Poland; its main house of worship is the Holy Trinity Church from 1782, one of Warsaw's most important and historic landmarks. The Evangelical Reformed Parish (Calvinist) is leading the Polish Reformed Church. The main tserkva of the Orthodox Christians is Praga's Cathedral of St. Mary Magdalene from 1869. The Jewish Commune of Warsaw (Gmina Wyznaniowa Żydowska) is one of eight in the country; Chief Rabbi of Poland Michael Schudrich resides in the city. There are also 3 active synagogues, one of which is the pre-war Nożyk Synagogue designated for Orthodox Jews. An Islamic Cultural Centre in Ochota and a small mosque in Wilanów serve the Muslims. Government and politics As the capital of Poland, Warsaw is the political centre of the country. All state agencies are located there, including the Polish Parliament, the Presidential Office and the Supreme Court. In the Polish parliament the city and the area are represented by 31 MPs (out of 460). Additionally, Warsaw elects two MEPs (Members of the European Parliament). The Sejm, the lower house of the Polish parliament, is situated in Warsaw on Wiejska Street. The Sejm is composed of 460 members (in Polish deputowany or poseł). It is elected by universal ballot and is presided over by a speaker called the Marshal of the Sejm (Marszałek Sejmu). Municipal government The municipal government existed in Warsaw until World War II and was restored in 1990 (during the communist times, the National City Council – Miejska Rada Narodowa – governed in Warsaw). Since 1990, the system of city administration has been changed several times – also as the result of the reform which restored powiats, cancelled in 1975. Finally, according to the Warsaw Act, the city is divided into 18 districts and forms one city powiat with a unified municipal government. The basic unit of territorial division in Poland is a commune (gmina). A city is also a commune – but with a city charter. Both cities and communes are governed by a mayor – but in the communes the mayor is vogt (wójt in Polish), however in the cities – burmistrz. Some bigger cities obtain the entitlements, i.e. tasks and privileges, which are possessed by the units of the second level of the territorial division – counties (powiaty in Polish). An example of such entitlement is a car registration: a gmina cannot register cars, this is a powiat's task (i.e. a registration number depends on what powiat a car had been registered in, not the gmina). In this case we say "city county" or powiat grodzki. Such cities are for example Lublin, Kraków, Gdańsk, and Poznań. In Warsaw, its districts additionally have some of a powiat entitlements – like the already mentioned car registration. For example, the Wola district has its own evidence and the Ursynów district – its own (and the cars from Wola have another type of registration number than those from Ursynów). But for instance the districts in Kraków do not have the entitlements of a powiat, so the registration numbers in Kraków are of the same type for all districts. Legislative power in Warsaw is vested in a unicameral Warsaw City Council (Rada Miasta), which comprises 60 members. Council members are elected directly every five years (since 2018 election). Like most legislative bodies, the city council divides itself into committees which have the oversight of various functions of the city government. Bills passed by a simple majority are sent to the mayor (the President of Warsaw), who may sign them into law. If the mayor vetoes a bill, the council has 30 days to override the veto by a two-thirds majority vote. Each of the 18 separate city districts has its own council (Rada dzielnicy). Their duties are focused on aiding the President and the City Council, as well as supervising various municipal companies, city-owned property and schools. The head of each of the District Councils is named the Mayor (Burmistrz) and is elected by the local council from the candidates proposed by the President of Warsaw. The mayor of Warsaw is called President. Generally, in Poland, the mayors of bigger cities are called presidents – i.e. cities with over 100,000 people or that had a president before 1990. The first Warsaw President was Jan Andrzej Menich (1695–1696). Between 1975 and 1990 the Warsaw presidents simultaneously led the Warsaw Voivode. Since 1990 the President of Warsaw had been elected by the city council. In the years of 1994–1999 the mayor of the district Centrum automatically was designated as the President of Warsaw: the mayor of Centrum was elected by the district council of Centrum and the council was elected only by the Centrum residents. Since 2002 the President of Warsaw is elected by all of the citizens of Warsaw. The President of Warsaw is Rafał Trzaskowski. The first president elected according these rules was Lech Kaczyński. When he was elected as the President of Polish Republic (December 2005) he resigned as mayor on the day before taking office. Districts Until 1994, there were 7 districts in Warsaw: Śródmieście, Praga Północ, Praga Południe, Żoliborz, Wola, Ochota, and Mokotów. Between 1994 and 2002, there were 11 districts: Centrum, Białołęka, Targówek, Rembertów, Wawer, Wilanów, Ursynów, Włochy, Ursus, Bemowo, and Bielany. In 2002, the town Wesoła was incorporated and the territorial division of Warsaw was established as follows: Warsaw is a county (powiat), and is further divided into 18 districts (dzielnica), each one with its own administrative body. Each of the districts is customarily subdivided into several neighbourhoods which have no legal or administrative status. Warsaw has two historic neighbourhoods, called Old Town (Stare Miasto) and New Town (Nowe Miasto), in the borough of Śródmieście. Economy Warsaw is the leading economic and financial hub of Central Europe, the Visegrád Group and the Three Seas Initiative. In 2019, the city's Gross Domestic Product (GDP) was estimated at €94 billion ($ billion), which places Warsaw among the wealthiest regions in the European Union; it generates approximately 1/6 of the total GDP of Poland and the country's national income. In 2020, Warsaw was classified as an alpha world city (also known as a "major global city that links economic regions into the world economy") by the Globalization and World Cities study group from Loughborough University, placing it on a par with cities such as Sydney, Istanbul, Amsterdam or Seoul. Warsaw's city centre (Śródmieście) and commercial Wola district are home not only to many national institutions and government agencies, but also to many domestic and international companies. In 2017, 423,000 enterprises were registered in the city. Warsaw's ever-growing business community has been noticed globally, regionally, and nationally; in 2019 Warsaw was one of the top destinations for foreign investors in Europe. In October 2019, Warsaw's unemployment rate was 1.3%, the lowest in the country. Shopping and consumerism is an important component of Warsaw's economy – the high street of retail is New World (Nowy Świat) and the Royal Route. However, most retailers choose to operate in central shopping centres and malls such as Złote Tarasy-Golden Terraces, Galeria Mokotów and Westfield Arkadia – one of the biggest shopping complexes in Europe. Luxury or upmarket goods as well as designer labels can be found in the Vitkac Department Store and around Frascati. Warsaw Stock Exchange Warsaw's first stock exchange was established in 1817 and continued trading until World War II. It was re-established in April 1991, following the end of a communist planned economy and the reintroduction of a free-market economy. Today, the Warsaw Stock Exchange (WSE) is, according to many indicators, the largest market in the region, with 433 companies listed and total capitalisation of 1 trillion PLN as of 26 November 2020. From 1991 until 2000, the stock exchange was, ironically, located in the building previously used as the headquarters of the communist Polish United Workers' Party (PZPR). Industry The most prominent industries and industrial sectors include high-tech, electrotechnical, chemical, cosmetic, construction, food processing, printing, metallurgy, machinery and clothing. The majority of production plants and facilities are concentrated within the WOP Warsaw Industrial Precinct (Warszawski Okręg Przemysłowy) which is situated around the city's peripheral localities such as Praga, Pruszków, Sochaczew, Piaseczno, Marki and Żyrardów. Warsaw has developed a particularly strong retail market/sector, representing around 13% of the total retail stock in the country. Following World War II, the authorities decided that the city will be transformed into a major industrial (heavy industry) and manufacturing centre. As a result, numerous large factories and production facilities were built in and around the city. Among the largest were Huta Warszawa steel works (now arcelor), the FSO Car Factory and Ursus SA. The FSO, established in 1951, was once Warsaw's most successful corporation. Notable vehicles assembled there over the decades include the Warszawa, Syrena, Fiat 125p and the Polonez. In 1995, the factory was purchased by the South Korean car manufacturer Daewoo, which assembled the Tico, Espero, Nubia, Tacuma, Leganza, Lanos and Matiz there for the European market. The company is now defunct. The Ursus factory opened in 1893 and is still in operation. Throughout its history various machinery was assembled there – motorcycles, military vehicles, trucks and buses. Since World War II it has produced only tractors. Media and film Warsaw is the media centre of Poland, and the location of the main headquarters of TVP and other numerous local and national TV and radio stations, such as Polskie Radio (Polish Radio), TVN, Polsat, TV4, TV Puls, Canal+ Poland, Cyfra+ and MTV Poland. Since May 1661 the first Polish newspaper, the Polish Ordinary Mercury, was printed in Warsaw. The city is also the printing capital of Poland with a wide variety of domestic and foreign periodicals expressing diverse views, and domestic newspapers are extremely competitive. Rzeczpospolita, Gazeta Wyborcza and Dziennik Polska-Europa-Świat, Poland's large nationwide daily newspapers, have their headquarters in Warsaw. Warsaw also has a sizable movie and television industry. The city houses several movie companies and studios. Among the movie companies are TOR, Czołówka, Zebra and Kadr which is behind several international movie productions. Since World War II, Warsaw has been the most important centre of film production in Poland. It has also been featured in numerous movies, both Polish and foreign, for example: Kanał and Korczak by Andrzej Wajda and The Decalogue by Krzysztof Kieślowski, also including Oscar winner The Pianist by Roman Polański. It is also home to the National Film Archive, which, since 1955, has been collecting and preserving Polish film culture. Education Warsaw holds some of the finest institutions of higher education in Poland. It is home to four major universities and over 62 smaller schools of higher education. The overall number of students of all grades of education in Warsaw is almost 500,000 (29.2% of the city population; 2002). The number of university students is over 280,000. Most of the reputable universities are public, but in recent years there has also been an upsurge in the number of private universities. The University of Warsaw was established in 1816, when the partitions of Poland separated Warsaw from the oldest and most influential Polish academic center, in Kraków. Warsaw University of Technology is the second academic school of technology in the country, and one of the largest in East-Central Europe, employing 2,000 professors. Other institutions for higher education include the Medical University of Warsaw, the largest medical school in Poland and one of the most prestigious; the National Defence University, highest military academic institution in Poland; the Fryderyk Chopin University of Music, the oldest and largest music school in Poland and one of the largest in Europe; the Warsaw School of Economics, the oldest and most renowned economic university in the country; the Warsaw University of Life Sciences, the largest agricultural university, founded in 1818; and the University of Social Sciences and Humanities, the first private secular university in the country. Warsaw has numerous libraries, many of which contain vast collections of historic documents. The most important library in terms of historic document collections is the National Library of Poland. The library holds 8.2 million volumes in its collection. Formed in 1928, it sees itself as a successor to the Załuski Library, the biggest in Poland and one of the first and biggest libraries in the world. Another important library – the University Library, founded in 1816, is home to over two million items. The building was designed by architects Marek Budzyński and Zbigniew Badowski and opened on 15 December 1999. It is surrounded by green. The University Library garden, designed by Irena Bajerska, was opened on 12 June 2002. It is one of the largest roof gardens in Europe with an area of more than , and plants covering . As the university garden it is open to the public every day. Transport Warsaw is a considerable transport hub linking Western, Central and Eastern Europe. The city has a good network of buses and a continuously expanding perpendicular metro running north to south and east to west. The tram system is one of the biggest in Europe, with a total length of . As a result of increased foreign investment, economic growth and EU funding, the city has undertaken the construction of new roads, flyovers and bridges. The supervising body is the City Roads Authority (ZDM – Zarząd Dróg Miejskich). Warsaw lacks a complete ring road system and most traffic goes directly through the city centre, leading to the eleventh highest level of congestion in Europe. The Warsaw ring road has been planned to consist of three express roads: S2 (south), S8 (north-west) and S17 (east). S8 and S2 are open. The A2 motorway opened in June 2012, stretches west from Warsaw and is a direct motorway connection with Łódź, Poznań and ultimately with Berlin. The city has two international airports: Warsaw Chopin Airport, located just from the city centre, and Warsaw-Modlin Airport, located to the north, opened in July 2012. With around 100 international and domestic flights a day and with 15,500,000 passengers served in 2017, Warsaw Frédéric Chopin Airport is by far the biggest airport in Poland and in Central-Eastern Europe. and it has also been called "the most important and largest airport in Central Europe". Public transport also extends to light rail Warszawska Kolej Dojazdowa line, urban railway Szybka Kolej Miejska, regional rail Koleje Mazowieckie (Mazovian Railways), and bicycle sharing systems (Veturilo). The buses, trams, urban railway and Metro are managed by Warszawski Transport Publiczny (WTP, Warsaw Public Transpoert). The regional rail and light rail is operated by Polish State Railways (PKP). There are also some suburban bus lines run by private operators. Bus service covers the entire city, with approximately 170 routes totalling about , and with some 1,600 vehicles. The first section of the Warsaw Metro was opened in 1995 initially with a total of 11 stations. As of 2020, it has 34 stations running a distance of approximately . The main railway station is Warszawa Centralna serving both domestic traffic to almost every major city in Poland, and international connections. There are also five other major railway stations and a number of smaller suburban stations. Culture Music and theatre Thanks to numerous musical venues, including the Teatr Wielki, the Polish National Opera, the Chamber Opera, the National Philharmonic Hall and the National Theatre, as well as the Roma and Buffo music theatres and the Congress Hall in the Palace of Culture and Science, Warsaw hosts many events and festivals. Among the events worth particular attention are: the International Frédéric Chopin Piano Competition, the International Contemporary Music Festival Warsaw Autumn, the Jazz Jamboree, Warsaw Summer Jazz Days, the International Stanisław Moniuszko Vocal Competition, the Mozart Festival, and the Festival of Old Music. Warsaw is also considered one of the European hubs of underground electronic music with a very attractive house and techno music scene. Warsaw is home to over 30 major theatres spread throughout the city, including the National Theatre (founded in 1765) and the Grand Theatre (established 1778). Warsaw also attracts many young and off-stream directors and performers who add to the city's theatrical culture. Their productions may be viewed mostly in smaller theatres and Houses of Culture (Domy Kultury), mostly outside Śródmieście (Central Warsaw). Warsaw hosts the International Theatrical Meetings. From 1833 to the outbreak of World War II, Plac Teatralny (Theatre Square) was the country's cultural hub and home to the various theatres. Plac Teatralny and its environs was the venue for numerous parades, celebrations of state holidays, carnival balls and concerts. The main building housed the Great Theatre from 1833 to 1834, the Rozmaitości Theatre from 1836 to 1924 and then the National Theatre, the Reduta Theatre from 1919 to 1924, and from 1928 to 1939the Nowy Theatre, which staged productions of contemporary poetical drama, including those directed by Leon Schiller. Nearby, in Ogród Saski (the Saxon Garden), the Summer Theatre was in operation from 1870 to 1939, and in the inter-war period, the theatre complex also included Momus, Warsaw's first literary cabaret, and Leon Schiller's musical theatre Melodram. The Wojciech Bogusławski Theatre (1922–26) was the best example of "Polish monumental theatre". From the mid-1930s, the Great Theatre building housed the Upati Institute of Dramatic Artsthe first state-run academy of dramatic art, with an acting department and a stage directing department. Museums and art galleries There are over 60 museums and galleries in Warsaw which are accessible to the public. As interesting examples of expositions the most notable are: the world's first Museum of Posters boasting one of the largest collections of art posters in the world, and the Museum of the History of Polish Jews. Among the most prestigious |
Air Power. The military films generated only enough revenue to cover costs, and the feature film Bambiwhich had been in production since 1937underperformed on its release in April 1942, and lost $200,000 at the box office. On top of the low earnings from Pinocchio and Fantasia, the company had debts of $4 million with the Bank of America in 1944. At a meeting with Bank of America executives to discuss the future of the company, the bank's chairman and founder, Amadeo Giannini, told his executives, "I've been watching the Disneys' pictures quite closely because I knew we were lending them money far above the financial risk. ... They're good this year, they're good next year, and they're good the year after. ... You have to relax and give them time to market their product." Disney's production of short films decreased in the late 1940s, coinciding with increasing competition in the animation market from Warner Bros. and Metro-Goldwyn-Mayer. Roy Disney, for financial reasons, suggested more combined animation and live-action productions. In 1948, Disney initiated a series of popular live-action nature films, titled True-Life Adventures, with Seal Island the first; the film won the Academy Award in the Best Short Subject (Two-Reel) category. Disney grew more politically conservative as he got older. A Democratic Party supporter until the 1940 presidential election, when he switched allegiance to the Republican Party, he became a generous donor to Thomas E. Dewey's 1944 bid for the presidency. In 1946, he was a founding member of the Motion Picture Alliance for the Preservation of American Ideals, an organization who stated they "believ[ed] in, and like, the American Way of Life ... we find ourselves in sharp revolt against a rising tide of Communism, Fascism and kindred beliefs, that seek by subversive means to undermine and change this way of life". In 1947, during the Second Red Scare, Disney testified before the House Un-American Activities Committee (HUAC), where he branded Herbert Sorrell, David Hilberman and William Pomerance, former animators and labor union organizers, as communist agitators; Disney stated that the 1941 strike led by them was part of an organized communist effort to gain influence in Hollywood. It was alleged by The New York Times in 1993 that Disney had been passing secret information to the FBI from 1940 until his death in 1966. In return for this information, J. Edgar Hoover allowed Disney to film in FBI headquarters in Washington. Disney was made a "full Special Agent in Charge Contact" in 1954. In 1949, Disney and his family moved to a new home in the Holmby Hills district of Los Angeles. With the help of his friends Ward and Betty Kimball, who already had their own backyard railroad, Disney developed blueprints and immediately set to work on creating a miniature live steam railroad for his backyard. The name of the railroad, Carolwood Pacific Railroad, came from his home's location on Carolwood Drive. The miniature working steam locomotive was built by Disney Studios engineer Roger E. Broggie, and Disney named it Lilly Belle after his wife; after three years Disney ordered it into storage due to a series of accidents involving his guests. Theme parks, television and other interests: 1950–1966 In early 1950, Disney produced Cinderella, his studio's first animated feature in eight years. It was popular with critics and theater audiences. Costing $2.2 million to produce, it earned nearly $8 million in its first year. Disney was less involved than he had been with previous pictures because of his involvement in his first entirely live-action feature, Treasure Island (1950), which was shot in Britain, as was The Story of Robin Hood and His Merrie Men (1952). Other all-live-action features followed, many of which had patriotic themes. He continued to produce full-length animated features too, including Alice in Wonderland (1951) and Peter Pan (1953). From the early to mid-1950s, Disney began to devote less attention to the animation department, entrusting most of its operations to his key animators, the Nine Old Men, although he was always present at story meetings. Instead, he started concentrating on other ventures. For several years Disney had been considering building a theme park. When he visited Griffith Park in Los Angeles with his daughters, he wanted to be in a clean, unspoiled park, where both children and their parents could have fun. He visited the Tivoli Gardens in Copenhagen, Denmark, and was heavily influenced by the cleanliness and layout of the park. In March 1952 he received zoning permission to build a theme park in Burbank, near the Disney studios. This site proved too small, and a larger plot in Anaheim, south of the studio, was purchased. To distance the project from the studiowhich might attract the criticism of shareholdersDisney formed WED Enterprises (now Walt Disney Imagineering) and used his own money to fund a group of designers and animators to work on the plans; those involved became known as "Imagineers". After obtaining bank funding he invited other stockholders, American Broadcasting-Paramount Theatrespart of American Broadcasting Company (ABC)and Western Printing and Lithographing Company. In mid-1954, Disney sent his Imagineers to every amusement park in the U.S. to analyze what worked and what pitfalls or problems there were in the various locations and incorporated their findings into his design. Construction work started in July 1954, and Disneyland opened in July 1955; the opening ceremony was broadcast on ABC, which reached 70 million viewers. The park was designed as a series of themed lands, linked by the central Main Street, U.S.A.a replica of the main street in his hometown of Marceline. The connected themed areas were Adventureland, Frontierland, Fantasyland and Tomorrowland. The park also contained the narrow gauge Disneyland Railroad that linked the lands; around the outside of the park was a high berm to separate the park from the outside world. An editorial in The New York Times considered that Disney had "tastefully combined some of the pleasant things of yesterday with fantasy and dreams of tomorrow". Although there were early minor problems with the park, it was a success, and after a month's operation, Disneyland was receiving over 20,000 visitors a day; by the end of its first year, it attracted 3.6 million guests. The money from ABC was contingent on Disney television programs. The studio had been involved in a successful television special on Christmas Day 1950 about the making of Alice in Wonderland. Roy believed the program added millions to the box office takings. In a March 1951 letter to shareholders, he wrote that "television can be a most powerful selling aid for us, as well as a source of revenue. It will probably be on this premise that we enter television when we do". In 1954, after the Disneyland funding had been agreed, ABC broadcast Walt Disney's Disneyland, an anthology consisting of animated cartoons, live-action features and other material from the studio's library. The show was successful in terms of ratings and profits, earning an audience share of over 50%. In April 1955, Newsweek called the series an "American institution". ABC was pleased with the ratings, leading to Disney's first daily television program, The Mickey Mouse Club, a variety show catering specifically to children. The program was accompanied by merchandising through various companies (Western Printing, for example, had been producing coloring books and comics for over 20 years, and produced several items connected to the show). One of the segments of Disneyland consisted of the five-part miniseries Davy Crockett which, according to Gabler, "became an overnight sensation". The show's theme song, "The Ballad of Davy Crockett", became internationally popular, and ten million records were sold. As a result, Disney formed his own record production and distribution entity, Disneyland Records. As well as the construction of Disneyland, Disney worked on other projects away from the studio. He was consultant to the 1959 American National Exhibition in Moscow; Disney Studios' contribution was America the Beautiful, a 19-minute film in the 360-degree Circarama theater that was one of the most popular attractions. The following year he acted as the chairman of the Pageantry Committee for the 1960 Winter Olympics in Squaw Valley, California, where he designed the opening, closing and medal ceremonies. Despite the demands wrought by non-studio projects, Disney continued to work on film and television projects. In 1955, he was involved in "Man in Space", an episode of the Disneyland series, which was made in collaboration with NASA rocket designer Wernher von Braun. Disney also oversaw aspects of the full-length features Lady and the Tramp (the first animated film in CinemaScope) in 1955, Sleeping Beauty (the first animated film in Technirama 70 mm film) in 1959, One Hundred and One Dalmatians (the first animated feature film to use Xerox cels) in 1961, and The Sword in the Stone in 1963. In 1964, Disney produced Mary Poppins, based on the book series by P. L. Travers; he had been trying to acquire the rights to the story since the 1940s. It became the most successful Disney film of the 1960s, although Travers disliked the film intensely and regretted having sold the rights. The same year he also became involved in plans to expand the California Institute of the Arts (colloquially called CalArts), and had an architect draw up blueprints for a new building. Disney provided four exhibits for the 1964 New York World's Fair, for which he obtained funding from selected corporate sponsors. For PepsiCo, who planned a tribute to UNICEF, Disney developed It's a Small World, a boat ride with audio-animatronic dolls depicting children of the world; Great Moments with Mr. Lincoln contained an animatronic Abraham Lincoln giving excerpts from his speeches; Carousel of Progress promoted the importance of electricity; and Ford's Magic Skyway portrayed the progress of mankind. Elements of all four exhibitsprincipally concepts and technologywere re-installed in Disneyland, although It's a Small World is the ride that most closely resembles the original. During the early to mid-1960s, Disney developed plans for a ski resort in Mineral King, a glacial valley in California's Sierra Nevada. He hired experts such as the renowned Olympic ski coach and ski-area designer Willy Schaeffler. With income from Disneyland accounting for an increasing proportion of the studio's income, Disney continued to look for venues for other attractions. In late 1965, he announced plans to develop another theme park to be called "Disney World" (now Walt Disney World), a few miles southwest of Orlando, Florida. Disney World was to include the "Magic Kingdom"a larger and more elaborate version of Disneylandplus golf courses and resort hotels. The heart of Disney World was to be the "Experimental Prototype Community of Tomorrow" (EPCOT), which he described as: an experimental prototype community of tomorrow that will take its cue from the new ideas and new technologies that are now emerging from the creative centers of American industry. It will be a community of tomorrow that will never be completed, but will always be introducing and testing and demonstrating new materials and systems. And EPCOT will always be a showcase to the world for the ingenuity and imagination of American free enterprise. During 1966, Disney cultivated businesses willing to sponsor EPCOT. He received a story credit in the 1966 film Lt. Robin Crusoe, U.S.N. as Retlaw Yensid, his name spelt backwards. He increased his involvement in the studio's films, and was heavily involved in the story development of The Jungle Book, the live-action musical feature The Happiest Millionaire (both 1967) and the animated short Winnie the Pooh and the Blustery Day (1968). Illness, death and aftermath Disney had been a heavy smoker since World War I. He did not use cigarettes with filters and had smoked a pipe as a young man. In early November 1966, he was diagnosed with lung cancer and was treated with cobalt therapy. On November 30, he felt unwell and was taken by ambulance from his home to St. Joseph Hospital where, on December 15, 1966, ten days after his 65th birthday, he died of circulatory collapse caused by the cancer. His remains were cremated two days later and his ashes interred at the Forest Lawn Memorial Park in Glendale, California. The release of The Jungle Book and The Happiest Millionaire in 1967 raised the total number of feature films that Disney had been involved in to 81. When Winnie the Pooh and the Blustery Day was released in 1968, it earned Disney an Academy Award in the Short Subject (Cartoon) category, awarded posthumously. After Disney's death, his studios continued to produce live-action films prolifically but largely abandoned animation until the late 1980s, after which there was what The New York Times describes as the "Disney Renaissance" that began with The Little Mermaid (1989). Disney's companies continue to produce successful film, television and stage entertainment. Disney's plans for the futuristic city of EPCOT did not come to fruition. After Disney's death, his brother Roy deferred his retirement to take full control of the Disney companies. He changed the focus of the project from a town to an attraction. At the inauguration in 1971, Roy dedicated Walt Disney World to his brother. Walt Disney World expanded with the opening of Epcot Center in 1982; Walt Disney's vision of a functional city was replaced by a park more akin to a permanent world's fair. In 2009, the Walt Disney Family Museum, designed by Disney's daughter Diane and her son Walter E. D. Miller, opened in the Presidio of San Francisco. Thousands of artifacts from Disney's life and career are on display, including numerous awards that he received. In 2014, the Disney theme parks around the world hosted approximately 134 million visitors. Disney has been portrayed numerous times in fictional works. H. G. Wells references Disney in his 1938 novel The Holy Terror, in which World Dictator Rud fears that Donald Duck is meant to lampoon the dictator. Disney was portrayed by Len Cariou in the 1995 made-for-TV film A Dream Is a Wish Your Heart Makes: The Annette Funicello Story, and by Tom Hanks in the 2013 film Saving Mr. Banks. In 2001, the German author Peter Stephan Jungk published (trans: The King of America), a fictional work of Disney's later years that re-imagines him as a power-hungry racist. The composer Philip Glass later adapted the book into the opera The Perfect American (2013). Awards and honors Disney received 59 Academy Award nominations, including 22 awards: both totals are records. He was nominated for three Golden Globe Awards, but did not win, but he was presented with two Special Achievement Awardsfor Bambi (1942) and The Living Desert (1953)and the Cecil B. DeMille Award. He also received four Emmy Award nominations, winning once, for Best Producer for the Disneyland television series. Several of his films are included in the United States National Film Registry by the Library of Congress as "culturally, historically, or aesthetically significant": Steamboat Willie, The Three Little Pigs, Snow White and the Seven Dwarfs, Fantasia, Pinocchio, Bambi, Dumbo and Mary Poppins. In 1998, the American Film Institute published a list of the 100 greatest American films, according to industry experts; the list included Snow White and the Seven Dwarfs (at number 49), and Fantasia (at 58). In February 1960, Disney was inducted to the Hollywood Walk of Fame with two stars, one for motion pictures and the other for his television work; Mickey Mouse was given his own star for motion pictures in 1978. Disney was also inducted into the Television Hall of Fame in 1986, the California Hall of Fame in December 2006, and was the inaugural recipient of a star on the Anaheim walk of stars in 2014. The Walt Disney Family Museum records that he "along with members of his staff, received more than 950 honors and citations from throughout the world". He was made a in the French in 1935, and in 1952 he was awarded the country's highest artistic decoration, the . Other national awards include Thailand's Order of the Crown (1960); Germany's Order of Merit (1956), Brazil's Order of the Southern Cross (1941), and Mexico's Order of the Aztec Eagle (1943). In the United States, he received the Presidential Medal of Freedom on September 14, 1964, and on May 24, 1968, he was posthumously awarded the Congressional Gold Medal. He received the Showman of the World Award from the National Association of Theatre Owners, and in 1955, the National Audubon Society awarded Disney its highest honor, the Audubon Medal, for promoting the "appreciation and understanding of nature" through his True-Life Adventures nature films. A minor planet discovered in 1980 by astronomer Lyudmila Karachkina, was named 4017 Disneya, and he was also awarded honorary degrees from Harvard, Yale, the University of Southern California and the University of California, Los Angeles. Personality and reputation Disney's public persona was very different from his actual personality. Playwright Robert E. Sherwood described him as "almost painfully shy ... diffident" and self-deprecating. According to his biographer Richard Schickel, Disney hid his shy and insecure personality behind his public identity. Kimball argues that Disney "played the role of a bashful tycoon who was embarrassed in public" and knew that he was doing so. Disney acknowledged the façade and told a friend that "I'm not Walt Disney. I do a lot of things Walt Disney would not do. Walt Disney does not smoke. I smoke. Walt Disney does not drink. I drink." Critic Otis Ferguson, in The New Republic, called the private Disney: "common and everyday, not inaccessible, not in a foreign language, not suppressed or sponsored or anything. Just Disney." Many of those with whom Disney worked commented that he gave his staff little encouragement due to his exceptionally high expectations. Norman recalls that when Disney said "That'll work", it was an indication of high praise. Instead of direct approval, Disney gave high-performing staff financial bonuses, or recommended certain individuals to others, expecting that his praise would be passed on. Views of Disney and his work have changed over the decades, and there have been polarized opinions. Mark Langer, in the American Dictionary of National Biography, writes that "Earlier evaluations of Disney hailed him as a patriot, folk artist, and popularizer of culture. More recently, Disney has been regarded as a paradigm of American imperialism and intolerance, as well as a debaser of culture." Steven Watts wrote that some denounce Disney "as a cynical manipulator of cultural and commercial formulas", while PBS records that critics have censured his work because of its "smooth façade of sentimentality and stubborn optimism, its feel-good re-write of American history". Disney has been accused of anti-Semitism for having given Nazi propagandist Leni Riefenstahl a tour of his studio a month after , although none of his employees—including the animator Art Babbitt, who disliked Disney intensely—ever accused him of making anti-Semitic slurs or taunts. The Walt Disney Family Museum acknowledges that ethnic stereotypes common to films of the 1930s were included in some early cartoons. Disney donated regularly to Jewish charities, he was named "1955 Man of the Year" by the B'nai B'rith chapter in Beverly Hills, and his studio employed a number of Jews, some of whom were in influential positions. Gabler, the first writer to gain unrestricted access to the Disney archives, concludes that the available evidence does not support accusations of anti-Semitism and that Disney was "not [anti-Semitic] in the conventional sense that we think of someone as being an anti-Semite". Gabler concludes that "though Walt himself, in my estimation, was not anti-Semitic, nevertheless, he willingly allied himself with people who were anti-Semitic [meaning some members of the MPAPAI], and that reputation stuck. He was never really able to expunge it throughout his life". Disney distanced himself from the Motion Picture Alliance in the 1950s. Disney has also been accused of other forms of racism because some of his productions released between the 1930s and 1950s contain racially insensitive material. The feature film Song of the South was criticized by contemporary film critics, the National Association for the Advancement of Colored People, and others for its perpetuation of black stereotypes, but Disney later campaigned successfully for an Honorary Academy Award for its star, James Baskett, the first black actor so honored. Gabler argues that "Walt Disney was no racist. He never, either publicly or privately, made disparaging remarks about blacks or asserted white superiority. Like most white Americans of his generation, however, he was racially insensitive." Floyd Norman, the studio's first black animator who worked closely with Disney during the 1950s and 1960s, said, "Not once did I observe a hint of the racist behavior Walt Disney was often accused of after | and Fantasia in November of the same year. Both films were released in 1940, and neither performed well at the box officepartly because revenues from Europe had dropped following the start of World War II in 1939. The studio made a loss on both pictures and was deeply in debt by the end of February 1941. In response to the financial crisis, Disney and his brother Roy started the company's first public stock offering in 1940, and implemented heavy salary cuts. The latter measure, and Disney's sometimes high-handed and insensitive manner of dealing with staff, led to a 1941 animators' strike which lasted five weeks. While a federal mediator from the National Labor Relations Board negotiated with the two sides, Disney accepted an offer from the Office of the Coordinator of Inter-American Affairs to make a goodwill trip to South America, ensuring he was absent during a resolution he knew would be unfavorable to the studio. As a result of the strikeand the financial state of the companyseveral animators left the studio, and Disney's relationship with other members of staff was permanently strained as a result. The strike temporarily interrupted the studio's next production, Dumbo (1941), which Disney produced in a simple and inexpensive manner; the film received a positive reaction from audiences and critics alike. World War II and beyond: 1941–1950 Shortly after the release of Dumbo in October 1941, the U.S. entered World War II. Disney formed the Walt Disney Training Films Unit within the company to produce instruction films for the military such as Four Methods of Flush Riveting and Aircraft Production Methods. Disney also met with Henry Morgenthau Jr., the Secretary of the Treasury, and agreed to produce short Donald Duck cartoons to promote war bonds. Disney also produced several propaganda productions, including shorts such as Der Fuehrer's Facewhich won an Academy Awardand the 1943 feature film Victory Through Air Power. The military films generated only enough revenue to cover costs, and the feature film Bambiwhich had been in production since 1937underperformed on its release in April 1942, and lost $200,000 at the box office. On top of the low earnings from Pinocchio and Fantasia, the company had debts of $4 million with the Bank of America in 1944. At a meeting with Bank of America executives to discuss the future of the company, the bank's chairman and founder, Amadeo Giannini, told his executives, "I've been watching the Disneys' pictures quite closely because I knew we were lending them money far above the financial risk. ... They're good this year, they're good next year, and they're good the year after. ... You have to relax and give them time to market their product." Disney's production of short films decreased in the late 1940s, coinciding with increasing competition in the animation market from Warner Bros. and Metro-Goldwyn-Mayer. Roy Disney, for financial reasons, suggested more combined animation and live-action productions. In 1948, Disney initiated a series of popular live-action nature films, titled True-Life Adventures, with Seal Island the first; the film won the Academy Award in the Best Short Subject (Two-Reel) category. Disney grew more politically conservative as he got older. A Democratic Party supporter until the 1940 presidential election, when he switched allegiance to the Republican Party, he became a generous donor to Thomas E. Dewey's 1944 bid for the presidency. In 1946, he was a founding member of the Motion Picture Alliance for the Preservation of American Ideals, an organization who stated they "believ[ed] in, and like, the American Way of Life ... we find ourselves in sharp revolt against a rising tide of Communism, Fascism and kindred beliefs, that seek by subversive means to undermine and change this way of life". In 1947, during the Second Red Scare, Disney testified before the House Un-American Activities Committee (HUAC), where he branded Herbert Sorrell, David Hilberman and William Pomerance, former animators and labor union organizers, as communist agitators; Disney stated that the 1941 strike led by them was part of an organized communist effort to gain influence in Hollywood. It was alleged by The New York Times in 1993 that Disney had been passing secret information to the FBI from 1940 until his death in 1966. In return for this information, J. Edgar Hoover allowed Disney to film in FBI headquarters in Washington. Disney was made a "full Special Agent in Charge Contact" in 1954. In 1949, Disney and his family moved to a new home in the Holmby Hills district of Los Angeles. With the help of his friends Ward and Betty Kimball, who already had their own backyard railroad, Disney developed blueprints and immediately set to work on creating a miniature live steam railroad for his backyard. The name of the railroad, Carolwood Pacific Railroad, came from his home's location on Carolwood Drive. The miniature working steam locomotive was built by Disney Studios engineer Roger E. Broggie, and Disney named it Lilly Belle after his wife; after three years Disney ordered it into storage due to a series of accidents involving his guests. Theme parks, television and other interests: 1950–1966 In early 1950, Disney produced Cinderella, his studio's first animated feature in eight years. It was popular with critics and theater audiences. Costing $2.2 million to produce, it earned nearly $8 million in its first year. Disney was less involved than he had been with previous pictures because of his involvement in his first entirely live-action feature, Treasure Island (1950), which was shot in Britain, as was The Story of Robin Hood and His Merrie Men (1952). Other all-live-action features followed, many of which had patriotic themes. He continued to produce full-length animated features too, including Alice in Wonderland (1951) and Peter Pan (1953). From the early to mid-1950s, Disney began to devote less attention to the animation department, entrusting most of its operations to his key animators, the Nine Old Men, although he was always present at story meetings. Instead, he started concentrating on other ventures. For several years Disney had been considering building a theme park. When he visited Griffith Park in Los Angeles with his daughters, he wanted to be in a clean, unspoiled park, where both children and their parents could have fun. He visited the Tivoli Gardens in Copenhagen, Denmark, and was heavily influenced by the cleanliness and layout of the park. In March 1952 he received zoning permission to build a theme park in Burbank, near the Disney studios. This site proved too small, and a larger plot in Anaheim, south of the studio, was purchased. To distance the project from the studiowhich might attract the criticism of shareholdersDisney formed WED Enterprises (now Walt Disney Imagineering) and used his own money to fund a group of designers and animators to work on the plans; those involved became known as "Imagineers". After obtaining bank funding he invited other stockholders, American Broadcasting-Paramount Theatrespart of American Broadcasting Company (ABC)and Western Printing and Lithographing Company. In mid-1954, Disney sent his Imagineers to every amusement park in the U.S. to analyze what worked and what pitfalls or problems there were in the various locations and incorporated their findings into his design. Construction work started in July 1954, and Disneyland opened in July 1955; the opening ceremony was broadcast on ABC, which reached 70 million viewers. The park was designed as a series of themed lands, linked by the central Main Street, U.S.A.a replica of the main street in his hometown of Marceline. The connected themed areas were Adventureland, Frontierland, Fantasyland and Tomorrowland. The park also contained the narrow gauge Disneyland Railroad that linked the lands; around the outside of the park was a high berm to separate the park from the outside world. An editorial in The New York Times considered that Disney had "tastefully combined some of the pleasant things of yesterday with fantasy and dreams of tomorrow". Although there were early minor problems with the park, it was a success, and after a month's operation, Disneyland was receiving over 20,000 visitors a day; by the end of its first year, it attracted 3.6 million guests. The money from ABC was contingent on Disney television programs. The studio had been involved in a successful television special on Christmas Day 1950 about the making of Alice in Wonderland. Roy believed the program added millions to the box office takings. In a March 1951 letter to shareholders, he wrote that "television can be a most powerful selling aid for us, as well as a source of revenue. It will probably be on this premise that we enter television when we do". In 1954, after the Disneyland funding had been agreed, ABC broadcast Walt Disney's Disneyland, an anthology consisting of animated cartoons, live-action features and other material from the studio's library. The show was successful in terms of ratings and profits, earning an audience share of over 50%. In April 1955, Newsweek called the series an "American institution". ABC was pleased with the ratings, leading to Disney's first daily television program, The Mickey Mouse Club, a variety show catering specifically to children. The program was accompanied by merchandising through various companies (Western Printing, for example, had been producing coloring books and comics for over 20 years, and produced several items connected to the show). One of the segments of Disneyland consisted of the five-part miniseries Davy Crockett which, according to Gabler, "became an overnight sensation". The show's theme song, "The Ballad of Davy Crockett", became internationally popular, and ten million records were sold. As a result, Disney formed his own record production and distribution entity, Disneyland Records. As well as the construction of Disneyland, Disney worked on other projects away from the studio. He was consultant to the 1959 American National Exhibition in Moscow; Disney Studios' contribution was America the Beautiful, a 19-minute film in the 360-degree Circarama theater that was one of the most popular attractions. The following year he acted as the chairman of the Pageantry Committee for the 1960 Winter Olympics in Squaw Valley, California, where he designed the opening, closing and medal ceremonies. Despite the demands wrought by non-studio projects, Disney continued to work on film and television projects. In 1955, he was involved in "Man in Space", an episode of the Disneyland series, which was made in collaboration with NASA rocket designer Wernher von Braun. Disney also oversaw aspects of the full-length features Lady and the Tramp (the first animated film in CinemaScope) in 1955, Sleeping Beauty (the first animated film in Technirama 70 mm film) in 1959, One Hundred and One Dalmatians (the first animated feature film to use Xerox cels) in 1961, and The Sword in the Stone in 1963. In 1964, Disney produced Mary Poppins, based on the book series by P. L. Travers; he had been trying to acquire the rights to the story since the 1940s. It became the most successful Disney film of the 1960s, although Travers disliked the film intensely and regretted having sold the rights. The same year he also became involved in plans to expand the California Institute of the Arts (colloquially called CalArts), and had an architect draw up blueprints for a new building. Disney provided four exhibits for the 1964 New York World's Fair, for which he obtained funding from selected corporate sponsors. For PepsiCo, who planned a tribute to UNICEF, Disney developed It's a Small World, a boat ride with audio-animatronic dolls depicting children of the world; Great Moments with Mr. Lincoln contained an animatronic Abraham Lincoln giving excerpts from his speeches; Carousel of Progress promoted the importance of electricity; and Ford's Magic Skyway portrayed the progress of mankind. Elements of all four exhibitsprincipally concepts and technologywere re-installed in Disneyland, although It's a Small World is the ride that most closely resembles the original. During the early to mid-1960s, Disney developed plans for a ski resort in Mineral King, a glacial valley in California's Sierra Nevada. He hired experts such as the renowned Olympic ski coach and ski-area designer Willy Schaeffler. With income from Disneyland accounting for an increasing proportion of the studio's income, Disney continued to look for venues for other attractions. In late 1965, he announced plans to develop another theme park to be called "Disney World" (now Walt Disney World), a few miles southwest |
study to pick out. Various aids have been developed, such as watermark fluid that wets the paper without damaging it. A watermark is very useful in the examination of paper because it can be used for dating, identifying sizes, mill trademarks and locations, and determining the quality of a sheet of paper. The word is also used for digital practices that share similarities with physical watermarks. In one case, overprint on computer-printed output may be used to identify output from an unlicensed trial version of a program. In another instance, identifying codes can be encoded as a digital watermark for a music, video, picture, or other file. History The origin of the water part of a watermark can be found back when a watermark was something that only existed in paper. At that time the watermark was created by changing the thickness of the paper and thereby creating a shadow/lightness in the watermarked paper. This was done while the paper was still wet/watery and therefore the mark created by this process is called a watermark. Watermarks were first introduced in Fabriano, Italy, in 1282. Processes Dandy roll process Traditionally, a watermark was made by impressing a water-coated metal stamp onto the paper during manufacturing. The invention of the dandy roll in 1826 by John Marshall revolutionised the watermark process and made it easier for producers to watermark their paper. The dandy roll is a light roller covered by material similar to window screen that is embossed with a pattern. Faint lines are made by laid wires that run parallel to the axis of the dandy roll, and the bold lines are made by chain wires that run around the circumference to secure the laid wires to the roll from the outside. Because the chain wires are located on the outside of the laid wires, they have a greater influence on the impression | and more detailed than those made by the Dandy Roll process, and as such Cylinder Mould Watermark Paper is the preferred type of watermarked paper for banknotes, passports, motor vehicle titles, and other documents where it is an important anti-counterfeiting measure. On postage stamps In philately, the watermark is a key feature of a stamp, and often constitutes the difference between a common and a rare stamp. Collectors who encounter two otherwise identical stamps with different watermarks consider each stamp to be a separate identifiable issue. The "classic" stamp watermark is a small crown or other national symbol, appearing either once on each stamp or a continuous pattern. Watermarks were nearly universal on stamps in the 19th and early 20th centuries, but generally fell out of use and are not commonly used on modern U.S. issues, but some countries continue to use them. Some types of embossing, such as that used to make the "cross on oval" design on early stamps of Switzerland, resemble a watermark in that the paper is thinner, but can be distinguished by having sharper edges than is usual for a normal watermark. Stamp paper watermarks also show various designs, letters, numbers and pictorial elements. The process of bringing out the stamp watermark is fairly simple. Sometimes a watermark in stamp paper can be seen just by looking at the unprinted back side of a stamp. More often, the collector must use a few basic items to get a good look at the watermark. For example, watermark fluid may be applied to the back of a stamp to temporarily reveal the watermark. Even using the simple watermarking method described, it can be difficult to distinguish some watermarks. Watermarks on stamps printed in yellow and orange can be particularly difficult to see. A few mechanical devices are also used by collectors to detect watermarks on stamps such as the Morley-Bright watermark detector and the more expensive Safe Signoscope. Such devices can be very useful for they can be used without the application of watermark fluid and also allow the collector to look |
to be writing about the Metaphysicals. The great vogue for Donne passed with the passing of the Anglo-American experimental movement in modern poetry." Two decades later, a hostile view was expressed that emphasis on their importance had been an attempt by Eliot and his followers to impose a 'high Anglican and royalist literary history' on 17th-century English poetry. The American critic Yvor Winters suggested in 1939 an alternative canon of Elizabethan poetry, which would exclude the famous representatives of the Petrarchan school of poetry, represented by Sir Philip Sidney and Edmund Spenser. Winters claimed that the Native or Plain Style anti-Petrarchan movement had been undervalued and argued that George Gascoigne (1525–1577) "deserves to be ranked […] among the six or seven greatest lyric poets of the century, and perhaps higher". Towards the end of the 20th century the established canon was increasingly disputed. Expansion of the literary canon in the 20th century In the twentieth century there was a general reassessment of the literary canon, including women's writing, post-colonial literatures, gay and lesbian literature, writing by people of colour, working people's writing, and the cultural productions of historically marginalized groups. This reassessment has resulted in a whole scale expansion of what is considered "literature", and genres hitherto not regarded as "literary", such as children's writing, journals, letters, travel writing, and many others are now the subjects of scholarly interest. The Western literary canon has also expanded to include the literature of Asia, Africa, the Middle East, and South America. Writers from Africa, Turkey, China, Egypt, Peru, and Colombia, Japan, etc., have received Nobel prizes since the late 1960s. Writers from Asia and Africa have also been nominated for, and also won, the Booker prize in recent years. Feminism and the literary canon Hardy argues that the Western canon has maintained itself by excluding and marginalising women, whilst idealising the works of European men. Where women's work is introduced it can be considered inappropriately rather than recognising the importance of their work; a work's greatness is judged against socially situated factors which exclude women, whilst being portrayed as an intellectual approach. The feminist movement produced both feminist fiction and non-fiction and created new interest in women's writing. It also prompted a general reevaluation of women's historical and academic contributions in response to the belief that women's lives and contributions have been underrepresented as areas of scholarly interest. However, in Britain and America at least women achieved major literary success from the late eighteenth century, and many major nineteenth-century British novelists were women, including Jane Austen, the Brontë family, Elizabeth Gaskell, and George Eliot. There were also three major female poets, Elizabeth Barrett Browning, Christina Rossetti and Emily Dickinson. In the twentieth century there were also many major female writers, including Katherine Mansfield, Dorothy Richardson, Virginia Woolf, Eudora Welty, and Marianne Moore. Notable female writers in France include Colette, Simone de Beauvoir, Marguerite Yourcenar, Nathalie Sarraute, Marguerite Duras and Françoise Sagan. Much of the early period of feminist literary scholarship was given over to the rediscovery and reclamation of texts written by women. Virago Press began to publish its large list of 19th and early 20th-century novels in 1975 and became one of the first commercial presses to join in the project of reclamation. African and Afro-American authors In the twentieth century, the Western literary canon started to include African writers not only from African-American writers, but also from the wider African diaspora of writers in Britain, France, Latin America, and Africa. This correlated largely with the shift in social and political views during the civil rights movement in the United States. The first global recognition came in 1950 when Gwendolyn Brooks was the first African American to win a Pulitzer Prize for Literature. Chinua Achebe's novel Things Fall Apart helped draw attention to African literature. Nigerian Wole Soyinka was the first African to win the Nobel Prize in Literature in 1986, and American Toni Morrison was the first African-American woman to win in 1993. Some early Afro-American writers were inspired to defy ubiquitous racial prejudice by proving themselves equal to European American authors. As Henry Louis Gates, Jr., has said, "it is fair to describe the subtext of the history of black letters as this urge to refute the claim that because blacks had no written traditions they were bearers of an inferior culture." African-American writers were also attempting to subvert the literary and power traditions of the United States. Some scholars assert that writing has traditionally been seen as "something defined by the dominant culture as a white male activity." This means that, in American society, literary acceptance has traditionally been intimately tied in with the very power dynamics which perpetrated such evils as racial discrimination. By borrowing from and incorporating the non-written oral traditions and folk life of the African diaspora, African-American literature broke "the mystique of connection between literary authority and patriarchal power." In producing their own literature, African Americans were able to establish their own literary traditions devoid of the European intellectual filter. This view of African-American literature as a tool in the struggle for African-American political and cultural liberation has been stated for decades, most famously by W. E. B. Du Bois. Asia and North Africa Since the 1960s the Western literary canon has been expanded to include writers from Asia, Africa, and the Middle East. This is reflected in the Nobel prizes awarded in literature. Yasunari Kawabata (1899 – 1972) was a Japanese novelist and short story writer whose spare, lyrical, subtly-shaded prose works won him the Nobel Prize for Literature in 1968, the first Japanese author to receive the award. His works have enjoyed broad international appeal and are still widely read. Naguib Mahfouz (1911 – 2006) was an Egyptian writer who won the 1988 Nobel Prize for Literature. He is regarded as one of the first contemporary writers of Arabic literature, along with Tawfiq el-Hakim, to explore themes of existentialism. He published 34 novels, over 350 short stories, dozens of movie scripts, and five plays over a 70-year career. Many of his works have been made into Egyptian and foreign films. Kenzaburō Ōe (b. 1935) is a Japanese writer and a major figure in contemporary Japanese literature. His novels, short stories, and essays, strongly influenced by French and American literature and literary theory, deal with political, social, and philosophical issues, including nuclear weapons, nuclear power, social non-conformism, and existentialism. Ōe was awarded the Nobel Prize in Literature in 1994 for creating "an imagined world, where life and myth condense to form a disconcerting picture of the human predicament today". Guan Moye (b. 1955), better known by the pen name "Mo Yan", is a Chinese novelist and short story writer. Donald Morrison of the U.S. news magazine TIME referred to him as "one of the most famous, oft-banned and widely pirated of all Chinese writers", and Jim Leach called him the Chinese answer to Franz Kafka or Joseph Heller. He is best known to Western readers for his 1987 novel Red Sorghum Clan, of which the Red Sorghum and Sorghum Wine volumes were later adapted for the film Red Sorghum. In 2012, Mo was awarded the Nobel Prize in Literature for his work as a writer "who with hallucinatory realism merges folk tales, history and the contemporary". Orhan Pamuk (b. 1952) is a Turkish novelist, screenwriter, academic, and recipient of the 2006 Nobel Prize in Literature. One of Turkey's most prominent novelists, his work has sold over thirteen million books in sixty-three languages, making him the country's best-selling writer. Pamuk is the author of novels including The White Castle, The Black Book, The New Life, My Name Is Red, Snow, The Museum of Innocence, and A Strangeness in My Mind. He is the Robert Yik-Fong Tam Professor in the Humanities at Columbia University, where he teaches writing and comparative literature. Born in Istanbul, Pamuk is the first Turkish Nobel laureate. He is also the recipient of numerous other literary awards. My Name Is Red won the 2002 Prix du Meilleur Livre Étranger, 2002 Premio Grinzane Cavour, and 2003 International Dublin Literary Award. Latin America Octavio Paz Lozano (1914 – 1998) was a Mexican poet and diplomat. For his body of work, he was awarded the 1981 Miguel de Cervantes Prize, the 1982 Neustadt International Prize for Literature, and the 1990 Nobel Prize in Literature. Gabriel García Márquez (1927 – 2014) was a Colombian novelist, short-story writer, screenwriter, and journalist. Considered one of the most significant authors of the 20th century and one of the best in the Spanish language, he was awarded the 1972 Neustadt International Prize for Literature and the 1982 Nobel Prize in Literature. García Márquez started as a journalist, and wrote many acclaimed non-fiction works and short stories, but is best known for his novels, such as One Hundred Years of Solitude (1967), The Autumn of the Patriarch (1975), and Love in the Time of Cholera (1985). His works have achieved significant critical acclaim and widespread commercial success, most notably for popularizing a literary style labeled as magic realism, which uses magical elements and events in otherwise ordinary and realistic situations. Some of his works are set in a fictional village called Macondo (the town mainly inspired by his birthplace Aracataca), and most of them explore the theme of solitude. On his death in April 2014, Juan Manuel Santos, the President of Colombia, described him as "the greatest Colombian who ever lived." Mario Vargas Llosa, (b. 1936) is a Peruvian writer, politician, journalist, essayist, college professor, and recipient of the 2010 Nobel Prize in Literature. Vargas Llosa is one of Latin America's most significant novelists and essayists, and one of the leading writers of his generation. Some critics consider him to have had a larger international impact and worldwide audience than any other writer of the Latin American Boom. Upon announcing the 2010 Nobel Prize in Literature, the Swedish Academy said it had been given to Vargas Llosa "for his cartography of structures of power and his trenchant images of the individual's resistance, revolt, and defeat". Canon of philosophers Many philosophers today agree that Greek philosophy has influenced much of Western culture since its inception. Alfred North Whitehead once noted: "The safest general characterization of the European philosophical tradition is that it consists of a series of footnotes to Plato." Clear, unbroken lines of influence lead from ancient Greek and Hellenistic philosophers to Early Islamic philosophy, the European Renaissance, and the Age of Enlightenment. Plato was a philosopher in Classical Greece and the founder of the Academy in Athens. He is widely considered the most pivotal figure in the development of philosophy, especially the Western tradition. Aristotle was an ancient Greek philosopher. His writings cover many subjects – including physics, biology, zoology, metaphysics, logic, ethics, aesthetics, rhetoric, linguistics, politics and government—and constitute the first comprehensive system of Western philosophy. Aristotle's views on physical science had a profound influence on medieval scholarship. Their influence extended from Late Antiquity into the Renaissance, and his views were not replaced systematically until the Enlightenment and theories such as classical mechanics. In metaphysics, Aristotelianism profoundly influenced Judeo-Islamic philosophical and theological thought during the Middle Ages and continues to influence Christian theology, especially the Neoplatonism of the Early Church and the scholastic tradition of the Roman Catholic Church. Aristotle was well known among medieval Muslim intellectuals and revered as "The First Teacher" (). His ethics, though always influential, gained renewed interest with the modern advent of virtue ethics. The vast body of Christian philosophy is typically represented on reading lists mainly by Augustine of Hippo and Thomas Aquinas. The academic canon of early modern philosophy generally includes Descartes, Spinoza, Leibniz, Locke, Berkeley, Hume, and Kant Renaissance philosophy Major philosophers of the Renaissance include Niccolò Machiavelli, Michel de Montaigne, Pico della Mirandola, Nicholas of Cusa and Giordano Bruno. Seventeenth-century philosophers The seventeenth century was important for philosophy, and the major figures were Francis Bacon, Thomas Hobbes, René Descartes, Blaise Pascal, Baruch Spinoza, John Locke and Gottfried Wilhelm Leibniz. Eighteenth-century philosophers Major philosophers of the eighteenth century include George Berkeley, Montesquieu, Voltaire, David Hume, Jean-Jacques Rousseau, Denis Diderot, Immanuel | philosophy has influenced much of Western culture since its inception. Alfred North Whitehead once noted: "The safest general characterization of the European philosophical tradition is that it consists of a series of footnotes to Plato." Clear, unbroken lines of influence lead from ancient Greek and Hellenistic philosophers to Early Islamic philosophy, the European Renaissance, and the Age of Enlightenment. Plato was a philosopher in Classical Greece and the founder of the Academy in Athens. He is widely considered the most pivotal figure in the development of philosophy, especially the Western tradition. Aristotle was an ancient Greek philosopher. His writings cover many subjects – including physics, biology, zoology, metaphysics, logic, ethics, aesthetics, rhetoric, linguistics, politics and government—and constitute the first comprehensive system of Western philosophy. Aristotle's views on physical science had a profound influence on medieval scholarship. Their influence extended from Late Antiquity into the Renaissance, and his views were not replaced systematically until the Enlightenment and theories such as classical mechanics. In metaphysics, Aristotelianism profoundly influenced Judeo-Islamic philosophical and theological thought during the Middle Ages and continues to influence Christian theology, especially the Neoplatonism of the Early Church and the scholastic tradition of the Roman Catholic Church. Aristotle was well known among medieval Muslim intellectuals and revered as "The First Teacher" (). His ethics, though always influential, gained renewed interest with the modern advent of virtue ethics. The vast body of Christian philosophy is typically represented on reading lists mainly by Augustine of Hippo and Thomas Aquinas. The academic canon of early modern philosophy generally includes Descartes, Spinoza, Leibniz, Locke, Berkeley, Hume, and Kant Renaissance philosophy Major philosophers of the Renaissance include Niccolò Machiavelli, Michel de Montaigne, Pico della Mirandola, Nicholas of Cusa and Giordano Bruno. Seventeenth-century philosophers The seventeenth century was important for philosophy, and the major figures were Francis Bacon, Thomas Hobbes, René Descartes, Blaise Pascal, Baruch Spinoza, John Locke and Gottfried Wilhelm Leibniz. Eighteenth-century philosophers Major philosophers of the eighteenth century include George Berkeley, Montesquieu, Voltaire, David Hume, Jean-Jacques Rousseau, Denis Diderot, Immanuel Kant, Edmund Burke and Jeremy Bentham. Nineteenth-century philosophers Important nineteenth century philosophers include Georg Wilhelm Friedrich Hegel (1770-1831), Arthur Schopenhauer, Auguste Comte, Søren Kierkegaard, Karl Marx, Friedrich Engels and Friedrich Nietzsche. Twentieth-century philosophers Major twentieth century figures include Henri Bergson, Edmund Husserl, Bertrand Russell, Martin Heidegger, Ludwig Wittgenstein and Jean-Paul Sartre, Simone de Beauvoir, and Simone Weil, Michel Foucault, Pierre Bourdieu, Jacques Derrida and Jürgen Habermas. A porous distinction between analytic and continental approaches emerged during this period. Music Classical music forms the core of canon music and remains mostly unchanged to our days. It integrates a huge body of works starting from the XVII century and are reproduced on an ensemble of all acoustic musical instruments that were common in that century's Europe. The term "classical music" did not appear until the early 19th century, in an attempt to distinctly canonize the period from Johann Sebastian Bach to Ludwig van Beethoven as a golden age. In addition to Bach and Beethoven, the other major figures from this period were George Frideric Handel, Joseph Haydn and Wolfgang Amadeus Mozart. The earliest reference to "classical music" recorded by the Oxford English Dictionary is from about 1836. In classical music, during the nineteenth century a "canon" developed which focused on what was felt to be the most important works written since 1600, with a great concentration on the later part of this period, termed the Classical period, which is generally taken to begin around 1750. After Beethoven, the major nineteenth-century composers include Franz Schubert, Robert Schumann, Frédéric Chopin, Hector Berlioz, Franz Liszt, Richard Wagner, Johannes Brahms, Anton Bruckner, Giuseppe Verdi, Gustav Mahler, and Pyotr Ilyich Tchaikovsky. In the 2000s, the standard concert repertoire of professional orchestras, chamber music groups, and choirs tends to focus on works by a relatively small number of mainly 18th- and 19th-century male composers. Many of the works deemed to be part of the musical canon are from genres regarded as the most serious, such as the symphony, concerto, string quartet, and opera. Folk music was already giving art music melodies, and from the late 19th century, in an atmosphere of increasing nationalism, folk music began to influence composers in formal and other ways, before being admitted to some sort of status in the canon itself. Since the early twentieth century non-Western music has begun to influence Western composers. In particular, direct homages to Javanese gamelan music are found in works for western instruments by Claude Debussy, Béla Bartók, Francis Poulenc, Olivier Messiaen, Pierre Boulez, Benjamin Britten, John Cage, Steve Reich, and Philip Glass. Debussy was immensely interested in non-Western music and its approaches to composition. Specifically, he was drawn to the Javanese gamelan, which he first heard at the 1889 Paris Exposition. He was not interested in directly quoting his non-Western influences, but instead allowed this non-Western aesthetic to generally influence his own musical work, for example, by frequently using quiet, unresolved dissonances, coupled with the damper pedal, to emulate the "shimmering" effect created by a gamelan ensemble. American composer Philip Glass was not only influenced by the eminent French composition teacher Nadia Boulanger, but also by the Indian musicians Ravi Shankar and Alla Rakha, His distinctive style arose from his work with Shankar and Rakha and their perception of rhythm in Indian music as being entirely additive. In the latter half of the 20th century the canon expanded to cover the so-called Early music of the pre-classical period, and Baroque music by composers other than Bach and George Frideric Handel. including Antonio Vivaldi, Claudio Monteverdi, Domenico Scarlatti, Alessandro Scarlatti, Henry Purcell, Georg Philipp Telemann, Jean-Baptiste Lully, Jean-Philippe Rameau, Marc-Antoine Charpentier, Arcangelo Corelli, François Couperin, Heinrich Schütz, and Dieterich Buxtehude. Earlier composers, such as Giovanni Pierluigi da Palestrina, Orlande de Lassus and William Byrd, have also received more attention in the last hundred years. The absence of women composers from the classical canon was brought to the forefront of musicological literature in the late twentieth and early twenty-first centuries. Even though many women composers have written music in the common practice period and beyond, their works remain extremely underrepresented in concert programs, music history curriculums, and music anthologies. In particular, musicologist Marcia J Citron has examined "the practices and attitudes that have led to the exclusion of women composers from the received 'canon' of performed musical works." Since around 1980 the music of Hildegard von Bingen (1098–1179), a German Benedictine abbess, and Finnish composer Kaija Saariaho (born 1952) has begun to enter the canon. Saariaho's opera L'amour de loin has been staged in some of the world's major opera houses, including The English National Opera (2009) and in 2016 the Metropolitan Opera in New York. The classical ensemble canon very rarely integrates musical instruments that are not acoustic and of western origins, it stayed apart from the wide use of electric, electronic and digital instruments that are so common in today's popular music. Visual arts The backbone of traditional Western art history are artworks commissioned by wealthy patrons for private or public enjoyment. Much of this was religious art, mostly Roman Catholic art. The classical art of Greece and Rome has, since the Renaissance, been the fount of the Western tradition. Giorgio Vasari (1511–1574) is the originator of the artistic canon and the originator of many of the concepts it embodies. His Lives of the Most Excellent Painters, Sculptors, and Architects covers only artists working in Italy, with a strong pro-Florentine prejudice, and has cast a long shadow over succeeding centuries. Northern European art has arguably never quite caught up to Italy in terms of prestige, and Vasari's placing of Giotto as the founding father of "modern" painting has largely been retained. In painting, the rather vague term of Old master covers painters up to about the time of Goya. This "canon" remains prominent, as indicated by the selection present in art history textbooks, as well as the prices obtained in the art trade. But there have been considerable swings in what is valued. In the 19th century the Baroque fell into great disfavour, but it was revived from around the 1920s, by which time the art of the 18th and 19th century was largely disregarded. The High Renaissance, which Vasari regarded as the greatest period, has always retained its prestige, including works by Leonardo da Vinci, Michelangelo, and Raphael, but the succeeding period of Mannerism has fallen in and out of favour. In the 19th century the beginnings of academic art history, led by German universities, led to much better understanding and appreciation of medieval art, and a more nuanced understanding of classical art, including the realization that many if not most treasured masterpieces of sculpture were late Roman copies rather than Greek originals. The European tradition of art was expanded to include Byzantine art and the new discoveries of archaeology, notably Etruscan art, Celtic art and Upper Paleolithic art. Since the 20th century there has been an effort to re-define the discipline to be more inclusive of art made by women; vernacular creativity, especially in printed media; and an expansion to include works in the Western tradition produced outside Europe. At the same time there has been a much greater appreciation of non-Western traditions, including their place with Western art in wider global or Eurasian traditions. The decorative arts have traditionally had a much lower critical status than fine art, although often highly valued by collectors, and still tend to be given little prominence in undergraduate studies or popular coverage on television and in print. Women and art English artist and sculptor Barbara Hepworth DBE (1903 – 1975), whose work exemplifies Modernism, and in particular modern sculpture, is one of the few female artists to achieve international prominence. In 2016 the art of American modernist Georgia O'Keeffe has been staged at the Tate Modern, in London, and is then moving in December 2016 to Vienna, Austria, before visiting the Art Gallery of Ontario, Canada in 2017. Historical exclusion of women Women were discriminated against in terms of obtaining the training necessary to be an artist in the mainstream Western traditions. In addition, since the Renaissance the nude, more often than not female, has had a special position as subject matter. In her 1971 essay, "Why Have There Been No Great Women Artists?", Linda Nochlin analyzes what she sees as the embedded privilege in the predominantly male Western art world and argues that women's outsider status allowed them a unique viewpoint to not only critique women's position in art, but to additionally examine the discipline's underlying assumptions about gender and ability. Nochlin's essay develops the argument that both formal and social education restricted artistic development to men, preventing women (with rare exception) from honing their talents and gaining entry into the art world. In the 1970s, feminist art criticism continued this critique of the institutionalized sexism of art history, art museums, and galleries, and questioned which genres of art were deemed museum-worthy. This position is articulated by artist Judy Chicago: "[I]t is crucial to understand that one of the ways in which the importance of male experience is conveyed is through the art objects that are exhibited and preserved in our museums. Whereas men experience presence in our art institutions, women experience primarily absence, except in images that do not necessarily reflect women's own sense of themselves." Sources containing canonical lists English literature Modern Library 100 Best Novels – English-language novels of the 20th century Library of America, classic American literature International literature Bibliothèque de la Pléiade Everyman's Library (Modern works) Great Books of the Western World História da Literatura Ocidental (in Portuguese) by Otto Maria Carpeaux Le Monde 100 Books of the Century – books of the 20th century Modern Library Oxford World's Classics Penguin Classics John Cowper Powys: One Hundred Best Books (1916) Verso Books' Radical Thinkers – Die Zeit list of 100 books American and Canadian university reading lists Brigham Young University's Honors Program's Great Works List St. John's College Great Books reading list (established by Scott Buchanan and Stringfellow Barr) Baylor University's Great Texts Reading List The Harvard Classics Contemporary anthologies of renaissance literature The preface to the Blackwell anthology of Renaissance Literature from 2003 acknowledges the importance of online access to literary texts on the selection of what to include, meaning that the selection can be made on basis of functionality rather than representativity". This anthology has made its selection based on three principles. One is "unabashedly canonical", meaning that Sidney, Spenser, Marlowe, Shakespeare, and Jonson have been given the space prospective users would expect. A second principle is "non-canonical", giving female writers such as Anne Askew, Elizabeth Cary, Emilia Lanier, Martha Moulsworth, and Lady Mary Wroth a representative selection. It also includes texts that may not be representative of the qualitatively best efforts of Renaissance literature, but of the quantitatively most numerous texts, such as homilies and erotica. A third principle has been thematic, so that the anthology aims to include texts that shed light on issues of special interest to contemporary scholars. The Blackwell anthology is still firmly organised around authors, however. A different strategy has been observed by The Penguin Book of Renaissance Verse from 1992.<ref>David Norbrook & H. R. Woudhuysen (eds.): The Penguin Book of Renaissance Verse. London: Penguin Books, 1992, </ref> Here the texts are organised according to topic, under the headings The Public World, Images of Love, Topographies, Friends, Patrons and the Good Life, Church, State and Belief, Elegy and Epitaph, Translation, Writer, Language and Public. It is arguable that such an approach is more suitable for the interested reader than for the student. While the two anthologies are not directly comparable, since the Blackwell anthology also includes prose and the Penguin anthology goes up to 1659, it is telling that while the larger Blackwell anthology contains work by 48 poets, seven of which are women, the Penguin anthology contains 374 poems by 109 poets, including 13 women and one poet each in Welsh, Siôn Phylip, and Irish, Eochaidh Ó Heóghusa. German literature Best German Novels of the Twentieth Century The Best German Novels of the Twentieth Century is a list of books compiled in 1999 by Literaturhaus München and Bertelsmann, in which 99 prominent German authors, literary critics, and scholars of German ranked the most significant German-language novels of the twentieth century. The group brought together 23 experts from each of the three categories. Each was allowed to name three books as having been the most important of the century. Cited by the group were five titles by both Franz Kafka and Arno Schmidt, four by Robert Walser, and three by Thomas Mann, Hermann Broch, Anna Seghers, and Joseph Roth. , edited by Marcel Reich-Ranicki, is a large anthology of exemplary works of German literature. French literature See Key texts of French literature Le Monde 100 Books of the Century Canon of Dutch Literature The Canon of Dutch Literature comprises a list of 1000 works of Dutch-language literature important to the cultural heritage of the Low Countries, and is published on the DBNL. Several of these works are lists themselves; such as early dictionaries, lists of songs, recipes, biographies, or encyclopedic compilations of information such as mathematical, scientific, medical, or plant reference books. Other items include early translations of literature from other countries, history books, first-hand diaries, and published correspondence. Notable original works can be found by author name. Scandinavia Danish Culture Canon The Danish Culture Canon consists of 108 works of cultural excellence in eight categories: architecture, visual arts, design and crafts, film, literature, music, performing arts, and children's culture. An initiative of Brian Mikkelsen in 2004, it was developed by a series of committees under the auspices of the Danish Ministry of Culture in 2006–2007 as "a collection and presentation of the greatest, most important works of Denmark's cultural heritage." Each category contains 12 works, although music contains 12 works of score music and 12 of popular music, and the literature section's 12th item is an anthology of 24 works."Kulturkanon", Den Store Danske. Retrieved 11 January 2013. Sweden |
the unconditional surrender of their enemies. The British and Americans agreed to continue to press the initiative in the Mediterranean by invading Sicily to fully secure the Mediterranean supply routes. Although the British argued for further operations in the Balkans to bring Turkey into the war, in May 1943, the Americans extracted a British commitment to limit Allied operations in the Mediterranean to an invasion of the Italian mainland and to invade France in 1944. Pacific (1942–43) By the end of April 1942, Japan and its ally Thailand had almost fully conquered Burma, Malaya, the Dutch East Indies, Singapore, and Rabaul, inflicting severe losses on Allied troops and taking a large number of prisoners. Despite stubborn resistance by Filipino and US forces, the Philippine Commonwealth was eventually captured in May 1942, forcing its government into exile. On 16 April, in Burma, 7,000 British soldiers were encircled by the Japanese 33rd Division during the Battle of Yenangyaung and rescued by the Chinese 38th Division. Japanese forces also achieved naval victories in the South China Sea, Java Sea and Indian Ocean, and bombed the Allied naval base at Darwin, Australia. In January 1942, the only Allied success against Japan was a Chinese victory at Changsha. These easy victories over the unprepared US and European opponents left Japan overconfident, as well as overextended. In early May 1942, Japan initiated operations to capture Port Moresby by amphibious assault and thus sever communications and supply lines between the United States and Australia. The planned invasion was thwarted when an Allied task force, centred on two American fleet carriers, fought Japanese naval forces to a draw in the Battle of the Coral Sea. Japan's next plan, motivated by the earlier Doolittle Raid, was to seize Midway Atoll and lure American carriers into battle to be eliminated; as a diversion, Japan would also send forces to occupy the Aleutian Islands in Alaska. In mid-May, Japan started the Zhejiang-Jiangxi campaign in China, with the goal of inflicting retribution on the Chinese who aided the surviving American airmen in the Doolittle Raid by destroying Chinese air bases and fighting against the Chinese 23rd and 32nd Army Groups. In early June, Japan put its operations into action, but the Americans, having broken Japanese naval codes in late May, were fully aware of the plans and order of battle, and used this knowledge to achieve a decisive victory at Midway over the Imperial Japanese Navy. With its capacity for aggressive action greatly diminished as a result of the Midway battle, Japan chose to focus on a belated attempt to capture Port Moresby by an overland campaign in the Territory of Papua. The Americans planned a counter-attack against Japanese positions in the southern Solomon Islands, primarily Guadalcanal, as a first step towards capturing Rabaul, the main Japanese base in Southeast Asia. Both plans started in July, but by mid-September, the Battle for Guadalcanal took priority for the Japanese, and troops in New Guinea were ordered to withdraw from the Port Moresby area to the northern part of the island, where they faced Australian and United States troops in the Battle of Buna–Gona. Guadalcanal soon became a focal point for both sides with heavy commitments of troops and ships in the battle for Guadalcanal. By the start of 1943, the Japanese were defeated on the island and withdrew their troops. In Burma, Commonwealth forces mounted two operations. The first, an offensive into the Arakan region in late 1942, went disastrously, forcing a retreat back to India by May 1943. The second was the insertion of irregular forces behind Japanese front-lines in February which, by the end of April, had achieved mixed results. Eastern Front (1942–43) Despite considerable losses, in early 1942 Germany and its allies stopped a major Soviet offensive in central and southern Russia, keeping most territorial gains they had achieved during the previous year. In May, the Germans defeated Soviet offensives in the Kerch Peninsula and at Kharkov, and then launched their main summer offensive against southern Russia in June 1942, to seize the oil fields of the Caucasus and occupy the Kuban steppe, while maintaining positions on the northern and central areas of the front. The Germans split Army Group South into two groups: Army Group A advanced to the lower Don River and struck south-east to the Caucasus, while Army Group B headed towards the Volga River. The Soviets decided to make their stand at Stalingrad on the Volga. By mid-November, the Germans had nearly taken Stalingrad in bitter street fighting. The Soviets began their second winter counter-offensive, starting with an encirclement of German forces at Stalingrad, and an assault on the Rzhev salient near Moscow, though the latter failed disastrously. By early February 1943, the German Army had taken tremendous losses; German troops at Stalingrad had been defeated, and the front-line had been pushed back beyond its position before the summer offensive. In mid-February, after the Soviet push had tapered off, the Germans launched another attack on Kharkov, creating a salient in their front line around the Soviet city of Kursk. Western Europe/Atlantic and Mediterranean (1942–43) Exploiting poor American naval command decisions, the German navy ravaged Allied shipping off the American Atlantic coast. By November 1941, Commonwealth forces had launched a counter-offensive, Operation Crusader, in North Africa, and reclaimed all the gains the Germans and Italians had made. In North Africa, the Germans launched an offensive in January, pushing the British back to positions at the Gazala line by early February, followed by a temporary lull in combat which Germany used to prepare for their upcoming offensives. Concerns the Japanese might use bases in Vichy-held Madagascar caused the British to invade the island in early May 1942. An Axis offensive in Libya forced an Allied retreat deep inside Egypt until Axis forces were stopped at El Alamein. On the Continent, raids of Allied commandos on strategic targets, culminating in the disastrous Dieppe Raid, demonstrated the Western Allies' inability to launch an invasion of continental Europe without much better preparation, equipment, and operational security. In August 1942, the Allies succeeded in repelling a second attack against El Alamein and, at a high cost, managed to deliver desperately needed supplies to the besieged Malta. A few months later, the Allies commenced an attack of their own in Egypt, dislodging the Axis forces and beginning a drive west across Libya. This attack was followed up shortly after by Anglo-American landings in French North Africa, which resulted in the region joining the Allies. Hitler responded to the French colony's defection by ordering the occupation of Vichy France; although Vichy forces did not resist this violation of the armistice, they managed to scuttle their fleet to prevent its capture by German forces. The Axis forces in Africa withdrew into Tunisia, which was conquered by the Allies in May 1943. In June 1943 the British and Americans began a strategic bombing campaign against Germany with a goal to disrupt the war economy, reduce morale, and "de-house" the civilian population. The firebombing of Hamburg was among the first attacks in this campaign, inflicting significant casualties and considerable losses on infrastructure of this important industrial centre. Allies gain momentum (1943–44) After the Guadalcanal Campaign, the Allies initiated several operations against Japan in the Pacific. In May 1943, Canadian and US forces were sent to eliminate Japanese forces from the Aleutians. Soon after, the United States, with support from Australia, New Zealand and Pacific Islander forces, began major ground, sea and air operations to isolate Rabaul by capturing surrounding islands, and breach the Japanese Central Pacific perimeter at the Gilbert and Marshall Islands. By the end of March 1944, the Allies had completed both of these objectives and had also neutralised the major Japanese base at Truk in the Caroline Islands. In April, the Allies launched an operation to retake Western New Guinea. In the Soviet Union, both the Germans and the Soviets spent the spring and early summer of 1943 preparing for large offensives in central Russia. On 5 July 1943, Germany attacked Soviet forces around the Kursk Bulge. Within a week, German forces had exhausted themselves against the Soviets' deeply echeloned and well-constructed defences, and for the first time in the war, Hitler cancelled an operation before it had achieved tactical or operational success. This decision was partially affected by the Western Allies' invasion of Sicily launched on 9 July, which, combined with previous Italian failures, resulted in the ousting and arrest of Mussolini later that month. On 12 July 1943, the Soviets launched their own counter-offensives, thereby dispelling any chance of German victory or even stalemate in the east. The Soviet victory at Kursk marked the end of German superiority, giving the Soviet Union the initiative on the Eastern Front. The Germans tried to stabilise their eastern front along the hastily fortified Panther–Wotan line, but the Soviets broke through it at Smolensk and by the Lower Dnieper Offensive. On 3 September 1943, the Western Allies invaded the Italian mainland, following Italy's armistice with the Allies. Germany, with the help of fascists, responded by disarming Italian forces that were in many places without superior orders, seizing military control of Italian areas, and creating a series of defensive lines. German special forces then rescued Mussolini, who then soon established a new client state in German-occupied Italy named the Italian Social Republic, causing an Italian civil war. The Western Allies fought through several lines until reaching the main German defensive line in mid-November. German operations in the Atlantic also suffered. By May 1943, as Allied counter-measures became increasingly effective, the resulting sizeable German submarine losses forced a temporary halt of the German Atlantic naval campaign. In November 1943, Franklin D. Roosevelt and Winston Churchill met with Chiang Kai-shek in Cairo and then with Joseph Stalin in Tehran. The former conference determined the post-war return of Japanese territory and the military planning for the Burma campaign, while the latter included agreement that the Western Allies would invade Europe in 1944 and that the Soviet Union would declare war on Japan within three months of Germany's defeat. From November 1943, during the seven-week Battle of Changde, the Chinese forced Japan to fight a costly war of attrition, while awaiting Allied relief. In January 1944, the Allies launched a series of attacks in Italy against the line at Monte Cassino and tried to outflank it with landings at Anzio. On 27 January 1944, Soviet troops launched a major offensive that expelled German forces from the Leningrad region, thereby ending the most lethal siege in history. The following Soviet offensive was halted on the pre-war Estonian border by the German Army Group North aided by Estonians hoping to re-establish national independence. This delay slowed subsequent Soviet operations in the Baltic Sea region. By late May 1944, the Soviets had liberated Crimea, largely expelled Axis forces from Ukraine, and made incursions into Romania, which were repulsed by the Axis troops. The Allied offensives in Italy had succeeded and, at the expense of allowing several German divisions to retreat, on 4 June Rome was captured. The Allies had mixed success in mainland Asia. In March 1944, the Japanese launched the first of two invasions, an operation against British positions in Assam, India, and soon besieged Commonwealth positions at Imphal and Kohima. In May 1944, British forces mounted a counter-offensive that drove Japanese troops back to Burma by July, and Chinese forces that had invaded northern Burma in late 1943 besieged Japanese troops in Myitkyina. The second Japanese invasion of China aimed to destroy China's main fighting forces, secure railways between Japanese-held territory and capture Allied airfields. By June, the Japanese had conquered the province of Henan and begun a new attack on Changsha. Allies close in (1944) On 6 June 1944 (known as D-Day), after three years of Soviet pressure, the Western Allies invaded northern France. After reassigning several Allied divisions from Italy, they also attacked southern France. These landings were successful and led to the defeat of the German Army units in France. Paris was liberated on 25 August by the local resistance assisted by the Free French Forces, both led by General Charles de Gaulle, and the Western Allies continued to push back German forces in western Europe during the latter part of the year. An attempt to advance into northern Germany spearheaded by a major airborne operation in the Netherlands failed. After that, the Western Allies slowly pushed into Germany, but failed to cross the Rur river in a large offensive. In Italy, Allied advance also slowed due to the last major German defensive line. On 22 June, the Soviets launched a strategic offensive in Belarus ("Operation Bagration") that almost completely destroyed the German Army Group Centre. Soon after that, another Soviet strategic offensive forced German troops from Western Ukraine and Eastern Poland. The Soviets formed the Polish Committee of National Liberation to control territory in Poland and combat the Polish Armia Krajowa; The Soviet Red Army remained in the Praga district on the other side of the Vistula and watched passively as the Germans quelled the Warsaw Uprising initiated by the Armia Krajowa. The national uprising in Slovakia was also quelled by the Germans. The Soviet Red Army's strategic offensive in eastern Romania cut off and destroyed the considerable German troops there and triggered a successful coup d'état in Romania and in Bulgaria, followed by those countries' shift to the Allied side. In September 1944, Soviet troops advanced into Yugoslavia and forced the rapid withdrawal of German Army Groups E and F in Greece, Albania and Yugoslavia to rescue them from being cut off. By this point, the Communist-led Partisans under Marshal Josip Broz Tito, who had led an increasingly successful guerrilla campaign against the occupation since 1941, controlled much of the territory of Yugoslavia and engaged in delaying efforts against German forces further south. In northern Serbia, the Soviet Red Army, with limited support from Bulgarian forces, assisted the Partisans in a joint liberation of the capital city of Belgrade on 20 October. A few days later, the Soviets launched a massive assault against German-occupied Hungary that lasted until the fall of Budapest in February 1945. Unlike impressive Soviet victories in the Balkans, bitter Finnish resistance to the Soviet offensive in the Karelian Isthmus denied the Soviets occupation of Finland and led to a Soviet-Finnish armistice on relatively mild conditions, although Finland was forced to fight their former ally Germany. By the start of July 1944, Commonwealth forces in Southeast Asia had repelled the Japanese sieges in Assam, pushing the Japanese back to the Chindwin River while the Chinese captured Myitkyina. In September 1944, Chinese forces captured Mount Song and reopened the Burma Road. In China, the Japanese had more successes, having finally captured Changsha in mid-June and the city of Hengyang by early August. Soon after, they invaded the province of Guangxi, winning major engagements against Chinese forces at Guilin and Liuzhou by the end of November and successfully linking up their forces in China and Indochina by mid-December. In the Pacific, US forces continued to press back the Japanese perimeter. In mid-June 1944, they began their offensive against the Mariana and Palau islands and decisively defeated Japanese forces in the Battle of the Philippine Sea. These defeats led to the resignation of the Japanese Prime Minister, Hideki Tojo, and provided the United States with air bases to launch intensive heavy bomber attacks on the Japanese home islands. In late October, American forces invaded the Filipino island of Leyte; soon after, Allied naval forces scored another large victory in the Battle of Leyte Gulf, one of the largest naval battles in history. Axis collapse, Allied victory (1944–45) On 16 December 1944, Germany made a last attempt on the Western Front by using most of its remaining reserves to launch a massive counter-offensive in the Ardennes and along the French-German border to split the Western Allies, encircle large portions of Western Allied troops and capture their primary supply port at Antwerp to prompt a political settlement. By 16 January 1945, the offensive had been repulsed with no strategic objectives fulfilled. In Italy, the Western Allies remained stalemated at the German defensive line. In mid-January 1945, the Red Army attacked in Poland, pushing from the Vistula to the Oder river in Germany, and overran East Prussia. On 4 February Soviet, British, and US leaders met for the Yalta Conference. They agreed on the occupation of post-war Germany, and on when the Soviet Union would join the war against Japan. In February, the Soviets entered Silesia and Pomerania, while Western Allies entered western Germany and closed to the Rhine river. By March, the Western Allies crossed the Rhine north and south of the Ruhr, encircling the German Army Group B. In early March, in an attempt to protect its last oil reserves in Hungary and to retake Budapest, Germany launched its last major offensive against Soviet troops near Lake Balaton. In two weeks, the offensive had been repulsed, the Soviets advanced to Vienna, and captured the city. In early April, Soviet troops captured Königsberg, while the Western Allies finally pushed forward in Italy and swept across western Germany capturing Hamburg and Nuremberg. American and Soviet forces met at the Elbe river on 25 April, leaving several unoccupied pockets in southern Germany and around Berlin. Soviet troops stormed and captured Berlin in late April. In Italy, German forces surrendered on 29 April. On 30 April, the Reichstag was captured, signalling the military defeat of Nazi Germany, and the Berlin garrison surrendered on 2 May. Major changes in leadership occurred on both sides during this period. On 12 April, President Roosevelt died and was succeeded by his Vice President, Harry S. Truman. Benito Mussolini was killed by Italian partisans on 28 April. On 30 April, Hitler committed suicide in his headquarters, and he was succeeded by Grand Admiral Karl Dönitz and Joseph Goebbels. Total and unconditional surrender in Europe was signed on 7and 8May, to be effective by the end of 8 May. German Army Group Centre resisted in Prague until 11 May. In the Pacific theatre, American forces accompanied by the forces of the Philippine Commonwealth advanced in the Philippines, clearing Leyte by the end of April 1945. They landed on Luzon in January 1945 and recaptured Manila in March. Fighting continued on Luzon, Mindanao, and other islands of the Philippines until the end of the war. Meanwhile, the United States Army Air Forces launched a massive firebombing campaign of strategic cities in Japan in an effort to destroy Japanese war industry and civilian morale. A devastating bombing raid on Tokyo of 9–10 March was the deadliest conventional bombing raid in history. In May 1945, Australian troops landed in Borneo, overrunning the oilfields there. British, American, and Chinese forces defeated the Japanese in northern Burma in March, and the British pushed on to reach Rangoon by 3 May. Chinese forces started a counterattack in the Battle of West Hunan that occurred between 6 April and 7 June 1945. American naval and amphibious forces also moved towards Japan, taking Iwo Jima by March, and Okinawa by the end of June. At the same time, American submarines cut off Japanese imports, drastically reducing Japan's ability to supply its overseas forces. On 11 July, Allied leaders met in Potsdam, Germany. They confirmed earlier agreements about Germany, and the American, British and Chinese governments reiterated the demand for unconditional surrender of Japan, specifically stating that "the alternative for Japan is prompt and utter destruction". During this conference, the United Kingdom held its general election, and Clement Attlee replaced Churchill as Prime Minister. The call for unconditional surrender was rejected by the Japanese government, which believed it would be capable of negotiating for more favourable surrender terms. In early August, the United States dropped atomic bombs on the Japanese cities of Hiroshima and Nagasaki. Between the two bombings, the Soviets, pursuant to the Yalta agreement, invaded Japanese-held Manchuria and quickly defeated the Kwantung Army, which was the largest Japanese fighting force. These two events persuaded previously adamant Imperial Army leaders to accept surrender terms. The Red Army also captured the southern part of Sakhalin Island and the Kuril Islands. On 15 August 1945, Japan surrendered, with the surrender documents finally signed at Tokyo Bay on the deck of the American battleship USS Missouri on 2 September 1945, ending the war. Aftermath The Allies established occupation administrations in Austria and Germany. The former became a neutral state, non-aligned with any political bloc. The latter was divided into western and eastern occupation zones controlled by the Western Allies and the Soviet Union. A denazification programme in Germany led to the prosecution of Nazi war criminals in the Nuremberg trials and the removal of ex-Nazis from power, although this policy moved towards amnesty and re-integration of ex-Nazis into West German society. Germany lost a quarter of its pre-war (1937) territory. Among the eastern territories, Silesia, Neumark and most of Pomerania were taken over by Poland, and East Prussia was divided between Poland and the Soviet Union, followed by the expulsion to Germany of the nine million Germans from these provinces, as well as three million Germans from the Sudetenland in Czechoslovakia. By the 1950s, one-fifth of West Germans were refugees from the east. The Soviet Union also took over the Polish provinces east of the Curzon line, from which 2 million Poles were expelled; north-east Romania, parts of eastern Finland, and the three Baltic states were incorporated into the Soviet Union. In an effort to maintain world peace, the Allies formed the United Nations, which officially came into existence on 24 October 1945, and adopted the Universal Declaration of Human Rights in 1948 as a common standard for all member nations. The great powers that were the victors of the war—France, China, the United Kingdom, the Soviet Union and the United States—became the permanent members of the UN's Security Council. The five permanent members remain so to the present, although there have been two seat changes, between the Republic of China and the People's Republic of China in 1971, and between the Soviet Union and its successor state, the Russian Federation, following the dissolution of the Soviet Union in 1991. The alliance between the Western Allies and the Soviet Union had begun to deteriorate even before the war was over. Germany had been de facto divided, and two independent states, the Federal Republic of Germany (West Germany) and the German Democratic Republic (East Germany), were created within the borders of Allied and Soviet occupation zones. The rest of Europe was also divided into Western and Soviet spheres of influence. Most eastern and central European countries fell into the Soviet sphere, which led to establishment of Communist-led regimes, with full or partial support of the Soviet occupation authorities. As a result, East Germany, Poland, Hungary, Romania, Czechoslovakia, and Albania became Soviet satellite states. Communist Yugoslavia conducted a fully independent policy, causing tension with the Soviet Union. Post-war division of the world was formalised by two international military alliances, the United States-led NATO and the Soviet-led Warsaw Pact. The long period of political tensions and military competition between them, the Cold War, would be accompanied by an unprecedented arms race and number of proxy wars throughout the world. In Asia, the United States led the occupation of Japan and administered Japan's former islands in the Western Pacific, while the Soviets annexed South Sakhalin and the Kuril Islands. Korea, formerly under Japanese rule, was divided and occupied by the Soviet Union in the North and the United States in the South between 1945 and 1948. Separate republics emerged on both sides of the 38th parallel in 1948, each claiming to be the legitimate government for all of Korea, which led ultimately to the Korean War. In China, nationalist and communist forces resumed the civil war in June 1946. Communist forces were victorious and established the People's Republic of China on the mainland, while nationalist forces retreated to Taiwan in 1949. In the Middle East, the Arab rejection of the United Nations Partition Plan for Palestine and the creation of Israel marked the escalation of the Arab–Israeli conflict. While European powers attempted to retain some or all of their colonial empires, their losses of prestige and resources during the war rendered this unsuccessful, leading to decolonisation. The global economy suffered heavily from the war, although participating nations were affected differently. The United States emerged much richer than any other nation, leading to a baby boom, and by 1950 its gross domestic product per person was much higher than that of any of the other powers, and it dominated the world economy. The UK and US pursued a policy of industrial disarmament in Western Germany in the years 1945–1948. Because of international trade interdependencies this led to European economic stagnation and delayed European recovery for several years. Recovery began with the mid-1948 currency reform in Western Germany, and was sped up by the liberalisation of European economic policy that the Marshall Plan (1948–1951) both directly and indirectly caused. The post-1948 West German recovery has been called the German economic miracle. Italy also experienced an economic boom and the French economy rebounded. By contrast, the United Kingdom was in a state of economic ruin, and although receiving a quarter of the total Marshall Plan assistance, more than any other European country, it continued in relative economic decline for decades. The Soviet Union, despite enormous human and material losses, also experienced rapid increase in production in the immediate post-war era. Japan recovered much later. China returned to its pre-war industrial production by 1952. Impact Casualties and war crimes Estimates for the total number of casualties in the war vary, because many deaths went unrecorded. Most suggest that some 60 million people died in the war, including about 20 million military personnel and 40 million civilians. Many of the civilians died because of deliberate genocide, massacres, mass bombings, disease, and starvation. The Soviet Union alone lost around 27 million people during the war, including 8.7 million military and 19 million civilian deaths. A quarter of the total people in the Soviet Union were wounded or killed. Germany sustained 5.3 million military losses, mostly on the Eastern Front and during the final battles in Germany. An estimated 11 to 17 million civilians died as a direct or as an indirect result of Hitler's racist policies, including mass killing of around 6million Jews, along with Roma, homosexuals, at least 1.9 million ethnic Poles and millions of other Slavs (including Russians, Ukrainians and Belarusians), and other ethnic and minority groups. Between 1941 and 1945, more than 200,000 ethnic Serbs, along with gypsies and Jews, were persecuted and murdered by the Axis-aligned Croatian Ustaše in Yugoslavia. Concurrently, Muslims and Croats were persecuted and killed by Serb nationalist Chetniks, with an estimated 50,000-68,000 victims (of which 41,000 were civilians). Also, more than 100,000 Poles were massacred by the Ukrainian Insurgent Army in the Volhynia massacres, between 1943 and 1945. At the same time, about 10,000–15,000 Ukrainians were killed by the Polish Home Army and other Polish units, in reprisal attacks. In Asia and the Pacific, between 3million and more than 10 million civilians, mostly Chinese (estimated at 7.5 million), were killed by the Japanese occupation forces. The most infamous Japanese atrocity was the Nanking Massacre, in which fifty to three hundred thousand Chinese civilians were raped and murdered. Mitsuyoshi Himeta reported that 2.7 million casualties occurred during the Sankō Sakusen. General Yasuji Okamura implemented the policy in Heipei and Shantung. Axis forces employed biological and chemical weapons. The Imperial Japanese Army used a variety of such weapons during its invasion and occupation of China (see Unit 731) and in early conflicts against the Soviets. Both the Germans and the Japanese tested such weapons against civilians, and sometimes on prisoners of war. The Soviet Union was responsible for the Katyn massacre of 22,000 Polish officers, and the imprisonment or execution of thousands of political prisoners by the NKVD, along with mass civilian deportations to Siberia, in the Baltic states and eastern Poland annexed by the Red Army. The mass bombing of cities in Europe and Asia has often been called a war crime, although no positive or specific customary international humanitarian law with respect to aerial warfare existed before or during World War II. The USAAF firebombed a total of 67 Japanese cities, killing 393,000 civilians and destroying 65% of built-up areas. Genocide, concentration camps, and slave labour Nazi Germany, under the dictatorship of Adolf Hitler, was responsible for the Holocaust (which killed approximately 6million Jews) as well as for killing 2.7 million ethnic Poles and 4million others who were deemed "unworthy of life" (including the disabled and mentally ill, Soviet prisoners of war, Romani, homosexuals, Freemasons, and Jehovah's Witnesses) as part of a programme of deliberate extermination, in effect becoming a "genocidal state". Soviet POWs were kept in especially unbearable conditions, and 3.6 million Soviet POWs out of 5.7 million died in Nazi camps during the war. In addition to concentration camps, death camps were created in Nazi Germany to exterminate people on an industrial scale. Nazi Germany extensively used forced labourers; about 12 million Europeans from German-occupied countries were abducted and used as a slave work force in German industry, agriculture and war economy. The Soviet Gulag became a de facto system of deadly camps during 1942–43, when wartime privation and hunger caused numerous deaths of inmates, including foreign citizens of Poland and other countries occupied in 1939–40 by the Soviet Union, as well as Axis POWs. By the end of the war, most Soviet POWs liberated from Nazi camps and many repatriated civilians were detained in special filtration camps where they were subjected to NKVD evaluation, and 226,127 were sent to the Gulag as real or perceived Nazi collaborators. Japanese prisoner-of-war camps, many of which were used as labour camps, also had high death rates. The International Military Tribunal for the Far East found the death rate of Western prisoners was 27 per cent (for American POWs, 37 per cent), seven times that of POWs under the Germans and Italians. While 37,583 prisoners from the UK, 28,500 from the Netherlands, and 14,473 from the United States were released after the surrender of Japan, the number | the European Axis powers declared war on the United States in solidarity. Japan soon captured much of the western Pacific, but its advances were halted in 1942 after losing the critical Battle of Midway; later, Germany and Italy were defeated in North Africa and at Stalingrad in the Soviet Union. Key setbacks in 1943—including a series of German defeats on the Eastern Front, the Allied invasions of Sicily and the Italian mainland, and Allied offensives in the Pacific—cost the Axis powers their initiative and forced it into strategic retreat on all fronts. In 1944, the Western Allies invaded German-occupied France, while the Soviet Union regained its territorial losses and turned towards Germany and its allies. During 1944 and 1945, Japan suffered reversals in mainland Asia, while the Allies crippled the Japanese Navy and captured key western Pacific islands. The war in Europe concluded with the liberation of German-occupied territories, and the invasion of Germany by the Western Allies and the Soviet Union, culminating in the fall of Berlin to Soviet troops, Hitler's suicide and the German unconditional surrender on 8 May 1945. Following the Potsdam Declaration by the Allies on 26 July 1945 and the refusal of Japan to surrender on its terms, the United States dropped the first atomic bombs on the Japanese cities of Hiroshima, on 6 August, and Nagasaki, on 9 August. Faced with an imminent invasion of the Japanese archipelago, the possibility of additional atomic bombings, and the Soviet entry into the war against Japan and its invasion of Manchuria, Japan announced its intention to surrender on 15 August, then signed the surrender document on 2 September 1945, cementing total victory in Asia for the Allies. World War II changed the political alignment and social structure of the globe. The United Nations (UN) was established to foster international co-operation and prevent future conflicts, great powers—China, France, the Soviet Union, the United Kingdom, and the United States—became the permanent members of its Security Council. The Soviet Union and the United States emerged as rival superpowers, setting the stage for the nearly half-century-long Cold War. In the wake of European devastation, the influence of its great powers waned, triggering the decolonisation of Africa and Asia. Most countries whose industries had been damaged moved towards economic recovery and expansion. Political and economic integration, especially in Europe, began as an effort to forestall future hostilities, end pre-war enmities and forge a sense of common identity. Start and end dates It is generally considered that in Europe World War II started on 1 September 1939, beginning with the German invasion of Poland and the United Kingdom and France's declaration of war on Germany two days later. The dates for the beginning of the war in the Pacific include the start of the Second Sino-Japanese War on 7 July 1937, or the earlier Japanese invasion of Manchuria, on 19 September 1931. Others follow the British historian A. J. P. Taylor, who held that the Sino-Japanese War and war in Europe and its colonies occurred simultaneously, and the two wars became World War II in 1941. Other starting dates sometimes used for World War II include the Italian invasion of Abyssinia on 3 October 1935. The British historian Antony Beevor views the beginning of World WarII as the Battles of Khalkhin Gol fought between Japan and the forces of Mongolia and the Soviet Union from May to September 1939. Others view the Spanish Civil War as the start or prelude to World War II. The exact date of the war's end is also not universally agreed upon. It was generally accepted at the time that the war ended with the armistice of 14 August 1945 (V-J Day), rather than with the formal surrender of Japan on 2 September 1945, which officially ended the war in Asia. A peace treaty between Japan and the Allies was signed in 1951. A 1990 treaty regarding Germany's future allowed the reunification of East and West Germany to take place and resolved most post-World WarII issues. No formal peace treaty between Japan and the Soviet Union was ever signed, although the state of war between the two countries was terminated by the Soviet–Japanese Joint Declaration of 1956, which also restored full diplomatic relations between them. Background Europe World War I had radically altered the political European map, with the defeat of the Central Powers—including Austria-Hungary, Germany, Bulgaria and the Ottoman Empire—and the 1917 Bolshevik seizure of power in Russia, which led to the founding of the Soviet Union. Meanwhile, the victorious Allies of World War I, such as France, Belgium, Italy, Romania, and Greece, gained territory, and new nation-states were created out of the collapse of Austria-Hungary and the Ottoman and Russian Empires. To prevent a future world war, the League of Nations was created during the 1919 Paris Peace Conference. The organisation's primary goals were to prevent armed conflict through collective security, military and naval disarmament, and settling international disputes through peaceful negotiations and arbitration. Despite strong pacifist sentiment after World WarI, irredentist and revanchist nationalism emerged in several European states in the same period. These sentiments were especially marked in Germany because of the significant territorial, colonial, and financial losses imposed by the Treaty of Versailles. Under the treaty, Germany lost around 13 percent of its home territory and all its overseas possessions, while German annexation of other states was prohibited, reparations were imposed, and limits were placed on the size and capability of the country's armed forces. The German Empire was dissolved in the German Revolution of 1918–1919, and a democratic government, later known as the Weimar Republic, was created. The interwar period saw strife between supporters of the new republic and hardline opponents on both the right and left. Italy, as an Entente ally, had made some post-war territorial gains; however, Italian nationalists were angered that the promises made by the United Kingdom and France to secure Italian entrance into the war were not fulfilled in the peace settlement. From 1922 to 1925, the Fascist movement led by Benito Mussolini seized power in Italy with a nationalist, totalitarian, and class collaborationist agenda that abolished representative democracy, repressed socialist, left-wing and liberal forces, and pursued an aggressive expansionist foreign policy aimed at making Italy a world power, and promising the creation of a "New Roman Empire". Adolf Hitler, after an unsuccessful attempt to overthrow the German government in 1923, eventually became the Chancellor of Germany in 1933 when Paul Von Hindenburg and the Reichstag appointed him. He abolished democracy, espousing a radical, racially motivated revision of the world order, and soon began a massive rearmament campaign. Meanwhile, France, to secure its alliance, allowed Italy a free hand in Ethiopia, which Italy desired as a colonial possession. The situation was aggravated in early 1935 when the Territory of the Saar Basin was legally reunited with Germany, and Hitler repudiated the Treaty of Versailles, accelerated his rearmament programme, and introduced conscription. The United Kingdom, France and Italy formed the Stresa Front in April 1935 in order to contain Germany, a key step towards military globalisation; however, that June, the United Kingdom made an independent naval agreement with Germany, easing prior restrictions. The Soviet Union, concerned by Germany's goals of capturing vast areas of Eastern Europe, drafted a treaty of mutual assistance with France. Before taking effect, though, the Franco-Soviet pact was required to go through the bureaucracy of the League of Nations, which rendered it essentially toothless. The United States, concerned with events in Europe and Asia, passed the Neutrality Act in August of the same year. Hitler defied the Versailles and Locarno treaties by remilitarising the Rhineland in March 1936, encountering little opposition due to the policy of appeasement. In October 1936, Germany and Italy formed the Rome–Berlin Axis. A month later, Germany and Japan signed the Anti-Comintern Pact, which Italy joined the following year. Asia The Kuomintang (KMT) party in China launched a unification campaign against regional warlords and nominally unified China in the mid-1920s, but was soon embroiled in a civil war against its former Chinese Communist Party allies and new regional warlords. In 1931, an increasingly militaristic Empire of Japan, which had long sought influence in China as the first step of what its government saw as the country's right to rule Asia, staged the Mukden Incident as a pretext to invade Manchuria and establish the puppet state of Manchukuo. China appealed to the League of Nations to stop the Japanese invasion of Manchuria. Japan withdrew from the League of Nations after being condemned for its incursion into Manchuria. The two nations then fought several battles, in Shanghai, Rehe and Hebei, until the Tanggu Truce was signed in 1933. Thereafter, Chinese volunteer forces continued the resistance to Japanese aggression in Manchuria, and Chahar and Suiyuan. After the 1936 Xi'an Incident, the Kuomintang and communist forces agreed on a ceasefire to present a united front to oppose Japan. Pre-war events Italian invasion of Ethiopia (1935) The Second Italo-Ethiopian War was a brief colonial war that began in October 1935 and ended in May 1936. The war began with the invasion of the Ethiopian Empire (also known as Abyssinia) by the armed forces of the Kingdom of Italy (Regno d'Italia), which was launched from Italian Somaliland and Eritrea. The war resulted in the military occupation of Ethiopia and its annexation into the newly created colony of Italian East Africa (Africa Orientale Italiana, or AOI); in addition it exposed the weakness of the League of Nations as a force to preserve peace. Both Italy and Ethiopia were member nations, but the League did little when the former clearly violated Article X of the League's Covenant. The United Kingdom and France supported imposing sanctions on Italy for the invasion, but the sanctions were not fully enforced and failed to end the Italian invasion. Italy subsequently dropped its objections to Germany's goal of absorbing Austria. Spanish Civil War (1936–1939) When civil war broke out in Spain, Hitler and Mussolini lent military support to the Nationalist rebels, led by General Francisco Franco. Italy supported the Nationalists to a greater extent than the Nazis did: altogether Mussolini sent to Spain more than 70,000 ground troops and 6,000 aviation personnel, as well as about 720 aircraft. The Soviet Union supported the existing government of the Spanish Republic. More than 30,000 foreign volunteers, known as the International Brigades, also fought against the Nationalists. Both Germany and the Soviet Union used this proxy war as an opportunity to test in combat their most advanced weapons and tactics. The Nationalists won the civil war in April 1939; Franco, now dictator, remained officially neutral during World WarII but generally favoured the Axis. His greatest collaboration with Germany was the sending of volunteers to fight on the Eastern Front. Japanese invasion of China (1937) In July 1937, Japan captured the former Chinese imperial capital of Peking after instigating the Marco Polo Bridge Incident, which culminated in the Japanese campaign to invade all of China. The Soviets quickly signed a non-aggression pact with China to lend materiel support, effectively ending China's prior co-operation with Germany. From September to November, the Japanese attacked Taiyuan, engaged the Kuomintang Army around Xinkou, and fought Communist forces in Pingxingguan. Generalissimo Chiang Kai-shek deployed his best army to defend Shanghai, but after three months of fighting, Shanghai fell. The Japanese continued to push the Chinese forces back, capturing the capital Nanking in December 1937. After the fall of Nanking, tens or hundreds of thousands of Chinese civilians and disarmed combatants were murdered by the Japanese. In March 1938, Nationalist Chinese forces won their first major victory at Taierzhuang, but then the city of Xuzhou was taken by the Japanese in May. In June 1938, Chinese forces stalled the Japanese advance by flooding the Yellow River; this manoeuvre bought time for the Chinese to prepare their defences at Wuhan, but the city was taken by October. Japanese military victories did not bring about the collapse of Chinese resistance that Japan had hoped to achieve; instead, the Chinese government relocated inland to Chongqing and continued the war. Soviet–Japanese border conflicts In the mid-to-late 1930s, Japanese forces in Manchukuo had sporadic border clashes with the Soviet Union and Mongolia. The Japanese doctrine of Hokushin-ron, which emphasised Japan's expansion northward, was favoured by the Imperial Army during this time. With the Japanese defeat at Khalkin Gol in 1939, the ongoing Second Sino-Japanese War and ally Nazi Germany pursuing neutrality with the Soviets, this policy would prove difficult to maintain. Japan and the Soviet Union eventually signed a Neutrality Pact in April 1941, and Japan adopted the doctrine of Nanshin-ron, promoted by the Navy, which took its focus southward, eventually leading to its war with the United States and the Western Allies. European occupations and agreements In Europe, Germany and Italy were becoming more aggressive. In March 1938, Germany annexed Austria, again provoking little response from other European powers. Encouraged, Hitler began pressing German claims on the Sudetenland, an area of Czechoslovakia with a predominantly ethnic German population. Soon the United Kingdom and France followed the appeasement policy of British Prime Minister Neville Chamberlain and conceded this territory to Germany in the Munich Agreement, which was made against the wishes of the Czechoslovak government, in exchange for a promise of no further territorial demands. Soon afterwards, Germany and Italy forced Czechoslovakia to cede additional territory to Hungary, and Poland annexed Czechoslovakia's Zaolzie region. Although all of Germany's stated demands had been satisfied by the agreement, privately Hitler was furious that British interference had prevented him from seizing all of Czechoslovakia in one operation. In subsequent speeches Hitler attacked British and Jewish "war-mongers" and in January 1939 secretly ordered a major build-up of the German navy to challenge British naval supremacy. In March 1939, Germany invaded the remainder of Czechoslovakia and subsequently split it into the German Protectorate of Bohemia and Moravia and a pro-German client state, the Slovak Republic. Hitler also delivered an ultimatum to Lithuania on 20 March 1939, forcing the concession of the Klaipėda Region, formerly the German Memelland. Greatly alarmed and with Hitler making further demands on the Free City of Danzig, the United Kingdom and France guaranteed their support for Polish independence; when Italy conquered Albania in April 1939, the same guarantee was extended to the Kingdoms of Romania and Greece. Shortly after the Franco-British pledge to Poland, Germany and Italy formalised their own alliance with the Pact of Steel. Hitler accused the United Kingdom and Poland of trying to "encircle" Germany and renounced the Anglo-German Naval Agreement and the German–Polish Non-Aggression Pact. The situation reached a general crisis in late August as German troops continued to mobilise against the Polish border. On 23 August, when tripartite negotiations about a military alliance between France, the United Kingdom and Soviet Union stalled, the Soviet Union signed a non-aggression pact with Germany. This pact had a secret protocol that defined German and Soviet "spheres of influence" (western Poland and Lithuania for Germany; eastern Poland, Finland, Estonia, Latvia and Bessarabia for the Soviet Union), and raised the question of continuing Polish independence. The pact neutralised the possibility of Soviet opposition to a campaign against Poland and assured that Germany would not have to face the prospect of a two-front war, as it had in World WarI. Immediately after that, Hitler ordered the attack to proceed on 26 August, but upon hearing that the United Kingdom had concluded a formal mutual assistance pact with Poland and that Italy would maintain neutrality, he decided to delay it. In response to British requests for direct negotiations to avoid war, Germany made demands on Poland, which only served as a pretext to worsen relations. On 29 August, Hitler demanded that a Polish plenipotentiary immediately travel to Berlin to negotiate the handover of Danzig, and to allow a plebiscite in the Polish Corridor in which the German minority would vote on secession. The Poles refused to comply with the German demands, and on the night of 30–31 August in a stormy meeting with the British ambassador Nevile Henderson, Ribbentrop declared that Germany considered its claims rejected. Course of the war War breaks out in Europe (1939–40) On 1 September 1939, Germany invaded Poland after having staged several false flag border incidents as a pretext to initiate the invasion. The first German attack of the war came against the Polish defenses at Westerplatte. The United Kingdom responded with an ultimatum to Germany to cease military operations, and on 3 September, after the ultimatum was ignored, Britain and France declared war on Germany, followed by Australia, New Zealand, South Africa and Canada. The alliance provided no direct military support to Poland, outside of a cautious French probe into the Saarland. The Western Allies also began a naval blockade of Germany, which aimed to damage the country's economy and the war effort. Germany responded by ordering U-boat warfare against Allied merchant and warships, which would later escalate into the Battle of the Atlantic. On 8 September, German troops reached the suburbs of Warsaw. The Polish counter offensive to the west halted the German advance for several days, but it was outflanked and encircled by the Wehrmacht. Remnants of the Polish army broke through to besieged Warsaw. On 17 September 1939, after signing a cease-fire with Japan, the Soviet Union invaded Eastern Poland under a pretext that the Polish state had ostensibly ceased to exist. On 27 September, the Warsaw garrison surrendered to the Germans, and the last large operational unit of the Polish Army surrendered on 6October. Despite the military defeat, Poland never surrendered; instead, it formed the Polish government-in-exile and a clandestine state apparatus remained in occupied Poland. A significant part of Polish military personnel evacuated to Romania and the Baltic countries; many of them later fought against the Axis in other theatres of the war. Germany annexed the western and occupied the central part of Poland, and the Soviet Union annexed its eastern part; small shares of Polish territory were transferred to Lithuania and Slovakia. On 6 October, Hitler made a public peace overture to the United Kingdom and France but said that the future of Poland was to be determined exclusively by Germany and the Soviet Union. The proposal was rejected, and Hitler ordered an immediate offensive against France, which was postponed until the spring of 1940 due to bad weather. After the outbreak of war in Poland, Stalin threatened Estonia, Latvia and Lithuania with military invasion, forcing the three Baltic countries to sign pacts that stipulated the creation of Soviet military bases in these countries. In October 1939, significant Soviet military contingents were moved there. Finland refused to sign a similar pact and rejected ceding part of its territory to the Soviet Union. The Soviet Union invaded Finland in November 1939, and the Soviet Union was expelled from the League of Nations. Despite overwhelming numerical superiority, Soviet military success during the Winter War was modest, but the Finno-Soviet war ended in March 1940 with fairly significant Finnish concessions. In June 1940, the Soviet Union occupied the entire territories of Estonia, Latvia and Lithuania, and the Romanian regions of Bessarabia, Northern Bukovina and the Hertsa region. In August 1940, with German and Italian support, Hungary demanded Transylvania from Romania, through German arbitration Hungary would only receive Northern Transylvania leading to the Second Vienna Award, also known as the Vienna Diktat, a region with ethnic Romanian majority. In September 1940, Bulgaria demanded Southern Dobruja from Romania with German and Italian support, leading to the Treaty of Craiova. The loss of one-third of Romania's 1939 territory caused a coup against King Carol II, turning Romania into a fascist dictatorship under Marshal Ion Antonescu with a course set firmly towards the Axis in the hopes of a German guarantee. Meanwhile, Nazi-Soviet political rapprochement and economic co-operation gradually stalled, and both states began preparations for war. Western Europe (1940–41) In April 1940, Germany invaded Denmark and Norway to protect shipments of iron ore from Sweden, which the Allies were attempting to cut off. Denmark capitulated after a few hours, and Norway was conquered within two months despite Allied support. British discontent over the Norwegian campaign led to the appointment of Winston Churchill as Prime Minister on 10May 1940. On the same day, Germany launched an offensive against France. To circumvent the strong Maginot Line fortifications on the Franco-German border, Germany directed its attack at the neutral nations of Belgium, the Netherlands, and Luxembourg. The Germans carried out a flanking manoeuvre through the Ardennes region, which was mistakenly perceived by Allies as an impenetrable natural barrier against armoured vehicles. By successfully implementing new blitzkrieg tactics, the Wehrmacht rapidly advanced to the Channel and cut off the Allied forces in Belgium, trapping the bulk of the Allied armies in a cauldron on the Franco-Belgian border near Lille. The United Kingdom was able to evacuate a significant number of Allied troops from the continent by early June, although abandoning almost all their equipment. On 10 June, Italy invaded France, declaring war on both France and the United Kingdom. The Germans turned south against the weakened French army, and Paris fell to them on 14June. Eight days later France signed an armistice with Germany; it was divided into German and Italian occupation zones, and an unoccupied rump state under the Vichy Regime, which, though officially neutral, was generally aligned with Germany. France kept its fleet, which the United Kingdom attacked on 3July in an attempt to prevent its seizure by Germany. The air Battle of Britain began in early July with Luftwaffe attacks on shipping and harbours. The United Kingdom rejected Hitler's peace offer, and the German air superiority campaign started in August but failed to defeat RAF Fighter Command, forcing the indefinite postponement of the proposed German invasion of Britain. The German strategic bombing offensive intensified with night attacks on London and other cities in the Blitz, but failed to significantly disrupt the British war effort and largely ended in May 1941. Using newly captured French ports, the German Navy enjoyed success against an over-extended Royal Navy, using U-boats against British shipping in the Atlantic. The British Home Fleet scored a significant victory on 27May 1941 by sinking the German battleship Bismarck. In November 1939, the United States was taking measures to assist China and the Western Allies and amended the Neutrality Act to allow "cash and carry" purchases by the Allies. In 1940, following the German capture of Paris, the size of the United States Navy was significantly increased. In September the United States further agreed to a trade of American destroyers for British bases. Still, a large majority of the American public continued to oppose any direct military intervention in the conflict well into 1941. In December 1940 Roosevelt accused Hitler of planning world conquest and ruled out any negotiations as useless, calling for the United States to become an "arsenal of democracy" and promoting Lend-Lease programmes of aid to support the British war effort. The United States started strategic planning to prepare for a full-scale offensive against Germany. At the end of September 1940, the Tripartite Pact formally united Japan, Italy, and Germany as the Axis powers. The Tripartite Pact stipulated that any country, with the exception of the Soviet Union, which attacked any Axis Power would be forced to go to war against all three. The Axis expanded in November 1940 when Hungary, Slovakia and Romania joined. Romania and Hungary later made major contributions to the Axis war against the Soviet Union, in Romania's case partially to recapture territory ceded to the Soviet Union. Mediterranean (1940–41) In early June 1940, the Italian Regia Aeronautica attacked and besieged Malta, a British possession. From late summer to early autumn, Italy conquered British Somaliland and made an incursion into British-held Egypt. In October, Italy attacked Greece, but the attack was repulsed with heavy Italian casualties; the campaign ended within months with minor territorial changes. Germany started preparation for an invasion of the Balkans to assist Italy, to prevent the British from gaining a foothold there, which would be a potential threat for Romanian oil fields, and to strike against the British dominance of the Mediterranean. In December 1940, British Empire forces began counter-offensives against Italian forces in Egypt and Italian East Africa. The offensives were highly successful; by early February 1941, Italy had lost control of eastern Libya, and large numbers of Italian troops had been taken prisoner. The Italian Navy also suffered significant defeats, with the Royal Navy putting three Italian battleships out of commission by means of a carrier attack at Taranto, and neutralising several more warships at the Battle of Cape Matapan. Italian defeats prompted Germany to deploy an expeditionary force to North Africa and at the end of March 1941, Rommel's Afrika Korps launched an offensive which drove back the Commonwealth forces. In under a month, Axis forces advanced to western Egypt and besieged the port of Tobruk. By late March 1941, Bulgaria and Yugoslavia signed the Tripartite Pact; however, the Yugoslav government was overthrown two days later by pro-British nationalists. Germany responded with simultaneous invasions of both Yugoslavia and Greece, commencing on 6 April 1941; both nations were forced to surrender within the month. The airborne invasion of the Greek island of Crete at the end of May completed the German conquest of the Balkans. Although the Axis victory was swift, bitter and large-scale partisan warfare subsequently broke out against the Axis occupation of Yugoslavia, which continued until the end of the war. In the Middle East in May, Commonwealth forces quashed an uprising in Iraq which had been supported by German aircraft from bases within Vichy-controlled Syria. Between June and July, they invaded and occupied the French possessions Syria and Lebanon, with the assistance of the Free French. Axis attack on the Soviet Union (1941) With the situation in Europe and Asia relatively stable, Germany, Japan, and the Soviet Union made preparations. With the Soviets wary of mounting tensions with Germany and the Japanese planning to take advantage of the European War by seizing resource-rich European possessions in Southeast Asia, the two powers signed the Soviet–Japanese Neutrality Pact in April 1941. By contrast, the Germans were steadily making preparations for an attack on the Soviet Union, massing forces on the Soviet border. Hitler believed that the United Kingdom's refusal to end the war was based on the hope that the United States and the Soviet Union would enter the war against Germany sooner or later. On 31 July 1940 Hitler decided that the Soviet Union should be eliminated and aimed for the conquest of Ukraine, the Baltic states and Belorussia. However, other senior German officials like Ribbentrop saw an opportunity to create a Euro-Asian bloc against the British Empire by inviting the Soviet Union into the Tripartite Pact. In November 1940, negotiations took place to determine if the Soviet Union would join the pact. The Soviets showed some interest but asked for concessions from Finland, Bulgaria, Turkey, and Japan that Germany considered unacceptable. On 18 December 1940, Hitler issued the directive to prepare for an invasion of the Soviet Union. On 22 June 1941, Germany, supported by Italy and Romania, invaded the Soviet Union in Operation Barbarossa, with Germany accusing the Soviets of plotting against them. They were joined shortly by Finland and Hungary. The primary targets of this surprise offensive were the Baltic region, Moscow and Ukraine, with the ultimate goal of ending the 1941 campaign near the Arkhangelsk-Astrakhan line, from the Caspian to the White Seas. Hitler's objectives were to eliminate the Soviet Union as a military power, exterminate Communism, generate Lebensraum ("living space") by dispossessing the native population and guarantee access to the strategic resources needed to defeat Germany's remaining rivals. Although the Red Army was preparing for strategic counter-offensives before the war, Operation Barbarossa forced the Soviet supreme command to adopt a strategic defence. During the summer, the Axis made significant gains into Soviet territory, inflicting immense losses in both personnel and materiel. By mid-August, however, the German Army High Command decided to suspend the offensive of a considerably depleted Army Group Centre, and to divert the 2nd Panzer Group to reinforce troops advancing towards central Ukraine and Leningrad. The Kiev offensive was overwhelmingly successful, resulting in encirclement and elimination of four Soviet armies, and made possible further advance into Crimea and industrially developed Eastern Ukraine (the First Battle of Kharkov). The diversion of three quarters of the Axis troops and the majority of their air forces from France and the central Mediterranean to the Eastern Front prompted the United Kingdom to reconsider its grand strategy. In July, the UK and the Soviet Union formed a military alliance against Germany and in August, the United Kingdom and the United States jointly issued the Atlantic Charter, which outlined British and American goals for the postwar world. In late August the British and Soviets invaded neutral Iran to secure the Persian Corridor, Iran's oil fields, and preempt any Axis advances through Iran toward the Baku oil fields or British India. By October Axis operational objectives in Ukraine and the Baltic region were achieved, with only the sieges of Leningrad and Sevastopol continuing. A major offensive against Moscow was renewed; after two months of fierce battles in increasingly harsh weather, the German army almost reached the outer suburbs of Moscow, where the exhausted troops were forced to suspend their offensive. Large territorial gains were made by Axis forces, but their campaign had failed to achieve its main objectives: two key cities remained in Soviet hands, the Soviet capability to resist was not broken, and the Soviet Union retained a considerable part of its military potential. The blitzkrieg phase of the war in Europe had ended. By early December, freshly mobilised reserves allowed the Soviets to achieve numerical parity with Axis troops. This, as well as intelligence data which established that a minimal number of Soviet troops in the East would be sufficient to deter any attack by the Japanese Kwantung Army, allowed the Soviets to begin a massive counter-offensive that started on 5 December all along the front and pushed German troops west. War breaks out in the Pacific (1941) Following the Japanese false flag Mukden Incident in 1931, the Japanese shelling of the American gunboat USS Panay in 1937, and the 1937-38 Nanjing Massacre, Japanese-American relations deteriorated. In 1939, the United States notified Japan that it would not be extending its trade treaty and American public opinion opposing Japanese expansionism led to a series of economic sanctions, the Export Control Acts, which banned U.S. exports of chemicals, minerals and military parts to Japan and increased economic pressure on the Japanese regime. During 1939 Japan launched its first attack against Changsha, a strategically important Chinese city, but was repulsed by late September. Despite several offensives by both sides, the war between China and Japan was stalemated by 1940. To increase pressure on China by blocking supply routes, and to better position Japanese forces in the event of a war with the Western powers, Japan invaded and occupied northern Indochina in September 1940. Chinese nationalist forces launched a large-scale counter-offensive in early 1940. In August, Chinese communists launched an offensive in Central China; in retaliation, Japan instituted harsh measures in occupied areas to reduce human and material resources for the communists. The continued antipathy between Chinese communist and nationalist forces culminated in armed clashes in January 1941, effectively ending their co-operation. In March, the Japanese 11th army attacked the headquarters of the Chinese 19th army but was repulsed during Battle of Shanggao. In September, Japan attempted to take the city of Changsha again and clashed with Chinese nationalist forces. German successes in Europe encouraged Japan to increase pressure on European governments in Southeast Asia. The Dutch government agreed to provide Japan with some oil supplies from the Dutch East Indies, but negotiations for additional access to their resources ended in failure in June 1941. In July 1941 Japan sent troops to southern Indochina, thus threatening British and Dutch possessions in the Far East. The United States, the United Kingdom, and other Western governments reacted to this move with a freeze on Japanese assets and a total oil embargo. At the same time, Japan was planning an invasion of the Soviet Far East, intending to capitalise off the German invasion in the west, but abandoned the operation after the sanctions. Since early 1941 the United States and Japan had been engaged in negotiations in an attempt to improve their strained relations and end the war in China. During these negotiations, Japan advanced a number of proposals which were dismissed by the Americans as inadequate. At the same time the United States, the United Kingdom, and the Netherlands engaged in secret discussions for the joint defence of their territories, in the event of a Japanese attack against any of them. Roosevelt reinforced the Philippines (an American protectorate scheduled for independence in 1946) and warned Japan that the United States would react to Japanese attacks against any "neighboring countries". Frustrated at the lack of progress and feeling the pinch of the American–British–Dutch sanctions, Japan prepared for war. On 20 November, a new government under Hideki Tojo presented an interim proposal as its final offer. It called for the end of American aid to China and for lifting the embargo on the supply of oil and other resources to Japan. In exchange, Japan promised not to launch any attacks in Southeast Asia and to withdraw its forces from southern Indochina. The American counter-proposal of 26 November required that Japan evacuate all of China without conditions and conclude non-aggression pacts with all Pacific powers. That meant Japan was essentially forced to choose between abandoning its ambitions in China, or seizing the natural resources it needed in the Dutch East Indies by force; the Japanese military did not consider the former an option, and many officers considered the oil embargo an unspoken declaration of war. Japan planned to seize European colonies in Asia to create a large defensive perimeter stretching into the Central Pacific. The Japanese would then be free to exploit the resources of Southeast Asia while exhausting the over-stretched Allies by fighting a defensive war. To prevent American intervention while securing the perimeter, it was further planned to neutralise the United States Pacific Fleet and the American military presence in the Philippines from the outset. On 7 December 1941 (8 December in Asian time zones), Japan attacked British and American holdings with near-simultaneous offensives against Southeast Asia and the Central Pacific. These included an attack on the American fleets at Pearl Harbor and the Philippines, Guam, Wake Island, landings in Malaya, Thailand and the Battle of Hong Kong. The Japanese invasion of Thailand led to Thailand's decision to ally itself with Japan and the other Japanese attacks led the United States, United Kingdom, China, Australia, and several other states to formally declare war on Japan, whereas the Soviet Union, being heavily involved in large-scale hostilities with European Axis countries, maintained its neutrality agreement with Japan. Germany, followed by the other Axis states, declared war on the United States in solidarity with Japan, citing as justification the American attacks on German war vessels that had been ordered by Roosevelt. Axis advance stalls (1942–43) On 1 January 1942, the Allied Big Four—the Soviet Union, China, the United Kingdom and the United States—and 22 smaller or exiled governments issued the Declaration by United Nations, thereby affirming the Atlantic Charter, and agreeing not to sign a separate peace with the Axis powers. During 1942, Allied officials debated on the appropriate grand strategy to pursue. All agreed that defeating Germany was the primary objective. The Americans favoured a straightforward, large-scale attack on Germany through France. The Soviets were also demanding a second front. The British, on the other hand, argued that military operations should target peripheral areas to wear out German strength, leading to increasing demoralisation, and bolster resistance forces. Germany itself would be subject to a heavy bombing campaign. An offensive against Germany would then be launched primarily by Allied armour without using large-scale armies. Eventually, the British persuaded the Americans that a landing in France was infeasible in 1942 and they should instead focus on driving the Axis out of North Africa. At the Casablanca Conference in early 1943, the Allies reiterated the statements issued in the 1942 Declaration and demanded the unconditional surrender of their enemies. The British and Americans agreed to continue to press the initiative in the Mediterranean by invading Sicily to fully secure the Mediterranean supply routes. Although the British argued for further operations in the Balkans to bring Turkey into the war, in May 1943, the Americans extracted a British commitment to limit Allied operations in the Mediterranean to an invasion of the Italian mainland and to invade France in 1944. Pacific (1942–43) By the end of April 1942, Japan and its ally Thailand had almost fully conquered Burma, Malaya, the Dutch East Indies, Singapore, and Rabaul, inflicting severe losses on Allied troops and taking a large number of prisoners. Despite stubborn resistance by Filipino and US forces, the Philippine Commonwealth was eventually captured in May 1942, forcing its government into exile. On 16 April, in Burma, 7,000 British soldiers were encircled by the Japanese 33rd Division during the Battle of Yenangyaung and rescued by the Chinese 38th Division. Japanese forces also achieved naval victories in the South China Sea, Java Sea and Indian Ocean, and bombed the Allied naval base at Darwin, Australia. In January 1942, the only Allied success against Japan was a Chinese victory at Changsha. These easy victories over the unprepared US and European opponents left Japan overconfident, as well as overextended. In early May 1942, Japan initiated operations to capture Port Moresby by amphibious assault and thus sever communications and supply lines between the United States and Australia. The planned invasion was thwarted when an Allied task force, centred on two American fleet carriers, fought Japanese naval forces to a draw in the Battle of the Coral Sea. Japan's next plan, motivated by the earlier Doolittle Raid, was to seize Midway Atoll and lure American carriers into battle to be eliminated; as a diversion, Japan would also send forces to occupy |
de pays). Other than the grape varieties traditionally used for wine-making, most fruits naturally lack either sufficient fermentable sugars, proper amount of acidity, yeast amounts needed to promote or maintain fermentation, or a combination of these three materials. This is probably one of the main reasons why wine derived from grapes has historically been more prevalent by far than other types, and why specific types of fruit wines have generally been confined to the regions in which the fruits were native or introduced for other reasons. Honey Mead, also called honey wine, is created by fermenting honey with water, sometimes with various fruits, spices, grains, or hops. As long as the primary substance fermented is honey, the drink is considered mead. Mead was produced in ancient history throughout Europe, Africa and Asia, and was known in Europe before grape wine. Starch Other drinks called "wine", such as barley wine and rice wine (e.g. sake, huangjiu and cheongju), are made from starch-based materials and resemble beer more than traditional wine, while ginger wine is fortified with brandy. In these latter cases, the term "wine" refers to the similarity in alcohol content rather than to the production process. The commercial use of the English word "wine" (and its equivalent in other languages) is protected by law in many jurisdictions. Some UK supermarkets have been criticized for selling "wine based" drinks, which only contain 75% wine, but which are still marketed as wine. The International Organisation of Vine and Wine requires that a "wine-based drink" must contain a minimum of 75% wine, but producers do not have to divulge the nature of the remaining 25%. Grape varieties Wine is usually made from one or more varieties of the European species Vitis vinifera, such as Pinot noir, Chardonnay, Cabernet Sauvignon, Gamay and Merlot. When one of these varieties is used as the predominant grape (usually defined by law as minimums of 75% to 85%), the result is a "varietal" as opposed to a "blended" wine. Blended wines are not necessarily inferior to varietal wines, rather they are a different style of wine-making. Wine can also be made from other species of grape or from hybrids, created by the genetic crossing of two species. V. labrusca (of which the Concord grape is a cultivar), V. aestivalis, V. rupestris, V. rotundifolia and V. riparia are native North American grapes usually grown to eat fresh or for grape juice, jam, or jelly, and only occasionally made into wine. Hybridization is different from grafting. Most of the world's vineyards are planted with European Vitis vinifera vines that have been grafted onto North American species' rootstock, a common practice due to their resistance to phylloxera, a root louse that eventually kills the vine. In the late 19th century, most of Europe's vineyards (excluding some of the driest in the south) were devastated by the infestation, leading to widespread vine deaths and eventual replanting. Grafting is done in every wine-producing region in the world except in Argentina and the Canary Islands – the only places not yet exposed to the insect. In the context of wine production, terroir is a concept that encompasses the varieties of grapes used, elevation and shape of the vineyard, type and chemistry of soil, climate and seasonal conditions, and the local yeast cultures. The range of possible combinations of these factors can result in great differences among wines, influencing the fermentation, finishing, and aging processes as well. Many wineries use growing and production methods that preserve or accentuate the aroma and taste influences of their unique terroir. However, flavor differences are less desirable for producers of mass-market table wine or other cheaper wines, where consistency takes precedence. Such producers try to minimize differences in sources of grapes through production techniques such as micro-oxygenation, tannin filtration, cross-flow filtration, thin-film evaporation, and spinning cones. About 700 grapes go into one bottle of wine, approximately 2.6 pounds. Classification Regulations govern the classification and sale of wine in many regions of the world. European wines tend to be classified by region (e.g. Bordeaux, Rioja and Chianti), while non-European wines are most often classified by grape (e.g. Pinot noir and Merlot). Market recognition of particular regions has recently been leading to their increased prominence on non-European wine labels. Examples of recognized non-European locales include Napa Valley, Santa Clara Valley, Sonoma Valley, Anderson Valley, and Mendocino County in California; Willamette Valley and Rogue Valley in Oregon; Columbia Valley in Washington; Barossa Valley in South Australia; Hunter Valley in New South Wales; Luján de Cuyo in Argentina; Vale dos Vinhedos in Brazil; Hawke's Bay and Marlborough in New Zealand; Central Valley in Chile; and in Canada, the Okanagan Valley of British Columbia, and the Niagara Peninsula and Essex County regions of Ontario are the three largest producers. Some blended wine names are marketing terms whose use is governed by trademark law rather than by specific wine laws. For example, Meritage (sounds like "heritage") is generally a Bordeaux-style blend of Cabernet Sauvignon and Merlot, but may also include Cabernet Franc, Petit Verdot, and Malbec. Commercial use of the term Meritage is allowed only via licensing agreements with the Meritage Association. European classifications France has various appellation systems based on the concept of terroir, with classifications ranging from Vin de Table ("table wine") at the bottom, through Vin de Pays and Appellation d'Origine Vin Délimité de Qualité Supérieure (AOVDQS), up to Appellation d'Origine Contrôlée (AOC) or similar, depending on the region. Portugal has developed a system resembling that of France and, in fact, pioneered this concept in 1756 with a royal charter creating the Demarcated Douro Region and regulating the production and trade of wine. Germany created a similar scheme in 2002, although it has not yet achieved the authority of the other countries' classification systems. Spain, Greece and Italy have classifications based on a dual system of region of origin and product quality. Beyond Europe New World wines—those made outside the traditional wine regions of Europe—are usually classified by grape rather than by terroir or region of origin, although there have been unofficial attempts to classify them by quality. According to Canadian Food and Drug Regulations, wine in Canada is an alcoholic drink that is produced by the complete or partial alcoholic fermentation of fresh grapes, grape must, products derived solely from fresh grapes, or any combination of them. There are many materials added during the course of the manufacture, such as yeast, concentrated grape juice, dextrose, fructose, glucose or glucose solids, invert sugar, sugar, or aqueous solutions. Calcium sulphate in such quantity that the content of soluble sulphates in the finished wine shall not exceed 0.2 percent weight by volume calculated as potassium sulphate. Calcium carbonate in such quantity that the content of tartaric acid in the finished wine shall not be less than 0.15 percent weight by volume. Also, sulphurous acid, including salts thereof, in such quantity that its content in the finished wine shall not exceed 70 parts per million in the free state, or 350 parts per million in the combined state, calculated as sulphur dioxide. Caramel, amylase and pectinase at a maximum level of use consistent with good manufacturing practice. Brandy, fruit spirit or alcohol derived from the alcoholic fermentation of a food source distilled to not less than 94 percent alcohol by volume. Prior to final filtration may be treated with a strongly acid cation exchange resin in the sodium ion form, or a weakly basic anion exchange resin in the hydroxyl ion form. Vintages In the United States, for a wine to be vintage-dated and labeled with a country of origin or American Viticultural Area (AVA; e.g., Sonoma Valley), 95% of its volume must be from grapes harvested in that year. If a wine is not labeled with a country of origin or AVA the percentage requirement is lowered to 85%. Vintage wines are generally bottled in a single batch so that each bottle will have a similar taste. Climate's impact on the character of a wine can be significant enough to cause different vintages from the same vineyard to vary dramatically in flavor and quality. Thus, vintage wines are produced to be individually characteristic of the particular vintage and to serve as the flagship wines of the producer. Superior vintages from reputable producers and regions will often command much higher prices than their average ones. Some vintage wines (e.g. Brunello), are only made in better-than-average years. For consistency, non-vintage wines can be blended from more than one vintage, which helps wine-makers sustain a reliable market image and maintain sales even in bad years. One recent study suggests that for the average wine drinker, the vintage year may not be as significant for perceived quality as had been thought, although wine connoisseurs continue to place great importance on it. Tasting Wine tasting is the sensory examination and evaluation of wine. Wines contain many chemical compounds similar or identical to those in fruits, vegetables, and spices. The sweetness of wine is determined by the amount of residual sugar in the wine after fermentation, relative to the acidity present in the wine. Dry wine, for example, has only a small amount of residual sugar. Some wine labels suggest opening the bottle and letting the wine "breathe" for a couple of hours before serving, while others recommend drinking it immediately. Decanting (the act of pouring a wine into a special container just for breathing) is a controversial subject among wine enthusiasts. In addition to aeration, decanting with a filter allows the removal of bitter sediments that may have formed in the wine. Sediment is more common in older bottles, but aeration may benefit younger wines. During aeration, a younger wine's exposure to air often "relaxes" the drink, making it smoother and better integrated in aroma, texture, and flavor. Older wines generally fade (lose their character and flavor intensity) with extended aeration. Despite these general rules, breathing does not necessarily benefit all wines. Wine may be tasted as soon as the bottle is opened to determine how long it should be aerated, if at all. When tasting wine, individual flavors may also be detected, due to the complex mix of organic molecules (e.g. esters and terpenes) that grape juice and wine can contain. Experienced tasters can distinguish between flavors characteristic of a specific grape and flavors that result from other factors in wine-making. Typical intentional flavor elements in wine—chocolate, vanilla, or coffee—are those imparted by aging in oak casks rather than the grape itself. Vertical and horizontal tasting involves a range of vintages within the same grape and vineyard, or the latter in which there is one vintage from multiple vineyards. "Banana" flavors (isoamyl acetate) are the product of yeast metabolism, as are spoilage aromas such as "medicinal" or "Band-Aid" (4-ethylphenol), "spicy" or "smoky" (4-ethylguaiacol), and rotten egg (hydrogen sulfide). Some varieties can also exhibit a mineral flavor due to the presence of water-soluble salts as a result of limestone's presence in the vineyard's soil. Wine aroma comes from volatile compounds released into the air. Vaporization of these compounds can be accelerated by twirling the wine glass or serving at room temperature. Many drinkers prefer to chill red wines that are already highly aromatic, like Chinon and Beaujolais. The ideal temperature for serving a particular wine is a matter of debate by wine enthusiasts and sommeliers, but some broad guidelines have emerged that will generally enhance the experience of tasting certain common wines. White wine should foster a sense of coolness, achieved by serving at "cellar temperature" (). Light red wines drunk young should also be brought to the table at this temperature, where they will quickly rise a few degrees. Red wines are generally perceived best when served chambré ("at room temperature"). However, this does not mean the temperature of the dining room—often around —but rather the coolest room in the house and, therefore, always slightly cooler than the dining room itself. Pinot noir should be brought to the table for serving at and will reach its full bouquet at . Cabernet Sauvignon, zinfandel, and Rhone varieties should be served at and allowed to warm on the table to for best aroma. Collecting Outstanding vintages from the best vineyards may sell for thousands of dollars per bottle, though the broader term "fine wine" covers those typically retailing in excess of US$30–50. "Investment wines" are considered by some to be Veblen goods: those for which demand increases rather than decreases as their prices rise. Particular selections such as "Verticals", which span multiple vintages of a specific grape and vineyard, may be highly valued. The most notable was a Château d'Yquem 135-year vertical containing every vintage from 1860 to 2003 sold for $1.5 million. The most common wines purchased for investment include those from Bordeaux and Burgundy; cult wines from Europe and elsewhere; and vintage port. Characteristics of highly collectible wines include: A proven track record of holding well over time A drinking-window plateau (i.e., the period for maturity and approachability) that is many years long A consensus among experts as to the quality of the wines Rigorous production methods at every stage, including grape selection and appropriate barrel aging Investment in fine wine has attracted those who take advantage of their victims' relative ignorance of this wine market sector. Such wine fraudsters often profit by charging excessively high prices for off-vintage or lower-status wines from well-known wine regions, while claiming that they are offering a sound investment unaffected by economic cycles. As with any investment, thorough research is essential to making an informed decision. Production * May include official, semi-official or estimated data. Wine grapes grow almost exclusively between 30 and 50 degrees latitude north and south of the equator. The world's southernmost vineyards are in the Central Otago region of New Zealand's South Island near the 45th parallel south, and the northernmost are in Flen, Sweden, just north of the 59th parallel north. Exporting countries * May include official, semi-official or estimated data. The UK was the world's largest importer of wine in 2007. Consumption Wine-consumption data from a list of countries by alcohol consumption measured in liters of pure ethyl alcohol consumed per capita in a given year, according to the most recent data from the World Health Organization. The methodology includes persons 15 years of age or older. About 40% of individuals above the legal drinking age consider themselves "wine drinkers", which is higher than all other alcoholic beverages combined (34%) and those who do not drink at all (26%). Culinary uses Wine is a popular and important drink that accompanies and enhances a wide range of cuisines, from the simple and traditional stews to the most sophisticated and complex haute cuisines. Wine is often served with dinner. Sweet dessert wines may be served with the dessert course. In fine restaurants in Western countries, wine typically accompanies dinner. At a restaurant, patrons are helped to make good food-wine pairings by the restaurant's sommelier or wine waiter. Individuals dining at home may use wine guides to help make food–wine pairings. Wine is also drunk without the accompaniment of a meal in wine bars or with a selection of cheeses (at a wine and cheese party). Wines are also used as a theme for organizing various events such as festivals around the world; the city of Kuopio in North Savonia, Finland is known for its annual Kuopio Wine Festivals (Kuopion viinijuhlat). Wine is important in cuisine not just for its value as a drink, but as a flavor agent, primarily in stocks and braising, since its acidity lends balance to rich savory or sweet dishes. Wine sauce is an example of a culinary sauce that uses wine as a primary ingredient. Natural wines may exhibit a broad range of alcohol content, from below 9% to above 16% ABV, with most wines being in the 12.5–14.5% range. Fortified wines (usually with brandy) may contain 20% alcohol or more. Religious significance Ancient religions The use of wine in ancient Near Eastern and Ancient Egyptian religious ceremonies was common. Libations often included wine, and the religious mysteries of Dionysus used wine as a sacramental entheogen to induce a mind-altering state. Judaism Wine is an integral part of Jewish laws and traditions. The Kiddush is a blessing recited over wine or grape juice to sanctify the Shabbat. On Pesach (Passover) during the Seder, it is a Rabbinic obligation of adults to drink four cups of wine. In the Tabernacle and in the Temple in Jerusalem, the libation of wine was part of the sacrificial service. Note that this does not mean that wine is a symbol of blood, a common misconception that contributes to the Christian beliefs of the blood libel. "It has been one of history's cruel ironies that the blood libel—accusations against Jews using the blood of murdered gentile children for the making of wine and matzot—became the false pretext for numerous pogroms. And due | typically restrict the geographical origin and permitted varieties of grapes, as well as other aspects of wine production. Wines not made from grapes involve fermentation of other crops including rice wine and other fruit wines such as plum, cherry, pomegranate, currant and elderberry. Wine has been produced for thousands of years. The earliest evidence of wine is from ancient China ( BC), Georgia (6000 BC), Persia (5000 BC), and Italy (4000 BC). New World wine has some connection to alcoholic beverages made by the indigenous peoples of the Americas, but is mainly connected to later Spanish traditions in New Spain. Later, as Old World wine further developed viticulture techniques, Europe would encompass three of the largest wine-producing regions. Today, the five countries with the largest wine-producing regions are in Italy, Spain, France, the United States, and China. Wine has long played an important role in religion. Red wine was associated with blood by the ancient Egyptians and was used by both the Greek cult of Dionysus and the Romans in their Bacchanalia; Judaism also incorporates it in the Kiddush, and Christianity in the Eucharist. Egyptian, Greek, Roman, and Israeli wine cultures are still connected to these ancient roots. Similarly the largest wine regions in Italy, Spain, and France have heritages in connection to sacramental wine, likewise, viticulture traditions in the Southwestern United States started within New Spain as Catholic friars and monks first produced wines in New Mexico and California. History The earliest known traces of wine are from Georgia ( BC), Iran (Persia) ( BC), and Sicily ( BC). Wine reached the Balkans by 4500 BC and was consumed and celebrated in ancient Greece, Thrace and Rome. Throughout history, wine has been consumed for its intoxicating effects. The earliest archaeological and archaeobotanical evidence for grape wine and viniculture, dating to 6000–5800 BC was found on the territory of modern Georgia. Both archaeological and genetic evidence suggest that the earliest production of wine elsewhere was relatively later, likely having taken place in the Southern Caucasus (which encompasses Armenia, Georgia and Azerbaijan), or the West Asian region between Eastern Turkey, and northern Iran. The earliest evidence of a grape and rice mixed based fermented drink was found in ancient China ( BC), earliest evidence of wine in Georgia from 6000 BC, Iran from 5000 BC, and Sicily from 4000 BC. The earliest known wineries from 4100 BC is the Areni-1 winery in Armenia. A 2003 report by archaeologists indicates a possibility that grapes were mixed with rice to produce mixed fermented drinks in ancient China in the early years of the seventh millennium BC. Pottery jars from the Neolithic site of Jiahu, Henan, contained traces of tartaric acid and other organic compounds commonly found in wine. However, other fruits indigenous to the region, such as hawthorn, cannot be ruled out. If these drinks, which seem to be the precursors of rice wine, included grapes rather than other fruits, they would have been any of the several dozen indigenous wild species in China, rather than Vitis vinifera, which was introduced 6000 years later. The spread of wine culture westwards was most probably due to the Phoenicians who spread outward from a base of city-states along the Mediterranean coast centered around modern day Lebanon (as well as including small parts of Israel/Palestine and coastal Syria). The wines of Byblos were exported to Egypt during the Old Kingdom and then throughout the Mediterranean. Evidence includes two Phoenician shipwrecks from 750 BC discovered by Robert Ballard, whose cargo of wine was still intact. As the first great traders in wine (cherem), the Phoenicians seem to have protected it from oxidation with a layer of olive oil, followed by a seal of pinewood and resin, similar to retsina. Although the Nuragic culture in Sardinia already had a custom of consuming wine before the arrival of the Phoenicians. The earliest remains of Apadana Palace in Persepolis dating back to 515 BC include carvings depicting soldiers from Achaemenid Empire subject nations bringing gifts to the Achaemenid king, among them Armenians bringing their famous wine. Literary references to wine are abundant in Homer (8th century BC, but possibly relating earlier compositions), Alkman (7th century BC), and others. In ancient Egypt, six of 36 wine amphoras were found in the tomb of King Tutankhamun bearing the name "Kha'y", a royal chief vintner. Five of these amphoras were designated as originating from the king's personal estate, with the sixth from the estate of the royal house of Aten. Traces of wine have also been found in central Asian Xinjiang in modern-day China, dating from the second and first millennia BC. The first known mention of grape-based wines in India is from the late 4th-century BC writings of Chanakya, the chief minister of Emperor Chandragupta Maurya. In his writings, Chanakya condemns the use of alcohol while chronicling the emperor and his court's frequent indulgence of a style of wine known as madhu. The ancient Romans planted vineyards near garrison towns so wine could be produced locally rather than shipped over long distances. Some of these areas are now world-renowned for wine production. The Romans discovered that burning sulfur candles inside empty wine vessels kept them fresh and free from a vinegar smell. In medieval Europe, the Roman Catholic Church supported wine because the clergy required it for the Mass. Monks in France made wine for years, aging it in caves. An old English recipe that survived in various forms until the 19th century calls for refining white wine from bastard—bad or tainted bastardo wine. Later, the descendants of the sacramental wine were refined for a more palatable taste. This gave rise to modern viticulture in French wine, Italian wine, Spanish wine, and these wine grape traditions were brought into New World wine. For example, Mission grapes were brought by Franciscan monks to New Mexico in 1628 beginning the New Mexico wine heritage, these grapes were also brought to California which started the California wine industry. Thanks to Spanish wine culture, these two regions eventually evolved into the oldest and largest producers, respectively, of wine of the United States. Viking sagas earlier mentioned a fantastic land filled with wild grapes and high-quality wine called precisely Vinland. Prior to the Spanish establishing their American wine grape traditions in California and New Mexico, both France and Britain had unsuccessfully attempted to establish grapevines in Florida and Virginia respectively. Etymology The English word "wine" comes from the Proto-Germanic *winam, an early borrowing from the Latin vinum, Georgian ღვინო, "wine" or "(grape) vine", itself derived from the Proto-Indo-European stem *win-o- (cf. , gini; Ancient Greek: oinos; Aeolic Greek: woinos; Hittite: wiyana; Lycian: oino). The earliest attested terms referring to wine are the Mycenaean Greek me-tu-wo ne-wo (*), meaning "in (the month)" or "(festival) of the new wine", and wo-no-wa-ti-si, meaning "wine garden", written in Linear B inscriptions. Linear B also includes, inter alia, an ideogram for wine, i.e. . The ultimate Indo-European origin of the word is the subject of some continued debate. Some scholars have noted the similarities between the words for wine in Indo-European languages (e.g. Armenian gini, Latin vinum, Ancient Greek οἶνος, Russian вино ), Kartvelian (e.g. Georgian ღვინო ), and Semitic (*wayn; Hebrew יין ), pointing to the possibility of a common origin of the word denoting "wine" in these language families. The Georgian word goes back to Proto-Kartvelian *ɣwino-, which is either a borrowing from Proto-Indo-European or the lexeme was specifically borrowed from Proto-Armenian *ɣʷeinyo-, whence Armenian gini. An alternate hypothesis by Fähnrich supposes *ɣwino-, a native Kartvelian word derived from the verbal root *ɣun- ('to bend'). See *ɣwino- for more. All these theories place the origin of the word in the same geographical location, South Caucasus, that has been established based on archeological and biomolecular studies as the origin of viticulture. Styles Wine is made in many ways from different fruits, with grapes being the most common. From grapes The type of grape used and the amount of skin contact while the juice is being extracted determines the color and general style of the wine. The color has no relation to a wine's sweetness—all may be made sweet or dry. Red Red wine gains its color and flavor (notably, tannins) from the grape skin, by allowing the grapes to soak in the extracted juice. Red wine is made from dark-colored red grape varieties. The actual color of the wine can range from violet, typical of young wines, through red for mature wines, to brown for older red wines. The juice from most red grapes is actually greenish-white; the red color comes from anthocyanins present in the skin of the grape. A notable exception is the family of rare teinturier varieties, which actually have red flesh and produce red juice. White To make white wine, grapes are pressed quickly with the juice immediately drained away from the grape skins. The grapes used are typically white grape varieties, though red grapes may be used if the winemaker is careful not to let the skin stain the wort during the separation of the pulp-juice. For example, pinot noir (a red grape) is commonly used in champagne. Dry (low sugar) white wine is the most common, derived from the complete fermentation of the juice, however sweet white wines such as Moscato d'Asti are also made. Rosé A rosé wine gains color from red grape skins, but not enough to qualify it as a red wine. It may be the oldest known type of wine, as it is the most straightforward to make with the skin contact method. The color can range from a pale orange to a vivid near-purple, depending on the varietals used and wine-making techniques. There are three primary ways to produce rosé wine: Skin contact (allowing dark grape skins to stain the wort), saignée (removing juice from the must early in fermentation and continuing fermentation of the juice separately), and blending of a red and white wine (uncommon and discouraged in most wine growing regions). Rosé wines have a wide range of sweetness levels from dry Provençal rosé to sweet White Zinfandels and blushes. Rosé wines are made from a wide variety of grapes all over the world. Orange Sometimes called amber wines, these are wines made with white grapes but with the skins allowed to soak during pressing, similar to red and rosé wine production. They are notably tannic, and usually made dry. Sparkling These are effervescent wines, made in any of the above styles (ie, orange, red, rosé, white). They must undergo secondary fermentation to create carbon dioxide, which creates the bubbles. Two common methods of accomplishing this are the traditional method, used for Cava, Champagne, and more expensive sparkling wines, and the Charmat method, used for Prosecco, Asti, and less expensive wines. A hybrid transfer method is also used, yielding intermediate results, and simple addition of carbon dioxide is used in the cheapest of wines. The bottles used for sparkling wine must be thick to withstand the pressure of the gas behind the cork, which can be up to . Dessert This refers to sweet wines that have a high level of sugar remaining after fermentation. There are various ways of increasing the amount of sugar in a wine, yielding products with different strengths and names. Icewine, Port, Sauternes, Tokaji Aszú, Trockenbeerenauslese, and Vin Santo are some examples. From other fruits and foods Fruit Wines from other fruits, such as apples and berries, are usually named after the fruit from which they are produced, and combined with the word "wine" (for |
"Pro") and a fan guest of honor. Many conventions also have artist, editor, and science guests, and most have a toastmaster for major events, such as the opening and closing ceremonies and the Hugo award ceremony. A few conventions have had two or even three author guests. While other conventions may select guests on the basis of current popularity, Worldcons typically select guests of honor as an acknowledgement of significant lifetime contribution to the field; while these are often well-known figures, some committees choose lesser-known figures precisely because the committee feels the guest's accomplishments deserve more recognition from the community. Selection is treated by authors, fans, and others as a recognition of lifetime achievement. As such, the tradition is to award it only to those who have been making significant contributions for at least 20 years. Guests of honor generally receive travel expenses, membership, and a small per diem from the convention, but no speaking fees. In order to announce guests immediately after site selection, Worldcon bid committees select one or more guests before the site selection vote. Fans consider it inappropriate for bids to compete on the basis of their chosen guests (so as to avoid having someone chosen by a losing bid feeling that fandom had voted against them personally), so bids do not reveal who their guests are until after the vote, and losing bids generally never reveal who they invited. This is usually treated with the same discretion as the Hugo Awards, where only a few people might know in advance who the guests will be. World Science Fiction Society The name "Worldcon" is owned by the World Science Fiction Society (WSFS), an unincorporated literary society whose purpose is to promote interest in science fiction. WSFS has no standing officers, only small standing committees, and a large membership composed of the members of the current Worldcon. Its main activities are running the selection (voting) process for the annual convention and various awards. The conventions themselves are run by non-profit, volunteer fan organizations, who bid to host the event. The WSFS constitution itself is discussed and amended by the annual general meeting, known as the "business meeting", held at the Worldcon, usually as three morning sessions on successive days. All attending members of the Worldcon may attend, participate, and vote at the Business Meeting, although in practice only a small number of the members actually do so. The WSFS constitution includes rules for site selection, for the Hugo Awards, and for amending itself. The business meeting also empanels a number of ad hoc committees to deal with review of amendments and with certain administrative functions. The only permanent ("standing") committee of WSFS (as opposed to the Business Meeting) is the Mark Protection Committee (MPC), which is responsible for maintaining the society's trademarks and domain names. Site selection Historically, most Worldcons were held in the USA; however, beginning in the later part of the 20th century an increasing number of them have been hosted in other countries. In 2017, the 75th World Science Fiction Convention ("Worldcon 75") was held in Helsinki, Finland; the 2018 Worldcon was held in San Jose, California, and the 2019 Worldcon was held in Dublin. The 2020 Worldcon was scheduled to be in New Zealand; however, due to the COVID-19 pandemic, it was a virtual event (accessed by internet only). The first Worldcon to be held outside the US was the sixth, in 1948 in Toronto, Ontario, Canada, and the first outside North America was the 15th World Science Fiction Convention, in 1957 in Bayswater, London. The 2007 Worldcon in Yokohama, Japan, was the first to be held in Asia. Other non-US Worldcons held in the 21st century have included the 2003 Worldcon in Toronto, Ontario, Canada, the 2005 Worldcon, held in Glasgow, Scotland; the 2009 Worldcon, in Montreal, Quebec, Canada; the 2010 Worldcon, in Melbourne, Australia; the 2014 Worldcon, in London, United Kingdom and the 2017 Worldcon, in Helsinki, Finland. Sites for future Worldcons are determined by voting of the Worldcon membership. Worldcons through 1970 were selected one year in advance, from 1971 through 1986 two years in advance, from 1987 to 2007, three years in advance, then from 2008 to the present, two years in advance again. For example, during the 2011 Worldcon in Reno, San Antonio was selected to host the 2013 Worldcon. The rules changes to lengthen or shorten the period were | WSFS constitution includes rules for site selection, for the Hugo Awards, and for amending itself. The business meeting also empanels a number of ad hoc committees to deal with review of amendments and with certain administrative functions. The only permanent ("standing") committee of WSFS (as opposed to the Business Meeting) is the Mark Protection Committee (MPC), which is responsible for maintaining the society's trademarks and domain names. Site selection Historically, most Worldcons were held in the USA; however, beginning in the later part of the 20th century an increasing number of them have been hosted in other countries. In 2017, the 75th World Science Fiction Convention ("Worldcon 75") was held in Helsinki, Finland; the 2018 Worldcon was held in San Jose, California, and the 2019 Worldcon was held in Dublin. The 2020 Worldcon was scheduled to be in New Zealand; however, due to the COVID-19 pandemic, it was a virtual event (accessed by internet only). The first Worldcon to be held outside the US was the sixth, in 1948 in Toronto, Ontario, Canada, and the first outside North America was the 15th World Science Fiction Convention, in 1957 in Bayswater, London. The 2007 Worldcon in Yokohama, Japan, was the first to be held in Asia. Other non-US Worldcons held in the 21st century have included the 2003 Worldcon in Toronto, Ontario, Canada, the 2005 Worldcon, held in Glasgow, Scotland; the 2009 Worldcon, in Montreal, Quebec, Canada; the 2010 Worldcon, in Melbourne, Australia; the 2014 Worldcon, in London, United Kingdom and the 2017 Worldcon, in Helsinki, Finland. Sites for future Worldcons are determined by voting of the Worldcon membership. Worldcons through 1970 were selected one year in advance, from 1971 through 1986 two years in advance, from 1987 to 2007, three years in advance, then from 2008 to the present, two years in advance again. For example, during the 2011 Worldcon in Reno, San Antonio was selected to host the 2013 Worldcon. The rules changes to lengthen or shorten the period were implemented by selecting two future Worldcons at the 1969 and 1984 conventions and by having the 2005 convention not select any. To ensure that the Worldcon is relocated to different locations, the WSFS constitution requires that the proposed sites must all be at least away from the site of the convention at which the selection vote happens. When a Worldcon is held outside of North America, a North American Science Fiction Convention (NASFiC) may also be held within North America that same year. Since 1975, whenever a Worldcon site outside North America is selected, WSFS administers a parallel site selection process for the NASFiC, voted on by WSFS members at the Worldcon (or NASFiC if there is one) held one year prior to the prospective NASFiC. With the 2014 Worldcon being held in the United Kingdom, members at the 2013 Worldcon in San Antonio chose Detroit to be the site of the 2014 NASFiC and Spokane, Washington, as the site of the 2015 Worldcon. In 2020, The 78th Worldcon was held in Wellington, New Zealand. However, due to the COVID-19 pandemic, organizers announced during March 2020 that it would be a "virtual" con with attendees and panelists using video technologies to participate. In 2021, The 79th Worldcon will take place in Washington, D.C. In 2022, the 80th Worldcon will be held in Chicago, Illinois. This was announced at the 2020 Worldcon, chosen by the members of the 78th Worldcon. Jeddah, Saudi Arabia was the other competing site. A group of writers and officers of the Worldcon have signed an open letter against Saudi Arabia's bid to host the 2022 World Science Fiction Convention, citing human rights abuses and discriminatory laws. sites bidding for 2023 are Cheng-du, China and Winnipeg, Manitoba, Canada. Bidding for 2024 is Glasgow, Scotland. Bidding for 2025 are Brisbane, Australia and Seattle, Washington, USA. Jeddah, Saudi Arabia has reasserted its bid for 2026. Convention committees As WSFS itself is an unincorporated society, each Worldcon is organized by a separate committee (usually) legally incorporated in the local jurisdiction; in the United States, these are usually organized as 501(c)(3) non-profit corporations, while in the United Kingdom, they are usually operated by companies limited by guarantee. The local organizers may be standalone, one-time committees (organized to hold the one event and then disbanded afterwards), or they may be organized by an existing local group. A few groups, such as MCFI in Boston, SFSFC (San Francisco Science Fiction Conventions, Inc.) in northern California, and SCIFI (Southern California Institute for Fan Interests Inc.) in southern California are permanent corporations established to manage Worldcons (or other one-off or rotating conventions) in different years in the same geographical area. Like most non-media science fiction conventions, all Worldcons are managed entirely by volunteers, with no paid staff. Senior committee members typically devote hundreds of hours (not to mention thousands of dollars in travel expenses in some cases) in preparation for a particular convention. While each convention is managed separately by the local committee, an informal and self-selected group of volunteers constitute the "Permanent Floating Worldcon Committee" who volunteer for many Worldcons in different years; this group offers a measure of institutional continuity to otherwise disparate legal organizations. Recent Worldcons have had budgets running in excess of a million dollars. The main source of revenue is convention membership, but Worldcons also collect fees from exhibiting dealers and artists and advertisers in publications, and some conventions manage to attract sponsorships of as much as 5% of total income. The main expenses are facilities rental and related costs, then (if possible) membership reimbursements to program participants and volunteers, then publications, audiovisual equipment rental, and hospitality. Traditionally, all members (except for guests of honor) must pay for their membership; if the convention makes an adequate surplus after covering operating expenses, full or partial membership reimbursements are paid back to volunteers after the convention. Most Worldcons have a small surplus, which the rules of WSFS suggest be disbursed "for the benefit of WSFS as a whole;" typically at least half of any surplus is donated to future Worldcons, a tradition termed "pass-along funds". Because of their size, Worldcons have two layers of management between the chairperson and the staff. "Departments" operate a specific convention function, while "divisions" coordinate the work of several departments. Department heads (sometimes called "area heads") have one or more deputies plus a large staff, or they may have |
Most logographic systems have a strong syllabic component. Ethiopic, though technically an abugida, has fused consonants and vowels together to the point where it is learned as if it were a syllabary. Alphabets An alphabet is a set of symbols, each of which represents or historically represented a phoneme of the language. In a perfectly phonological alphabet, the phonemes and letters would correspond perfectly in two directions: a writer could predict the spelling of a word given its pronunciation, and a speaker could predict the pronunciation of a word given its spelling. As languages often evolve independently of their writing systems, and writing systems have been borrowed for languages they were not designed for, the degree to which letters of an alphabet correspond to phonemes of a language varies greatly from one language to another and even within a single language. Abjads In most of the writing systems of the Middle East, it is usually only the consonants of a word that are written, although vowels may be indicated by the addition of various diacritical marks. Writing systems based primarily on marking the consonant phonemes alone date back to the hieroglyphs of ancient Egypt. Such systems are called abjads, derived from the Arabic word for "alphabet". Abugidas In most of the alphabets of India and Southeast Asia, vowels are indicated through diacritics or modification of the shape of the consonant. These are called abugidas. Some abugidas, such as Ethiopic and Cree, are learned by children as syllabaries, and so are often called "syllabics". However, unlike true syllabaries, there is not an independent glyph for each syllable. Sometimes the term "alphabet" is restricted to systems with separate letters for consonants and vowels, such as the Latin alphabet, although abugidas and abjads may also be accepted as alphabets. Because of this use, Greek is often considered to be the first alphabet. Featural scripts A featural script notates in an internally consistent way the building blocks of the phonemes that make up a language. For instance, all sounds pronounced with the lips ("labial" sounds) may have some element in common. In the Latin alphabet, this is accidentally the case with the letters "b" and "p"; however, labial "m" is completely dissimilar, and the similar-looking "q" and "d" are not labial. In Korean hangul, however, all four labial consonants are based on the same basic element, but in practice, Korean is learned by children as an ordinary alphabet, and the featural elements tend to pass unnoticed. Another featural script is SignWriting, the most popular writing system for many sign languages, where the shapes and movements of the hands and face are represented iconically. Featural scripts are also common in fictional or invented systems, such as J.R.R. Tolkien's Tengwar. Tools and materials The many tools and writing materials used throughout history include stone tablets, clay tablets, bamboo slats, papyrus, wax tablets, vellum, parchment, paper, copperplate, styluses, quills, ink brushes, pencils, pens, and many styles of lithography. The Incas used knotted cords known as quipu (or khipu) for keeping records. The typewriter and various forms of word processors have subsequently become widespread writing tools, and various studies have compared the ways in which writers have framed the experience of writing with such tools as compared with the pen or pencil. History Mesoamerica A stone slab with 3,000-year-old writing, known as the Cascajal Block, was discovered in the Mexican state of Veracruz and is an example of the oldest script in the Western Hemisphere, preceding the oldest Zapotec writing by approximately 500 years. It is thought to be Olmec. Of several pre-Columbian scripts in Mesoamerica, the one that appears to have been best developed, and the only one to be deciphered, is the Maya script. The earliest inscription identified as Maya dates to the 3rd century BC. Maya writing used logograms complemented by a set of syllabic glyphs, somewhat similar in function to modern Japanese writing. Central Asia In 2001, archaeologists discovered that there was a civilization in Central Asia that used writing c. 2000 BC. An excavation near Ashgabat, the capital of Turkmenistan, revealed an inscription on a piece of stone that was used as a stamp seal. China The earliest surviving examples of writing in China—inscriptions on so-called "oracle bones", tortoise plastrons and ox scapulae used for divination—date from around 1200 BC in the late Shang dynasty. A small number of bronze inscriptions from the same period have also survived. Historians have found that the type of media used had an effect on what the writing was documenting and how it was used. In 2003, archaeologists reported discoveries of isolated tortoise-shell carvings dating back to the 7th millennium BC, but whether or not these symbols are related to the characters of the later oracle-bone script is disputed. Egypt The earliest known hieroglyphs date back to the second half of the 4th millennium BC, such as the clay labels of a Predynastic ruler called "Scorpion I" (Naqada IIIA period, c. 32nd century BC) recovered at Abydos (modern Umm el-Qa'ab) in 1998 or the Narmer Palette, dating to c. 3100 BC, and several recent discoveries that may be slightly older, though these glyphs were based on a much older artistic rather than written tradition. The hieroglyphic script was logographic with phonetic adjuncts that included an effective alphabet. The world's oldest deciphered sentence was found on a seal impression found in the tomb of Seth-Peribsen at Umm el-Qa'ab, which dates from the Second Dynasty (28th or 27th century BC). There are around 800 hieroglyphs dating back to the Old Kingdom, Middle Kingdom and New Kingdom Eras. By the Greco-Roman period, there are more than 5,000. Writing was very important in maintaining the Egyptian empire, and literacy was concentrated among an educated elite of scribes. Only people from certain backgrounds were allowed to train to become scribes, in the service of temple, pharaonic, and military authorities, resulting in only 1 percent of the population that could write. The hieroglyph system was always difficult to learn, but in later centuries was purposely made even more so, as this preserved the scribes' status. The world's oldest known alphabet appears to have been developed by Canaanite turquoise miners in the Sinai desert around the mid-19th century BC. Around 30 crude inscriptions have been found at a mountainous Egyptian mining site known as Serabit el-Khadem. This site was also home to a temple of Hathor, the "Mistress of turquoise". A later, two line inscription has also been found at Wadi el-Hol in Central Egypt. Based on hieroglyphic prototypes, but also including entirely new symbols, each sign apparently stood for a consonant rather than a word: the basis of an alphabetic system. It was not until the 12th to 9th centuries, however, that the alphabet took hold and became widely used. Elamite scripts Over the centuries, three distinct Elamite scripts developed. Proto-Elamite is the oldest known writing system from Iran. In use only for a brief time (c. 3200–2900 BC), clay tablets with Proto-Elamite writing have been found at different sites across Iran. The Proto-Elamite script is thought to have developed from early cuneiform (proto-cuneiform). The Proto-Elamite script consists of more than 1,000 signs and is thought to be partly logographic. Linear Elamite is a writing system attested in a few monumental inscriptions in Iran. It was used for a very brief period during the last quarter of the 3rd millennium BC. It is often claimed that Linear Elamite is a syllabic writing system derived from Proto-Elamite, although this cannot be proven since Linear-Elamite has not been deciphered. Several scholars have attempted to decipher the script, most notably Walther Hinz and Piero Meriggi. The Elamite cuneiform script was used from about 2500 to 331 BC, and was adapted from the Akkadian cuneiform. The Elamite cuneiform script consisted of about 130 symbols, far fewer than most other cuneiform scripts. Cretan and Greek scripts Cretan hieroglyphs are found on artifacts of Crete (early-to-mid-2nd millennium BC, MM I to MM III, overlapping with Linear A from MM IIA at the earliest). Linear B, the writing system of the Mycenaean Greeks, has been deciphered while Linear A has yet to be deciphered. The sequence and the geographical spread of the three overlapping, but distinct writing systems can be summarized as follows (beginning date refers to first attestations, the assumed origins of all scripts lie further back in the past): Cretan hieroglyphs were used in Crete from c. 1625 to 1500 BC; Linear A was used in the Aegean Islands (Kea, Kythera, Melos, Thera), and the Greek mainland (Laconia) from c. 18th century to 1450 BC; and Linear B was used in Crete (Knossos), and mainland (Pylos, Mycenae, Thebes, Tiryns) from c. 1375 to 1200 BC. Indus Valley Indus script refers to short strings of symbols associated with the Indus Valley Civilization (which spanned modern-day Pakistan and North India) used between 2600 and 1900 BC. In spite of many attempts at decipherments and claims, it is as yet undeciphered. The term 'Indus script' is mainly applied to that used in the mature Harappan phase, which perhaps evolved from a few signs found in early Harappa after 3500 BC, and was followed by the mature Harappan script. The script is written from right to left, and sometimes follows a boustrophedonic style. Since the number of principal signs is about 400–600, midway between typical logographic and syllabic scripts, many scholars accept the script to be logo-syllabic | lists of texts deemed to contain foundational knowledge (e.g., The Canon of Medicine) or to be artistically exceptional (e.g., a literary canon), organizing and governing societies through the formation of legal systems, census records, contracts, deeds of ownership, taxation, trade agreements, treaties, and so on. Amateur historians, including H.G. Wells, had speculated since the early 20th century on the likely correspondence between the emergence of systems of writing and the development of city-states into empires. As Charles Bazerman explains, the "marking of signs on stones, clay, paper, and now digital memories—each more portable and rapidly traveling than the previous—provided means for increasingly coordinated and extended action as well as memory across larger groups of people over time and space." For example, around the 4th millennium BC, the complexity of trade and administration in Mesopotamia outgrew human memory, and writing became a more dependable method of recording and presenting transactions in a permanent form. In both ancient Egypt and Mesoamerica, on the other hand, writing may have evolved through calendric and political necessities for recording historical and environmental events. Further innovations included more uniform, predictable, and widely dispersed legal systems, distribution and discussion of accessible versions of sacred texts, and the origins of modern practices of scientific inquiry and knowledge-consolidation, all largely reliant on portable and easily reproducible forms of inscribed language. Individual, as opposed to collective, motivations for writing include improvised additional capacity for the limitations of human memory (e.g., to-do lists, recipes, reminders, logbooks, maps, the proper sequence for a complicated task or important ritual), dissemination of ideas (as in an essay, monograph, broadside, petition, or manifesto), imaginative narratives and other forms of storytelling, personal or business correspondence, and lifewriting (e.g., a diary or journal). The nearly global spread of digital communication systems such as e-mail and social media has made writing an increasingly important feature of daily life, where these systems mix with older technologies like paper, pencils, whiteboards, printers, and copiers. Substantial amounts of everyday writing characterize most workplaces in developed countries. While the work-product of some occupations is nearly exclusively writing of some sort: law, accounting, software-design, human-resources, etc., elsewhere routine workflows (maintaining records, reporting incidents, record-keeping, inventory-tracking, documenting sales, accounting for time, fielding inquiries from clients, etc.) have most employees writing at least some of the time. Writing systems The major writing systems—methods of inscription—broadly fall into five categories: logographic, syllabic, alphabetic, featural, and ideographic (symbols for ideas). A sixth category, pictographic or symbols, is insufficient to represent language on its own, but often forms the core of logographies. Logographies A logogram is a written character which represents a word or morpheme. A vast number of logograms are needed to write Chinese characters, cuneiform, and Mayan, where a glyph may stand for a morpheme, a syllable, or both—("logoconsonantal" in the case of hieroglyphs). Many logograms have an ideographic component (Chinese "radicals", hieroglyphic "determiners"). For example, in Mayan, the glyph for "fin", pronounced "ka", was also used to represent the syllable "ka" whenever the pronunciation of a logogram needed to be indicated, or when there was no logogram. In Chinese, about 90% of characters are compounds of a semantic (meaning) element called a radical with an existing character to indicate the pronunciation, called a phonetic. However, such phonetic elements complement the logographic elements, rather than vice versa. The main logographic system in use today is Chinese characters, used with some modification for the various languages or dialects of China, Japan, and sometimes in Korean despite the fact that in South and North Korea, the phonetic Hangul system is mainly used. Syllabaries A syllabary is a set of written symbols that represent (or approximate) syllables. A glyph in a syllabary typically represents a consonant followed by a vowel, or just a vowel alone, though in some scripts more complex syllables (such as consonant-vowel-consonant, or consonant-consonant-vowel) may have dedicated glyphs. Phonetically related syllables are not so indicated in the script. For instance, the syllable "ka" may look nothing like the syllable "ki", nor will syllables with the same vowels be similar. Syllabaries are best suited to languages with a relatively simple syllable structure, such as Japanese. Other languages that use syllabic writing include the Linear B script for Mycenaean Greek; Sequoyan, Ndjuka, an English-based creole language of Surinam; and the Vai script of Liberia. Most logographic systems have a strong syllabic component. Ethiopic, though technically an abugida, has fused consonants and vowels together to the point where it is learned as if it were a syllabary. Alphabets An alphabet is a set of symbols, each of which represents or historically represented a phoneme of the language. In a perfectly phonological alphabet, the phonemes and letters would correspond perfectly in two directions: a writer could predict the spelling of a word given its pronunciation, and a speaker could predict the pronunciation of a word given its spelling. As languages often evolve independently of their writing systems, and writing systems have been borrowed for languages they were not designed for, the degree to which letters of an alphabet correspond to phonemes of a language varies greatly from one language to another and even within a single language. Abjads In most of the writing systems of the Middle East, it is usually only the consonants of a word that are written, although vowels may be indicated by the addition of various diacritical marks. Writing systems based primarily on marking the consonant phonemes alone date back to the hieroglyphs of ancient Egypt. Such systems are called abjads, derived from the Arabic word for "alphabet". Abugidas In most of the alphabets of India and Southeast Asia, vowels are indicated through diacritics or modification of the shape of the consonant. These are called abugidas. Some abugidas, such as Ethiopic and Cree, are learned by children as syllabaries, and so are often called "syllabics". However, unlike true syllabaries, there is not an independent glyph for each syllable. Sometimes the term "alphabet" is restricted to systems with separate letters for consonants and vowels, such as the Latin alphabet, although abugidas and abjads may also be accepted as alphabets. Because of this use, Greek is often considered to be the first alphabet. Featural scripts A featural script notates in an internally consistent way the building blocks of the phonemes that |
film with Anthony LaPaglia Winter Solstice: North (album), a 1999 album by British experimental music group Coil Winter Solstice, a 2000 novel by Rosamunde Pilcher Winter Solstice, a two-part German-produced TV film from 2003 based on the novel with Sinéad | the Northern Hemisphere June solstice in the Southern Hemisphere Winter solstice may also refer to: Winter Solstice (film), 2004 American film with Anthony LaPaglia Winter Solstice: North (album), a 1999 album by British experimental music group Coil Winter Solstice, a 2000 novel by Rosamunde Pilcher Winter |
(North), Whitehorse Cadet Summer Training Centre, service support elements of Joint Task Force (North), and is used by 1 Canadian Ranger Patrol Group, the Junior Canadian Rangers, and other units to conduct training. Boyle Barracks is located on the property of the unused Wolf Creek Juvenile Corrections Centre which is leased by the Department of National Defence from the Yukon Government. Whitehorse Cadet Summer Training Centre offers a variety of courses and activities that focus on general training, leadership, and expedition training up to the instructor level. Courses are two, three, and six weeks long and are offered throughout the summer. Personnel are drawn primarily from the territories, but many come from across Canada. The training centre also hosts members of the United Kingdom's Army Cadet Force and Combined Cadet Force. Education Whitehorse has several schools as part of a Yukon Government operated public school system. Except for École Émilie-Tremblay, Yukon does not have school boards. However, each school has a council composed of three to seven elected positions for two-year terms, consisting of (and elected by) citizens residing in the school's assigned area and parents of students attending the school. All teachers are employed directly by the Department of Education, and there are no tuition fees to be paid to attend elementary and secondary institutions with the exception of the Wood Street School, which offers specialized experiential programs for high school students in the sciences and arts. Yukon schools follow British Columbia's school curriculum. Primary education (K-3) Grey Mountain Primary Elementary education (K-7) Christ the King Elementary (Catholic) Elijah Smith Elementary Golden Horn Elementary Hidden Valley Elementary Holy Family Elementary (Catholic) Jack Hulland Elementary Selkirk Elementary (French and English Immersion) Takhini Elementary École Whitehorse Elementary (French and late French Immersion) Secondary education Vanier Catholic Secondary School (Catholic) F.H. Collins Secondary School (English and French Immersion) Porter Creek Secondary School French First Language school (K-12) École Émilie-Tremblay Specialized programs Wood St. School (programs are attended by students drawn from the high schools) Individual Learning Centre (for students who have had trouble in the regular school program and are not attending school) Post-secondary education Yukon University, offering mostly college diplomas and some university degrees through ties with various universities (Northern British Columbia, Alaska Southeast, UArctic, Regina, Alberta) Media Broadcast Radio Whitehorse is also served by CIY270, a Weatheradio Canada station broadcasting at 162.400 MHz on the weather band. Television Local cable provider NorthwesTel hosts three local television channels: Community Cable 9, an advertisement slide-show channel and a public service channel. CBC Television operated an affiliate in Whitehorse, CFWH-TV, from 1968 to 2012. Initially served using the Frontier Coverage Package until Anik satellite broadcasts became available early in 1973; this transmitter was shut down on July 31, 2012 due to budget cuts. Until 2009, there was a low-powered repeater of Edmonton's CITV-TV providing Global Television Network programming to the area.. Print Whitehorse's two major English-language newspapers are the Whitehorse Daily Star (founded as a weekly in 1900, it now publishes five times per week since 1986) and the Yukon News (founded as a weekly in 1960 by Ken Shortt, published five days a week from 1967 to 1999, and currently prints twice weekly). Other local newspapers include What's Up Yukon (a local free music, arts, culture, events, weekly founded in 2005) and a French-language newspaper L'Aurore boréale (founded in 1983). Infrastructure Emergency services Whitehorse contracts out its police service to the Royal Canadian Mounted Police, with the main police station on 4th avenue in the city centre. Whitehorse's ambulance service are run by Yukon Government's Emergency Medical Services and is staffed by full-time Primary Care Paramedics (PCP) and Advanced Care Paramedics (ACP). Whitehorse's Search and Rescue (SAR) is ensured by a partnership between the RCMP, YG's Emergency Measures Organization (EMO) and volunteer SAR teams. Whitehorse has its own fire service, known as City of Whitehorse Fire Department (WHFD) with two fire stations. The first, Station #1, located in the city centre at the corner of Second Avenue and Steele Street, and Station #2 (305 B Range Road) atop "Two Mile Hill" on the west side, with room for three trucks. It was built in 2010 to become a public safety building. The original fire hall located along on the waterfront has been preserved as a historic building and cultural centre. The Fire Department currently operates with thirty-three full-time staff and approximately ten volunteers. Both fire stations are staffed 24/7 through a rotation of four platoons of six firefighters and one dispatcher. WHFD is equipped and trained to respond to Motor vehicle Accidents, high and low angle rescue, confined space, and static water ice rescue. Haz-mat, swift water and urban search and rescue are not under the departments current capabilities or can only be responded to at awareness levels. All medical emergencies are responded to by Yukon Government Emergency Medical Services. All aircraft emergencies are dealt with by the Eric Nielsen Whitehorse International Airport(ENWIA) ARFF fire department with mutual aid agreement activities from WHFD. Whitehorse Fire Department is professionally represented by the IAFF and the BCPFFA. Whitehorse Fire Department is the largest municipal fire department in the territory and the only professional one. Though they are 13% of the total population of firefighters in the territory, WHFD protects 82% of the population, and responds to 84% of fire calls within the Yukon. WHFD falls under the authority of the Yukon Fire Marshals Office (FMO) and reports directly to it. Fire and life safety inspection throughout the City of Whitehorse are conducted by the Whitehorse Fire Department duty crews as well as designated Fire Prevention Officers under the direction of Municipal Bylaw 2000–01 "Emergency Services Bylaw" with authority from the current edition of the National Fire Code of Canada. Wildland fire crews also operate in the summer to combat the forest fires across the territory. They will lend assistance to crews in B.C., Alberta, and the other territories as needed. Energy grid Yukon Energy operates four conventional hydroelectric generating stations: Whitehorse Dam (40 MW), Aishihik Lake (37 MW), Mayo A (5 MW), and Mayo B (10 MW), which provide the bulk of generation for the Yukon Energy grid. An additional 39 MW of diesel generation is maintained for supplemental back-up. Additionally, Yukon Energy operates two wind turbines near Whitehorse, which are connected to the Whitehorse-Aishihik-Faro grid. The first turbine is a Bonus Energy 150 kW MARK III installed in 1993 that is no longer functional. The second turbine, a Vestas 660 kW V47 LT II was later installed in 2000 and operates only in the summer. These units need to be specially adapted to deal with icing and the northern environment. Health care The first "White Horse General Hospital" (WGH) was built in the downtown area in 1902 with a 10-bed capacity. During World War I beds increased to 30, 10 beds were added in 1943, then 20 beds in 1949, and an operating wing was added in 1951. In 1959 the hospital was rebuilt on the other bank of the Yukon River, across from its previous location, but decision making was still based in Ottawa (National Health and Welfare, Medical Services Branch). The downtown area has several private medical, dental, and optometry clinics. In 1990, the Yukon Hospital Corporation (YHC) was created in order to prepare the transfer of powers regarding the hospital from the Federal Government to the Yukon Territorial Government. In April 1993 management of WGH was officially transferred to the YHC following a collaboration with the Yukon government and Council of Yukon First Nations (CYFN, then CYI). Construction of the present building lasted from 1994 through 1997. Today Whitehorse General hospital counts 49 in-patient beds, 10 day-surgery beds, an ER department, OR suites and several medical imaging technologies. Transportation Air Whitehorse is served by the Erik Nielsen Whitehorse International Airport and has, as of 2019, scheduled service to Vancouver, Kelowna, Victoria, Calgary, Edmonton, Yellowknife, Ottawa (via Yellowknife), Dawson City, Mayo, Old Crow, Inuvik, as well as Frankfurt, Germany, during the summer months. The airport was developed as part of the Northwest Staging Route in 1941–42 and has two long paved runways. A wartime-era hangar served as terminal building from about 1960, and was replaced in December 1985 with a modern terminal. Air North, a scheduled passenger and cargo airline operating Boeing 737 jetliners and Hawker Siddeley 748 turboprops, is based in Whitehorse. In 1998 work was completed on a runway extension and other improvements (concrete turn button, installation of storm and sanitary mains, lighting upgrades, tower access road and blast pad). Expansion of the terminal itself was completed in 2010. Roads Surface access to Whitehorse is provided by a network of highways, including the international Alaska Highway connecting the Yukon with Alaska, British Columbia, and Alberta highway networks. Whitehorse has been described as "pearls on a string", with its residential, industrial, and service subdivisions located along the main thoroughfares that carry traffic within city limits, with large gaps of undeveloped (often hilly) land between them. The Alaska Highway is the primary roadway, with branch roads reaching additional subdivisions. One such branch road, signed as "Highway 1A" and following Two Mile Hill Road, 4th Avenue, 2nd Avenue, and Robert Service Way, is the main access to downtown, Riverdale, and the Marwell Industrial Area. Other | Yukon Arts Centre and Whitehorse Correctional Centre are situated in Takhini. Situated further north are Range Point, Porter Creek, and Crestview, as well as Whitehorse's newest neighbourhood, Whistle Bend, where most of the new residential growth is currently occurring. West of downtown are Valleyview, Hillcrest (also largely constituted of old military lodgings) and the Erik Nielsen Whitehorse International Airport; and beyond the Canada Games Centre along Hamilton Boulevard are the neighbourhoods of McIntyre (designated to replace inferior lands and homes of the Kwanlin Dun First Nation ("The Village") previously located where Marwell adjoins a marshy area), then Ingram, Arkell, Logan, Granger, and rapidly expanding Copper Ridge. Whitehorse also has subdivisions designated "Country Residential" which are subject to different municipal bylaws and are located farther out from the downtown. They consist of the rural Whitehorse subdivisions of Hidden Valley and MacPherson at Whitehorse's northern limits; to the south: McCrae (also spelt MacRae), Wolf Creek, Wolf Creek North, Mary Lake, Cowley Creek, Spruce Hill, Pineridge and Fox Haven Estates. Also located at the south end of the city is the newly designated Mt. Sima Service Industrial Subdivision. Construction of Whistle Bend, Whitehorse's newest subdivision, began in 2010 on the "Lower Bench" east of the Porter Creek subdivision. Attractions Arts Underground Copperbelt Railway & Mining Museum MacBride Museum of Yukon History Miles Canyon Old Log Church Museum sternwheeler Takhini Hot Springs Whitehorse trolley Yukon Beringia Interpretive Centre Yukon Transportation Museum Demographics In the 2021 Census of Population conducted by Statistics Canada, Whitehorse recorded a population of living in of its total private dwellings, a change of from its 2016 population of . With a land area of , it had a population density of in 2021. Whitehorse's population is mostly European (75.5%), but has a significant number of Aboriginals (16.5%); First Nations (13.5%) and Metis (2.2%). There is also a moderate visible minority population (7.9%); Southeast Asian (3.4%), Asian Canadian (1.8%) and South Asian (1.6%) were the three largest minority groups. The religious make up of Whitehorse is; Christian (45.3%) and non-religious (51.4%), the remaining 3.3% fall into another religion. Most of the residents are Canadian citizens (94.1%). Language As a federal territory, the Yukon is officially bilingual in English and French. In 2011, 84.3% of the residents of Whitehorse declared English as their only mother tongue, while 4.6% reported French as their only mother tongue, and 9.7% of the population reported a non-official language as their mother tongue. According to the 2011 census the most spoken non-official language in Whitehorse was German, followed by Tagalog, Spanish, Chinese and Dutch. Sports Whitehorse's proximity to the wilderness and the mountains allows its residents to enjoy a very active lifestyle. The city has an extensive trail network within its limits, estimated at in 2007, including sections of the Trans Canada Trail. These trails are used for a variety of non-motorized and/or motorized activities. The Yukon River in and around Whitehorse provides many opportunities for kayaking and canoeing. The city is responsible for the maintenance of numerous sports and recreation fields including two dozen grass/sand/soil/ice sports surfaces, 3 ball diamonds, the Canada Games Centre Multiplex (pools, ice rinks, fieldhouse, fitness centre, walking/running track, physiotherapy), the Takhini Arena, and Mount McIntyre Recreation Centre. Private interests run Mount Sima ( of downhill skiing in the winter and mountain biking in the summer), three golf courses, a bowling alley, and three gyms, including one with squash courts. The annual 1,000 mile Yukon Quest sled dog race between Whitehorse and Fairbanks, Alaska, is considered one of the toughest in the world. The race alternates its starting and finishing points each year. The city has hosted several large sporting events including the 2007 Canada Winter Games, for which a CA$45 million sport multiplex was built; the Canadian Junior Freestyle Championships in 2006, the Arctic Winter Games (2000, 1992, 1986, 1980, 1972, 2012 and up coming location for the 2020 games), the annual International Curling Bonspiel, and the Dustball International Slowpitch Tournament. Although there are no territorial junior league teams, the business community sponsors a number of local teams of volleyball, baseball, basketball, broomball, ice hockey, soccer and ultimate disk. High school teams are very active and partake in competitions with schools in neighbouring Alaska, and a few local athletes have flourished on the Canadian sports scene. Whitehorse is also home to the Whitehorse Glacier Bears swimming club. Government Municipal Whitehorse municipal elections occur every three years. Municipal services provided by the city of Whitehorse include: water and sewer systems, road maintenance, snow and ice control, non-recyclable waste and composting, as well as a mosquito control program. Territorial Whitehorse was represented by 9 of 18 MLAs in Yukon's Legislative Assembly, as per the 2002 map of Yukon electoral districts. In 2009 Yukon's electoral map was modified to give Whitehorse an extra seat, bringing its total up to 10 out of 19. The Legislative Assembly Building is located in downtown Whitehorse and elections usually take place every three to five years. The last general election was held in 2021. Whitehorse residents have three local political parties from which to choose: Yukon Liberal Party, Yukon New Democratic Party, Yukon Party. Federal All of Yukon consists of a single federal electoral district and therefore there is only one Member of Parliament (MP) and 65% of Yukon's voters live in Whitehorse. Residents of the Yukon have been voting federally since a byelection returned the first Yukon MP in January 1903 and, from 1984 onward, have had candidates from at least four federal political parties to choose from. In 2006, 2008 and 2011, the choices have been: Conservative, Green, Liberal, and NDP. Other parties that have contested the riding from 1984 onward include the Libertarian Party, the Rhinoceros Party, the three precursors of the Conservative Party (Reform Party, Canadian Alliance and Progressive Conservatives), the National Party (1993) and the Christian Heritage Party. Liberal Brendan Hanley is Yukon's MP. Judicial All court matters are handled in Whitehorse at the Andrew Philipsen Law Building which also houses a law library. Yukon's Territorial Court (three judges) handles most adult criminal prosecutions under the criminal code and other federal statutes. The Supreme Court of Yukon has three resident judges and nine judges from NWT and Nunavut. The Court of Appeal, made up of justices from British Columbia, Yukon, NWT and Nunavut, sits in Whitehorse only one week of the year, so most appeals are heard in Vancouver, British Columbia. Military The Canadian Armed Forces is represented in Whitehorse by Canadian Forces Detachment Yukon located in downtown Whitehorse, Regional Cadet Support Unit (North) was at Boyle Barracks (until a re-organization in 2012 amalgamated the cadet support unit into Regional Cadet Support Unit (NW) based out of Winnipeg, Manitoba) and the Canadian Rangers of the Whitehorse Patrol of 1 Canadian Ranger Patrol Group. 2685 Yukon Regiment Army Cadet Corps and 551 Whitehorse Squadron, Royal Canadian Air Cadets of the Canadian Cadet Organizations also operate in Whitehorse. All units operate as part of Canadian Forces Joint Task Force (North). 440 Transport Squadron, and other units of the Royal Canadian Air Force, including the Snowbirds often operate and train out of Erik Nielsen Whitehorse International Airport, formerly RCAF Station Whitehorse. Boyle Barracks is located south of downtown Whitehorse. The facility |
Portico and Château de Rastignac, a neoclassical country house located in La Bachellerie in the Dordogne region of France and designed by Mathurin Salat. Construction on the French house was initially started before 1789, interrupted by the French Revolution for twenty years, and then finally built between 1812 and 1817 (based on Salat's pre-1789 design). The theoretical link between the two houses has been criticized because Hoban did not visit France. Supporters of the connection posit that Thomas Jefferson, during his tour of Bordeaux in 1789, viewed Salat's architectural drawings (which were on-file at the college) at the École Spéciale d'Architecture (Bordeaux Architectural College). On his return to the US he then shared the influence with Washington, Hoban, Monroe, and Benjamin Henry Latrobe. Construction Though there is no record of a formal ceremony, construction of the White House began at noon on October 13, 1792, with the laying of the cornerstone. The main residence, as well as the foundations of the house, were built largely by enslaved and free African-American laborers, as well as employed Europeans. Much of the other work on the house was done by immigrants, many of them without citizenship yet. The sandstone walls were erected by Scottish immigrants, employed by Hoban, as were the high-relief rose and garland decorations above the north entrance and the "fish scale" pattern beneath the pediments of the window hoods. There are conflicting claims as to where the sandstone used in the construction of the White House originated. Some reports suggest sandstone from the Croatian island of Brač (specifically the Pučišća quarry whose stone was used to build the ancient Diocletian's Palace in Split) was used in the original construction of the building. However, researchers believe limestone from the island was used in the 1902 renovations and not the original construction. Others suggest the original sandstone simply came from Aquia Creek in Stafford County, Virginia, as importing the stone would be too costly. The initial construction took place over a period of eight years, at a reported cost of $232,371.83 (). Although not yet completed, the White House was ready for occupancy circa November 1, 1800. Shortages of material and labor forced alterations to the earlier plan developed by French engineer Pierre Charles L'Enfant for a "palace" that was five times larger than the house that was eventually built. The finished structure contained only two main floors instead of the planned three, and a less costly brick served as a lining for the stone façades. When construction was finished, the porous sandstone walls were whitewashed with a mixture of lime, rice glue, casein, and lead, giving the house its familiar color and name. Architectural description The north front is the principal façade of the White House and consists of three floors and eleven bays. The ground floor is hidden by a raised carriage ramp and parapet, thus the façade appears to be on two floors. The central three bays are behind a prostyle portico (this was a later addition to the house, built circa 1830), serving, thanks to the carriage ramp, as a porte cochere. The windows of the four bays flanking the portico, at first-floor level, have alternating pointed and segmented pediments, while at second-floor level, the pediments are flat. The principal entrance at the center of the portico is surmounted by a lunette fanlight. Above the entrance is a sculpted floral festoon. The roofline is hidden by a balustraded parapet. The mansion's southern façade is a combination of the Palladian and neoclassical styles of architecture. It consists of three floors, all visible. The ground floor is rusticated in the Palladian fashion. At the center of the façade is a neoclassical projected bow of three bays. The bow is flanked by five bays, the windows of which, as on the north façade, have alternating segmented and pointed pediments at first-floor level. The bow has a ground-floor double staircase leading to an Ionic colonnaded loggia (with the Truman Balcony at second-floor level), known as the south portico. The more modern third floor is hidden by a balustraded parapet and plays no part in the composition of the façade. Naming conventions The building was originally variously referred to as the President's Palace, Presidential Mansion, or President's House. The earliest evidence of the public calling it the "White House" was recorded in 1811. A myth emerged that during the rebuilding of the structure after the Burning of Washington, white paint was applied to mask the burn damage it had suffered, giving the building its namesake hue. The name "Executive Mansion" was used in official contexts until President Theodore Roosevelt established the formal name by having "White House–Washington" engraved on the stationery in 1901. The current letterhead wording and arrangement of "The White House" with the word "Washington" centered beneath it dates to the administration of Franklin D. Roosevelt. Although the structure was not completed until some years after the presidency of George Washington, there is speculation that the name of the traditional residence of the president of the United States may have been derived from Martha Washington's home, White House Plantation, in Virginia, where the nation's first president courted the first lady in the mid-18th century. Evolution of the White House Early use, the 1814 fire, and rebuilding On Saturday, November 1, 1800, John Adams became the first president to take residence in the building. The next day he wrote his wife Abigail: "I pray Heaven to bestow the best of blessings on this House, and all that shall hereafter inhabit it. May none but honest and wise men ever rule under this roof." President Franklin D. Roosevelt had Adams's blessing carved into the mantel in the State Dining Room. Adams lived in the house only briefly before Thomas Jefferson moved into the "pleasant country residence" in 1801. Despite his complaints that the house was too big ("big enough for two emperors, one pope, and the grand lama in the bargain"), Jefferson considered how the White House might be added to. With Benjamin Henry Latrobe, he helped lay out the design for the East and West Colonnades, small wings that help conceal the domestic operations of laundry, a stable and storage. Today, Jefferson's colonnades link the residence with the East and West Wings. In 1814, during the War of 1812, the White House was set ablaze by British troops during the Burning of Washington, in retaliation for attacking and burning Toronto (then called York), Port Dover and other towns in Upper Canada; much of Washington was affected by these fires as well. Only the exterior walls remained, and they had to be torn down and mostly reconstructed because of weakening from the fire and subsequent exposure to the elements, except for portions of the south wall. Of the numerous objects taken from the White House when it was ransacked by British troops, only three have been recovered. Employees and slaves rescued a painting of George Washington,, in 1939, a Canadian man returned a jewelry box to President Franklin Roosevelt, claiming that his grandfather had taken it from Washington, and, also in 1939, a medicine chest that had belonged to President Madison was returned by the descendants of a British naval officer. Some observers allege that most of these spoils were lost when a convoy of British ships led by HMS Fantome sank en route to Halifax off Prospect during a storm on the night of November 24, 1814, even though Fantome had no involvement in that action. After the fire, President James Madison resided in the Octagon House from 1814 to 1815, and then in the Seven Buildings from 1815 to the end of his term. Meanwhile, both Hoban and Latrobe contributed to the design and oversight of the reconstruction, which lasted from 1815 until 1817. The south portico was constructed in 1824 during the James Monroe administration; the north portico was built six years later. Though Latrobe proposed similar porticos before the fire in 1814, both porticos were built as designed by Hoban. An elliptical portico at Château de Rastignac in La Bachellerie, France, with nearly identical curved stairs, is speculated as the source of inspiration due to its similarity with the South Portico, although this matter is one of great debate. Italian artisans, brought to Washington to help in constructing the U.S. Capitol, carved the decorative stonework on both porticos. Contrary to speculation, the North Portico was not modeled on a similar portico on another Dublin building, the Viceregal Lodge (now Áras an Uachtaráin, residence of the president of Ireland), for its portico postdates the White House porticos' design. For the North Portico, a variation on the Ionic Order was devised, incorporating a swag of roses between the volutes. This was done to link the new portico with the earlier carved roses above the entrance. Overcrowding and building the West Wing By the time of the American Civil War, the White House had become overcrowded. The location of the White House, just north of a canal and swampy lands, which provided conditions ripe for malaria and other unhealthy conditions, was questioned. Brigadier General Nathaniel Michler was tasked with proposing solutions to address these concerns. He proposed abandoning the use of the White House as a residence, and he designed a new estate for the first family at Meridian Hill in Washington, D.C. Congress, however, rejected the plan. Another option was Metropolis View, which is now the campus of The Catholic University of America. When Chester A. Arthur took office in 1881, he ordered renovations to the White House to take place as soon as the recently widowed Lucretia Garfield moved out. Arthur inspected the work almost nightly and made several suggestions. Louis Comfort Tiffany was asked to send selected designers to assist. Over twenty wagonloads of furniture and household items were removed from the building and sold at a public auction. All that was saved were bust portraits of John Adams and Martin Van Buren. A proposal was made to build a new residence south of the White House, but it failed to gain support. In the fall of 1882, work was done on the main corridor, including tinting the walls pale olive and adding squares of gold leaf, and decorating the ceiling in gold and silver, with colorful traceries woven to spell "USA." The Red Room was painted a dull Pomeranian red, and its ceiling was decorated with gold, silver, and copper stars and stripes of red, white, and blue. A fifty-foot jeweled Tiffany glass screen, supported by imitation marble columns, replaced the glass doors that separated the main corridor from the north vestibule. In 1891, First Lady Caroline Harrison proposed major extensions to the White House, including a National Wing on the east for a historical art gallery, and a wing on the west for official functions. A plan was devised by Colonel Theodore A. Bingham that reflected the Harrison proposal. These plans were ultimately rejected. However, in 1902, Theodore Roosevelt hired McKim, Mead & White to carry out expansions and renovations in a neoclassical style suited to the building's architecture, removing the Tiffany screen and all Victorian additions. Charles McKim himself designed and managed the project, which gave more living space to the president's large family by removing a staircase in the West Hall and moving executive office staff from the second floor of the residence into the new West Wing. President William Howard Taft enlisted the help of architect Nathan C. Wyeth to add additional space to the West Wing, which included the addition of the Oval Office. In 1925, Congress enacted legislation allowing the White House to accept gifts of furniture and art for the first time. The West Wing was damaged by fire on Christmas Eve 1929; Herbert Hoover and his aides moved back into it on April 14, 1930. In the 1930s, a second story was added, as well as a larger basement for White House staff, and President Franklin Roosevelt had the Oval Office moved to its present location: adjacent to the Rose Garden. Truman reconstruction Decades of poor maintenance, the construction of a fourth-story attic during the Coolidge administration, and the addition of a second-floor balcony over the south portico for Harry S. Truman took a great toll on the brick and sandstone structure built around a timber frame. By 1948, the house was declared to be in imminent danger of collapse, forcing President Truman to commission a reconstruction and to live across the street at Blair House from 1949 to 1951. The work, done by the firm of Philadelphia contractor John McShain, required the complete dismantling of the interior spaces, construction of a new load-bearing internal steel frame, and the reconstruction of the original rooms within the new structure. The total cost of the renovations was about $5.7million ($ million in ). Some modifications to the floor plan were made, the largest being the repositioning of the grand staircase to open into the Entrance Hall, rather than the Cross Hall. Central air conditioning was added, as well as two additional sub-basements providing space for workrooms, storage, and a bomb shelter. The Trumans moved back into the White House on March 27, 1952. While the Truman reconstruction preserved the house's structure, much of the new interior finishes were generic and of little historic significance. Much of the original plasterwork, some dating back to the 1814–1816 rebuilding, was too damaged to reinstall, as was the original robust Beaux Arts paneling in the East Room. President | building its namesake hue. The name "Executive Mansion" was used in official contexts until President Theodore Roosevelt established the formal name by having "White House–Washington" engraved on the stationery in 1901. The current letterhead wording and arrangement of "The White House" with the word "Washington" centered beneath it dates to the administration of Franklin D. Roosevelt. Although the structure was not completed until some years after the presidency of George Washington, there is speculation that the name of the traditional residence of the president of the United States may have been derived from Martha Washington's home, White House Plantation, in Virginia, where the nation's first president courted the first lady in the mid-18th century. Evolution of the White House Early use, the 1814 fire, and rebuilding On Saturday, November 1, 1800, John Adams became the first president to take residence in the building. The next day he wrote his wife Abigail: "I pray Heaven to bestow the best of blessings on this House, and all that shall hereafter inhabit it. May none but honest and wise men ever rule under this roof." President Franklin D. Roosevelt had Adams's blessing carved into the mantel in the State Dining Room. Adams lived in the house only briefly before Thomas Jefferson moved into the "pleasant country residence" in 1801. Despite his complaints that the house was too big ("big enough for two emperors, one pope, and the grand lama in the bargain"), Jefferson considered how the White House might be added to. With Benjamin Henry Latrobe, he helped lay out the design for the East and West Colonnades, small wings that help conceal the domestic operations of laundry, a stable and storage. Today, Jefferson's colonnades link the residence with the East and West Wings. In 1814, during the War of 1812, the White House was set ablaze by British troops during the Burning of Washington, in retaliation for attacking and burning Toronto (then called York), Port Dover and other towns in Upper Canada; much of Washington was affected by these fires as well. Only the exterior walls remained, and they had to be torn down and mostly reconstructed because of weakening from the fire and subsequent exposure to the elements, except for portions of the south wall. Of the numerous objects taken from the White House when it was ransacked by British troops, only three have been recovered. Employees and slaves rescued a painting of George Washington,, in 1939, a Canadian man returned a jewelry box to President Franklin Roosevelt, claiming that his grandfather had taken it from Washington, and, also in 1939, a medicine chest that had belonged to President Madison was returned by the descendants of a British naval officer. Some observers allege that most of these spoils were lost when a convoy of British ships led by HMS Fantome sank en route to Halifax off Prospect during a storm on the night of November 24, 1814, even though Fantome had no involvement in that action. After the fire, President James Madison resided in the Octagon House from 1814 to 1815, and then in the Seven Buildings from 1815 to the end of his term. Meanwhile, both Hoban and Latrobe contributed to the design and oversight of the reconstruction, which lasted from 1815 until 1817. The south portico was constructed in 1824 during the James Monroe administration; the north portico was built six years later. Though Latrobe proposed similar porticos before the fire in 1814, both porticos were built as designed by Hoban. An elliptical portico at Château de Rastignac in La Bachellerie, France, with nearly identical curved stairs, is speculated as the source of inspiration due to its similarity with the South Portico, although this matter is one of great debate. Italian artisans, brought to Washington to help in constructing the U.S. Capitol, carved the decorative stonework on both porticos. Contrary to speculation, the North Portico was not modeled on a similar portico on another Dublin building, the Viceregal Lodge (now Áras an Uachtaráin, residence of the president of Ireland), for its portico postdates the White House porticos' design. For the North Portico, a variation on the Ionic Order was devised, incorporating a swag of roses between the volutes. This was done to link the new portico with the earlier carved roses above the entrance. Overcrowding and building the West Wing By the time of the American Civil War, the White House had become overcrowded. The location of the White House, just north of a canal and swampy lands, which provided conditions ripe for malaria and other unhealthy conditions, was questioned. Brigadier General Nathaniel Michler was tasked with proposing solutions to address these concerns. He proposed abandoning the use of the White House as a residence, and he designed a new estate for the first family at Meridian Hill in Washington, D.C. Congress, however, rejected the plan. Another option was Metropolis View, which is now the campus of The Catholic University of America. When Chester A. Arthur took office in 1881, he ordered renovations to the White House to take place as soon as the recently widowed Lucretia Garfield moved out. Arthur inspected the work almost nightly and made several suggestions. Louis Comfort Tiffany was asked to send selected designers to assist. Over twenty wagonloads of furniture and household items were removed from the building and sold at a public auction. All that was saved were bust portraits of John Adams and Martin Van Buren. A proposal was made to build a new residence south of the White House, but it failed to gain support. In the fall of 1882, work was done on the main corridor, including tinting the walls pale olive and adding squares of gold leaf, and decorating the ceiling in gold and silver, with colorful traceries woven to spell "USA." The Red Room was painted a dull Pomeranian red, and its ceiling was decorated with gold, silver, and copper stars and stripes of red, white, and blue. A fifty-foot jeweled Tiffany glass screen, supported by imitation marble columns, replaced the glass doors that separated the main corridor from the north vestibule. In 1891, First Lady Caroline Harrison proposed major extensions to the White House, including a National Wing on the east for a historical art gallery, and a wing on the west for official functions. A plan was devised by Colonel Theodore A. Bingham that reflected the Harrison proposal. These plans were ultimately rejected. However, in 1902, Theodore Roosevelt hired McKim, Mead & White to carry out expansions and renovations in a neoclassical style suited to the building's architecture, removing the Tiffany screen and all Victorian additions. Charles McKim himself designed and managed the project, which gave more living space to the president's large family by removing a staircase in the West Hall and moving executive office staff from the second floor of the residence into the new West Wing. President William Howard Taft enlisted the help of architect Nathan C. Wyeth to add additional space to the West Wing, which included the addition of the Oval Office. In 1925, Congress enacted legislation allowing the White House to accept gifts of furniture and art for the first time. The West Wing was damaged by fire on Christmas Eve 1929; Herbert Hoover and his aides moved back into it on April 14, 1930. In the 1930s, a second story was added, as well as a larger basement for White House staff, and President Franklin Roosevelt had the Oval Office moved to its present location: adjacent to the Rose Garden. Truman reconstruction Decades of poor maintenance, the construction of a fourth-story attic during the Coolidge administration, and the addition of a second-floor balcony over the south portico for Harry S. Truman took a great toll on the brick and sandstone structure built around a timber frame. By 1948, the house was declared to be in imminent danger of collapse, forcing President Truman to commission a reconstruction and to live across the street at Blair House from 1949 to 1951. The work, done by the firm of Philadelphia contractor John McShain, required the complete dismantling of the interior spaces, construction of a new load-bearing internal steel frame, and the reconstruction of the original rooms within the new structure. The total cost of the renovations was about $5.7million ($ million in ). Some modifications to the floor plan were made, the largest being the repositioning of the grand staircase to open into the Entrance Hall, rather than the Cross Hall. Central air conditioning was added, as well as two additional sub-basements providing space for workrooms, storage, and a bomb shelter. The Trumans moved back into the White House on March 27, 1952. While the Truman reconstruction preserved the house's structure, much of the new interior finishes were generic and of little historic significance. Much of the original plasterwork, some dating back to the 1814–1816 rebuilding, was too damaged to reinstall, as was the original robust Beaux Arts paneling in the East Room. President Truman had the original timber frame sawed into paneling; the walls of the Vermeil Room, Library, China Room, and Map Room on the ground floor of the main residence were paneled in wood from the timbers. Jacqueline Kennedy restoration Jacqueline Kennedy, wife of President John F. Kennedy (1961–63), directed a very extensive and historic redecoration of the house. She enlisted the help of Henry Francis du Pont of the Winterthur Museum to assist in collecting artifacts for the mansion, many of which had once been housed there. Other antiques, fine paintings, and improvements from the Kennedy period were donated to the White House by wealthy philanthropists, including the Crowninshield family, Jane Engelhard, Jayne Wrightsman, and the Oppenheimer family. Stéphane Boudin of the House of Jansen, a Paris interior-design firm that had been recognized worldwide, was employed by Jacqueline Kennedy to assist with the decoration. Different periods of the early republic and world history were selected as a theme for each room: the Federal style for the Green Room, French Empire for the Blue Room, American Empire for the Red Room, Louis XVI for the Yellow Oval Room, and Victorian for the president's study, renamed the Treaty Room. Antique furniture was acquired, and decorative fabric and trim based on period documents was produced and installed. The Kennedy restoration resulted in a more authentic White House of grander stature, which recalled the French taste of Madison and Monroe. In the Diplomatic Reception Room, Mrs. Kennedy installed an antique "Vue de l'Amérique Nord" wallpaper which Zuber & Cie had designed in 1834. The wallpaper had hung previously on the walls of another mansion until 1961 when that house was demolished for a grocery store. Just before the demolition, the wallpaper was salvaged and sold to the White House. The first White House guidebook was produced under the direction of curator Lorraine Waxman Pearce with direct supervision from Mrs. Kennedy. Sales of the guidebook helped finance the restoration. In a televised tour of the house on Valentine's Day in 1962, Kennedy showed her restoration of the White House to the public. The White House since the Kennedy restoration Congress enacted legislation in September 1961 declaring the White House a museum. Furniture, fixtures, and decorative arts could now be declared either historic or of artistic interest by the president. This prevented them from being sold (as many objects in the executive mansion had been in the past 150 years). When not in use or display at the White House, these items were to be turned over to the Smithsonian Institution for preservation, study, storage, or exhibition. The White House retains the right to have these items returned. Out of respect for the historic character of the White House, no substantive architectural changes have been made to the house since the Truman renovation. Since the Kennedy restoration, every presidential family has made some changes to the private quarters of the White House, but the Committee for the Preservation of the White House must approve any modifications to the State Rooms. Charged with maintaining the historical integrity of the White House, the congressionally-authorized committee works with each First Familyusually represented by the first lady, the White House curator, and the chief usherto implement the family's proposals for altering the house. During the Nixon Administration (1969–1974), First Lady Pat Nixon refurbished the Green Room, Blue Room, and Red Room, working with Clement Conger, the curator appointed by President Richard Nixon. Mrs. Nixon's efforts brought more than 600 artifacts to the house, the largest acquisition by any administration. Her husband created the modern press briefing room over Franklin Roosevelt's old swimming pool. Nixon also added a single-lane bowling alley to the White House basement. Computers and the first laser printer were added during the Carter administration, and the use of computer technology was expanded during the Reagan administration. A Carter-era innovation, a set of solar water heating panels that were mounted on the roof of the White House, was removed during Reagan's presidency. Redecorations were made to the private family quarters and maintenance was made to public areas during the Reagan years. The house was accredited as a museum in 1988. In the 1990s, Bill and Hillary Clinton refurbished some rooms with the assistance of Arkansas decorator Kaki Hockersmith, including the Oval Office, the East Room, Blue Room, State Dining Room, Lincoln Bedroom, and Lincoln Sitting Room. During the administration of George W. Bush, First Lady Laura Bush refurbished the Lincoln Bedroom in a style contemporary with the Lincoln era; the Green Room, Cabinet Room, and theater were also refurbished. The White House became one of the first wheelchair-accessible government buildings in Washington when modifications were made during the presidency of Franklin D. Roosevelt, who used a wheelchair because of his paralytic illness. In the 1990s, Hillary Clinton, at the suggestion of Visitors Office Director Melinda N. Bates, approved the addition of a ramp in the East Wing corridor. It allowed easy wheelchair access for the public tours and special events that enter through the secure entrance building on the east side. In 2003, the Bush administration reinstalled solar thermal heaters. These units are used to heat water for landscape maintenance personnel and for the presidential pool and spa. One hundred sixty-seven solar photovoltaic grid-tied panels were installed at the same time on the roof of the maintenance facility. The changes were not publicized as a White House spokeswoman said the changes were an internal matter. The story was picked up by industry trade journals. In 2013, President Barack Obama had a set of solar panels installed on the roof of the White House, making it the first time solar power would be used for the president's living quarters. Layout and amenities Today the group of buildings housing the presidency is known as the White House Complex. It includes the central Executive Residence flanked by the East Wing and West Wing. The Chief Usher coordinates day to day household operations. The White House includes six stories and 55,000 square feet (5,100 m2) of floor space, 132 rooms and 35 bathrooms, 412 doors, 147 windows, twenty-eight fireplaces, eight staircases, three elevators, five full-time chefs, a tennis court, a (single-lane) bowling alley, a movie theater (officially called the White House Family Theater), a jogging track, a swimming pool, and a putting green. It receives up to 30,000 visitors each week. Executive Residence The original residence is in the center. Two colonnadesone on the east and one on the westdesigned by Jefferson, now serve to connect the East and West Wings added later. The Executive Residence houses the president's dwelling, as well as rooms for ceremonies and official entertaining. The State Floor of the residence building includes the East Room, Green Room, Blue Room, Red Room, State Dining Room, Family Dining Room, Cross Hall, Entrance Hall, and Grand Staircase. The Ground Floor is made up of the Diplomatic Reception Room, Map Room, China Room, Vermeil Room, Library, the main kitchen, and other offices. The second floor family residence includes the Yellow Oval Room, East and West Sitting Halls, the White House Master Bedroom, President's Dining Room, the Treaty Room, Lincoln Bedroom and Queens' Bedroom, as well as two additional bedrooms, a smaller kitchen, and a private dressing room. The third floor consists of the White House Solarium, Game Room, Linen Room, a Diet Kitchen, and another sitting room (previously used as President George W. Bush's workout room). West Wing The West Wing houses the president's office (the Oval Office) and offices of his senior staff, with room for about 50 employees. It also includes the Cabinet Room, where the president conducts business meetings and where the Cabinet meets, as well as the White House Situation Room, James S. Brady Press Briefing Room, and Roosevelt Room. In 2007, work was completed on renovations of the press briefing room, adding fiber optic cables and LCD screens for the display of charts and graphs. The makeover took 11 months and cost of $8million, out of which news outlets paid $2million. In September 2010, a two-year project began on the West Wing, creating a multistory underground structure. Some members of the president's staff are located in the adjacent Eisenhower Executive Office Building, which was, until 1999, called the Old Executive Office Building and was historically the State War and Navy building. The Oval Office, Roosevelt Room, and other portions of the West Wing were partially replicated on a sound stage and used as the setting for The West Wing television show. East Wing The East Wing, which contains additional office space, was added to the White House in 1942. Among its uses, the East Wing has intermittently housed the offices and staff of the first lady and the White House Social Office. Rosalynn Carter, in 1977, was the first to place her personal office in the East Wing and to formally call it the "Office of the First Lady". The East Wing was built during World War II in order to hide the construction of an underground bunker to be used in emergencies. The bunker has come to be known as the Presidential Emergency Operations Center. Grounds The White House and grounds cover just over 18 acres (about 7.3 hectares). Before the construction of the North Portico, |
career was the fact that he was popular with, and had done favors for, the more progressive forces that now controlled the Ohio Republican Party. Harding sought and gained the 1910 Republican gubernatorial nomination. At that time, the party was deeply divided between progressive and conservative wings, and could not defeat the united Democrats; he lost the election to incumbent Judson Harmon. Harry Daugherty managed Harding's campaign, but the defeated candidate did not hold the loss against him. Despite the growing rift between them, both President Taft and former president Roosevelt came to Ohio to campaign for Harding, but their quarrels split the Republican Party and helped assure Harding's defeat. The party split grew, and in 1912, Taft and Roosevelt were rivals for the Republican nomination, with the 1912 Republican National Convention bitterly divided. At Taft's request, Harding gave a speech nominating the president, but the angry delegates were not receptive to Harding's oratory. Taft was renominated, but Roosevelt supporters bolted the party. Harding, as a loyal Republican, supported Taft. The Republican vote was split between Taft, the party's official candidate, and Roosevelt, running under the label of the Progressive Party. This allowed the Democratic candidate, New Jersey Governor Woodrow Wilson, to be elected. U.S. senator Election of 1914 Congressman Theodore Burton had been elected as senator by the state legislature in Foraker's place in 1909, and announced that he would seek a second term in the 1914 elections. By this time, the Seventeenth Amendment to the United States Constitution had been ratified, giving the people the right to elect senators, and Ohio had instituted primary elections for the office. Foraker and former congressman Ralph D. Cole also entered the Republican primary. When Burton withdrew, Foraker became the favorite, but his Old Guard Republicanism was deemed outdated, and Harding was urged to enter the race. Daugherty claimed credit for persuading Harding to run: "I found him like a turtle sunning himself on a log, and I pushed him into the water." According to Harding biographer Randolph Downes, "he put on a campaign of such sweetness and light as would have won the plaudits of the angels. It was calculated to offend nobody except Democrats." Although Harding did not attack Foraker, his supporters had no such scruples. Harding won the primary by 12,000 votes over Foraker. Harding's general election opponent was Ohio Attorney General Timothy Hogan, who had risen to statewide office despite widespread prejudice against Roman Catholics in rural areas. In 1914, the start of World War I and the prospect of a Catholic senator from Ohio increased nativist sentiment. Propaganda sheets with names like The Menace and The Defender contained warnings that Hogan was the vanguard in a plot led by Pope Benedict XV through the Knights of Columbus to control Ohio. Harding did not attack Hogan (an old friend) on this or most other issues, but he did not denounce the nativist hatred for his opponent. Harding's conciliatory campaigning style served him well; however, one Harding friend regarded the candidate's stump speech during the 1914 fall campaign as "a rambling, high-sounding mixture of platitudes, patriotism, and pure nonsense". Dean notes, "Harding used his oratory to good effect; it got him elected, making as few enemies as possible in the process." Harding won by over 100,000 votes in a landslide that also swept into office a Republican governor, Frank B. Willis. Junior senator When Harding joined the U.S. Senate, the Democrats controlled both houses of Congress, and were led by President Wilson. As a junior senator in the minority, Harding received unimportant committee assignments, but carried out those duties assiduously. He was a safe, conservative, Republican vote. As during his time in the Ohio Senate, Harding came to be widely liked. On two issues, women's suffrage, and the prohibition of alcohol, where picking the wrong side would have damaged his presidential prospects in 1920, he prospered by taking nuanced positions. As senator-elect, he indicated that he could not support votes for women until Ohio did. Increased support for suffrage there and among Senate Republicans meant that by the time Congress voted on the issue, Harding was a firm supporter. Harding, who drank, initially voted against banning alcohol. He voted for the Eighteenth Amendment, which imposed prohibition, after successfully moving to modify it by placing a time limit on ratification, which was expected to kill it. Once it was ratified anyway, Harding voted to override Wilson's veto of the Volstead Bill, which implemented the amendment, assuring the support of the Anti-Saloon League. Harding, as a politician respected by both Republicans and Progressives, was asked to be temporary chairman of the 1916 Republican National Convention and to deliver the keynote address. He urged delegates to stand as a united party. The convention nominated Justice Charles Evans Hughes. Harding reached out to Roosevelt once the former president declined the 1916 Progressive nomination, a refusal that effectively scuttled that party. In the November 1916 presidential election, despite increasing Republican unity, Hughes was narrowly defeated by Wilson. Harding spoke and voted in favor of the resolution of war requested by Wilson in April 1917 that plunged the United States into World War I. In August, Harding argued for giving Wilson almost dictatorial powers, stating that democracy had little place in time of war. Harding voted for most war legislation, including the Espionage Act of 1917, which restricted civil liberties, though he opposed the excess profits tax as anti-business. In May 1918, Harding, less enthusiastic about Wilson, opposed a bill to expand the president's powers. In the 1918 midterm congressional elections, held just before the armistice, Republicans narrowly took control of the Senate. Harding was appointed to the Senate Foreign Relations Committee. Wilson took no senators with him to the Paris Peace Conference, confident that he could force what became the Treaty of Versailles through the Senate by appealing to the people. When he returned with a single treaty establishing both peace and a League of Nations, the country was overwhelmingly on his side. Many senators disliked Article X of the League Covenant, that committed signatories to the defense of any member nation that was attacked, seeing it as forcing the United States to war without the assent of Congress. Harding was one of 39 senators who signed a round-robin letter opposing the League. When Wilson invited the Foreign Relations Committee to the White House to informally discuss the treaty, Harding ably questioned Wilson about Article X; the president evaded his inquiries. The Senate debated Versailles in September 1919, and Harding made a major speech against it. By then, Wilson had suffered a stroke while on a speaking tour. With an incapacitated president in the White House and less support in the country, the treaty was defeated. Presidential election of 1920 Primary campaign Most Progressives had rejoined the Republican Party, and their former leader, Theodore Roosevelt, was the overwhelming favorite for the 1920 Republican presidential nomination. When Roosevelt suddenly died on January 6, 1919, a number of candidates quickly emerged. These included General Leonard Wood, Illinois Governor Frank Lowden, California Senator Hiram Johnson, and a host of underdogs such as Herbert Hoover (renowned for his World War I relief work), Massachusetts Governor Calvin Coolidge, and General John J. Pershing. Harding, while he wanted to be president, was as much motivated in entering the race by his desire to keep control of Ohio Republican politics, enabling his re-election to the Senate in 1920. Among those coveting Harding's seat were former governor Willis (he had been defeated by James M. Cox in 1916) and Colonel William Cooper Procter (head of Procter & Gamble). On December 17, 1919, Harding made a low-key announcement of his presidential candidacy. Leading Republicans disliked Wood and Johnson, both of the progressive faction of the party, and Lowden, who had an independent streak, was deemed little better. Harding was far more acceptable to the "Old Guard" leaders of the party. Daugherty, who became Harding's campaign manager, was sure none of the other candidates could garner a majority. His strategy was to make Harding an acceptable choice to delegates once the leaders faltered. Daugherty established a "Harding for President" campaign office in Washington, run by his confidant, Jess Smith. Daugherty also managed a network of Harding friends and supporters, including Frank Scobey of Texas, clerk of the Ohio State Senate during Harding's years there. Harding tried to shore up his support through incessant letter-writing. Despite the candidate's work, according to Russell, "without Daugherty's Mephistophelean efforts, Harding would never have stumbled forward to the nomination". There were only 16 presidential primary states in 1920, of which Ohio was the most crucial to Harding. He needed loyalists at the convention to have any chance of nomination, and the Wood campaign hoped to knock Harding out of the race by taking Ohio. Wood campaigned in the state, and his supporter, Procter, spent large sums. Harding spoke in the non-confrontational style he had adopted in 1914. He and Daugherty were so confident of sweeping Ohio's 48 delegates, that the candidate went on to the next state, Indiana, before the April 27 Ohio primary. Harding carried Ohio by only 15,000 votes over Wood, taking less than half the total vote, and won only 39 of 48 delegates. In Indiana, Harding finished fourth, with less than ten percent of the vote, and failed to win a single delegate. He was willing to give up and have Daugherty file his re-election papers for the Senate, but Florence Harding grabbed the phone from his hand and said, "Warren Harding, what are you doing? Give up? Not until the convention is over. Think of your friends in Ohio!" On learning that Daugherty had left the phone line, the future First Lady retorted, "Well, you tell Harry Daugherty for me that we're in this fight until Hell freezes over." After he recovered from the shock of the poor results, Harding traveled to Boston, where he delivered a speech that, according to Dean, "would resonate throughout the 1920 campaign and history". There, he stated that "America's present need is not heroics, but healing; not nostrums, but normalcy; not revolution, but restoration;..." Dean notes, "Harding, more than the other aspirants, was reading the nation's pulse correctly." Convention The 1920 Republican National Convention opened at the Chicago Coliseum on June 8, 1920, assembling delegates who were bitterly divided, most recently over the results of a Senate investigation into campaign spending, which had just been released. The report found that Wood had spent $1.8 million (equivalent to $ million in ), supporting Johnson's claims that Wood was trying to buy the presidency. Some of the $600,000 that Lowden had spent wound up in the pockets of two convention delegates. Johnson had spent $194,000, and Harding $113,000. Many delegates believed that Johnson was behind the inquiry, and the rage of the Lowden and Wood factions put an end to any possible compromise among the frontrunners. Of the almost 1,000 delegates, 27 were women—the Nineteenth Amendment to the United States Constitution, guaranteeing women the vote, was within one state of ratification, and passed before the end of August. The convention had no boss, most uninstructed delegates voted as they pleased, and with a Democrat in the White House, the party's leaders could not use patronage to get their way. Reporters considered Harding unlikely to be nominated due to his poor showing in the primaries, and relegated him to a place among the dark horses. Harding, who like the other candidates was in Chicago supervising his campaign, had finished sixth in the final public opinion poll, behind the three main candidates as well as former Justice Hughes and Herbert Hoover, and only slightly ahead of Coolidge. After the convention dealt with other matters, the nominations for president opened on the morning of Friday, June 11. Harding had asked Willis to place his name in nomination, and the former governor responded with a speech popular among the delegates, both for its folksiness and for its brevity in the intense Chicago heat. Reporter Mark Sullivan, who was present, called it a splendid combination of "oratory, grand opera, and hog calling". Willis confided, leaning over the podium railing, "Say, boys—and girls too—why not name Warren Harding?" The laughter and applause that followed created a warm feeling for Harding. Four ballots were taken on the afternoon of June 11, and they revealed a deadlock. With 493 votes needed to nominate, Wood was the closest with 314; Lowden had 289. The best Harding had done was 65. Chairman Henry Cabot Lodge of Massachusetts, the Senate Majority Leader, adjourned the convention about 7 p.m. The night of June 11–12, 1920 became famous in political history as the night of the "smoke-filled room," where legend has it, party elders agreed to force the convention to nominate Harding. Historians have focused on the session held in the suite of Republican National Committee (RNC) Chairman Will Hays at the Blackstone Hotel, at which senators and others came and went, and numerous possible candidates were discussed. Utah Senator Reed Smoot, before his departure early in the evening, backed Harding, telling Hays and the others that as the Democrats were likely to nominate Governor Cox, they should pick Harding to win Ohio. Smoot also told The New York Times that there had been an agreement to nominate Harding, but that it would not be done for several ballots yet. This was not true: a number of participants backed Harding (others supported his rivals), but there was no pact to nominate him, and the senators had little power to enforce any agreement. Two other participants in the smoke-filled room discussions, Kansas Senator Charles Curtis and Colonel George Brinton McClellan Harvey, a close friend of Hays, predicted to the press that Harding would be nominated because of the liabilities of the other candidates. Headlines in the morning newspapers suggested intrigue. Historian Wesley M. Bagby wrote, "Various groups actually worked along separate lines to bring about the nomination—without combination and with very little contact." Bagby stated that the key factor in Harding's nomination was his wide popularity among the rank and file of the delegates. The reassembled delegates had heard rumors that Harding was the choice of a cabal of senators. Although this was not true, delegates believed it, and sought a way out by voting for Harding. When balloting resumed on the morning of June 12, Harding gained votes on each of the next four ballots, rising to 133 as the two front runners saw little change. Lodge then declared a three-hour recess, to the outrage of Daugherty, who raced to the podium, and confronted him, "You cannot defeat this man this way! The motion was not carried! You cannot defeat this man!" Lodge and others used the break to try to stop the Harding momentum and make RNC Chairman Hays the nominee, a scheme Hays refused to have anything to do with. The ninth ballot, after some initial suspense, saw delegation after delegation break for Harding, who took the lead with 374 votes to 249 for Wood and 121 for Lowden (Johnson had 83). Lowden released his delegates to Harding, and the tenth ballot, held at 6 p.m., was a mere formality, with Harding finishing with 672 votes to 156 for Wood. The nomination was made unanimous. The delegates, desperate to leave town before they incurred more hotel expenses, then proceeded to the vice presidential nomination. Harding wanted Senator Irvine Lenroot of Wisconsin, who was unwilling to run, but before Lenroot's name could be withdrawn and another candidate decided on, an Oregon delegate proposed Governor Coolidge, which was met with a roar of approval from the delegates. Coolidge, popular for his role in breaking the Boston police strike of 1919, was nominated for vice president, receiving two and a fraction votes more than Harding had. James Morgan wrote in The Boston Globe: "The delegates would not listen to remaining in Chicago over Sunday ... the President makers did not have a clean shirt. On such things, Rollo, turns the destiny of nations." General election campaign The Harding/Coolidge ticket was quickly backed by Republican newspapers, but those of other viewpoints expressed disappointment. The New York World found Harding the least-qualified candidate since James Buchanan, viewing the Ohio senator as a "weak and mediocre" man who "never had an original idea". The Hearst newspapers called Harding "the flag-bearer of a new Senatorial autocracy". The New York Times described the Republican presidential candidate as "a very respectable Ohio politician of the second class". The Democratic National Convention opened in San Francisco on June 28, 1920, under a shadow cast by Woodrow Wilson, who wished to be nominated for a third term. Delegates were convinced Wilson's health would not permit him to serve, and looked elsewhere for a candidate. Former Treasury Secretary William G. McAdoo was a major contender, but he was Wilson's son-in-law, and refused to consider a nomination so long as the president wanted it. Many at the convention voted for McAdoo anyway, and a deadlock ensued with Attorney General A. Mitchell Palmer. On the 44th ballot, the Democrats nominated Governor Cox for president, with his running mate Assistant Secretary of the Navy Franklin D. Roosevelt. As Cox was a newspaper owner and editor when not in politics, this placed two Ohio editors against each other for the presidency, and some complained there was no real political choice. Both Cox and Harding were economic conservatives, and were reluctant progressives at best. Harding chose to conduct a front porch campaign, like McKinley in 1896. Some years earlier, Harding had remodeled his front porch to resemble McKinley's, which his neighbors felt signified presidential ambitions. The candidate remained at home in Marion, and gave addresses to visiting delegations. In the meantime, Cox and Roosevelt stumped the nation, giving hundreds of speeches. Coolidge, who spoke in the Northeast and then in the South, was not a significant factor in the election. In Marion, Harding ran his campaign. As a newspaperman himself, he fell into easy camaraderie with the press covering him, enjoying a relationship few presidents have equaled. His "return to normalcy" theme was aided by the atmosphere that Marion provided, an orderly place that induced nostalgia in many voters. The front porch campaign allowed Harding to avoid mistakes, and as time dwindled towards the election, his strength grew. The travels of the Democratic candidates eventually caused Harding to make several short speaking tours, but for the most part, he remained in Marion. America had no need for another Wilson, Harding argued, appealing for a president "near the normal". Harding's vague oratory irritated some; McAdoo described a typical Harding speech as "an army of pompous phrases moving over the landscape in search of an idea. Sometimes these meandering words actually capture a straggling thought and bear it triumphantly, a prisoner in their midst, until it died of servitude and over work." H. L. Mencken concurred, "it reminds me of a string of wet sponges, it reminds me of tattered washing on the line; it reminds me of stale bean soup, of college yells, of dogs barking idiotically through endless nights. It is so bad that a kind of grandeur creeps into it. It drags itself out of the dark abysm ... of pish, and crawls insanely up the topmost pinnacle of tosh. It is rumble and bumble. It is balder and dash." The New York Times took a more positive view of Harding's speeches, stating that in them the majority of people could find "a reflection of their own indeterminate thoughts". Wilson had stated that the 1920 election would be a "great and solemn referendum" on the League of Nations, making it difficult for Cox to maneuver on the issue—although Roosevelt strongly supported the League, Cox was less enthusiastic. Harding opposed entry into the League of Nations as negotiated by Wilson, but favored an "association of nations," based on the Permanent Court of Arbitration at The Hague. This was general enough to satisfy most Republicans, and only a few bolted the party over this issue. By October, Cox had realized there was widespread public opposition to Article X, and stated that reservations to the treaty might be necessary; this shift allowed Harding to say no more on the subject. The RNC hired Albert Lasker, an advertising executive from Chicago, to publicize Harding, and Lasker unleashed a broad-based advertising campaign that used many now-standard advertising techniques for the first time in a presidential campaign. Lasker's approach included newsreels and sound recordings. Visitors to Marion had their photographs taken with Senator and Mrs. Harding, and copies were sent to their hometown newspapers. Billboard posters, newspapers and magazines were employed in addition to motion pictures. Telemarketers were used to make phone calls with scripted dialogues to promote Harding. During the campaign, opponents spread old rumors that Harding's great-great-grandfather was a West Indian black person and that other blacks might be found in his family tree. Harding's campaign manager rejected the accusations. Wooster College professor William Estabrook Chancellor publicized the rumors, based on supposed family research, but perhaps reflecting no more than local gossip. By Election Day, November 2, 1920, few had any doubts that the Republican ticket would win. Harding received 60.2 percent of the popular vote, the highest percentage since the evolution of the two-party system, and 404 electoral votes. Cox received 34 percent of the national vote and 127 electoral votes. Campaigning from a federal prison where he was serving a sentence for opposing the war, Socialist Eugene V. Debs received 3 percent of the national vote. The Republicans greatly increased their majority in each house of Congress. Presidency (1921–1923) Inauguration and appointments Harding was sworn in on March 4, 1921, in the presence of his wife and father. Harding preferred a low-key inauguration, without the customary parade, leaving only the swearing-in ceremony and a brief reception at the White House. In his inaugural address he declared, "Our most dangerous tendency is to expect too much from the government and at the same time do too little for it." After the election, Harding had announced he was going on vacation, and that no decisions about appointments would be made until he returned to Marion in December. He went to Texas, where he fished and played golf with his friend Frank Scobey (soon to be Director of the Mint), then took ship for the Panama Canal Zone. He went to Washington when Congress opened in early December, where he was given a hero's welcome as the first sitting senator to be elected to the White House. Back in Ohio, he planned to consult the "best minds" of the country on appointments, and they dutifully journeyed to Marion to offer their counsel. Harding chose pro-League Charles Evans Hughes as his Secretary of State, ignoring the advice of Senator Lodge and others. After Charles G. Dawes declined the Treasury position, he chose Pittsburgh banker Andrew W. Mellon, one of the richest people in the country. He appointed Herbert Hoover as United States Secretary of Commerce. RNC Chairman Will Hays was made Postmaster General, then a cabinet post; he left after a year in the position to become chief censor to the motion picture industry. The two Harding cabinet appointees who darkened the reputation of his administration by their involvement in scandal were Harding's Senate friend, Albert B. Fall of New Mexico, the Interior Secretary, and Daugherty, the Attorney General. Fall was a Western rancher and former miner, and was pro-development. He was opposed by conservationists such as Gifford Pinchot, who wrote, "it would have been possible to pick a worse man for Secretary of the Interior, but not altogether easy". The New York Times mocked the Daugherty appointment, stating that rather than select one of the best minds, Harding had been content "to choose merely a best friend". Eugene P. Trani and David L. Wilson, in their volume on Harding's presidency, suggest that the appointment made sense then, since Daugherty was "a competent lawyer well-acquainted with the seamy side of politics ... a first-class political troubleshooter and someone Harding could trust". Foreign policy European relations and formally ending the war Harding made it clear when he appointed Hughes as Secretary of State that the former justice would run foreign policy, a change from Wilson's hands-on management of international affairs. Hughes had to work within some broad outlines; after taking office, Harding hardened his stance on the League of Nations, deciding the U.S. would not join even a scaled-down version of the League. With the Treaty of Versailles unratified by the Senate, the U.S. remained technically at war with Germany, Austria, and Hungary. Peacemaking began with the Knox–Porter Resolution, declaring the U.S. at peace and reserving any rights granted under Versailles. Treaties with Germany, Austria and Hungary, each containing many of the non-League provisions of the Treaty of Versailles, were ratified in 1921. This still left the question of relations between the U.S. and the League. Hughes' State Department initially ignored communications from the League, or tried to bypass it through direct contacts with member nations. By 1922, though, the U.S., through its consul in Geneva, was dealing with the League, and though the U.S. refused to participate in any meeting with political implications, it sent observers to sessions on technical and humanitarian matters. By the time Harding took office, there were calls from foreign governments for reduction of the massive war debt owed to the United States, and the German government sought to reduce the reparations that it was required to pay. The U.S. refused to consider any multilateral settlement. Harding sought passage of a plan proposed by Mellon to give the administration broad authority to reduce war debts in negotiation, but Congress, in 1922, passed a more restrictive bill. Hughes negotiated an agreement for Britain to pay off its war debt over 62 years at low interest, reducing the present value of the obligations. This agreement, approved by Congress in 1923, served as a model for negotiations with other nations. Talks with Germany on reduction of reparations payments resulted in the Dawes Plan of 1924. A pressing issue not resolved by Wilson was U.S. policy towards Bolshevik Russia. The U.S. had been among the nations that sent troops there after the Russian Revolution. Afterwards, Wilson refused to recognize the Russian SFSR. Harding's Commerce Secretary Hoover, with considerable experience of Russian affairs, took the lead on policy. When famine struck Russia in 1921, Hoover had the American Relief Administration, which he had headed, negotiate with the Russians to provide aid. Leaders of the U.S.S.R. (established in 1922) hoped in vain that the agreement would lead to recognition. Hoover supported trade with the Soviets, fearing U.S. companies would be frozen out of the Soviet market, but Hughes opposed this, and the matter was not resolved under Harding's presidency. Disarmament Harding urged disarmament and lower defense costs during the campaign, but it had not been a major issue. He gave a speech to a joint session of Congress in April 1921, setting out his legislative priorities. Among the few foreign policy matters he mentioned was disarmament; he said the government could not "be unmindful of the call for reduced expenditure" on defense. Idaho Senator William Borah had proposed a conference at which the major naval powers, the U.S., Britain, and Japan, would agree to cuts in their fleets. Harding concurred, and after diplomatic discussions, representatives of nine nations convened in Washington in November 1921. Most of the diplomats first attended Armistice Day ceremonies at Arlington National Cemetery, where Harding spoke at the entombment of the Unknown Soldier of World War I, whose identity, "took flight with his imperishable soul. We know not whence he came, only that his death marks him with the everlasting glory of an American dying for his country." Hughes, in his speech at the opening session of the conference on November 12, 1921, made the American proposal—the U.S. would decommission or not build 30 warships if Great Britain did likewise for 19 vessels, and Japan for 17. Hughes was generally successful, with agreements reached on this and other points, including settlement of disputes over islands in the Pacific, and limitations on the use of poison gas. The naval agreement applied only to battleships, and to some extent aircraft carriers, and ultimately did not prevent rearmament. Nevertheless, Harding and Hughes were widely applauded in the press for their work. Senator Lodge and the Senate Minority Leader, Alabama's Oscar Underwood, were part of the U.S. delegation, and they helped ensure the treaties made it through the Senate mostly unscathed, though that body added reservations to some. The U.S. had acquired over a thousand vessels during World War I, and still owned most of them when Harding took office. Congress had authorized their disposal in 1920, but the Senate would not confirm Wilson's nominees to the Shipping Board. Harding appointed Albert Lasker as its chairman; the advertising executive undertook to run the fleet as profitably as possible until it could be sold. Few ships were marketable at anything approaching the government's cost. Lasker recommended a large subsidy to the merchant marine to facilitate sales, and Harding repeatedly urged Congress to enact it. The resulting bill was unpopular in the Midwest, and though it passed the House, it was defeated by a filibuster in the Senate, and most government ships were eventually scrapped. Latin America Intervention in Latin America had been a minor campaign issue, though Harding spoke against Wilson's decision to send U.S. troops to the Dominican Republic and Haiti, and attacked the Democratic vice presidential candidate, Franklin Roosevelt, for his role in the Haitian intervention. Once Harding was sworn in, Hughes worked to improve relations with Latin American countries who were wary of the American use of the Monroe Doctrine to justify intervention; at the time of Harding's inauguration, the U.S. also had troops in Cuba and Nicaragua. The troops stationed in Cuba were withdrawn in 1921, but U.S. forces remained in the other three nations throughout Harding's presidency. In April 1921, Harding gained the ratification of the Thomson–Urrutia Treaty with Colombia, granting that nation $25 million (equivalent to $ million in ) as settlement for the U.S.-provoked Panamanian revolution of 1903. The Latin American nations were not fully satisfied, as the U.S. refused to renounce interventionism, though Hughes pledged to limit it to nations near the Panama Canal, and to make it clear what the U.S. aims were. The U.S. had intervened repeatedly in Mexico under Wilson, and had withdrawn diplomatic recognition, setting conditions for reinstatement. The Mexican government under President Álvaro Obregón wanted recognition before negotiations, but Wilson and his final Secretary of State, Bainbridge Colby, refused. Both Hughes and Fall opposed recognition; Hughes instead sent a draft treaty to the Mexicans in May 1921, which included pledges to reimburse Americans for losses in Mexico since the 1910 revolution there. Obregón was unwilling to sign a treaty before being recognized, and worked to improve the relationship between American business and Mexico, reaching agreement with creditors, and mounting a public relations campaign in the United States. This had its effect, and by mid-1922, Fall was less influential than he had been, lessening the resistance to recognition. The two presidents appointed commissioners to reach a deal, and the U.S. recognized the Obregón government on August 31, 1923, just under a month after Harding's death, substantially on the terms proffered by Mexico. Domestic policy Postwar recession and recovery When Harding took office on March 4, 1921, the nation was in the midst of a postwar economic decline. At the suggestion of legislative leaders, Harding called a special session of Congress, to convene April 11. When Harding addressed the joint session the following day, he urged the reduction of income taxes (raised during the war), an increase in tariffs on agricultural goods to protect the American farmer, as well as more wide-ranging reforms, such as support for highways, aviation, and radio. It was not until May 27 that Congress passed an emergency tariff increase on agricultural products. An act authorizing a Bureau of the Budget followed on June 10, and Harding appointed Charles Dawes as bureau director with a mandate to cut expenditures. Mellon's tax cuts Treasury Secretary Mellon also recommended that Congress cut income tax rates, and that the corporate excess profits tax be abolished. The House Ways and Means Committee endorsed Mellon's proposals, but some congressmen wanting to raise corporate tax rates fought the measure. Harding was unsure what side to endorse, telling a friend, "I can't make a damn thing out of this tax problem. I listen to one side, and they seem right, and then—God!—I talk to the other side, and they seem just as right." Harding tried compromise, and gained passage of a bill in the House after the end of the excess profits tax was delayed a year. In the Senate, the bill became entangled in efforts to vote World War I veterans a soldier's bonus. Frustrated by the delays, on July 12, Harding appeared before the Senate to urge passage of the tax legislation without the bonus. It was not until November that the revenue bill finally passed, with higher rates than Mellon had proposed. In opposing the veterans’ bonus, Harding argued in his Senate address that much was already being done for them by a grateful nation, and that the bill would "break down our Treasury, from which so much is later on to be expected". The Senate sent the bonus bill back to committee, but the issue returned when Congress reconvened in December 1921. A bill providing a bonus, though unfunded, was passed by both houses in September 1922, but Harding's veto was narrowly sustained. A non-cash bonus for soldiers passed over Coolidge's veto in 1924. In his first annual message to Congress, Harding sought the power to adjust tariff rates. The passage of the tariff bill in the Senate, and in conference committee became a feeding frenzy of lobby interests. When Harding signed the Fordney–McCumber Tariff Act on September 21, 1922, he made a brief statement, praising the bill only for giving him some power to change rates. According to Trani and Wilson, the bill was "ill-considered. It wrought havoc in international commerce and made the repayment of war debts more difficult." Mellon ordered a study that demonstrated historically that, as income tax rates were increased, money was driven underground or abroad, and he concluded that lower rates would increase tax revenues. Based on his advice, Harding's revenue bill cut taxes, starting in 1922. The top marginal rate was reduced annually in four stages from 73% in 1921 to 25% in 1925. Taxes were cut for lower incomes starting in 1923, and the lower rates substantially increased the money flowing to the treasury. They also pushed massive deregulation, and federal spending as a share of GDP fell from 6.5% to 3.5%. By late 1922, the economy began to turn around. Unemployment was pared from its 1921 high of 12% to an average of 3.3% for the remainder of the decade. The misery index, a combined measure of unemployment and inflation, had its sharpest decline in U.S. history under Harding. Wages, profits, and productivity all made substantial gains; annual GDP increases averaged at over 5% during the 1920s. Libertarian historians Larry Schweikart and Michael Allen argue that, "Mellon's tax policies set the stage for the most amazing growth yet seen in America's already impressive economy." Embracing new technologies The 1920s were a time of modernization for America—use of electricity became increasingly common. Mass production of the motor car stimulated other industries as well, such as highway construction, rubber, steel, and building, as hotels were erected to accommodate the tourists venturing upon the roads. This economic boost helped bring the nation out of the recession. To improve and expand the nation's highway system, Harding signed the Federal Highway Act of 1921. From 1921 to 1923, the federal government spent $162 million (equivalent to $ billion in ) on America's highway system, infusing the U.S. economy with a large amount of capital. In 1922, Harding proclaimed that America was in the age of the "motor car", which "reflects our standard of living and gauges the speed of our present-day life". Harding urged regulation of radio broadcasting in his April 1921 speech to Congress. Commerce Secretary Hoover took charge of this project, and convened a conference of radio broadcasters in 1922, which led to a voluntary agreement for licensing of radio frequencies through the Commerce Department. Both Harding and Hoover realized something more than an agreement was needed, but Congress was slow to act, not imposing radio regulation until 1927. Harding also wished to promote aviation, and Hoover again took the lead, convening a national conference on commercial aviation. The discussions focused on safety matters, inspection of airplanes, and licensing of pilots. Harding again promoted legislation but nothing was done until 1926, when the Air Commerce Act created the Bureau of Aeronautics within Hoover's Commerce Department. Business and labor Harding's attitude toward business was that government should aid it as much as possible. He was suspicious of organized labor, viewing it as a conspiracy against business. He sought to get them to work together at a conference on unemployment that he called to meet in September 1921 at Hoover's recommendation. Harding warned in his opening address that no federal money would be available. No important legislation came as a result, though some public works projects were accelerated. Within broad limits, Harding allowed each cabinet secretary to run his department as he saw fit. Hoover expanded the Commerce Department to make it more useful to business. This was consistent with Hoover's view that the private sector should take the lead in managing the economy. Harding greatly respected his Commerce Secretary, often asked his advice, and backed him to the hilt, calling Hoover "the smartest 'gink' I know". Widespread strikes marked 1922, as labor sought redress for falling wages and increased unemployment. In April, 500,000 coal miners, led by John L. Lewis, struck over wage cuts. Mining executives argued that the industry was seeing hard times; Lewis accused them of trying to break the union. As the strike became protracted, Harding offered compromise to settle it. As Harding proposed, the miners agreed to return to work, and Congress created a commission to look into their grievances. On July 1, 1922, 400,000 railroad workers went on strike. Harding recommended a settlement that made some concessions, but management objected. Attorney General Daugherty convinced Judge James H. Wilkerson to issue a sweeping injunction to break the strike. Although there was public support for the Wilkerson injunction, Harding felt it went too far, and had Daugherty and Wilkerson amend it. The injunction succeeded in ending the strike; however, tensions remained high between railroad workers and management for years. By 1922, the eight-hour day had become common in American industry. One exception was in steel mills, where workers labored through a twelve-hour workday, seven days a week. Hoover considered this practice barbaric and got Harding to convene a conference of steel manufacturers with a view to ending the system. The conference established a committee under the leadership of U. S. Steel chairman Elbert Gary, which in early 1923 recommended against ending the practice. Harding sent a letter to Gary deploring the result, which was printed in the press, and public outcry caused the manufacturers to reverse themselves and standardize the eight-hour day. Civil rights and immigration Although Harding's first address to Congress called for passage of anti-lynching legislation, he initially seemed inclined to do no more for African Americans than Republican presidents of the recent past had; he asked Cabinet officers to find places for blacks in their departments. Sinclair suggested that the fact that Harding received two-fifths of the Southern vote in 1920 led him to see political opportunity for his party in the Solid South. On October 26, 1921, Harding gave a speech in Birmingham, Alabama, to a segregated audience of 20,000 Whites and 10,000 Blacks. Harding, while stating that the social and racial differences between Whites and Blacks could not be bridged, urged equal political rights for the latter. Many African-Americans at that time voted Republican, especially in the Democratic South, and Harding stated he did not mind seeing that support end if the result was a strong two-party system in the South. He was willing to see literacy tests for voting continue, if applied fairly to White and Black voters. "Whether you like it or not," Harding told his segregated audience, "unless our democracy is a lie, you must stand for that equality." The White section of the audience listened in silence, while the Black section cheered. Three days after the Tulsa race massacre of 1921, Harding spoke at the all-Black Lincoln University in Pennsylvania. He declared, "Despite the demagogues, the idea of our oneness as Americans has risen superior to every appeal to mere class and group. And so, I wish it might be in this matter of our national problem of races." Speaking directly about the events in Tulsa, he said, "God grant that, in the soberness, the fairness, and the justice of this country, we never see another spectacle like it." Harding supported Congressman Leonidas Dyer's federal anti-lynching bill, which passed the House of Representatives in January 1922. When it reached the Senate floor in November 1922, it was filibustered by Southern Democrats, and Lodge withdrew it to allow the ship subsidy bill Harding favored to be debated, though it was likewise blocked. Blacks blamed Harding for the Dyer bill's defeat; Harding biographer Robert K. Murray noted that it was hastened to its end by Harding's desire to have the ship subsidy bill considered. With | of 1914 Congressman Theodore Burton had been elected as senator by the state legislature in Foraker's place in 1909, and announced that he would seek a second term in the 1914 elections. By this time, the Seventeenth Amendment to the United States Constitution had been ratified, giving the people the right to elect senators, and Ohio had instituted primary elections for the office. Foraker and former congressman Ralph D. Cole also entered the Republican primary. When Burton withdrew, Foraker became the favorite, but his Old Guard Republicanism was deemed outdated, and Harding was urged to enter the race. Daugherty claimed credit for persuading Harding to run: "I found him like a turtle sunning himself on a log, and I pushed him into the water." According to Harding biographer Randolph Downes, "he put on a campaign of such sweetness and light as would have won the plaudits of the angels. It was calculated to offend nobody except Democrats." Although Harding did not attack Foraker, his supporters had no such scruples. Harding won the primary by 12,000 votes over Foraker. Harding's general election opponent was Ohio Attorney General Timothy Hogan, who had risen to statewide office despite widespread prejudice against Roman Catholics in rural areas. In 1914, the start of World War I and the prospect of a Catholic senator from Ohio increased nativist sentiment. Propaganda sheets with names like The Menace and The Defender contained warnings that Hogan was the vanguard in a plot led by Pope Benedict XV through the Knights of Columbus to control Ohio. Harding did not attack Hogan (an old friend) on this or most other issues, but he did not denounce the nativist hatred for his opponent. Harding's conciliatory campaigning style served him well; however, one Harding friend regarded the candidate's stump speech during the 1914 fall campaign as "a rambling, high-sounding mixture of platitudes, patriotism, and pure nonsense". Dean notes, "Harding used his oratory to good effect; it got him elected, making as few enemies as possible in the process." Harding won by over 100,000 votes in a landslide that also swept into office a Republican governor, Frank B. Willis. Junior senator When Harding joined the U.S. Senate, the Democrats controlled both houses of Congress, and were led by President Wilson. As a junior senator in the minority, Harding received unimportant committee assignments, but carried out those duties assiduously. He was a safe, conservative, Republican vote. As during his time in the Ohio Senate, Harding came to be widely liked. On two issues, women's suffrage, and the prohibition of alcohol, where picking the wrong side would have damaged his presidential prospects in 1920, he prospered by taking nuanced positions. As senator-elect, he indicated that he could not support votes for women until Ohio did. Increased support for suffrage there and among Senate Republicans meant that by the time Congress voted on the issue, Harding was a firm supporter. Harding, who drank, initially voted against banning alcohol. He voted for the Eighteenth Amendment, which imposed prohibition, after successfully moving to modify it by placing a time limit on ratification, which was expected to kill it. Once it was ratified anyway, Harding voted to override Wilson's veto of the Volstead Bill, which implemented the amendment, assuring the support of the Anti-Saloon League. Harding, as a politician respected by both Republicans and Progressives, was asked to be temporary chairman of the 1916 Republican National Convention and to deliver the keynote address. He urged delegates to stand as a united party. The convention nominated Justice Charles Evans Hughes. Harding reached out to Roosevelt once the former president declined the 1916 Progressive nomination, a refusal that effectively scuttled that party. In the November 1916 presidential election, despite increasing Republican unity, Hughes was narrowly defeated by Wilson. Harding spoke and voted in favor of the resolution of war requested by Wilson in April 1917 that plunged the United States into World War I. In August, Harding argued for giving Wilson almost dictatorial powers, stating that democracy had little place in time of war. Harding voted for most war legislation, including the Espionage Act of 1917, which restricted civil liberties, though he opposed the excess profits tax as anti-business. In May 1918, Harding, less enthusiastic about Wilson, opposed a bill to expand the president's powers. In the 1918 midterm congressional elections, held just before the armistice, Republicans narrowly took control of the Senate. Harding was appointed to the Senate Foreign Relations Committee. Wilson took no senators with him to the Paris Peace Conference, confident that he could force what became the Treaty of Versailles through the Senate by appealing to the people. When he returned with a single treaty establishing both peace and a League of Nations, the country was overwhelmingly on his side. Many senators disliked Article X of the League Covenant, that committed signatories to the defense of any member nation that was attacked, seeing it as forcing the United States to war without the assent of Congress. Harding was one of 39 senators who signed a round-robin letter opposing the League. When Wilson invited the Foreign Relations Committee to the White House to informally discuss the treaty, Harding ably questioned Wilson about Article X; the president evaded his inquiries. The Senate debated Versailles in September 1919, and Harding made a major speech against it. By then, Wilson had suffered a stroke while on a speaking tour. With an incapacitated president in the White House and less support in the country, the treaty was defeated. Presidential election of 1920 Primary campaign Most Progressives had rejoined the Republican Party, and their former leader, Theodore Roosevelt, was the overwhelming favorite for the 1920 Republican presidential nomination. When Roosevelt suddenly died on January 6, 1919, a number of candidates quickly emerged. These included General Leonard Wood, Illinois Governor Frank Lowden, California Senator Hiram Johnson, and a host of underdogs such as Herbert Hoover (renowned for his World War I relief work), Massachusetts Governor Calvin Coolidge, and General John J. Pershing. Harding, while he wanted to be president, was as much motivated in entering the race by his desire to keep control of Ohio Republican politics, enabling his re-election to the Senate in 1920. Among those coveting Harding's seat were former governor Willis (he had been defeated by James M. Cox in 1916) and Colonel William Cooper Procter (head of Procter & Gamble). On December 17, 1919, Harding made a low-key announcement of his presidential candidacy. Leading Republicans disliked Wood and Johnson, both of the progressive faction of the party, and Lowden, who had an independent streak, was deemed little better. Harding was far more acceptable to the "Old Guard" leaders of the party. Daugherty, who became Harding's campaign manager, was sure none of the other candidates could garner a majority. His strategy was to make Harding an acceptable choice to delegates once the leaders faltered. Daugherty established a "Harding for President" campaign office in Washington, run by his confidant, Jess Smith. Daugherty also managed a network of Harding friends and supporters, including Frank Scobey of Texas, clerk of the Ohio State Senate during Harding's years there. Harding tried to shore up his support through incessant letter-writing. Despite the candidate's work, according to Russell, "without Daugherty's Mephistophelean efforts, Harding would never have stumbled forward to the nomination". There were only 16 presidential primary states in 1920, of which Ohio was the most crucial to Harding. He needed loyalists at the convention to have any chance of nomination, and the Wood campaign hoped to knock Harding out of the race by taking Ohio. Wood campaigned in the state, and his supporter, Procter, spent large sums. Harding spoke in the non-confrontational style he had adopted in 1914. He and Daugherty were so confident of sweeping Ohio's 48 delegates, that the candidate went on to the next state, Indiana, before the April 27 Ohio primary. Harding carried Ohio by only 15,000 votes over Wood, taking less than half the total vote, and won only 39 of 48 delegates. In Indiana, Harding finished fourth, with less than ten percent of the vote, and failed to win a single delegate. He was willing to give up and have Daugherty file his re-election papers for the Senate, but Florence Harding grabbed the phone from his hand and said, "Warren Harding, what are you doing? Give up? Not until the convention is over. Think of your friends in Ohio!" On learning that Daugherty had left the phone line, the future First Lady retorted, "Well, you tell Harry Daugherty for me that we're in this fight until Hell freezes over." After he recovered from the shock of the poor results, Harding traveled to Boston, where he delivered a speech that, according to Dean, "would resonate throughout the 1920 campaign and history". There, he stated that "America's present need is not heroics, but healing; not nostrums, but normalcy; not revolution, but restoration;..." Dean notes, "Harding, more than the other aspirants, was reading the nation's pulse correctly." Convention The 1920 Republican National Convention opened at the Chicago Coliseum on June 8, 1920, assembling delegates who were bitterly divided, most recently over the results of a Senate investigation into campaign spending, which had just been released. The report found that Wood had spent $1.8 million (equivalent to $ million in ), supporting Johnson's claims that Wood was trying to buy the presidency. Some of the $600,000 that Lowden had spent wound up in the pockets of two convention delegates. Johnson had spent $194,000, and Harding $113,000. Many delegates believed that Johnson was behind the inquiry, and the rage of the Lowden and Wood factions put an end to any possible compromise among the frontrunners. Of the almost 1,000 delegates, 27 were women—the Nineteenth Amendment to the United States Constitution, guaranteeing women the vote, was within one state of ratification, and passed before the end of August. The convention had no boss, most uninstructed delegates voted as they pleased, and with a Democrat in the White House, the party's leaders could not use patronage to get their way. Reporters considered Harding unlikely to be nominated due to his poor showing in the primaries, and relegated him to a place among the dark horses. Harding, who like the other candidates was in Chicago supervising his campaign, had finished sixth in the final public opinion poll, behind the three main candidates as well as former Justice Hughes and Herbert Hoover, and only slightly ahead of Coolidge. After the convention dealt with other matters, the nominations for president opened on the morning of Friday, June 11. Harding had asked Willis to place his name in nomination, and the former governor responded with a speech popular among the delegates, both for its folksiness and for its brevity in the intense Chicago heat. Reporter Mark Sullivan, who was present, called it a splendid combination of "oratory, grand opera, and hog calling". Willis confided, leaning over the podium railing, "Say, boys—and girls too—why not name Warren Harding?" The laughter and applause that followed created a warm feeling for Harding. Four ballots were taken on the afternoon of June 11, and they revealed a deadlock. With 493 votes needed to nominate, Wood was the closest with 314; Lowden had 289. The best Harding had done was 65. Chairman Henry Cabot Lodge of Massachusetts, the Senate Majority Leader, adjourned the convention about 7 p.m. The night of June 11–12, 1920 became famous in political history as the night of the "smoke-filled room," where legend has it, party elders agreed to force the convention to nominate Harding. Historians have focused on the session held in the suite of Republican National Committee (RNC) Chairman Will Hays at the Blackstone Hotel, at which senators and others came and went, and numerous possible candidates were discussed. Utah Senator Reed Smoot, before his departure early in the evening, backed Harding, telling Hays and the others that as the Democrats were likely to nominate Governor Cox, they should pick Harding to win Ohio. Smoot also told The New York Times that there had been an agreement to nominate Harding, but that it would not be done for several ballots yet. This was not true: a number of participants backed Harding (others supported his rivals), but there was no pact to nominate him, and the senators had little power to enforce any agreement. Two other participants in the smoke-filled room discussions, Kansas Senator Charles Curtis and Colonel George Brinton McClellan Harvey, a close friend of Hays, predicted to the press that Harding would be nominated because of the liabilities of the other candidates. Headlines in the morning newspapers suggested intrigue. Historian Wesley M. Bagby wrote, "Various groups actually worked along separate lines to bring about the nomination—without combination and with very little contact." Bagby stated that the key factor in Harding's nomination was his wide popularity among the rank and file of the delegates. The reassembled delegates had heard rumors that Harding was the choice of a cabal of senators. Although this was not true, delegates believed it, and sought a way out by voting for Harding. When balloting resumed on the morning of June 12, Harding gained votes on each of the next four ballots, rising to 133 as the two front runners saw little change. Lodge then declared a three-hour recess, to the outrage of Daugherty, who raced to the podium, and confronted him, "You cannot defeat this man this way! The motion was not carried! You cannot defeat this man!" Lodge and others used the break to try to stop the Harding momentum and make RNC Chairman Hays the nominee, a scheme Hays refused to have anything to do with. The ninth ballot, after some initial suspense, saw delegation after delegation break for Harding, who took the lead with 374 votes to 249 for Wood and 121 for Lowden (Johnson had 83). Lowden released his delegates to Harding, and the tenth ballot, held at 6 p.m., was a mere formality, with Harding finishing with 672 votes to 156 for Wood. The nomination was made unanimous. The delegates, desperate to leave town before they incurred more hotel expenses, then proceeded to the vice presidential nomination. Harding wanted Senator Irvine Lenroot of Wisconsin, who was unwilling to run, but before Lenroot's name could be withdrawn and another candidate decided on, an Oregon delegate proposed Governor Coolidge, which was met with a roar of approval from the delegates. Coolidge, popular for his role in breaking the Boston police strike of 1919, was nominated for vice president, receiving two and a fraction votes more than Harding had. James Morgan wrote in The Boston Globe: "The delegates would not listen to remaining in Chicago over Sunday ... the President makers did not have a clean shirt. On such things, Rollo, turns the destiny of nations." General election campaign The Harding/Coolidge ticket was quickly backed by Republican newspapers, but those of other viewpoints expressed disappointment. The New York World found Harding the least-qualified candidate since James Buchanan, viewing the Ohio senator as a "weak and mediocre" man who "never had an original idea". The Hearst newspapers called Harding "the flag-bearer of a new Senatorial autocracy". The New York Times described the Republican presidential candidate as "a very respectable Ohio politician of the second class". The Democratic National Convention opened in San Francisco on June 28, 1920, under a shadow cast by Woodrow Wilson, who wished to be nominated for a third term. Delegates were convinced Wilson's health would not permit him to serve, and looked elsewhere for a candidate. Former Treasury Secretary William G. McAdoo was a major contender, but he was Wilson's son-in-law, and refused to consider a nomination so long as the president wanted it. Many at the convention voted for McAdoo anyway, and a deadlock ensued with Attorney General A. Mitchell Palmer. On the 44th ballot, the Democrats nominated Governor Cox for president, with his running mate Assistant Secretary of the Navy Franklin D. Roosevelt. As Cox was a newspaper owner and editor when not in politics, this placed two Ohio editors against each other for the presidency, and some complained there was no real political choice. Both Cox and Harding were economic conservatives, and were reluctant progressives at best. Harding chose to conduct a front porch campaign, like McKinley in 1896. Some years earlier, Harding had remodeled his front porch to resemble McKinley's, which his neighbors felt signified presidential ambitions. The candidate remained at home in Marion, and gave addresses to visiting delegations. In the meantime, Cox and Roosevelt stumped the nation, giving hundreds of speeches. Coolidge, who spoke in the Northeast and then in the South, was not a significant factor in the election. In Marion, Harding ran his campaign. As a newspaperman himself, he fell into easy camaraderie with the press covering him, enjoying a relationship few presidents have equaled. His "return to normalcy" theme was aided by the atmosphere that Marion provided, an orderly place that induced nostalgia in many voters. The front porch campaign allowed Harding to avoid mistakes, and as time dwindled towards the election, his strength grew. The travels of the Democratic candidates eventually caused Harding to make several short speaking tours, but for the most part, he remained in Marion. America had no need for another Wilson, Harding argued, appealing for a president "near the normal". Harding's vague oratory irritated some; McAdoo described a typical Harding speech as "an army of pompous phrases moving over the landscape in search of an idea. Sometimes these meandering words actually capture a straggling thought and bear it triumphantly, a prisoner in their midst, until it died of servitude and over work." H. L. Mencken concurred, "it reminds me of a string of wet sponges, it reminds me of tattered washing on the line; it reminds me of stale bean soup, of college yells, of dogs barking idiotically through endless nights. It is so bad that a kind of grandeur creeps into it. It drags itself out of the dark abysm ... of pish, and crawls insanely up the topmost pinnacle of tosh. It is rumble and bumble. It is balder and dash." The New York Times took a more positive view of Harding's speeches, stating that in them the majority of people could find "a reflection of their own indeterminate thoughts". Wilson had stated that the 1920 election would be a "great and solemn referendum" on the League of Nations, making it difficult for Cox to maneuver on the issue—although Roosevelt strongly supported the League, Cox was less enthusiastic. Harding opposed entry into the League of Nations as negotiated by Wilson, but favored an "association of nations," based on the Permanent Court of Arbitration at The Hague. This was general enough to satisfy most Republicans, and only a few bolted the party over this issue. By October, Cox had realized there was widespread public opposition to Article X, and stated that reservations to the treaty might be necessary; this shift allowed Harding to say no more on the subject. The RNC hired Albert Lasker, an advertising executive from Chicago, to publicize Harding, and Lasker unleashed a broad-based advertising campaign that used many now-standard advertising techniques for the first time in a presidential campaign. Lasker's approach included newsreels and sound recordings. Visitors to Marion had their photographs taken with Senator and Mrs. Harding, and copies were sent to their hometown newspapers. Billboard posters, newspapers and magazines were employed in addition to motion pictures. Telemarketers were used to make phone calls with scripted dialogues to promote Harding. During the campaign, opponents spread old rumors that Harding's great-great-grandfather was a West Indian black person and that other blacks might be found in his family tree. Harding's campaign manager rejected the accusations. Wooster College professor William Estabrook Chancellor publicized the rumors, based on supposed family research, but perhaps reflecting no more than local gossip. By Election Day, November 2, 1920, few had any doubts that the Republican ticket would win. Harding received 60.2 percent of the popular vote, the highest percentage since the evolution of the two-party system, and 404 electoral votes. Cox received 34 percent of the national vote and 127 electoral votes. Campaigning from a federal prison where he was serving a sentence for opposing the war, Socialist Eugene V. Debs received 3 percent of the national vote. The Republicans greatly increased their majority in each house of Congress. Presidency (1921–1923) Inauguration and appointments Harding was sworn in on March 4, 1921, in the presence of his wife and father. Harding preferred a low-key inauguration, without the customary parade, leaving only the swearing-in ceremony and a brief reception at the White House. In his inaugural address he declared, "Our most dangerous tendency is to expect too much from the government and at the same time do too little for it." After the election, Harding had announced he was going on vacation, and that no decisions about appointments would be made until he returned to Marion in December. He went to Texas, where he fished and played golf with his friend Frank Scobey (soon to be Director of the Mint), then took ship for the Panama Canal Zone. He went to Washington when Congress opened in early December, where he was given a hero's welcome as the first sitting senator to be elected to the White House. Back in Ohio, he planned to consult the "best minds" of the country on appointments, and they dutifully journeyed to Marion to offer their counsel. Harding chose pro-League Charles Evans Hughes as his Secretary of State, ignoring the advice of Senator Lodge and others. After Charles G. Dawes declined the Treasury position, he chose Pittsburgh banker Andrew W. Mellon, one of the richest people in the country. He appointed Herbert Hoover as United States Secretary of Commerce. RNC Chairman Will Hays was made Postmaster General, then a cabinet post; he left after a year in the position to become chief censor to the motion picture industry. The two Harding cabinet appointees who darkened the reputation of his administration by their involvement in scandal were Harding's Senate friend, Albert B. Fall of New Mexico, the Interior Secretary, and Daugherty, the Attorney General. Fall was a Western rancher and former miner, and was pro-development. He was opposed by conservationists such as Gifford Pinchot, who wrote, "it would have been possible to pick a worse man for Secretary of the Interior, but not altogether easy". The New York Times mocked the Daugherty appointment, stating that rather than select one of the best minds, Harding had been content "to choose merely a best friend". Eugene P. Trani and David L. Wilson, in their volume on Harding's presidency, suggest that the appointment made sense then, since Daugherty was "a competent lawyer well-acquainted with the seamy side of politics ... a first-class political troubleshooter and someone Harding could trust". Foreign policy European relations and formally ending the war Harding made it clear when he appointed Hughes as Secretary of State that the former justice would run foreign policy, a change from Wilson's hands-on management of international affairs. Hughes had to work within some broad outlines; after taking office, Harding hardened his stance on the League of Nations, deciding the U.S. would not join even a scaled-down version of the League. With the Treaty of Versailles unratified by the Senate, the U.S. remained technically at war with Germany, Austria, and Hungary. Peacemaking began with the Knox–Porter Resolution, declaring the U.S. at peace and reserving any rights granted under Versailles. Treaties with Germany, Austria and Hungary, each containing many of the non-League provisions of the Treaty of Versailles, were ratified in 1921. This still left the question of relations between the U.S. and the League. Hughes' State Department initially ignored communications from the League, or tried to bypass it through direct contacts with member nations. By 1922, though, the U.S., through its consul in Geneva, was dealing with the League, and though the U.S. refused to participate in any meeting |
to play to a higher score, such as "American" and "Long" (seven and nine, respectively). Longer variations of the game, in which the winning score is set higher than five, can be played with "honours" rules in effect. Honours have no effect on the play of a hand, but serve as bonus points that speed up the games as an element of luck. If the partners on a single team are dealt the top four cards (Ace, King, Queen, Jack) in the trump suit, they collect four additional points at the end of the hand; if they are dealt three of these cards, they score two points. Tricks are scored before honours, and the latter cannot be used to score the winning point. For example, a game is being played to nine points and the score is tied 6-6. A hand is played, and the winning team takes seven tricks and claims honours for three of the four highest trump cards. They score one point for their tricks, but only one point for their honours since the second point would take them up to nine and win the game. The score after the hand is thus 8-6. Methods of keeping score include whist marker devices, or a set of four metal counters which can be arranged in different formations for the score values 1 through 9. Basic tactics For the opening lead, it is best to lead your strongest suit, which is usually the longest. A singleton may also be a good lead, aiming at trumping in that suit, as one's partner should normally return the suit led. 1st hand: It is usual to lead the king from a sequence of honours that includes it, including AK (the lead of an ace therefore denies the king). 2nd hand usually plays low, especially with a single honour. However, it is often correct to split honours (play the lower of two touching honours) and to cover a J or 10 when holding Qx and cover a Q when holding the ace. 3rd hand usually plays high, though play the lowest of touching honours. The finesse can be a useful technique, especially in trumps where honours cannot be trumped if they are not cashed. Discards are usually low cards of an unwanted suit. However, when the opponents are drawing trumps a suit preference signal is given by throwing a low card of one's strongest suit. Terminology Deal One card at a time is given to each player by the dealer starting with the player on the dealer's left and proceeding clockwise until the deck is fully distributed. Dealer The player who deals the cards for a hand. Deck The pack of cards used for playing comprising, in the case of whist, 52 cards in four suits. Dummy In some variations of whist, a hand is turned face up and is played from by the player seated opposite. This allows for whist to be played by three players. Finesse The play of a lower honour even though holding a higher one, hoping that the intermediate honour is held by a player who has already played to the trick. To give an example: you hold the ace and queen of hearts. Your right-hand antagonist leads a heart, from which you infer that he holds the king of the same suit and wishes to draw the ace, in order to make his king. You however play the queen, and win the trick; still retaining your ace, ready to win again when he plays his king. Game Reaching a total score agreed beforehand to be the score played up to. Grand Slam The winning, by one team, of all thirteen tricks in a hand. Hand Thirteen tricks. (52 cards in the deck divided by four players equals thirteen cards per player.) Honours In some variations of whist, extra points are assigned after a game to a team if they were dealt the ace, king, queen, and jack (knave) of the trump suit. Lead The first card played in a trick. Lurch Rare or obsolete. To prevent one's adversary from scoring a treble [OED] or in the phrase 'save one's lurch' to just escape losing the game [Hoyle, Britannica 1911]. Pack See Deck. Rubber Three games. Small slam The winning, by one team, of twelve tricks in a hand. Tenace A suit holding containing the highest and third-highest of the suit or (the "minor tenace") second- and fourth-highest. Trick Four cards played one each by the players. Trump The suit chosen by the last-dealt card that will beat all other suits regardless of rank. If two or more trump cards are played in a single trick, the highest-ranking trump wins it. Variants The name "whist" has become attached to a wide variety of games, most based on Classic Whist. McLeod classifies Whist games into a number of sub-groups: the Auction Whist, Boston, Classic Whist and Exact Bidding groups, and games played by numbers of players other than four. The following is a selection within each sub-group. Auction whist group Bid Whist – a partnership game with bidding, popular among African Americans in the United States. Dutch Whist, similar to Diminishing Contract Whist, where up to seven players compete to win the most points by betting at the start of each round how many tricks they will win. In Dutch Whist, players start with one card in round one and go up to seven cards, then play a mid section of rounds with No Trumps (5 points per tick won), Misery (lose 5 points per trick 'won'), Blind (betting on number of tricks before cards are seen). Following the mid-section, seven further rounds are played, starting with seven cards and reducing to one. Trumps each round are pre-designated, following the pattern hearts, clubs, diamonds, spades. Scoring is based on 10 points for a correct bet, 1 point for every trick won (whether wanted or not). Siberian Vint – a predecessor and more primitive form of Vint, Skruuvi – a Finnish variant of Vint, which became common in Finland while it was a part of Russia Spades – a contract-type game similar to bid whist; the game's name comes from the fact that spades is always the trump suit. Tarneeb (played in the Arab world, a game in which the person who wins the bid picks the trump) Vint is a Russian card-game also known as Russian whist, with an ascending auction similar to bridge and more complex scoring than whist. Boston group Belgian Whist or Colour Whist (whist à la couleur or kleurwiezen) – a Belgian game similar to Solo Whist, but more elaborate) Boston – played in 19th-century Europe, played by Count Rostov in Leo Tolstoy's novel War and Peace. Diminishing Contract Whist – British variant, combining elements of Solo Whist, Bid Whist and knock-out whist, players compete individually, not in pairs, and after each hand has been dealt must name the number of tricks to take, scoring one point per trick and a bonus 10 for matching their contract. All 52 cards are dealt for the first hand, 48 for the second, 44 the next and so until a 13th round with just one trick. Trumps are pre-defined for each hand in sequence as: hearts, clubs, diamonds, spades, no trumps, lose all with no trumps — where you lose 10 points per trick taken and some players invariably end up in negative points — hearts, clubs, diamonds, spades, hearts, clubs, diamonds. The total number of tricks bid each round cannot match the number of tricks available, so the dealer each hand must bid with this constraint in mind — sometimes this constraint is waived for the final round if players agree in advance. The winner is the player who has accumulated the most points at the end of the final round. Solo Whist – played in Britain; a game where individuals can bid to win five, nine or thirteen tricks or to lose every trick. Classic whist group Double Sar (also played in south Asia, a variation of Court Piece in which tricks are | and the winning team takes seven tricks and claims honours for three of the four highest trump cards. They score one point for their tricks, but only one point for their honours since the second point would take them up to nine and win the game. The score after the hand is thus 8-6. Methods of keeping score include whist marker devices, or a set of four metal counters which can be arranged in different formations for the score values 1 through 9. Basic tactics For the opening lead, it is best to lead your strongest suit, which is usually the longest. A singleton may also be a good lead, aiming at trumping in that suit, as one's partner should normally return the suit led. 1st hand: It is usual to lead the king from a sequence of honours that includes it, including AK (the lead of an ace therefore denies the king). 2nd hand usually plays low, especially with a single honour. However, it is often correct to split honours (play the lower of two touching honours) and to cover a J or 10 when holding Qx and cover a Q when holding the ace. 3rd hand usually plays high, though play the lowest of touching honours. The finesse can be a useful technique, especially in trumps where honours cannot be trumped if they are not cashed. Discards are usually low cards of an unwanted suit. However, when the opponents are drawing trumps a suit preference signal is given by throwing a low card of one's strongest suit. Terminology Deal One card at a time is given to each player by the dealer starting with the player on the dealer's left and proceeding clockwise until the deck is fully distributed. Dealer The player who deals the cards for a hand. Deck The pack of cards used for playing comprising, in the case of whist, 52 cards in four suits. Dummy In some variations of whist, a hand is turned face up and is played from by the player seated opposite. This allows for whist to be played by three players. Finesse The play of a lower honour even though holding a higher one, hoping that the intermediate honour is held by a player who has already played to the trick. To give an example: you hold the ace and queen of hearts. Your right-hand antagonist leads a heart, from which you infer that he holds the king of the same suit and wishes to draw the ace, in order to make his king. You however play the queen, and win the trick; still retaining your ace, ready to win again when he plays his king. Game Reaching a total score agreed beforehand to be the score played up to. Grand Slam The winning, by one team, of all thirteen tricks in a hand. Hand Thirteen tricks. (52 cards in the deck divided by four players equals thirteen cards per player.) Honours In some variations of whist, extra points are assigned after a game to a team if they were dealt the ace, king, queen, and jack (knave) of the trump suit. Lead The first card played in a trick. Lurch Rare or obsolete. To prevent one's adversary from scoring a treble [OED] or in the phrase 'save one's lurch' to just escape losing the game [Hoyle, Britannica 1911]. Pack See Deck. Rubber Three games. Small slam The winning, by one team, of twelve tricks in a hand. Tenace A suit holding containing the highest and third-highest of the suit or (the "minor tenace") second- and fourth-highest. Trick Four cards played one each by the players. Trump The suit chosen by the last-dealt card that will beat all other suits regardless of rank. If two or more trump cards are played in a single trick, the highest-ranking trump wins it. Variants The name "whist" has become attached to a wide variety of games, most based on Classic Whist. McLeod classifies Whist games into a number of sub-groups: the Auction Whist, Boston, Classic Whist and Exact Bidding groups, and games played by numbers of players other than four. The following is a selection within each sub-group. Auction whist group Bid Whist – a partnership game with bidding, popular among African Americans in the United States. Dutch Whist, similar to Diminishing Contract Whist, where up to seven players compete to win the most points by betting at the start of each round how many tricks they will win. In Dutch Whist, players start with one card in round one and go up to seven cards, then play a mid section of rounds with No Trumps (5 points per tick won), Misery (lose 5 points per trick 'won'), Blind (betting on number of tricks before cards are seen). Following the mid-section, seven further rounds are played, starting with seven cards and reducing to one. Trumps each round are pre-designated, following the pattern hearts, clubs, diamonds, spades. Scoring is based on 10 points for a correct bet, 1 point for every trick won (whether wanted or not). Siberian Vint – a predecessor and more primitive form of Vint, Skruuvi – a Finnish variant of Vint, which became common in Finland while it was a part of Russia Spades – a contract-type game similar to bid whist; the game's name comes from the fact that spades is always the trump suit. Tarneeb (played in the Arab world, a game in which the person who wins the bid picks the trump) Vint is a Russian card-game also known as Russian whist, with an ascending auction similar to bridge and more complex scoring than whist. Boston group Belgian Whist or Colour Whist (whist à la couleur or kleurwiezen) – a Belgian game similar to Solo Whist, but more elaborate) Boston – played in 19th-century Europe, played by Count Rostov in Leo Tolstoy's novel War and Peace. Diminishing Contract Whist – British variant, combining elements of Solo Whist, Bid Whist and knock-out whist, players compete individually, not in pairs, and after each hand has been dealt must name the number of tricks to take, scoring one point per trick and a bonus 10 for matching their contract. All 52 cards are dealt for the first hand, 48 for the second, 44 the next and so until a 13th round with just one trick. Trumps are pre-defined for each hand in sequence as: hearts, clubs, diamonds, spades, no trumps, lose all with no trumps — where you lose 10 points per trick taken and some players invariably end up in negative points — hearts, clubs, diamonds, spades, hearts, clubs, diamonds. The total number of tricks bid each round cannot match the number of tricks available, so the dealer each hand must bid with this constraint in mind — sometimes this constraint is waived for the final round if players agree in advance. The winner is the player who has accumulated the most points at the end of the final round. Solo Whist – played in Britain; a game where individuals can bid to win five, nine or thirteen tricks or to lose every trick. Classic whist group Double Sar (also played in south Asia, a variation of Court Piece in which tricks are only captured when the same player wins two tricks in succession. The player then captures all the unclaimed tricks up to that point.) Hokm, also known as Court piece or Rang, and alike troefcall (an originally Persian game) Minnesota whist – in which there are no trumps, and hands can be played to win tricks or to lose tricks; see also the very similar game of Norwegian whist. Swedish Whist – four-hand Swedish game with two contracts: red (positive) and black (negative). Exact bidding group Blob – British variant of Oh Hell in which players try to predict the exact number of tricks they will take and will be 'blobbed in' if wrong. Can be played with four or five players. Six cards each, total number of tricks bid for in each hand cannot add up to six. Person to left of dealer nominates trumps or no trumps and then becomes dealer for next hand.) Oh, Hell, Oh Pshaw or Nomination Whist – game for three to seven players in which the number of cards dealt is usually increased or decreased by one in each successive deal. Israeli Whist – game related to Oh, Hell, in which one tries to bid the exact number of tricks one will take. Rikiki – version of Oh, Hell played in Hungary. Romanian Whist – game in which players try to predict the exact number of tricks they will take; similar to Oh, Hell. Serbian whist – game in which players try to predict the exact number of tricks they will take, and each round players are dealt one card less. Whists for other numbers of players Dummy Whist – a three-player variant of bid whist. German Whist – British two-player adaptation of whist without bidding. Knock-out Whist, Trumps (UK) or Diminishing Whist – game in which a player who wins no trick is eliminated. Three-handed "widow" whist – in which an extra hand is dealt just to the left of the dealer. Unrelated games called 'whist' Catch the Ten (also known as Scotch whist) – two to eight players, 36 cards related to the Ace-Ten family. Whist drive A whist drive is a social event at which progressive games of whist are played across a number of tables which are numbered or ordered into a sequence. In it, the winning (or sometimes losing, dependent on the local custom) pair of a hand "progress" around the room, i.e. one person moves up the table sequence and one person moves down. On arriving at the new table, the next hand is played. By convention the pair who sits has shuffled and deals after the arriving pair has cut the pack. A progressive whist drive is normally 24 hands, with each hand being a different trump. Trumps normally follow the sequence: hearts, clubs, diamonds, spades. Sometimes a break for refreshments is taken after 12 hands. Literary references Three of Arthur Conan Doyle's Sherlock Holmes detective stories feature whist. In "The Adventure of the Empty House," Ronald Adair plays whist at one of his clubs shortly before he is murdered. In "The Adventure of the Devil's Foot," Brenda Tregennis plays whist with her brothers George, Mortimer and Owen shortly before she is murdered. In "The Red-Headed League," the banker Mr. Merryweather complains that he is missing his regular rubber of whist in order to help Holmes catch a bank robber. Barbey d'Aurevilly, in a story from Les diaboliques, The Underside of the Cards of a Game of Whist, traces the secret affair between a lady and an expert whist player, |
in an illustration by William Meade Prince as part of an advertising campaign by Parke-Davis who marketed digitalis preparations. There is no mention of a Mother Hutton in Withering's works or anyone else's and no mention of him meeting any old woman directly. In his account he states that he is merely asked to comment on a family recipe that was originally an old woman's receipt or recipe (that she had long kept secret) by a colleague. Since 1928, Mother Hutton's status has grown from being an image in an advertising poster to an acclaimed wise woman, herbalist, pharmacist and medical practitioner in Shropshire who was cheated out of her true recognition by Dr. Withering's unscrupulous methods. The story often written around this is also totally apocryphal. Withering was in fact informed of the Brasenose College, Oxford case by one of his medical colleagues Dr. Ash at Birmingham Hospital and the Dean was treated with digitalis root not leaves. The myth of Mother Hutton and how Withering chased her around Shropshire has been created by authors not going back to primary sources but instead copying and then embellishing the unreferenced work of others. See "Withering and The Foxglove; the making of a myth" by D.M. Krikler British Heart Journal 1985 54: 256-257. In Withering's Account of the Foxglove printed in 1785 Withering mentions seven different occasions when foxglove was brought to his attention. Recognising that foxglove was the active ingredient in a family recipe (that was long kept secret by an old woman in Shropshire) would not have been difficult with his expert botanical knowledge. Withering had first published his Botanical Arrangement in 1776 and in it suggested foxglove deserved looking at in more detail. Erasmus Darwin tried to take the credit for foxglove and failed. Erasmus Darwin then attempted to try and discredit Withering behind the scenes with the unwitting help of his son Robert having earlier used the thesis of his dead son Charles to try and establish priority. Charles Darwin in fact had been friendly with Withering (as had Robert) and had talked in Edinburgh University about Withering's experiments with foxglove. Erasmus Darwin was probably jealous that Withering had become the most famous and sought after doctor outside London and that Withering's English Botanical Arrangement became the standard reference source and far exceeded the botanical publications of Erasmus (all published semi-anonymously) in popularity. Withering's Botanical Arrangement, although now almost forgotten, became the standard reference for English Botany for almost the next 100 years. Chemistry and geology Withering was an enthusiastic chemist and geologist. He conducted a series of experiments on Terra Ponderosa, a heavy ore from Cumberland, England. He deduced that it contained a hitherto undescribed element which he was unable to characterise. It was later shown to be barium carbonate and in 1789 the German geologist Abraham Gottlob Werner named the mineral Witherite in his honour. The Matthew Boulton mineral collection of Birmingham Museum and Art Gallery may contain one of the earliest known specimens of witherite. A label in Boulton's handwriting records; "No.2 Terra Ponderosa Aerata, given me by Dr. Withering" Withering also undertook analyses of the mineral content of a number of spa waters in England and abroad, notably at the medicinal spa at Caldas da Rainha in Portugal. This latter undertaking occurred during the winter of 1793-4, and he was subsequently elected to the Fellowship of the Royal Academy of Sciences of Portugal. Memorials He was buried on 10 October 1799 in Edgbaston Old Church next to Edgbaston Hall, Birmingham, although the exact site of his grave is unknown. The memorial stone, now moved inside the church, has foxgloves and Witheringia solanaceae carved upon it to commemorate his discovery and his wider contribution to botany. He is also remembered by one of the Lunar Society Moonstones in Birmingham and by a blue plaque at Edgbaston Hall. Birmingham University School of Medicine established a Chair of Medicine post in his honour, named after him. In July 2011 a J D Wetherspoon public house opened in Withering's birthplace, Wellington, and has been named after him. Publications This list is drawn from Sheldon, 2004: 1766 Dissertation on angina gangrenosa 1773 "Experiments on different kinds of Marle found in Staffordshire" Phil Trans. 63: 161-2 1779 "An account of the scarlet fever and sore throat, or scarlatina; particularly as it appeared at Birmingham in the year 1778" Publ Cadell London 1782 "An analysis of two mineral substance, vz. the Rowley rag-stone and the toad stone" Phil Trans 72: 327-36 1783 "Outlines of mineralogy" Publ Cadell, London (a translation of Bergmann's Latin original) 1784 "Experiments and observations on the terra ponderosa" Phil trans 74: 293-311 1785 "An account of the foxglove and some of its medical uses; with practical remarks on the dropsy, and some other diseases" Publ Swinney, Birmingham 1787 "A botanical arrangement of British plants..." 2nd ed. Publ Swinney, London 1788 Letter to Joseph Priestley on the principle of acidity, the decomposition of water. Phil Trans 78: 319-330 1790 "An account of some extraordinary effects of lightning" Phil Trans 80: 293-5 1793 "An account of the scarlet fever and sore throat..." | on 28 September, he died on 6 October 1799. Botany In 1776, he published The botanical arrangement of all the vegetables naturally growing in Great Britain, an early and influential British Flora. It was the first in English based on the then new Linnaean taxonomy — a classification of all living things — devised by the Swedish botanist and physician Carl Linnaeus (1707–1778). At the time he was criticised for having produced a bowdlerised version of Linnaeus, deliberately omitting any references to sexual reproduction, out of a desire to protect 'female modesty', notably by 'A Botanical Society, at Lichfield' - almost always incorrectly named as The Botanical Society of Lichfield or the Lichfield Botanical Society. Withering explained on the title page and his introduction that he avoided being explicit to allow his book to be used without any problems by a wider audience and in particular women. However he found support for his position, and botany was considered a subject suitable for many women during the next century. A talented illustrator herself, his wife, Helena, sketched plants he collected. Withering wrote two more editions of this work in 1787 and 1792, in collaboration with fellow Lunar Society member Jonathan Stokes, and after his death his son (also William) published four more. It continued being published under various authors until 1877. Withering senior also carried out pioneering work into the identification of fungi and invented a folding pocket microscope for use on botanical field trips. He also introduced to the general audience the screw down plant press and the vasculum. In 1787 he was elected a Fellow of the Linnaean Society in recognition of his contribution to botany. Subsequently, the plant Witheringia solanacea was named in his honour, and he became known on the continent of Europe as "The English Linnaeus". The William Withering Chair in Medicine at the University of Birmingham Medical School is named after him, as is the medical school's annual William Withering Lecture. Discovery of digitalis Allegedly, Withering first learned of the use of digitalis in treating "dropsy" (œdema) from "Mother Hutton", an old woman who practised as a folk herbalist in Shropshire, who used the plant as part of a polyherbal formulation containing over 20 different ingredients to successfully treat this condition. Withering deduced that digitalis was the active ingredient in the formulation, and over the ensuing nine years he carefully tried out different preparations of various parts of the plant (collected in different seasons) documenting 156 cases where he had employed digitalis, and describing the effects and the best - and safest - way of using it. At least one of these cases was a patient for whom Erasmus Darwin had asked Withering for his second opinion. In January 1785 Darwin submitted a paper entitled "An Account of the Successful Use of Foxglove in Some Dropsies and in Pulmonary Consumption" to the College of Physicians in London; it was presented by Darwin in March of that year. A postscript at the end of the published volume of transactions containing Darwin's paper states that "Whilst the last pages of this volume were in the press, Dr Withering of Birmingham... published a numerous collection of cases in which foxglove has been given, and frequently with good success". After this, Darwin and Withering became increasingly estranged, and eventually a argument broke out apparently resulting from Robert Darwin having accused Withering of unprofessional behaviour by effectively poaching patients. This is a very early example of medical academic plagiarism. This was in reality orchestrated by Erasmus Darwin, a man whose anger and sarcasm when he felt slighted had in all likelihood contributed to the suicide of his own son and later to the estrangement of his son Robert. In reality "Mother Hutton" was created in 1928 in an illustration by William Meade Prince as part of an advertising campaign by Parke-Davis who marketed digitalis preparations. There is no mention of a Mother Hutton in Withering's works or anyone else's and no mention of him meeting any old woman directly. In his account he states that he is merely asked to comment on a family recipe that was originally an old woman's receipt or recipe (that she had long kept secret) by a colleague. Since 1928, Mother Hutton's status has grown from being an image in an advertising poster to an acclaimed wise woman, herbalist, pharmacist and medical practitioner in Shropshire who was cheated out of her true recognition by Dr. Withering's unscrupulous methods. The story often written around this is also totally apocryphal. Withering was in fact informed of the Brasenose College, Oxford case by one of his medical colleagues Dr. Ash at Birmingham Hospital and the Dean was treated with digitalis root not leaves. The myth of Mother Hutton and how Withering chased her around Shropshire has been created by authors not going back to primary sources but instead copying and then embellishing the unreferenced work of others. See "Withering and The Foxglove; the making of a myth" by D.M. Krikler British Heart Journal 1985 54: 256-257. In Withering's Account of the Foxglove printed in 1785 Withering mentions seven different occasions when foxglove was brought to his attention. Recognising that foxglove was the active ingredient in a family recipe (that was long kept secret by an old woman in Shropshire) would not have been difficult with his expert botanical knowledge. Withering had first published his Botanical Arrangement in 1776 and in it suggested foxglove deserved looking at in more detail. Erasmus Darwin tried to take the credit for foxglove and failed. Erasmus Darwin then attempted to try and discredit Withering behind the scenes with the unwitting help of his son Robert having earlier used the thesis of his dead son Charles to try and establish priority. Charles Darwin in fact |
experience with an elephant named Toung Taloung that he billed as the "Sacred White Elephant of Burma". After much effort and great expense, Barnum finally acquired the animal from the King of Siam only to discover that his "white elephant" was actually dirty grey in color with a few pink spots. The expressions "white elephant" and "gift of a white elephant" came into common use in the middle of the nineteenth century. The phrase was attached to "white elephant swaps" and "white elephant sales" in the early twentieth century. Many church bazaars held "white elephant sales" where donors could unload unwanted bric-à-brac, generating profit from the phenomenon that "one man’s trash is another man’s treasure" and the term has continued to be used in this context. In modern usage, the term now often refers in addition to an extremely expensive building project that fails to deliver on its function or becomes very costly to maintain. Examples include prestigious but uneconomic infrastructure projects such as airports, dams, bridges, shopping malls and football stadiums. The American Oakland Athletics baseball team has used a white elephant as a symbol and usually its main or alternate logo since 1902, originally in sarcastic defiance of John McGraw's 1902 characterization of the new team as a "white elephant". The Dubai Central airport in Dubai has also been named a white elephant. The term has also been applied to outdated or underperforming military projects like the U.S. Navy's Alaska-class cruiser. In Austria, the term "white elephant" means workers who have little or no use, but are not terminable. See also White elephant gift exchange Bridge to nowhere Escalation of commitment (sunk cost fallacy) Pork barrel Abul-Abbas References Further reading Contains a chapter | was great. Monarchs often exemplified their possession of white elephants in their formal titles (e.g., Hsinbyushin, and the third monarch of the Konbaung dynasty). Because the animals were considered sacred and laws protected them from labor, receiving a gift of a white elephant from a monarch was simultaneously a blessing and a curse. It was a blessing because the animal was sacred and a sign of the monarch's favour, and a curse because the recipient now had an expensive-to-maintain animal he could not give away and could not put to much practical use. In the West, the term "white elephant", relating to an expensive burden that fails to meet expectations, was first used in the 17th century and became widespread in the 19th century. According to one source it was popularized following P. T. Barnum's experience with an elephant named Toung Taloung that he billed as the "Sacred White Elephant of Burma". After much effort and great expense, Barnum finally acquired the animal from the King of Siam only to discover that his "white elephant" was actually dirty grey in color with a few |
Rome, highways 6 and 7, as the only possibilities; Highway 7 (the old Roman Appian Way) followed along the west coast but south of Rome ran into the Pontine Marshes, which the Germans had flooded. Highway 6 ran through the Liri valley, dominated at its south entrance by the rugged mass of Monte Cassino above the town of Cassino. Excellent observation from the peaks of several hills allowed the German defenders to detect Allied movement and direct highly accurate artillery fire, preventing any northward advance. Running across the Allied line was the fast flowing Rapido River, which rose in the central Apennine Mountains, flowed through Cassino (joining to the Gari River, which was erroneously identified as the Rapido) and across the entrance to the Liri valley. There the Liri river joined the Gari to form the Garigliano River, which continued on to the sea. With its heavily fortified mountain defences, difficult river crossings, and valley head flooded by the Germans, Cassino formed a linchpin of the Gustav Line, the most formidable line of the defensive positions making up the Winter Line. In spite of its potential excellence as an observation post, because of the fourteen-century-old Benedictine abbey's historical significance, the German commander in Italy, Generalfeldmarschall Albert Kesselring, ordered German units not to include it in their defensive positions and informed the Vatican and the Allies accordingly in December 1943. Nevertheless, some Allied reconnaissance aircraft maintained they observed German troops inside the monastery. While this remains unconfirmed, it is clear that once the monastery was destroyed it was occupied by the Germans and proved better cover for their emplacements and troops than an intact structure would have offered. First battle Plans and preparation The plan of the Fifth Army commander, Lieutenant General Clark, was for the British X Corps, under Lieutenant General Richard McCreery, on the left of a thirty-kilometer (20 mi) front, to attack on 17 January 1944, across the Garigliano near the coast (5th and 56th Infantry Divisions). The British 46th Infantry Division was to attack on the night of 19 January across the Garigliano below its junction with the Liri in support of the main attack by U.S. II Corps, under Major General Geoffrey Keyes, on their right. The main central thrust by the U.S. II Corps would commence on 20 January with the U.S. 36th Infantry Division making an assault across the swollen Gari river five miles (8 km) downstream of Cassino. Simultaneously the French Expeditionary Corps (CEF), under General Alphonse Juin would continue its "right hook" move towards Monte Cairo, the hinge to the Gustav and Hitler defensive lines. In truth, Clark did not believe there was much chance of an early breakthrough, but he felt that the attacks would draw German reserves away from the Rome area in time for the attack on Anzio (codenamed Operation Shingle) where the U.S. VI Corps (British 1st and U.S. 3rd Infantry Divisions, the 504th Parachute Regimental Combat Team, U.S. Army Rangers and British Commandos, Combat Command 'B' of the U.S. 1st Armored Division, along with supporting units), under Major General John P. Lucas, was due to make an amphibious landing on 22 January. It was hoped that the Anzio landing, with the benefit of surprise and a rapid move inland to the Alban Hills, which command both routes 6 and 7, would so threaten the Gustav defenders' rear and supply lines that it might just unsettle the German commanders and cause them to withdraw from the Gustav Line to positions north of Rome. Whilst this would have been consistent with the German tactics of the previous three months, Allied intelligence had not understood that the strategy of fighting retreat had been for the sole purpose of providing time to prepare the Gustav line where the Germans intended to stand firm. The intelligence assessment of Allied prospects was therefore over-optimistic. The Fifth Army had only reached the Gustav Line on 15 January, having taken six weeks of heavy fighting to advance the last seven miles (11 km) through the Bernhardt Line positions, during which time they had sustained 16,000 casualties. They hardly had time to prepare the new assault, let alone take the rest and reorganization they really needed after three months of attritional fighting north from Naples. However, because the Allied Combined Chiefs of Staff would only make landing craft available until early February, as they were required for Operation Overlord, the Allied invasion of Northern France, Operation Shingle had to take place in late January with the coordinated attack on the Gustav Line some three days earlier. First assault: X Corps on the left, 17 January The first assault was made on 17 January. Near the coast, the British X Corps (56th and 5th Divisions) forced a crossing of the Garigliano (followed some two days later by the British 46th Division on their right) causing General Fridolin von Senger und Etterlin, commander of the German XIV Panzer Corps, and responsible for the Gustav defences on the south western half of the line, some serious concern as to the ability of the German 94th Infantry Division to hold the line. Responding to Senger's concerns, Kesselring ordered the 29th and 90th Panzergrenadier Divisions from the Rome area to provide reinforcement. There is some speculation as to what might have been if X Corps had had the reserves available to exploit their success and make a decisive breakthrough. The corps did not have the extra men, but there would certainly have been time to alter the overall battle plan and cancel or modify the central attack by the U.S. II Corps to make men available to force the issue in the south before the German reinforcements were able to get into position. As it happened, Fifth Army HQ failed to appreciate the frailty of the German position and the plan was unchanged. The two divisions from Rome arrived by 21 January and stabilized the German position in the south. In one respect, however, the plan was working in that Kesselring's reserves had been drawn south. The three divisions of Lieutenant General McCreery's X Corps sustained some 4,000 casualties during the period of the first battle. Main attack: II Corps in the centre, 20 January The central thrust by the U.S. 36th Division, under Major General Fred L. Walker, commenced three hours after sunset on 20 January. The lack of time to prepare meant that the approach to the river was still hazardous due to uncleared mines and booby traps and the highly technical business of an opposed river crossing lacked the necessary planning and rehearsal. Although a battalion of the 143rd Infantry Regiment was able to get across the Gari on the south side of San Angelo and two companies of the 141st Infantry Regiment on the north side, they were isolated for most of the time and at no time was Allied armour able to get across the river, leaving them highly vulnerable to counter-attacking tanks and self-propelled guns of Generalleutnant Eberhard Rodt's 15th Panzergrenadier Division. The southern group was forced back across the river by mid-morning of 21 January. Keyes pressed Walker to renew the attack immediately. Once again the two regiments attacked but with no more success against the well dug-in 15th Panzergrenadier Division: the 143rd Infantry Regiment got the equivalent of two battalions across, but, once again, there was no armoured support and they were devastated when daylight came the next day. The 141st Infantry Regiment also crossed in two battalion strength and, despite the lack of armoured support, managed to advance . However, with the coming of daylight, they too were cut down and by the evening of 22 January, the 141st Infantry Regiment had virtually ceased to exist; only 40 men made it back to the Allied lines. Rick Atkinson described the intense German resistance: The assault had been a costly failure, with the 36th Division losing 2,100 men killed, wounded and missing in 48 hours. As a result, the army's conduct of this battle became the subject of a Congressional inquiry after the war. II Corps try north of Cassino: 24 January The next attack was launched on 24 January. The U.S. II Corps, with 34th Infantry Division under Major General Charles W. Ryder spearheading the attack and French colonial troops on its right flank, launched an assault across the flooded Rapido valley north of Cassino and into the mountains behind with the intention of then wheeling to the left and attacking Monte Cassino from high ground. Whilst the task of crossing the river would be easier in that the Rapido upstream of Cassino was fordable, the flooding made movement on the approaches each side very difficult. In particular, armour could only move on paths laid with steel matting and it took eight days of bloody fighting across the waterlogged ground for 34th Division to push back General Franek's German 44th Infantry Division to establish a foothold in the mountains. French Corps halted on the right flank On the right, the Moroccan-French troops made good initial progress against the German 5th Mountain Division, commanded by General Julius Ringel, gaining positions on the slopes of their key objective, Monte Cifalco. Forward units of the 3rd Algerian Infantry Division had also by-passed Monte Cifalco to capture Monte Belvedere and Colle Abate. General Juin was convinced that Cassino could be bypassed and the German defences unhinged by this northerly route but his request for reserves to maintain the momentum of his advance was refused and the one available reserve regiment (from 36th Division) was sent to reinforce 34th Division. By 31 January the French had ground to a halt with Monte Cifalco, which had a clear view of the French and U.S. flanks and supply lines, still in German hands. The two Moroccan-French divisions sustained 2,500 casualties in their struggles around Colle Belvedere. II Corps in the mountains north of Cassino It became the task of the U.S. 34th Division (joined temporarily by the 142nd Infantry Regiment of the 36th Division, which had been held in reserve and unused during the Rapido crossing) to fight southward along the linked hilltops towards the intersecting ridge on the south end of which was Monastery Hill. They could then break through down into the Liri valley behind the Gustav Line defences. It was very tough going: the mountains were rocky, strewn with boulders and cut by ravines and gullies. Digging foxholes on the rocky ground was out of the question and each feature was exposed to fire from surrounding high points. The ravines were no better since the gorse growing there, far from giving cover, had been sown with mines, booby-traps and hidden barbed wire by the defenders. The Germans had had three months to prepare their defensive positions using dynamite and to stockpile ammunition and stores. There was no natural shelter and the weather was wet and freezing cold. By early February, American infantry had captured a strategic point near the hamlet of San Onofrio, less than from the abbey and by 7 February a battalion had reached Point 445, a round-topped hill immediately below the monastery and no more than away. An American squad managed a reconnaissance right up against the cliff-like abbey walls, with the monks observing German and American patrols exchanging fire. However, attempts to take Monte Cassino were broken by overwhelming machine gun fire from the slopes below the monastery. Despite their fierce fighting, the 34th Division never managed to take the final redoubts on Hill 593 (known to the Germans as Calvary Mount), held by the 3rd Battalion of the 2nd Parachute Regiment, part of the 1st Parachute Division, the dominating point of the ridge to the monastery. Aftermath On 11 February, after a final unsuccessful 3-day assault on Monastery Hill and Cassino town, the Americans were withdrawn. U.S. II Corps, after two and a half weeks of battle, was worn out. The performance of the 34th Division in the mountains is considered to rank as one of the finest feats of arms carried out by any soldiers during the war. In return they sustained losses of about 80 per cent in the Infantry battalions, some 2,200 casualties. At the height of the battle in the first days of February von Senger und Etterlin had moved the 90th Division from the Garigliano front to the north of Cassino and had been so alarmed at the rate of attrition, he had "mustered all the weight of my authority to request that the Battle of Cassino should be broken off and that we should occupy a quite new line. ... a position, in fact, north of the Anzio bridgehead". Kesselring refused the request. At the crucial moment von Senger was able to throw in the 71st Infantry Division whilst leaving the 15th Panzergrenadier Division (whom they had been due to relieve) in place. During the battle, there had been occasions when with more astute use of reserves, promising positions might have been turned into decisive moves. Some historians suggest this failure to capitalize on initial success could be put down to Clark's lack of experience. However, it is more likely that he just had too much to do, being responsible for both the Cassino and Anzio offensives. This view is supported by the inability of Major General Lucian Truscott, commanding the U.S. 3rd Infantry Division, as related below, to get hold of him for discussions at a vital juncture of the Anzio breakout at the time of the fourth Cassino battle. Whilst General Alexander, C-in-C of the AAI, chose (for perfectly logical co-ordination arguments) to have Cassino and Anzio under a single army commander and splitting the Gustav Line front between the U.S. Fifth Army and the British Eighth Army, now commanded by Lieutenant General Sir Oliver Leese, Kesselring chose to create a separate 14th Army under General Eberhard von Mackensen to fight at Anzio whilst leaving the Gustav Line in the sole hands of General Heinrich von Vietinghoff's 10th Army. The withdrawn American units were replaced by the New Zealand Corps (2nd New Zealand and 4th Indian Divisions), commanded by Lieutenant General Sir Bernard Freyberg, from the Eighth Army on the Adriatic front. Second battle (Operation Avenger) Background With U.S. VI Corps under heavy threat at Anzio, Freyberg was under equal pressure to launch a relieving action at Cassino. Once again, therefore, the battle commenced without the attackers being fully prepared. As well, Corps HQ did not fully appreciate the difficulty in getting the 4th Indian Infantry Division into place in the mountains and supplying them on the ridges and valleys north of Cassino. This was evidenced in the writing of Maj. Gen. Howard Kippenberger, commander of New Zealand 2nd Division, after the war: Freyberg's plan was a continuation of the first battle: an attack from the north along the mountain ridges and an attack from the southeast along the railway line and to capture the railway station across the Rapido less than south of Cassino town. Success would pinch out Cassino town and open up the Liri valley. Freyberg had informed his superiors that he believed, given the circumstances, there was no better than a 50 percent chance of success for the offensive. Destruction of the abbey Increasingly, the opinions of certain Allied officers were fixed on the great abbey of Monte Cassino: in their view it was the abbey – and its presumed use as a German artillery observation point – that prevented the breach of the 'Gustav Line'. The British press and C. L. Sulzberger of The New York Times frequently and convincingly and in (often manufactured) detail wrote of German observation posts and artillery positions inside the abbey. The commander in chief of the Mediterranean Allied Air Forces Lieutenant General Ira C. Eaker accompanied by Lieutenant General Jacob L. Devers (deputy to General Sir Henry Maitland Wilson, the Supreme Allied Commander of the Mediterranean Theater) personally observed during a fly-over "a radio mast ... German uniforms hanging on a clothesline in the abbey courtyard; [and] machine gun emplacements from the abbey walls." Countering this, U.S. II Corps commander Geoffrey Keyes also flew over the monastery several times, reporting to Fifth Army G-2 he had seen no evidence that the Germans were in the abbey. When informed of others' claims of having seen enemy troops there, he stated: "They've been looking so long they're seeing things." Kippenberger of the New Zealand Corps HQ held it was their view the monastery was probably being used as the Germans' main vantage point for artillery spotting since it was so perfectly situated for it no army could refrain. There is no clear evidence it was, but he went on to write that from a military point of view it was immaterial: Major General Francis Tuker, whose 4th Indian Division would have the task of attacking Monastery Hill, had made his own appraisal of the situation. In the absence of detailed intelligence at Fifth Army HQ, he had found a book dated 1879 in a Naples bookshop giving details of the construction of the abbey. In his memorandum to Freyberg he concluded that regardless of whether the monastery was currently occupied by the Germans, it should be demolished to prevent its effective occupation. He also pointed out that with high walls made of masonry at least thick, there were no practical means for field engineers to deal with the place and that bombing with "blockbuster" bombs would be the only solution since 1,000 pound bombs would be "next to useless". Tuker said he could not be induced to attack unless "the garrison was reduced to helpless lunacy by sheer unending pounding for days and nights by air and artillery". On 11 February 1944, the acting commander of the 4th Indian Division, Brigadier Dimoline, requested a bombing raid. Tuker reiterated again his case from a hospital bed in Caserta, where he was suffering a severe attack of a recurrent tropical fever. Freyberg transmitted his request on 12 February. The request, however, was greatly expanded by air force planners and probably supported by Eaker and Devers, who sought to use the opportunity to showcase the abilities of U.S. Army air power to support ground operations. Clark and his chief of staff Major General Alfred Gruenther remained unconvinced of the "military necessity". When handing over the U.S. II Corps position to the New Zealand Corps, Brigadier General J.A. Butler, deputy commander of U.S. 34th Division, had said "I don't know, but I don't believe the enemy is in the convent. All the fire has been from the slopes of the hill below the wall". Finally Clark, "who did not want the monastery bombed", pinned down the Commander-in-Chief Allied Armies in Italy, Alexander, to take the responsibility: "I said, 'You give me a direct order and we'll do it,' and he did." The bombing mission in the morning of 15 February 1944 involved 142 Boeing B-17 Flying Fortress heavy bombers followed by 47 North American B-25 Mitchell and 40 Martin B-26 Marauder medium bombers. In all they dropped 1,150 tons of high explosives and incendiary bombs on the abbey, reducing the entire top of Monte Cassino to a smoking mass of rubble. Between bomb runs, the II Corps artillery pounded the mountain. Many Allied soldiers and war correspondents cheered as they observed the spectacle. Eaker and Devers watched; Juin was heard to remark "no, they'll never get anywhere this way." Clark and Gruenther refused to be on the scene and stayed at their headquarters. That same afternoon and the next day an aggressive follow-up of artillery and a raid by 59 fighter bombers wreaked further destruction. The German positions on Point 593 above and behind the monastery were untouched. Damningly, the air raid had not been coordinated with ground commands and an immediate infantry follow-up failed to materialize. Its timing had been driven by the Air Force regarding it as a separate operation, considering the weather and requirements on other fronts and theaters without reference to ground forces. Many of the troops had only taken over their positions from II Corps two days previously and besides the difficulties in the mountains, preparations in the valley had also been held up by difficulties in supplying the newly installed troops with sufficient material for a full-scale assault because of incessantly foul weather, flooding and waterlogged ground. As a result, Indian troops on the Snake's Head were taken by surprise, while the New Zealand Corps was two days away from being ready to launch their main assault. After the bombing Pope Pius XII was silent after the bombing; however, his Cardinal Secretary of State, Luigi Maglione, bluntly stated to the senior U.S. diplomat to the Vatican, Harold Tittmann, that the bombing was "a colossal blunder … a piece of a gross stupidity". It is certain from every investigation that followed since the event that the only people killed in the monastery by the bombing were 230 Italian civilians seeking refuge in the abbey. There is no evidence that the bombs dropped on the Monte Cassino monastery that day killed any German troops. However, | Sant'Anselmo all'Aventino. On 18 February, the abbot met the commander of XIV Panzer Corps, Lieutenant-General Fridolin von Senger und Etterlin. One monk, Carlomanno Pellagalli, returned to the abbey; when he was later seen wandering the ruins, the German paratroopers thought he was a ghost. After 3 April, he was not seen again. It is now known that the Germans had an agreement not to use the abbey for military purposes. Following its destruction, paratroopers of the German 1st Parachute Division then occupied the ruins of the abbey and turned it into a fortress and observation post, which became a serious problem for the attacking Allied forces. Battle On the night following the bombing, a company of the 1st Battalion, Royal Sussex Regiment (one of the British elements in 4th Indian Division) serving in 7th Indian Infantry Brigade attacked the key point 593 from their position away on Snakeshead Ridge. The assault failed, with the company sustaining 50 per cent casualties. The following night the Royal Sussex Regiment was ordered to attack in battalion strength. There was a calamitous start. Artillery could not be used in direct support targeting point 593 because of the proximity and risk of shelling friendly troops. It was planned therefore to shell point 575 which had been providing supporting fire to the defenders of point 593. The topography of the land meant that shells fired at 575 had to pass very low over Snakeshead Ridge and in the event some fell among the gathering assault companies. After reorganising, the attack went in at midnight. The fighting was brutal and often hand to hand, but the determined defence held and the Royal Sussex battalion was beaten off, once again sustaining over 50 per cent casualties. Over the two nights, the Royal Sussex Regiment lost 12 out of 15 officers and 162 out of 313 men who took part in the attack. On the night of 17 February, the main assault took place. The 4/6th Rajputana Rifles would take on the assault of point 593 along Snakeshead Ridge with the depleted Royal Sussex Regiment held in reserve. 1/9th Gurkha Rifles was to attack Point 444. In the meantime, the 1/2nd Gurkha Rifles were to sweep across the slopes and ravines in a direct assault on the monastery. This latter was across appalling terrain, but it was hoped that the Gurkhas, so expert in mountain terrain, would succeed. This proved a faint hope. Once again the fighting was brutal, but no progress was made and casualties heavy. The Rajputanas lost 196 officers and men, the 1/9th Gurkhas 149 and the 1/2nd Gurkhas 96. It became clear that the attack had failed and on 18 February Dimoline and Freyberg called off the attacks on Monastery Hill. In the other half of the main assault, the two companies from 28th (Māori) Battalion from the New Zealand Division forced a crossing of the Rapido and attempted to gain the railway station in Cassino town. The intention was to take a perimeter that would allow engineers to build a causeway for armoured support. With the aid of a near constant smoke screen laid down by Allied artillery that obscured their location to the German batteries on Monastery Hill, the Māori were able to hold their positions for much of the day. Their isolation and lack of both armoured support and anti-tank guns made for a hopeless situation, however, when an armoured counter-attack by two tanks came in the afternoon on 18 February. They were ordered to pull back to the river when it became clear to headquarters that both the attempts to break through (in the mountains and along the causeway) would not succeed. It had been very close. The Germans had been very alarmed by the capture of the station and from a conversation on record between Kesselring and von Vietinghoff, had not expected their counter-attack to succeed. Third battle Plans For the third battle, it was decided that whilst the winter weather persisted, fording the Garigliano river downstream of Cassino town was an unattractive option (after the unhappy experiences in the first two battles). The "right hook" in the mountains had also been a costly failure and it was decided to launch twin attacks from the north along the Rapido valley: one towards the fortified Cassino town and the other towards Monastery Hill. The idea was to clear the path through the bottleneck between these two features to allow access towards the station on the south and so to the Liri valley. British 78th Infantry Division, which had arrived in late February and placed under the command of New Zealand Corps, would then cross the Rapido downstream of Cassino and start the push to Rome. None of the Allied commanders were very happy with the plan, but it was hoped that an unprecedented preliminary bombing by heavy bombers would prove the trump. Three clear days of good weather were required and for twenty one successive days the assault was postponed as the troops waited in the freezing wet positions for a favourable weather forecast. Matters were not helped by the loss of Kippenberger, wounded by an anti-personnel mine and losing both his feet. He was replaced by Brigadier Graham Parkinson; a German counter-attack at Anzio had failed and been called off. The battle The third battle began 15 March. After a bombardment of 750 tons of 1,000-pound bombs with delayed action fuses, starting at 08:30 and lasting three and a half hours, the New Zealanders advanced behind a creeping artillery barrage from 746 artillery pieces. Success depended on taking advantage of the paralysing effect of the bombing. The bombing was not concentrated – only 50 per cent landed a mile or less from the target point and 8 per cent within 1,000 yards but between it and the shelling about half the 300 paratroopers in the town had been killed. The defences rallied more quickly than expected and the Allied armour was held up by bomb craters. Nevertheless, success was there for the New Zealanders' taking, but by the time a follow-up assault on the left had been ordered that evening it was too late: defences had reorganised and more critically, the rain, contrary to forecast, had started again. Torrents of rain flooded bomb craters, turned rubble into a morass and blotted out communications, the radio sets being incapable of surviving the constant immersion. The dark rain clouds also blotted out the moonlight, hindering the task of clearing routes through the ruins. On the right, the New Zealanders had captured Castle Hill and point 165 and as planned, elements of the Indian 4th Infantry Division, now commanded by Major General Alexander Galloway, had passed through to attack point 236 and thence to point 435, Hangman's Hill. In the confusion of the fight, a company of the 1/9th Gurkha Rifles had taken a track avoiding point 236 and captured point 435 whilst the assault on point 236 by the 1/6th Rajputana Rifles had been repelled. By the end of 17 March, the Gurkhas held Hangman's Hill (point 435), from the monastery, in battalion strength (although their lines of supply were compromised by the German positions at point 236 and in the northern part of the town) and whilst the town was still fiercely defended, New Zealand units and armour had got through the bottleneck and captured the station. However, the Germans were still able to reinforce their troops in the town and were proving adept at slipping snipers back into parts of the town that had supposedly been cleared. 19 March was planned for the decisive blow in the town and on the monastery, including a surprise attack by tanks of 20th Armoured Regiment working their way along an old logging road ("Cavendish Road") from Caira to Albaneta Farm (which had been prepared by engineer units under the cover of darkness) and from there towards the abbey. However, a surprise and fiercely pressed counter-attack from the monastery on Castle Hill by the German 1st Parachute Division completely disrupted any possibility of an assault on the monastery from the Castle and Hangman's Hill whilst the tanks, lacking infantry support, were all knocked out by mid-afternoon. In the town the attackers made little progress and overall the initiative was passing to the Germans whose positions close to Castle Hill, which was the gateway to the position on Monastery Hill, crippled any prospects of early success. On 20 March Freyberg committed elements of the 78th Infantry Division to the battle; firstly to provide a greater troop presence in the town so that cleared areas would not be reinfiltrated by the Germans and secondly to reinforce Castle Hill to allow troops to be released to close off the two routes between Castle Hill and Points 175 and 165 being used by the Germans to reinforce the defenders in the town. The Allied commanders felt they were on the brink of success as grim fighting continued through 21 March. However, the defenders were resolute and the attack on Point 445 to block the German reinforcement route had narrowly failed whilst in the town Allied gains were measured only house by house. On 23 March Alexander met with his commanders. A range of opinions was expressed as to the possibility of victory but it was evident that the New Zealand and Indian Divisions were exhausted. Freyberg was convinced that the attack could not continue and he called it off. The German 1st Parachute Division had taken a mauling but had held. Aftermath The next three days were spent stabilizing the front, extracting the isolated Gurkhas from Hangman's Hill and the detachment from New Zealand 24th Battalion which had held Point 202 in similar isolation. The Allied line was reorganised with the exhausted 4th Indian Division and 2nd New Zealand Division withdrawn and replaced respectively in the mountains by the British 78th Division and in the town by British 1st Guards Brigade. The New Zealand Corps headquarters was dissolved on 26 March and control was assumed by British XIII Corps. In their time on the Cassino front line the 4th Indian Division had lost 3,000 men and the 2nd New Zealand Division 1,600 men killed, missing and wounded. The German defenders too had paid a heavy price. The German XIV Corps War Diary for 23 March noted that the battalions in the front line had strengths varying between 40 and 120 men. Fourth and final battle Alexander's strategy Alexander's strategy in Italy was to "force the enemy to commit the maximum number of divisions in Italy at the time the cross-channel invasion [of Normandy] is launched". Circumstances allowed him the time to prepare a major offensive to achieve this. His plan, originally inspired from Juin's idea to circle around Cassino and take the Aurunci with his mountain troops to break the Gustav Line, was to shift the bulk of the British Eighth Army, commanded by Lieutenant-General Sir Oliver Leese, from the Adriatic front across the spine of Italy to join Clark's Fifth Army and attack along a front between Cassino and the sea. Fifth Army (U.S. II Corps and French Expeditionary Corps) would be on the left and Eighth Army (British XIII Corps and Polish II Corps) on the right. With the arrival of the spring weather, ground conditions were improved and it would be possible to deploy large formations and armour effectively. Planning and preparation The plan for Operation Diadem was that U.S. II Corps on the left would attack up the coast along the line of Route 7 towards Rome. The French Corps to their right would attack from the bridgehead across the Garigliano originally created by British X Corps in the first battle in January into the Aurunci Mountains which formed a barrier between the coastal plain and the Liri Valley. British XIII Corps in the centre right of the front would attack along the Liri valley. On the right Polish II Corps (3rd and 5th Divisions) commanded by Lieutenant General Władysław Anders, had relieved the British 78th Division in the mountains behind Cassino on 24 April and would attempt the task which had defeated 4th Indian Division in February: isolate the monastery and push round behind it into the Liri valley to link with XIII Corps' thrust and pinch out the Cassino position. It was hoped that being a much larger force than their 4th Indian Division predecessors they would be able to saturate the German defences which would, as a result, be unable to give supporting fire to each other's positions. Improved weather, ground conditions and supply would also be important factors. Once again, the pinching manoeuvres by the Polish and British Corps were key to the overall success. Canadian I Corps would be held in reserve ready to exploit the expected breakthrough. Once the German 10th Army had been defeated, U.S. VI Corps would break out of the Anzio beachhead to cut off the retreating Germans in the Alban Hills. The large troop movements required for this took two months to execute. They had to be carried out in small units to maintain secrecy and surprise. U.S. 36th Division was sent on amphibious assault training and road signposts and dummy radio signal traffic were created to give the impression that a seaborne landing was being planned for north of Rome. This was planned to keep German reserves held back from the Gustav Line. Movements of troops in forward areas were confined to the hours of darkness and armoured units moving from the Adriatic front left behind dummy tanks and vehicles so the vacated areas appeared unchanged to enemy aerial reconnaissance. The deception was successful. As late as the second day of the final Cassino battle, Kesselring estimated the Allies had six divisions facing his four on the Cassino front. In fact, there were thirteen. Battle The first assault (11–12 May) on Cassino opened at 23:00 with a massive artillery bombardment with 1,060 guns on the Eighth Army front and 600 guns on the Fifth Army front, manned by British, Americans, Poles, New Zealanders, South Africans and French. Within an hour and a half the attack was in motion in all four sectors. By daylight the U.S. II Corps had made little progress, but their Fifth Army colleagues, the French Expeditionary Corps, had achieved their objectives and were fanning out in the Aurunci Mountains toward the Eighth Army to their right, rolling up the German positions between the two armies. On the Eighth Army front, British XIII Corps had made two strongly opposed crossings of the Garigliano (by British 4th Infantry Division and 8th Indian Division). Crucially, the engineers of Dudley Russell's 8th Indian Division had by the morning succeeded in bridging the river enabling the armour of 1st Canadian Armoured Brigade to cross and provide the vital element (so missed by the Americans in the first battle and New Zealanders in the second battle) to beat off the inevitable counter-attacks from German tanks that would come. In the mountains above Cassino, the aptly named Mount Calvary (Monte Calvario, or Point 593 on Snakeshead Ridge) was taken by the Polish 2nd Corps, under the command of General Władysaw Anders only to be recaptured by German paratroops. For three days Polish attacks and German counter-attacks brought heavy losses to both sides. Polish II Corps lost 281 officers and 3,503 other ranks in assaults on Oberst Ludwig Heilmann's 4th Parachute Regiment, until the attacks were called off. "Just eight hundred Germans had succeeded in driving off attacks by two divisions", the area around the mountain having turned into a "miniature Verdun". In the early morning hours of 12 May, the Polish infantry divisions were met with "such devastating mortar, artillery and small-arms fire that the leading battalions were all but wiped out". By the afternoon of 12 May, the Gari bridgeheads were increasing despite furious counter-attacks whilst the attrition on the coast and in the mountains continued. By 13 May the pressure was starting to tell. The German right wing began to give way to Fifth Army. The French Corps had captured Monte Maio and were now in a position to give material flank assistance to the Eighth Army in the Liri valley against whom Kesselring had thrown every available reserve in order to buy time to switch to his second prepared defensive position, the Hitler Line, some to the rear. On 14 May Moroccan Goumiers, travelling through the mountains parallel to the Liri valley, ground which was undefended because it was not thought possible to traverse such terrain, outflanked the German defence while materially assisting the XIII Corps in the valley. In 1943, the Goumiers were colonial troops formed into four Groupements des Tabors Marocains ("Groups of Moroccan Tabors"; GTM), each consisting of three loosely organised Tabors (roughly equivalent to a battalion) specialised in mountain warfare. Juin's French Expeditionary Corps consisted of the Commandement des Goums Marocains ("Command of Moroccan Goumiers"; CGM) (with the 1st, 3rd and 4th GTM) of General Augustin Guillaume totalling some 7,800 fighting men, broadly the same infantry strength as a division, and four more conventional divisions: the 2nd Moroccan Infantry Division (2 DIM), the 3rd Algerian Infantry Division (3 DIA), the 4th Moroccan Mountain Division (4 DMM) and the 1st Free French Division (1 DM). Clark also paid tribute to the Goumiers and the Moroccan regulars of the Tirailleur units: On 15 May, the British 78th Division with an attached armoured brigade under command came into the British XIII Corps line from reserve passing through the British 4th Infantry Division's bridgehead to execute the turning move to isolate Cassino from the Liri valley. On 17 May, General Anders led the Polish II Corps in launching their second attack on Monte Cassino. Under constant artillery and mortar fire from the strongly fortified German positions and with little natural cover for protection, the fighting was fierce and at times hand-to-hand. With their line of supply threatened by the Allied advance in the Liri valley, the Germans decided to withdraw from the Cassino heights to the new defensive positions on the Hitler Line. In the early hours of 18 May the British 78th Division and Polish II Corps linked up in the Liri valley west of Cassino town. On the Cassino high ground, the survivors of the second Polish offensive were so battered that "it took some time to find men with enough strength to climb the few hundred yards to the summit." A patrol of Polish 12th Podolian Cavalry Regiment finally made it to the heights and raised a Polish flag over the ruins. The only remnants of the defenders were a group of thirty German wounded who had been unable to move. Aftermath Hitler Line Units of the Eighth Army advanced up the Liri valley and Fifth Army up the coast to the Hitler defensive line (renamed the Senger Line at Hitler's insistence to minimise the significance if it was penetrated). An immediate follow-up assault failed and Eighth Army then decided to take some time to reorganize. Getting 20,000 vehicles and 2,000 tanks through the broken Gustav Line was a major job taking several days. The next assault on the line commenced on 23 May with Polish II Corps attacking Piedimonte San Germano (defended by the redoubtable German 1st Parachute Division) on the right and 1st Canadian Infantry Division (fresh from Eighth Army reserve) in the centre. On 24 May, the Canadians had breached the line and 5th Canadian (Armoured) Division poured through the gap. On 25 May the Poles took Piedimonte and the line collapsed. The way was clear for the advance northwards on Rome and beyond. Anzio breakout As the Canadians and Poles launched their attack on 23 May, Major General Lucian Truscott, who had replaced Lucas as commander of the U.S. VI Corps in February, launched a two pronged attack using five (three U.S. and two British) of the seven divisions in the beachhead at Anzio. The German 14th Army, facing this thrust, was without any armoured divisions because Kesselring had sent his armour south to assist the German 10th Army in the Cassino action. A single armoured division, the 26th Panzer, was in transit from north of the Italian capital of Rome where it had been held anticipating the non-existent seaborne landing the Allies had faked and so was unavailable to fight. Clark captures Rome but fails to trap German Tenth Army By 25 May, with the German 10th Army in full retreat, Truscott's VI Corps was, as planned, driving eastwards to cut them off. By the next day they would have been astride the line of retreat and 10th Army, with all Kesselring's reserves committed to them, would have been trapped. At this point, astonishingly, Clark ordered Truscott to change his line of attack from a northeasterly one to Valmontone on Route 6 to a northwesterly one directly towards Rome. Reasons for Clark's decision are unclear and controversy surrounds the issue. Most commentators point to Clark's ambition to be the first to arrive in Rome although some suggest he was concerned to give a necessary respite to his tired troops (notwithstanding the new direction of attack required his troops to make a frontal attack on the Germans' prepared defences on the Caesar C line). Truscott later wrote in his memoirs that Clark "was fearful that the British were laying devious plans to be first into Rome", a sentiment somewhat reinforced in Clark's own writings. However, General Alexander, C-in-C of the AAI, had clearly laid down the Army boundaries before the battle and Rome was allocated to the Fifth Army. Leese's British Eighth Army was constantly reminded that their job was to engage the 10th Army, destroy as much of it as possible and then bypass Rome to continue the pursuit northwards (which in fact they did, harrying the retreating 10th Army for some towards Perugia in 6 weeks). At the time, Truscott was shocked, writing later: He went on to write: An opportunity was indeed missed and seven divisions of 10th Army were able to make their way to the next line of defence, the Trasimene Line where they were able to link up with 14th Army and then make a fighting withdrawal to the formidable Gothic Line north of Florence. Rome was captured on 4 June 1944, just two days before the Normandy invasion. Battle honours Battle honours were awarded to some units by British and Commonwealth Armies for their roles at Cassino. Some units which participated in the first part of the campaign were awarded the battle honour 'Cassino I'. In addition, subsidiary battle honours were given to some units which participated in specific engagements during the first part. These were Monastery Hill, Castle Hill and Hangman's Hill. Units which participated in the later part of the battle were awarded |
by the Germans and what effect their information had. A crucial aspect of the system was the need for genuine information to be sent along with the deception material. This need caused problems early in the war, with those who controlled the release of information, being reluctant to provide even a small amount of relatively innocuous genuine material. Later in the war, as the system became better organised, genuine information was integrated into the deception system. It was used to disguise the development of "Gee", the Allies' navigation aid for bombers. One of the agents sent genuine information about Operation Torch to the Germans. It was postmarked before the landing but due to delays deliberately introduced by the British authorities, the information did not reach the Germans until after the Allied troops were ashore. The information impressed the Germans as it appeared to date from before the attack, but it was militarily useless to them. Operation outside the United Kingdom It was not only in the United Kingdom that the system was operated. A number of agents connected with the system were run in neutral Spain and Portugal. Some even had direct contact with the Germans in occupied Europe. One of the most famous of the agents who operated outside of the UK was Dušan Popov (Tricycle). There was even a case in which an agent started running deception operations independently from Portugal using little more than guidebooks, maps, and a very vivid imagination to convince his Abwehr handlers that he was spying in the UK. This agent, Juan Pujol García (Garbo), created a network of phantom sub-agents and eventually convinced the British authorities that he could be useful. He and his fictitious network were absorbed into the main double-cross system and he became so respected by Abwehr that they stopped landing agents in Britain after 1942. The Germans became dependent on the spurious information that was fed to them by Garbo's network and the other double-cross agents. Operation Fortitude and D-Day landings The British put their double-agent network to work in support of Operation Fortitude, a plan to deceive the Germans about the location of the Normandy Landings in France. Allowing one of the double agents to claim to have stolen documents describing the invasion plans might have aroused suspicion. Instead, agents were allowed to report minutiae, such as insignia on soldiers' uniforms and unit markings on vehicles. The observations in the south-central areas largely gave accurate information about the units located there. Reports from south-west England indicated few troop sightings, when in reality many units were housed there. Reports from the south-east depicted the real and the notional Operation Quicksilver forces. Any military planner would know that to mount an invasion of Europe from England, Allied units had to be staged around the country, with those that would land first placed nearest to the invasion point. German intelligence used the agent reports to construct an order of battle for the Allied forces, that placed the centre of gravity of the invasion force opposite Pas de Calais, the point on the French coast closest to England and therefore a likely invasion site. The deception was so effective that the Germans kept 15 divisions in reserve near Calais even after the invasion had begun, lest it prove to be a diversion from the main invasion at Calais. Early battle reports of insignia on Allied units only confirmed the information the double agents had sent, increasing the Germans' trust in their network. Agent Garbo was informed in radio messages from Germany after the invasion that he had been awarded the Iron Cross. V-weapons deception The British noticed that, during the V-1 flying bomb attacks of 1944, the weapons were falling short of Trafalgar Square, the actual Luftwaffe aiming points such as Tower Bridge being unknown to the British. Duncan Sandys was told to get MI5-controlled German agents such as Zig Zag and Tate to report the V-1 impacts back to Germany. To make the Germans aim short, the British used | Ritter from the Abwehr, to establish Owens' bona fides. Unknown to Dicketts, Owens had betrayed him to the Germans before Dicketts entered Germany to be interrogated by experts from the Abwehr in Hamburg. Although Dicketts managed to get himself recruited as a German agent (while continuing to report to MI5), Owens claimed that Dicketts' survival meant he had been 'turned' by the Germans. When both agents returned to England, Robertson and his team spent countless hours trying to establish which agent was telling the truth. In the end Owens was interned for endangering Dicketts' life and for revealing the important information that his German radio transmitter was controlled by MI5. The whole affair resulted in the collapse of the entire Snow network comprising the double agents Owens, GW, Biscuit, Charlie, Summer and Celery. The experiment had not appeared to be a success but MI5 had learned lessons about how Abwehr operated and how double agents might be useful. Robertson believed that turning German spies would have numerous benefits, disclosing what information Abwehr wanted and to mislead them as part of a military deception. It would also discourage them from sending more agents, if they believed an operational network existed. Section B1A (a subordinate of B section, under Guy Liddell) was formed and Robertson was put in charge of handling the double-agent program. Robertson's first agents were not a success, Giraffe (George Graf) was never really used and Gander (Kurt Goose; MI5 had a penchant for amusingly relevant code names), had been sent to Britain with a radio that could only transmit and both were quickly decommissioned. The next two attempts were even more farcical; Gösta Caroli and Wulf Schmidt (a Danish citizen) landed, via parachute, in September 1940. The two were genuine Nazis, had trained together and were friends. Caroli was coerced into turning double in return for Schmidt's life being spared, whilst Schmidt was told that Caroli had sold him out and in anger swapped sides. Caroli quickly became a problem; he attempted to strangle his MI5 handler before making an escape, carrying a canoe on a motorcycle. He vaguely planned to row to Holland but came unstuck after falling off the bike in front of a policeman. He was eventually recaptured and judged too much trouble to be used. Schmidt was more of a success; codenamed 'Tate', he continued to contact Germany until May 1945. These eccentric spies made Robertson aware that handling double agents was going to be a difficult task. Methods of operation The main form of communication that agents used with their handlers was secret writing. Letters were intercepted by the postal censorship authorities and some agents were caught. Later in the war, wireless sets were provided by the Germans. Eventually transmissions purporting to be from one double agent were facilitated by transferring the operation of the set to the main headquarters of MI5. On the British side, the fight against the Abwehr and SD was made much easier by the breaking of German ciphers. Abwehr hand ciphers were cracked early in the war and SD hand ciphers and Abwehr Enigma ciphers followed. The signals intelligence allowed an accurate assessment of whether the double agents were really trusted by the Germans and what effect their information had. A crucial aspect of the system was the need for genuine information to be sent along with the deception material. This need caused problems early in the war, with those who controlled the release of information, being reluctant to provide even a small amount of relatively innocuous genuine material. Later in the war, as the system became better organised, genuine information was integrated into the deception system. It was used to disguise the development of "Gee", the Allies' navigation aid for bombers. One of the agents sent genuine information about Operation Torch to the Germans. It was postmarked before the landing but due to delays deliberately introduced by the British authorities, the information did not reach the Germans until after the Allied troops were ashore. The information impressed the Germans as it appeared to date from before the attack, but it was militarily useless to them. Operation outside the United Kingdom It was not only in the United Kingdom that the system was operated. A number of agents connected with the system were run in neutral Spain and Portugal. Some |
of public sources, including a tourist guide to Britain, train timetables, cinema newsreels, and magazine advertisements. Although the information would not have withstood close examination, Pujol soon established himself as a trustworthy agent. He began inventing fictitious sub-agents who could be blamed for false information and mistakes. The Allies finally accepted Pujol when the Germans spent considerable resources attempting to hunt down a fictitious convoy. Following interviews by Desmond Bristow of Section V MI6 Iberian Section, Juan Pujol was taken on. The family were moved to Britain and Pujol was given the code name "Garbo". Pujol and his handler Tomás Harris spent the rest of the war expanding the fictitious network, communicating to the German handlers at first by letters, and later by radio. Eventually the Germans were funding a network of 27 agents, all fictitious. Pujol had a key role in the success of Operation Fortitude, the deception operation intended to mislead the Germans about the timing, location and scale of the invasion of Normandy in 1944. The false information Pujol supplied helped persuade the Germans that the main attack would be in the , so that they kept large forces there before and even after the invasion. Pujol had the distinction of receiving military decorations from both sides of the war—being awarded the Iron Cross and becoming a Member of the Order of the British Empire. Early life Pujol was born in Barcelona to Joan Pujol, a Catalan who owned a cotton factory, and Mercedes García Guijarro, from the Andalusian town of Motril in the Province of Granada. The third of four children, Pujol was sent at age seven to the Valldemia boarding school run by the Marist Brothers in Mataró, from Barcelona; he remained there for the next four years. The students were only allowed out of the school on Sundays if they had a visitor, so his father made the trip every week. His mother came from a strict Roman Catholic family and took Communion every day, but his father was much more secular and had liberal political beliefs. At age thirteen, he was transferred to a school in Barcelona run by his father's card-playing friend Monsignor Josep, where he remained for three years. After an argument with a teacher, he decided that he no longer wished to remain at the school, and became an apprentice at a hardware store. Pujol engaged in a variety of occupations prior to and after the Spanish Civil War, such as studying animal husbandry at the Royal Poultry School in Arenys de Mar and managing various businesses, including a cinema. His father died a few months after the Second Republic's establishment in 1931, while Pujol was completing his education as a poultry farmer. Pujol's father left his family well-provided for, until his father's factory was taken over by the workers in the early stages of the Spanish Civil War. Spanish Civil War In 1931, Pujol did his six months of compulsory military service in a cavalry unit, the 7th Regiment of Light Artillery. He knew he was unsuited for a military career, hating horse-riding and claiming to lack the "essential qualities of loyalty, generosity, and honor". Pujol was managing a poultry farm north of Barcelona in 1936 when the Spanish Civil War began. His sister Elena's fiancé was taken by Republican forces, and later she and his mother were arrested and charged with being counter-revolutionaries. A relative in a trade union was able to rescue them from captivity. He was called up for military service on the Republican side (in opposition to Francisco Franco's Nationalists), but opposed the Republican government due to their treatment of his family. He hid at his girlfriend's home until he was captured in a police raid and imprisoned for a week, before being freed via the Traditionalist resistance group Socorro Blanco. They hid him until they could produce fake identity papers that showed him to be too old for military service. He started managing a poultry farm that had been requisitioned by the local Republican government, but it was not economically viable. The experience with rule by committee intensified his antipathy towards Communism. He re-joined the Republican military using his false papers, with the intention to desert as soon as possible, volunteering to lay telegraph cables near the front lines. He managed to desert to the Nationalist side during the Battle of the Ebro in September 1938. However, he was equally ill-treated by the Nationalist side, disliking their fascist influences and being struck and imprisoned by his colonel upon Pujol's expressing sympathy with the monarchy. His experience with both sides left him with a deep loathing of both fascism and Communism, and by extension Nazi Germany and the Soviet Union. He was proud that he had managed to serve both sides without firing a single bullet for either. After his discharge from the Nationalist army, he met Araceli Gonzalez in Burgos and married her in Madrid; they had one child, Joan Fernando. World War II Independent spying In 1940, during the early stages of World War II, Pujol decided that he must make a contribution "for the good of humanity" by helping Britain, which was at the time Germany's only adversary. Starting in January 1941, he approached the British Embassy in Madrid three different times, including through his wife (though Pujol edited her participation out of his memoirs), but they showed no interest in employing him as a spy. Therefore, he resolved to establish himself as a German agent before approaching the British again to offer his services as a double-agent. Pujol created an identity as a fanatically pro-Nazi Spanish government official who could travel to London on official business; he also obtained a fake Spanish diplomatic passport by fooling a printer into thinking Pujol worked for the Spanish embassy in Lisbon. He contacted Friedrich Knappe-Ratey, an agent in Madrid, codenamed "Frederico". The accepted Pujol and gave him a crash course in espionage (including secret writing), a bottle of invisible ink, a codebook, and £600 for expenses. His instructions were to move to Britain and recruit a network of British agents. He moved instead to Lisbon, andusing a tourist's guide to Britain, reference books, and magazines from the Lisbon Public Library, and newsreel reports he saw in cinemascreated seemingly credible reports that appeared to come from London. During his time in Portugal, he stayed in Estoril, at the Hotel Palácio. He claimed to be travelling around Britain and submitted his travel expenses based on fares listed in a British railway guide. Pujol's unfamiliarity with the non-decimal system of currency used in Britain at the time was a slight difficulty. At this time Great Britain's unit of currency, the pound sterling, was subdivided into 20 shillings, each having twelve pence. Pujol was unable to total his expenses in this complex system, so simply itemised them, and said that he would send the total later. During this time he created an extensive network of fictitious sub-agents living in different parts of Britain. Because he had never actually visited the UK, he made several mistakes, such as claiming that his alleged contact in Glasgow "would do anything for a litre of wine", unaware of Scottish drinking habits or that the UK did not use the metric system. His reports were intercepted by the British Ultra communications interceptions programme, and seemed so credible that the British counter-intelligence service MI5 launched a full-scale spy hunt. In February 1942, either he or his wife (accounts differ) approached the United States after it had entered the war, contacting U.S. Navy Lieutenant Patrick Demorest in the naval attache's office in Lisbon, who recognised Pujol's potential. Demorest contacted his British counterparts. Work with MI5 The British had become aware that someone had been misinforming the Germans, and realised the value of this after the wasted resources attempting to hunt down a non-existent convoy reported to them by Pujol. He was moved to Britain on 24 April 1942 and given the code name "Bovril", after the drink concentrate. However, after he passed the security check conducted by MI6 Officer Desmond Bristow, Bristow suggested that he be accompanied by MI5 officer Tomás Harris (a fluent Spanish speaker) to brief Pujol on how he and Harris should work together. Pujol's wife and child were later moved to Britain. Pujol operated as a double agent under the XX Committee's aegis; Cyril Mills was initially Bovril's case officer; but he spoke no Spanish and quickly dropped out of the picture. His main contribution was to suggest, after the truly extraordinary dimensions of Pujol's imagination and accomplishments had become apparent, that his code name should be changed as befitted 'the | the truly extraordinary dimensions of Pujol's imagination and accomplishments had become apparent, that his code name should be changed as befitted 'the best actor in the world'; and Bovril became "Garbo", after Greta Garbo. Mills passed his case over to the Spanish-speaking officer Harris. Together, Harris and Pujol wrote 315 letters, averaging 2,000 words, addressed to a post-office box in Lisbon supplied by the Germans. His fictitious spy network was so efficient and verbose that his German handlers were overwhelmed and made no further attempts to recruit any additional spies in the UK, according to the Official History of British Intelligence in World War II. The information supplied to German intelligence was a mixture of complete fiction, genuine information of little military value, and valuable military intelligence artificially delayed. In November 1942, just before the Operation Torch landings in North Africa, Garbo's agent on the River Clyde reported that a convoy of troopships and warships had left port, painted in Mediterranean camouflage. While the letter was sent by airmail and postmarked before the landings, it was deliberately delayed by British Intelligence in order to arrive too late to be useful. Pujol received a reply stating "we are sorry they arrived too late but your last reports were magnificent." Pujol had been supposedly communicating with the Germans via a courier, a Royal Dutch Airlines (KLM) pilot willing to carry messages to and from Lisbon for cash. This meant that message deliveries were limited to the KLM flight schedule. In 1943, responding to German requests for speedier communication, Pujol and Harris created a fictitious radio operator. From August 1943 radio became the preferred method of communication. On occasion, he had to invent reasons why his agents had failed to report easily available information that the Germans would eventually know about. For example, he reported that his (fabricated) Liverpool agent had fallen ill just before a major fleet movement from that port, and so was unable to report the event. To support this story, the agent eventually 'died' and an obituary was placed in the local newspaper as further evidence to convince the Germans. The Germans were also persuaded to pay a pension to the agent's widow. For radio communication, "Alaric" needed the strongest hand encryption the Germans had. The Germans provided Garbo with this system, which was in turn supplied to the codebreakers at Bletchley Park. Garbo's encrypted messages were to be received in Madrid, manually decrypted, and re-encrypted with an Enigma machine for retransmission to Berlin. Having both the original text and the Enigma-encoded intercept of it, the codebreakers had the best possible source material for a chosen-plaintext attack on the Germans' Enigma key. Operation Fortitude In January 1944, the Germans told Pujol that they believed a large-scale invasion in Europe was imminent and asked to be kept informed. This invasion was Operation Overlord, and Pujol played a leading role in Operation Fortitude, the deception campaign to conceal Overlord. He sent over 500 radio messages between January 1944 and D-Day, at times more than twenty messages per day. During planning for the Normandy beach invasion, the Allies decided that it was vitally important that the German leaders be misled into believing that the landing would happen at the Strait of Dover. In order to maintain his credibility, it was decided that Garbo (or one of his agents) should forewarn the Germans of the timing and some details of the actual invasion of Normandy, although sending it too late for them to take effective action. Special arrangements were made with the German radio operators to be listening to Garbo through the night of 5/6 June 1944, using the story that a sub-agent was about to arrive with important information. However, when the call was made at 3 AM, no reply was received from the German operators until 8 AM. This enabled Garbo to add more, genuine but now out-of-date, operational details to the message when finally received, and thus increase his standing with the Germans. Garbo told his German contacts that he was disgusted that his first message was missed, saying "I cannot accept excuses or negligence. Were it not for my ideals I would abandon the work." On 9 June—three days after D-day—Garbo sent a message to German intelligence that was passed to Adolf Hitler and the (OKW; German High Command). Garbo said that he had conferred with his top agents and developed an order of battle showing 75 divisions in Britain; in reality, there were only about 50. Part of the "Fortitude" plan was to convince the Germans that a fictitious formation—First U.S. Army Group, comprising 11 divisions (150,000 men), commanded by General George Patton—was stationed in southeast Britain. The deception was supported by fake planes, inflatable tanks, and vans travelling about the area transmitting bogus radio chatter. Garbo's message pointed out that units from this formation had not participated in the invasion, and therefore the first landing should be considered a diversion. A German message to Madrid sent two days later said "all reports received in the last week from Arabel [spy network codename] undertaking have been confirmed without exception and are to be described as especially valuable." A post-war examination of German records found that, during Operation Fortitude, no fewer than sixty-two of Pujol's reports were included in OKW intelligence summaries. OKW accepted Garbo's reports so completely that they kept two armoured divisions and 19 infantry divisions in the Pas de Calais waiting for a second invasion through July and August 1944. The German Commander-in-Chief in the west, Field Marshal Gerd von Rundstedt, refused to allow General Erwin Rommel to move these divisions to Normandy. There were more German troops in the Pas de Calais region two months after the Normandy invasion than there had been on D-Day. In late June, Garbo was instructed by the Germans to report on the falling of V-1 flying bombs. Finding no way of giving false information without arousing suspicion, and being unwilling to give correct information, Harris arranged for Garbo to be "arrested". He returned to duty a few days later, now having a "need" to avoid London, and forwarded an "official" letter of apology from the Home Secretary for his unlawful detention. The Germans paid Pujol US$340,000 over the course of the war to support his network of agents, which at one point totalled 27 fabricated characters. Honours As Alaric, he was awarded the Iron Cross Second Class on 29 July 1944, for his services to the German war effort. The award was normally reserved for front-line fighting men and required Hitler's personal authorisation. The Iron Cross was presented via radio. As Garbo, he received an MBE from King George VI, on 25 November 1944. The Nazis never realised they had been fooled, and thus Pujol earned the distinction of being one of the fewif not the only oneto receive decorations from both sides during World War II. After the war After the Second World War, Pujol feared reprisals from surviving Nazis. With the help of MI5, Pujol travelled to Angola and faked his death from malaria in 1949. He then moved to Lagunillas, Venezuela, where he lived in relative anonymity running a bookstore and gift shop. Pujol divorced his first wife and married Carmen Cilia, with whom he had two sons, Carlos Miguel and Joan Carlos, and a daughter who died in 1975 at the age of 20. By 1984, Pujol had moved to his son Carlos Miguel's house in La Trinidad, Caracas. In 1971, the British politician Rupert Allason, writing under the pen name Nigel West, became interested in Garbo. For several years, he interviewed various former intelligence officers, but none knew Garbo's real name. Eventually, Tomás Harris' friend Anthony Blunt, the Soviet spy who had penetrated MI5, said that he had met Garbo, and knew him as "either Juan or José García". Allason's investigation was stalled from that point until March 1984, when a former MI5 officer who had served in Spain supplied Pujol's full name. Allason hired a research assistant to call every J. García—an extremely common name in Spain—in the Barcelona phone book, eventually contacting Pujol's nephew. Pujol and Allason finally met in New Orleans on 20 May 1984. At Allason's urging, Pujol travelled to London and was received by Prince Philip at Buckingham Palace, in an unusually long audience. After that he visited the Special Forces Club and was reunited with a group of his former colleagues, including T. A. Robertson, Roger Fleetwood Hesketh, Cyril Mills and Desmond Bristow. On the 40th anniversary of D-Day, 6 June 1984, Pujol travelled to Normandy to tour the beaches and pay his respects to the dead. Pujol died in Caracas in 1988 and is buried in Choroní, a town inside Henri Pittier National Park by the Caribbean Sea. Network of fictitious agents Each of Pujol's fictitious agents was tasked with recruiting additional sub-agents. Popular culture Literature and Music The Counterfeit Spy (1971), by the British journalist Sefton Delmer; Pujol's name was changed to "Jorge Antonio" in order to protect his surviving family. The Eldorado Network (1979), by the British novelist Derek Robinson published six years before Nigel West's non-fiction account. Overlord, Underhand (2013), by the American author Robert P. Wells is a fictionalised retelling of the story of Juan Pujol (Agent Garbo), double agent with MI5, from the Spanish Civil War to 1944; Quicksand (1971), a song by David Bowie on the Hunky Dory album makes reference to him ("I'm the |
was given the task of sabotaging the de Havilland aircraft factory at Hatfield. Chapman became stuck in the hatch as he tried to leave the aircraft. Finally detaching himself, he landed some distance from the target location of Mundford, Norfolk, near the village of Littleport, Cambridgeshire. The British secret services had been aware of Chapman's existence for some time, via Ultra (decrypted German messages), and would know his date of departure. Section B1A, the MI5-backed department with the task of capturing enemy agents and turning them into double agents, had discussed the best method of capturing Chapman without revealing Ultra. In the end, Operation Nightcap was envisioned: Rather than conduct a full-scale manhunt, planes from RAF Fighter Command would trail Chapman's aircraft to identify his landing site (from one of three possible options). Local police would then be alerted, with instructions to conduct a search under the guise of looking for a deserter. However, these plans proved unnecessary; Chapman surrendered to the local police shortly after landing and offered his services to MI5. He was interrogated at Latchmere House in southwest London, better known as Camp 020. MI5 decided to use him as a double agent against the Germans and assigned Ronnie Reed as his case officer (Reed , a former BBC engineer, had been invited to join MI5 in 1940 and remained there until his retirement in 1976). Faked sabotage of de Havilland factory During the night of 29–30 January 1943, Chapman with MI5 officers faked a sabotage attack on his target, the de Havilland aircraft factory in Hatfield, where the Mosquito was being manufactured. German reconnaissance aircraft photographed the site, and the faked damage convinced Chapman's German controllers that the attack had been successful. To reinforce this story, MI5 also wrote and had published a story in the British newspaper the Daily Express. Following the de Havilland subterfuge, B1A began preparations for Chapman's return to his German handlers. Radio messages were sent to the Abwehr requesting extraction by boat or submarine, and Chapman was set to work learning a cover story ready for the inevitable interrogations. However, the response from the Abwehr was lukewarm. They refused to send a U-boat and told Chapman to return via Lisbon, Portugal. This was not a simple method, as he had no valid reason to travel to the neutral port. Reed, and other members of B1A, believed this demonstrated the Germans' reluctance to pay Chapman the £15,000 he had been promised. In the meantime Chapman was subjected to fake interrogation at Camp 020, to make sure his story held up. Reed told him to stick as close to the truth as possible, to help make the lies more realistic, and he was coached in speaking slowly to cover any hesitations. Stephens was impressed with how well Chapman responded to questioning. Portugal and Operation Damp Squib Unlike the Germans, MI5 was eager for Chapman to return, in the hope that, as a trusted asset, he could pick up significant information about the enemy. He was given the task of memorising a list of questions to which the Allies wanted answers. The list was carefully constructed so that, should Chapman be broken, its content would not show German intelligence the gaps in Allied knowledge. To get Chapman to Lisbon, it was decided he would join the crew of a merchant ship, and jump ship when it docked in Portugal. A fake identity, Hugh Anson, was constructed and the relevant paperwork obtained before Chapman joined the crew of The City of Lancaster, sailing out of Liverpool. On making contact with Germans at their Lisbon embassy, he suggested an attempt at blowing up the ship with a bomb disguised as a lump of coal to be placed in the coal bunker. This was in response to a request from Britain's anti-sabotage section that he obtain examples of German explosive devices. He was given two bombs, which, however, he handed to the ship's captain. The Germans did not notice the ship was not damaged on the voyage home, but to avoid the Germans' doubting Chapman's commitment, the British staged a conspicuous investigation of the ship when it returned to Britain, ensuring gossip would make its way back to the Germans. Chapman was sent to occupied Norway to teach at a German spy school in Oslo. After a debriefing by von Gröning, Chapman was awarded the Iron Cross for his work in apparently damaging the de Havilland works and the City of Lancaster, making him the first Englishman to receive such an award since the Franco-Prussian War of 1870–71. However, Nicholas Booth suggests that as the Iron Cross was only ever given to military personnel, Chapman's "Iron Cross" may instead have been a War Merit Cross 2nd Class, or Kriegsverdienstkreuz. Chapman was inducted into the German Army as an oberleutnant or first lieutenant. Chapman was also rewarded with 110,000 Reichsmarks and his own yacht. An MI5 officer wrote in an assessment "the Germans came to love Chapman ... but although he went cynically through all the forms, he did not reciprocate. Chapman loved himself, loved adventure, and loved his country, probably in that order". While in Oslo he also secretly photographed the German agents who stayed at his safe house. Return to London After Operation Overlord he was sent back to Britain to report on the accuracy of the V-1 weapon and the Hedgehog antisubmarine weapon. He parachuted into Cambridgeshire on 29 June 1944 and went to London. Here he consistently reported to the Germans that the bombs were hitting their central London target, when in fact they were undershooting. Perhaps as a result of this disinformation, the Germans never corrected their aim, with the end result that most bombs landed in the south London suburbs or the Kent countryside, doing far less damage than they otherwise might have done. During this period he was also involved in doping of dogs in greyhound racing and was associating with criminal elements in West End nightclubs. He was also indiscreet about the sources of his income and so MI5, being unable to control him, dismissed him on 2 November 1944. Chapman was given a £6,000 payment from MI5 and was allowed to keep £1,000 of the money the Germans had given him. He was granted a pardon for his pre-war activities and was reported by MI5 to have been living "in fashionable places in London always in the company of beautiful women of apparent culture". Love life Chapman had two fiancées at the same time, each in opposite war zones. He was still betrothed to Freda Stevenson in Britain when he met Dagmar Lahlum in Norway. Stevenson was being financially | Society. Let out on bail, he fled to Jersey in the Channel Islands, where he unsuccessfully attempted to continue his criminal career. Chapman had been dining with his lover and future fiancée Betty Farmer at the Hotel de la Plage immediately before his arrest and, when he saw plain-clothes police coming to arrest him for crimes on the mainland, made a spectacular exit through the dining room window (which was shut at the time). Later that same night he committed a slapdash burglary for which he had to immediately begin serving two years in a Jersey prison, which, ironically, spared him at least 14 more years' imprisonment in a mainland prison afterwards. Second World War Chapman was still in prison when the Channel Islands were invaded by the Germans. While incarcerated he met the petty criminal Anthony Faramus. Following a letter in German which they concocted to get off the Island, they were transferred to Fort de Romainville in Paris. There, Chapman confirmed his willingness to act as a German spy. Under the direction of Captain Stephan von Gröning, head of the in Nantes, he was trained in explosives, radio communications, parachute jumping and other subjects in France at La Bretonnière-la-Claye, Saint-Julien-des-Landes, near Nantes, and dispatched to Britain to commit acts of sabotage. On 16 December 1942, Chapman was flown to Britain in a Focke-Wulf bomber converted for parachuting, from Le Bourget airfield. He was equipped with wireless, pistol, cyanide capsule and £1,000 and, amongst other things, was given the task of sabotaging the de Havilland aircraft factory at Hatfield. Chapman became stuck in the hatch as he tried to leave the aircraft. Finally detaching himself, he landed some distance from the target location of Mundford, Norfolk, near the village of Littleport, Cambridgeshire. The British secret services had been aware of Chapman's existence for some time, via Ultra (decrypted German messages), and would know his date of departure. Section B1A, the MI5-backed department with the task of capturing enemy agents and turning them into double agents, had discussed the best method of capturing Chapman without revealing Ultra. In the end, Operation Nightcap was envisioned: Rather than conduct a full-scale manhunt, planes from RAF Fighter Command would trail Chapman's aircraft to identify his landing site (from one of three possible options). Local police would then be alerted, with instructions to conduct a search under the guise of looking for a deserter. However, these plans proved unnecessary; Chapman surrendered to the local police shortly after landing and offered his services to MI5. He was interrogated at Latchmere House in southwest London, better known as Camp 020. MI5 decided to use him as a double agent against the Germans and assigned Ronnie Reed as his case officer (Reed , a former BBC engineer, had been invited to join MI5 in 1940 and remained there until his retirement in 1976). Faked sabotage of de Havilland factory During the night of 29–30 January 1943, Chapman with MI5 officers faked a sabotage attack on his target, the de Havilland aircraft factory in Hatfield, where the Mosquito was being manufactured. German reconnaissance aircraft photographed the site, and the faked damage convinced Chapman's German controllers that the attack had been successful. To reinforce this story, MI5 also wrote and had published a story in the British newspaper the Daily Express. Following the de Havilland subterfuge, B1A began preparations for Chapman's return to his German handlers. Radio messages were sent to the Abwehr requesting extraction by boat or submarine, and Chapman was set to work learning a cover story ready for the inevitable interrogations. However, the response from the Abwehr was lukewarm. They refused to send a U-boat and told Chapman to return via Lisbon, Portugal. This was not a simple method, as he had no valid reason to travel to the neutral port. Reed, and other members of B1A, believed this demonstrated the Germans' reluctance to pay Chapman the £15,000 he had been promised. In the meantime Chapman was subjected to fake interrogation at Camp 020, to make sure his story held up. Reed told him to stick as close to the truth as possible, to help make the lies more realistic, and he was coached in speaking slowly to cover any hesitations. Stephens was impressed with how well Chapman responded |
howitzers, guns, anti-aircraft and rockets, were tasked with anti-tank defence. Dug-in tanks and self-propelled guns further strengthened the anti-tank defences. Anti-tank forces were incorporated into every level of command, mostly as anti-tank strong points with the majority concentrated on likely attack routes and the remainder amply spread out elsewhere. Each anti-tank strong-point typically consisted of four to six anti-tank guns, six to nine anti-tank rifles, and five to seven heavy and light machine guns. They were supported by mobile obstacle detachments as well as by infantry with automatic firearms. Independent tank and self-propelled gun brigades and regiments were tasked with cooperating with the infantry during counterattacks. Soviet preparations also included increased activity of Soviet partisans, who attacked German communications and supply lines. The attacks were mostly behind Army Group North and Army Group Centre. In June 1943, partisans operating in the occupied area behind Army Group Centre destroyed 298 locomotives, 1,222 railway wagons and 44 bridges, and in the Kursk sector there were 1,092 partisan attacks on railways. These attacks delayed the build-up of German supplies and equipment, and required the diversion of German troops to suppress the partisans, delaying their training for the offensive. Central Partisan Headquarters coordinated many of these attacks. In June Soviet Air Forces (VVS) flew over 800 sorties at night to resupply the partisan groups operating behind Army Group Centre. The VVS also provided communication and sometimes even daylight air-support for major partisan operations. Special training was provided to the Soviet infantry manning the defences to help them overcome the tank phobia that had been evident since the start of the German invasion. Soldiers were packed into trenches and tanks were driven overhead until all signs of fear were gone. This training exercise was referred to by the soldiers as "ironing". In combat, the soldiers would spring up in the midst of the attacking infantry to separate them from the spearheading armoured vehicles. The separated armoured vehicles – now vulnerable to infantry armed with anti-tank rifles, demolition charges and Molotov cocktails – could then be disabled or destroyed at point-blank range. These types of attacks were mostly effective against the Elefant tank destroyers, which lacked machine guns as secondary armament. The soldiers were also promised financial rewards for each tank destroyed, with the People's Commisariat of Defence providing 1,000 rubles for destroyed tanks. The Soviets employed maskirovka (military deception) to mask defensive positions and troop dispositions and to conceal the movement of men and materiel. These included camouflaging gun emplacements, constructing dummy airfields and depots, generating false radio-traffic, and spreading rumours among the Soviet frontline troops and the civilian population in the German-held areas. Movement of forces and supplies to and from the salient took place at night only. Ammunition caches were carefully concealed to blend in with the landscape. Radio transmission was restricted and fires were forbidden. Command posts were hidden and motor transport in and around them forbidden. According to a Soviet General Staff report, 29 of the 35 major Luftwaffe raids on Soviet airfields in the Kursk sector in June 1943 were against dummy airfields. According to historian Antony Beevor, in contrast, Soviet aviation apparently succeeded in destroying more than 500 Luftwaffe aircraft on the ground. The Soviet deception efforts were so successful that German estimates issued in mid-June placed the total Soviet armoured strength at 1,500 tanks. The result was not only a vast underestimation of Soviet strength, but a misperception of Soviet strategic intentions. The main tank of the Soviet tank arm was the T-34 medium tank, on which the Red Army attempted to concentrate production. The tank arm also contained large numbers of the T-70 light tank. For example, the 5th Guards Tank Army roughly contained 270 T-70s and 500 T-34s. In the salient itself the Soviets assembled a large number of lend-lease tanks. These included U.S.-manufactured M3 Lees and British-built Churchills, Matildas and Valentines. However, the T-34 made up the bulk of the Soviet armour. Without including the deeper reserves organised under the Steppe Front, the Soviets massed about 1,300,000 men, 3,600 tanks, 20,000 artillery pieces and 2,792 aircraft to defend the salient. This amounted to 26 percent of the total manpower of the Red Army, 26 percent of its mortars and artillery, 35 percent of its aircraft and 46 percent of its tanks. Contest for aerial supremacy By 1943 the Luftwaffe's strength on the Eastern Front had started to weaken after Stalingrad, and the siphoning of resources to North Africa. The Luftwaffe forces in the east were further depleted with fighter units being shifted back to Germany to defend against the escalating Allied bombing campaign. By the end of June, only 38.7 percent of the Luftwaffe's total aircraft remained in the east. In 1943 the Luftwaffe could still achieve local aerial superiority by concentrating its forces. The majority of German aircraft left available on the Eastern Front were slated for Citadel. The goal of the Luftwaffe remained unchanged. The priority of the German air fleet(s) was to gain aerial supremacy, then to isolate the battlefield from enemy reinforcements, and finally, once the critical point had been reached in the land battle, to render close air support. The changing strengths between the two opponents prompted the Luftwaffe to make operational changes for the battle. Previous offensive campaigns had been initiated with Luftwaffe raids against opposing airfields to achieve aerial superiority. By this point in the war Red Army equipment reserves were extensive and the Luftwaffe commanders realised that aircraft could be easily replaced, making such raids futile. Therefore, this mission was abandoned. In addition, previous campaigns had made use of medium bombers flying well behind the frontline to block the arrival of reinforcements. This mission, however, was rarely attempted during Citadel. The Luftwaffe command understood that their support would be crucial for the success of Operation Citadel, but problems with supply shortfalls hampered their preparations. Partisan activity, particularly behind Army Group Center, slowed the rate of re-supply and cut short the Luftwaffe's ability to build up essential stockpiles of petrol, oil, lubricants, engines, munitions, and, unlike Red Army units there were no reserves of aircraft that could be used to replace damaged aircraft over the course of the operation. Fuel was the most significant limiting factor. To help build up supplies for the support of Citadel, the Luftwaffe greatly curtailed its operations during the last week of June. Despite this conservation of resources, the Luftwaffe did not have the resources to sustain an intensive air effort for more than a few days after the operation began. For Citadel, the Luftwaffe confined its operations to the direct support of the forces on the ground. In this mission the Luftwaffe continued to make use of the Junkers Ju 87 "Stuka" dive-bombers. A new development to this aircraft was the "Bordkanone" 3,7 cm calibre cannon, one of which could be slung under each wing of the Stuka in a gun pod. Half of the Stuka groups assigned to support Citadel were equipped with these Kanonenvogel (literally "cannon-bird") tankbuster aircraft. The air groups were also strengthened by the recent arrival of the Henschel Hs 129, with its 30 mm MK 103 cannon, and the F-subtype ground attack ("jabo") version of the Focke-Wulf Fw 190. In the months preceding the battle, Luftflotte 6 supporting Army Group Center noted a marked increase in the strength of the opposing VVS formations. The VVS formations encountered displayed better training, and were flying improved equipment with greater aggressiveness and skill than the Luftwaffe had seen earlier. The introduction of the Yakovlev Yak-9 and Lavochkin La-5 fighters gave the Soviet pilots near parity with the Luftwaffe in terms of equipment. Furthermore, large numbers of ground-attack aircraft, such as the Ilyushin Il-2 "Shturmovik" and the Pe-2, had become available as well. The Soviet Air Force also fielded large numbers of aircraft supplied via lend-lease. Huge stockpiles of supplies and ample reserves of replacement aircraft meant the Red Army and VVS formations would be able to conduct an extended campaign without slackening in the intensity of their effort. Opposing forces Germans For the operation, the Germans used four armies along with a large portion of their total tank strength on the Eastern Front. On 1 July, the 9th Army of Army Group Centre based in the northern side of the salient contained 335,000 men (223,000 combat soldiers); in the south, the 4th Panzer Army and Army Detachment "Kempf", of Army Group South, had 223,907 men (149,271 combat soldiers) and 100,000–108,000 men (66,000 combat soldiers) respectively. The 2nd Army, that held the western side of the salient contained an estimated 110,000. In total, the German forces had a total strength of 777,000–779,000 men, and the three attacking armies contained 438,271 combat soldiers. Army Group South was equipped with more armoured vehicles, infantry and artillery than the 9th Army of Army Group Center. The 4th Panzer Army and Army Detachment "Kempf" had 1,377 tanks and assault guns, while the 9th Army possessed 988 tanks and assault guns. German industry produced 2,816 tanks and self-propelled guns between April and June, of which 156 were Tigers and 484 Panthers. At Kursk, a total of 259 Panther tanks, about 211 Tigers, and 90 Ferdinands were used. The two new Panther battalions – the 51st and 52nd – together equipped with 200 Panthers, for which the offensive had been delayed, were attached to the Großdeutschland Division in the XLVIII Panzer Corps of Army Group South. With the 51st and 52nd Battalions arriving on 30 June and 1 July, the two units had little time to perform reconnaissance or to orient themselves to the terrain they found themselves in. This was a breach of the methods of the Panzerwaffe, considered essential for the successful use of armour. Though led by experienced panzer commanders, many of the tank crews were new recruits and had little time to become familiar with their new tanks, let alone train together to function as a unit. The two battalions came direct from the training ground and lacked combat experience. In addition, the requirement to maintain radio silence until the start of the attack meant that the Panther units had little training in battalion-level radio procedures. Furthermore, the new Panthers were still experiencing problems with their transmissions, and proved mechanically unreliable. By the morning of 5 July, the units had lost 16 Panthers due to mechanical breakdown, leaving only 184 available for the launching of the offensive. July and August 1943 saw the heaviest German ammunition expenditure on the Eastern Front up to that point, with 236,915 tons consumed in July and 254,648 in August. The previous peak had been 160,645 tons in September 1942. Red Army The Red Army used two Fronts for the defence of Kursk, and created a third front behind the battle area which was held as a reserve. The Central and Voronezh Fronts fielded 12 armies, with 711,575 men (510,983 combat soldiers) and 625,591 men (446,236 combat soldiers) respectively. In reserve, the Steppe Front had an additional 573,195 men (449,133). Thus the total size of the Soviet force was 1,910,361 men, with 1,426,352 actual combat soldiers. Soviet armour strength included 4,869 tanks (including 205 KV-1 heavy tanks) and 259 SPGs (including 25 SU-152s, 56 SU-122s and 67 SU-76s) Overall a third of the Soviet tanks at Kursk were light tanks, but in some units this proportion was considerably higher. Of the 3,600 tanks in the Central and Voronezh Fronts in July 1943, 1,061 were light as T-60 and T-70. With very thin armour and small guns, they were unable to effectively engage the frontal armour of German medium and heavy tanks or AFVs. The most capable Soviet tank at Kursk was the T-34, the original version was armed with a 76.2mm gun, the gun struggled against uparmoured Panzer IVs, and the frontal armour of Tigers and Panthers was essentially impenetrable. Only the SU-122 and SU-152 self-propelled guns had the power to destroy the Tiger at short range, but they were not equal to the Tiger's 88mm gun at long range, and there were very few SU-122s and SU-152s at Kursk. Comparison of strength Operation Citadel Red Army offensive phase Preliminary actions Fighting started on the southern face of the salient on the evening of 4 July 1943, when German infantry launched attacks to seize high ground for artillery observation posts prior to the main assault. During these attacks, a number of Red Army command and observation posts along the first main belt of defence were captured. By 16:00, elements of the Panzergrenadier Division "Großdeutschland", 3rd and 11th Panzer Divisions had seized the village of Butovo and proceeded to capture Gertsovka before midnight. At around 22:30, Vatutin ordered 600 guns, mortars and Katyusha rocket launchers, of the Voronezh Front, to bombard the forward German positions, particularly those of the II SS Panzer Corps. To the north, at Central Front headquarters, reports of the anticipated German offensive came in. At around 02:00 5 July, Zhukov ordered his preemptive artillery bombardment to begin. The hope was to disrupt German forces concentrating for the attack, but the outcome was less than hoped for. The bombardment delayed the German formations, but failed in the goal of disrupting their schedule or inflicting substantial losses. The Germans began their own artillery bombardment at about 05:00, which lasted 80 minutes in the northern face and 50 minutes in the southern face. After the barrage, the ground forces attacked, aided by close air support provided by the Luftwaffe. In the early morning of 5 July, the VVS launched a large raid against German airfields, hoping to destroy the Luftwaffe on the ground. This effort failed, and the Red Army air units suffered considerable losses. The VVS lost 176 aircraft on 5 July, compared to the 26 aircraft lost by the Luftwaffe. The losses of the VVS 16th Air Army operating in the northern face were lighter than those suffered by the 2nd Air Army. The Luftwaffe was able to gain and maintain air superiority over the southern face until 10–11 July, when the VVS began to obtain ascendancy but the control of the skies over the northern face was evenly contested until the VVS began to gain air superiority on 7 July, which it maintained for the rest of the operation. Operation along the northern face Model's main attack was delivered by XLVII Panzer Corps, supported by 45 Tigers of the attached 505th Heavy Tank Battalion. Covering their left flank was XLI Panzer Corps, with an attached regiment of 83 Ferdinand tank destroyers. On the right flank, XLVI Panzer Corps consisted at this time of four infantry divisions with just 9 tanks and 31 assault guns. To the left of XLI Panzer Corps was XXIII Army Corps, which consisted of the reinforced 78th Assault Infantry Division and two regular infantry divisions. While the corps contained no tanks, it did have 62 assault guns. Opposing the 9th Army was the Central Front, deployed in three heavily fortified defensive belts. Initial German advance Model chose to make his initial attacks using infantry divisions reinforced with assault guns and heavy tanks, and supported by artillery and the Luftwaffe. In doing so he sought to maintain the armoured strength of his panzer divisions to be used for exploitation once the Red Army defences were breached. Once a breakthrough had been achieved the panzer forces would move through and advance towards Kursk. Jan Möschen, a major in Model's staff, later commented that Model expected a breakthrough on the second day. If a breakthrough did occur the briefest delay in bringing up the panzer divisions would give the Red Army time to react. His corps commanders thought a breakthrough extremely unlikely. Following a preliminary bombardment and Red Army counter bombardments, the 9th Army opened its attack at 05:30 on 5 July. Nine infantry divisions and one panzer division, with attached assault guns, heavy tanks and tank destroyers, pushed forward. Two companies of Tiger tanks were attached to the 6th Infantry Division and were the largest single grouping of Tigers employed that day. Opposing them were the 13th and 70th Armies of the Central Front. The 20th Panzer and 6th Infantry Divisions of the XLVII Panzer Corps, spearheaded the advance of the XLVII Panzer Corps. Behind them the remaining two panzer divisions followed, ready to exploit any breakthrough. The heavily mined terrain and fortified positions of the 15th Rifle Division slowed the advance. By 08:00 safe lanes had been cleared through the minefield. That morning information obtained from prisoner interrogation identified a weakness at the boundary of the 15th and 81st Rifle Divisions caused by the German preliminary bombardment. The Tigers were redeployed and struck towards this area. Red Army formations countered with a force of around 90 T-34s. In the resulting three-hour battle, Red Army armoured units lost 42 tanks while the Germans lost two Tigers and a further five more immobilized with track damage. While the Red Army counter-attack was defeated and the first defensive belt breached, the fighting had delayed the Germans long enough for the rest of 29th Rifle Corps of the 13th Army – initially deployed behind the first belt – to move forward and seal the breach. Red Army minefields were covered by artillery fire, making efforts to clear paths through the fields difficult and costly. Goliath and Borgward IV remote-controlled engineer mine-clearing vehicles met with limited success. Of the 653rd Heavy Panzerjäger Battalion's 45 Ferdinands sent into battle, all but 12 of them were immobilized by mine damage before 17:00. Most of these were later repaired and returned to service, but the recovery of these very large vehicles was difficult. On the first day, the XLVII Panzer Corps penetrated into the Red Army defences before stalling, and the XLI Panzer Corps reached the heavily fortified small town of Ponyri, in the second defensive belt, which controlled the roads and railways leading south to Kursk. In the first day, the Germans penetrated into the Red Army lines for the loss of 1,287 men killed and missing and a further 5,921 wounded. Red Army counter-attack Rokossovsky ordered the 17th Guards and 18th Guards Rifle Corps with the 2nd Tank Army and 19th Tank Corps, backed up by close air support, to counterattack the German 9th Army the following day on 6 July. However, due to poor coordination, only the 16th Tank Corps of the 2nd Tank Army commenced the counterattack on the dawn of 6 July after the preparatory artillery barrage. The 16th Tank Corps, fielding about 200 tanks, attacked the XLVII Panzer Corps and ran into the Tiger tanks of the 505th Heavy Tank Battalion, which knocked out 69 tanks and forced the rest to withdraw to the 17th Guards Rifle Corps of the 13th Army. Later that morning, the XLVII Panzer Corps responded with its own attack against the 17th Guards Rifle Corps entrenched around the village Olkhovatka in the second defensive belt. The attack commenced with an artillery barrage and was spearheaded by the 24 serviceable Tigers of the 505th Heavy Tank Battalion, but it failed to break the Red Army defence at Olkhovatka, and the Germans suffered heavy casualties. Olkhovatka was on a high ground that provided a clear view of much of the frontline. At 18:30, the 19th Tank Corps joined the 17th Guards Rifle Corps further bolstering resistance. Rokossovsky also decided to dig in most of his remaining tanks to minimize their exposure. Ponyri, defended by the 307th Rifle Division of the 29th Rifle Corps, was also concertedly attacked on 6 July by the German 292nd and 86th Infantry, 78th Assault Infantry and 9th Panzer Divisions, but the Germans were unable to dislodge the defenders from the heavily fortified village. Ponyri and Olkhovatka Over the next three days from 7 to 10 July, Model concentrated the effort of the 9th Army at Ponyri and Olkhovatka, which both sides considered as vital positions. In response, Rokossovsky pulled forces from other parts of the front to these sectors. The Germans attacked Ponyri on 7 July, and captured half of the town after intense house-to-house fighting. A Soviet counterattack the following morning forced the Germans to withdraw, and a series of counterattacks ensued by both sides with control of the town being exchanged several times over the next few days. By 10 July, the Germans had secured most of the town, but Soviet counterattacks continued. The back and forth battles for Ponyri and the nearby Hill 253.5 were battles of attrition, with heavy casualties on both sides. It became referred to by the troops as "mini-Stalingrad". The war diary of the 9th Army described the heavy fighting as a "new type of mobile attrition battle". German attacks on Olkhovatka and the nearby village of Teploe failed to penetrate the Soviet defences; including a powerful concerted attack on 10 July by about 300 German tanks and assault guns from the 2nd, 4th, and 20th Panzer Divisions, supported by every available Luftwaffe air power in the northern face. On 9 July a meeting between Kluge, Model, Joachim Lemelsen and Josef Harpe was held at the headquarters of the XLVII Panzer Corps. It had become clear to the German commanders that the 9th Army lacked the strength to obtain a breakthrough, and their Soviet counterparts had also realized this, but Kluge wished to maintain the pressure on the Soviets in order to aid the southern offensive. While the operation on the northern side of the salient began with a attack front, by 6 July it had been reduced to . The following day the attack frontage dropped to , and on both the 8 and 9 July penetrations of only occurred. By 10 July, the Soviets had completely halted the German advance. On 12 July the Soviets launched Operation Kutuzov, their counter-offensive upon the Orel salient, which threatened the flank and rear of Model's 9th Army. The 12th Panzer Division, thus far held in reserve and slated to be committed to the northern side of the Kursk salient, along with the 36th Motorized Infantry, 18th Panzer and 20th Panzer Divisions were redeployed to face the Soviet spearheads. Operation along the southern face At around 04:00 on 5 July, the German attack commenced with a preliminary bombardment. Manstein's main attack was delivered by Hoth's 4th Panzer Army, which was organized into densely concentrated spearheads. Opposing the 4th Panzer Army was the Soviet 6th Guards Army, which was composed of the 22nd Guards Rifle Corps and 23rd Guards Rifle Corps. The Soviets had constructed three fortified defensive belts to slow and weaken the attacking armoured forces. Though they had been provided superb intelligence, the Voronezh Front headquarters had still not been able to pinpoint the location where the Germans would place their offensive weight. Initial German advance XLVIII Panzer Corps The panzergrenadier division Großdeutschland (Walter Hörnlein), was the strongest division in the 4th Panzer Army. It was supported on its flanks by the 3rd and 11th Panzer Divisions. The Panzer IIIs and IVs of the Großdeutschland had been supplemented by a company of 15 Tigers, which were used to spearhead the attack. At dawn on 5 July, Großdeutschland, backed by heavy artillery support, advanced on a three-kilometre front upon the 67th Guards Rifle Division of the 22nd Guards Rifle Corps. The Panzerfüsilier Regiment, advancing on the left wing, stalled in a minefield and subsequently 36 Panthers were immobilized. The stranded regiment was subjected to a barrage of Soviet anti-tank and artillery fire, which inflicted numerous casualties. Engineers were moved up and cleared paths through the minefield but suffered casualties in the process. The combination of fierce resistance, minefields, thick mud and mechanical breakdowns took its toll. With paths cleared, the regiment resumed its advance towards Gertsovka. In the ensuing battle, many casualties were suffered including the regimental commander Colonel Kassnitz. Due to the fighting, and the marshy terrain south of the village, surrounding the Berezovyy stream, the regiment once more bogged down. The panzergrenadier regiment of Großdeutschland, advancing on the right wing, pushed through to the village of Butovo. The tanks were deployed in a Panzerkeil (arrow) formation to minimise the effects of the Soviet Pakfront defence, with the Tigers leading and the Panzer IIIs, IVs and assault guns fanning out to the flanks and rear. They were followed by infantry and combat engineers. Attempts by the VVS to impede the advance were repulsed by the Luftwaffe. The 3rd Panzer Division, advancing on the left flank of Großdeutschland, made good progress and by the end of the day had captured Gertsovka and reached Mikhailovka. The 167th Infantry Division, on the right flank of the 11th Panzer Division, also made sufficient progress, reaching Tirechnoe by the end of the day. By the end of 5 July, a wedge had been created in the first belt of the Soviet defences. II SS Panzer Corps To the east, during the night of 4–5 July, SS combat engineers had infiltrated no-man's land and cleared lanes through the Soviet minefields. At dawn, 5 July, the three divisions of II SS Panzer Corps – SS Panzergrenadier Division Leibstandarte Adolf Hitler, 2nd SS Panzergrenadier Division Das Reich and the 3rd SS Panzergrenadier Division Totenkopf – attacked the 52nd Guards Rifle Division of the 6th Guards Army. The main assault was led by a spearhead of 42 Tigers among 494 tanks and assault guns attacking on a twelve-kilometre front. Totenkopf, the strongest of the three divisions, advanced towards Gremuchhi and screened the right flank. The 1st SS Panzergrenadier Division advanced on the left flank towards Bykovka. The 2nd SS Panzer Division advanced between the two formations in the center. Following closely behind the tanks were the infantry and combat engineers, coming forward to demolish obstacles and clear trenches. The advance was well supported by the Luftwaffe, which greatly aided in breaking Soviet strong points and artillery positions. By 09:00 hours, the II SS Panzer Corps had broken through the Soviet first belt of defence along its entire front. While probing positions between the first and second Soviet defensive belts, at 13:00, the 2nd SS Panzer Division vanguard came under fire from two T-34 tanks, which were destroyed. Forty more Soviet tanks soon engaged the division. The 1st Guards Tank Army clashed with the 2nd SS Panzer Division in a four-hour battle, resulting in the Soviet tanks withdrawing. The engagement bought enough time for units of the 23rd Soviet Guards Rifle Corps, lodged in the Soviet second belt, to prepare itself and be reinforced with additional anti-tank guns. By the early evening, 2nd SS Panzer Division had reached the minefields on the perimeter of the Soviet second belt of defence. The 1st SS Division had secured Bykovka by 16:10, then pushed forward towards the second belt of defence at Yakovlevo but its attempts to break through were rebuffed. By the end of the day, the 1st SS Division had sustained 97 dead, 522 wounded and 17 missing and lost about 30 tanks. Together with the 2nd SS Panzer Division, it had forced a wedge far into the defences of the 6th Guards Army. The 3rd SS Panzer Division was making slow progress. They had managed to isolate the 155th Guards Regiment, 52nd Guards Rifle Division (of the 23rd Guards Rifle Corps), from the rest of the division but its attempts to sweep the regiment eastward into the flank of the neighbouring 375th Rifle Division (of the 23rd Guards Rifle Corps) had failed when the regiment was reinforced by the 96th Tank Brigade. Hausser, the commander of II SS Panzer Corps, requested aid from the III Panzer Corps to his right but it had no units to spare. By the end of the day, the 3rd SS Division had made very limited progress due in part to a tributary of the Donets river. The lack of progress undermined the advance made by its sister divisions and exposed the right flank of the corps to Soviet forces. The temperatures, reaching over 30 degrees Celsius, and frequent thunderstorms made fighting conditions difficult. The 6th Guards Army, which confronted the attack by the XLVIII Panzer Korps and II SS Panzer Korps, was reinforced with tanks from the 1st Tank Army, the 2nd Guards Tank Corps and the 5th Guards Tank Corps. The 51st and 90th Guards Rifle divisions were moved up to the vicinity of Pokrovka (not Prokhorovka, to the north-east), in the path of the 1st SS Panzer Division. The 93rd Guards Rifle Division was deployed further back, along the road leading from Pokrovka to Prokhorovka. Army Detachment Kempf Facing Army Detachment Kempf, consisting of III Panzer Corps and Corps Raus (commanded by Erhard Raus), was the 7th Guards Army, dug in on the high ground on the eastern bank of the Northern Donets. The two German corps were tasked with crossing the river, breaking through the 7th Guards Army and covering the right flank of the 4th Panzer Army. The 503rd Heavy Tank Battalion, equipped with 45 Tigers, was also attached to the III Panzer Corps, with one company of 15 Tigers attached to each of the corps' three panzer divisions. At the Milkhailovka bridgehead, just south of Belgorod, eight infantry battalions of the 6th Panzer Division crossed the river under heavy Soviet bombardment. Part of a company of Tigers from the 503rd Heavy Tank Battalion was able to cross before the bridge was destroyed. The rest of the 6th Panzer Division was unable to cross further south due to a traffic jam at the crossing, and remained on the western bank of the river throughout the day. Those units of the division that had crossed the river attacked Stary Gorod, but were unable to break through due to poorly cleared minefields and strong resistance. To the south of the 6th Panzer Division, the 19th Panzer Division crossed the river but was delayed by mines, moving forward by the end of the day. Luftwaffe bombed the bridgehead in a friendly fire incident, wounding 6th Panzer Division commander Walther von Hünersdorff and Hermann von Oppeln-Bronikowski of the 19th Panzer Division. Further south, infantry and tanks of 7th Panzer Division crossed the river. A new bridge had to be built specifically for the Tigers, causing further delays. Despite a poor start, the 7th Panzer Division eventually broke into the first belt of the Soviet defence and pushed on between Razumnoe and Krutoi Log, advancing , the furthest Kempf got during the day. Operating to the south of 7th Panzer Division, were the 106th Infantry Division and the 320th Infantry Division of Corps Raus. The two formations attacked across a front without armour support. The advance began well, with the crossing of the river and a swift advance against the 72nd Guards Rifle Division. Corps Raus took the village of Maslovo Pristani, penetrating the first Red Army defence line. A Soviet counter-attack supported by about 40 tanks was beaten off, with the assistance from artillery and flak batteries. After having suffered 2,000 casualties since the morning and still facing considerable resistance from the Soviet forces, the corps dug in for the night. Delaying the progress of Kempf allowed Red Army forces time to prepare their second belt of defence to meet the German attack on 6 July. The 7th Guards Army, which had absorbed the attack of III Panzer Corps and Corps "Raus", was reinforced with two rifle divisions from the reserve. The 15th Guards Rifle Division was moved up to the second belt of defence, in the path of the III Panzer Corps. Development of the battle By the evening of 6 July, the Voronezh Front had committed all of its reserves, except for three rifle divisions under the 69th Army; yet it could not decisively contain the 4th Panzer Army. The XLVIII Panzer Corps along the Oboyan axis, where the third defensive belt was mostly unoccupied, now had only the Red Army second defensive belt blocking it from breakthrough into the unfortified Soviet rear. This forced the Stavka to commit their strategic reserves to reinforce the Voronezh Front: the 5th Guards and 5th Guards Tank Armies, both from the Steppe Front, as well as the 2nd Tank Corps from the Southwestern Front. Ivan Konev objected to this premature piecemeal commitment of the strategic reserve, but a personal call from Stalin silenced his complaints. In addition, on 7 July Zhukov ordered the 17th Air Army – the air fleet serving the Southwestern Front – to support the 2nd Air Army in serving the Voronezh Front. On 7 July, the 5th Guards Tank Army began advancing to Prokhorovka. 5th Guards Tank Army commander, Lieutenant General Pavel Rotmistrov, described the journey: The 10th Tank Corps, then still subordinate to the 5th Guards Army, was rushed ahead of the rest of the army, arriving at Prokhorovka on the night of 7 July, and 2nd Tank Corps arrived at Korocha, southeast of Prokhorovka, by morning of 8 July. Vatutin ordered a powerful counterattack by the 5th Guards, 2nd Guards, 2nd and 10th Tank Corps, in all fielding about 593 tanks and self-propelled guns and supported by most of the Front's available air power, which aimed to defeat the II SS Panzer Corps and therefore expose the right flank of XLVIII Panzer Corps. Simultaneously, the 6th Tank Corps was to attack the XLVIII Panzer Corps and prevent it from breaking through to the free Soviet rear. Although intended to be concerted, the counterattack turned out to be a series of piecemeal attacks due to poor coordination. The 10th Tank Corps' attack began on the dawn of 8 July but they ran straight into the antitank fire of the 2nd and 3rd SS Divisions, losing most of its forces. Later that morning, the 5th Guards Tank Corps' attack was repelled by the 3rd SS Division. The 2nd Tank Corps joined in the afternoon and was also repelled. The 2nd Guards Tank Corps, masked by the forest around the village Gostishchevo, north of Belgorod, with its presence unknown to the II SS Panzer Corps, advanced towards the 167th Infantry Division. But it was detected by German air reconnaissance just before the attack had materialized, and was subsequently decimated by German ground-attack aircraft armed with MK 103 anti-tank cannons and at least 50 tanks were destroyed. This marked the first time in military history an attacking tank formation had been defeated by air power alone. Although a fiasco, the Soviet counterattack succeeded in stalling the advance of the II SS Panzer Corps throughout the day. By the end of 8 July, II SS-Panzer Corps had advanced about since the start of Citadel and broken through the first and second defensive belts. However, slow progress by the XLVIII Panzer Corps caused Hoth to shift elements of the II SS-Panzer Corps to the west to help the XLVIII Panzer Corps regain its momentum. On 10 July the full effort of the corps was shifted back to its own forward progress. The direction of their advance now shifted from Oboyan due north to the northeast, toward Prokhorovka. Hoth had discussed this move with Manstein since early May, and it was a part of the 4th Panzer Army's plan since the outset of the offensive. By this time, however, the Soviets had shifted reserve formations into its path. The defensive positions were manned by the 2nd Tank Corps, reinforced by the 9th Guards Airborne Division and 301st Anti-tank Artillery Regiment, both from the 33rd Guards Rifle Corps. Though the German advance in the south was slower than planned, it was faster than the Soviets expected. On 9 July, the first German units reached the Psel River. The next day, the first German infantry crossed the river. Despite the deep defensive system and minefields, German tank losses remained lower than the Soviets'. At this point, Hoth turned the II SS Panzer Corps away from Oboyan to attack toward the northeast in the direction of Prokhorovka. The main concern of Manstein and Hausser was the inability of Army Detachment Kempf to advance and protect the eastern flank of the II SS Panzer Corps. On 11 July, Army Detachment Kempf finally achieved a breakthrough. In a surprise night attack, the 6th Panzer Division seized a bridge across the Donets. Once across, Breith made every effort to push troops and vehicles across the river for an advance on Prokhorovka from the south. A linkup with the II SS Panzer Corps would result with the Soviet 69th Army becoming encircled. Battle of Prokhorovka Throughout 10 and 11 July, the II-SS Panzer Corps continued its attack toward Prokhorovka, reaching within of the settlement by the night of 11 July. That same night, Hausser issued orders for the attack to continue the next day. The plan was for the 3rd SS Panzer Division to drive northeast until it reached the Karteschewka-Prokhorovka road. Once there, they were to strike southeast to attack the Soviet positions at Prokhorovka from the flanks and rear. The 1st and 2nd | initiative for the remainder of the war. The Battle of Kursk was the first time in the Second World War that a German strategic offensive was halted before it could break through enemy defences and penetrate to its strategic depths. Though the Red Army had succeeded in winter offensives previously, their counter-offensives after the German attack at Kursk were their first successful summer offensives of the war. Background As the Battle of Stalingrad slowly ground to its conclusion, the Red Army moved to a general offensive in the south, in Operation Little Saturn. By January 1943, a gap had opened between German Army Group B and Army Group Don, and the advancing Soviet armies threatened to cut off all German forces south of the Don River, including Army Group A operating in the Caucasus. Army Group Center came under significant pressure as well. Kursk was retaken by the Soviets on 8 February 1943, and Rostov on 14 February. The Soviet Bryansk, Western, and newly created Central Fronts prepared for an offensive which envisioned the encirclement of Army Group Centre between Bryansk and Smolensk. By February 1943 the southern sector of the German front was in strategic crisis. Since December 1942 Field Marshal Erich von Manstein had been strongly requesting "unrestricted operational freedom" to allow him to use his forces in a fluid manner. On 6 February 1943, Manstein met with Hitler at the headquarters in Rastenburg to discuss the proposals he had previously sent. He received an approval from Hitler for a counteroffensive against the Soviet forces advancing in the Donbass region. On 12 February 1943, the remaining German forces were reorganised. To the south, Army Group Don was renamed Army Group South and placed under Manstein's command. Directly to the north, Army Group B was dissolved, with its forces and areas of responsibility divided between Army Group South and Army Group Centre. Manstein inherited responsibility for the massive breach in the German lines. On 18 February, Hitler arrived at Army Group South headquarters at Zaporizhia just hours before the Soviets liberated Kharkov, and had to be hastily evacuated on the 19th. Once given freedom of action, Manstein intended to utilise his forces to make a series of counterstrokes into the flanks of the Soviet armoured formations, with the goal of destroying them while retaking Kharkov and Kursk. The II SS Panzer Corps had arrived from France in January 1943, refitted and up to near full strength. Armoured units from the 1st Panzer Army of Army Group A had pulled out of the Caucasus and further strengthened Manstein's forces. The operation was hastily prepared and did not receive a name. Later known as Third Battle of Kharkov, it commenced on 21 February, as 4th Panzer Army under General Hoth launched a counter-attack. The German forces cut off the Soviet mobile spearheads and continued the drive north, retaking Kharkov on 15 March and Belgorod on 18 March. A Soviet offensive launched on 25 February by the Central Front against Army Group Centre had to be abandoned by 7 March to allow the attacking formations to disengage and redeploy to the south to counter the threat of the advancing German forces under Manstein. Exhaustion of both the Wehrmacht and the Red Army coupled with the loss of mobility due to the onset of the spring rasputitsa resulted in the cessation of operations for both sides by mid-March. The counteroffensive left a Soviet salient extending from north to south and from east to west into the German area of control, centered on the city of Kursk. German plans and preparation The heavy losses sustained by the Heer (army) since the opening of Operation Barbarossa had resulted in a shortage in infantry and artillery. Units were in total 470,000 men understrength. For the Wehrmacht to undertake an offensive in 1943, the burden of the offensive, in both attacking the Soviet defenses and holding ground on the flanks of the advance, would have to be carried primarily by the panzer divisions. On 10 March, Manstein presented a plan whereby the German forces would pinch off the Kursk salient with a rapid offensive commencing as soon as the spring rasputitsa had subsided. On 13 March, Hitler signed Operational Order No. 5, which authorised several offensives, including one against the Kursk salient. As the last Soviet resistance in Kharkov petered out, Manstein attempted to persuade Günther von Kluge, commander of Army Group Centre, to immediately attack the Central Front, which was defending the northern face of the salient. Kluge refused, believing that his forces were too weak to launch such an attack. Further Axis advances were blocked by Soviet forces that had been shifted down from the Central Front to the area north of Belgorod. By mid-April, amid poor weather and with the German forces exhausted and in need of refitting, the offensives of Operational Order No. 5 were postponed. On 15 April, Hitler issued Operational Order No. 6, which called for the Kursk offensive operation, codenamed Zitadelle ("Citadel"), to begin on 3 May or shortly thereafter. The directive was drafted by Kurt Zeitzler, the OKH Chief of Staff. For the offensive to succeed it was deemed essential to attack before the Soviets had a chance to prepare extensive defences or to launch an offensive of their own. Some military historians have described the operation using the term blitzkrieg (lightning war); other military historians do not use the term in their works on the battle. Operation Citadel called for a double envelopment, directed at Kursk, to surround the Soviet defenders of five armies and seal off the salient. Army Group Centre would provide General Walter Model's 9th Army to form the northern pincer. It would cut through the northern face of the salient, driving south to the hills east of Kursk, securing the rail line from Soviet attack. Army Group South would commit the 4th Panzer Army, under Hermann Hoth, and Army Detachment Kempf, under Werner Kempf, to pierce the southern face of the salient. This force would drive north to meet the 9th Army east of Kursk. Manstein's main attack was to be delivered by Hoth's 4th Panzer Army, spearheaded by the II SS Panzer Corps under Paul Hausser. The XLVIII Panzer Corps, commanded by Otto von Knobelsdorff, would advance on the left while Army Detachment Kempf would advance on the right. The 2nd Army, under the command of Walter Weiss, would contain the western portion of the salient. On 27 April, Model met with Hitler to review and express his concern for reconnaissance information which showed the Red Army constructing very strong positions at the shoulders of the salient and having withdrawn their mobile forces from the area west of Kursk. He argued that the longer the preparation phase continued, the less the operation could be justified. He recommended completely abandoning Citadel, allowing the army to await and defeat the coming Soviet offensive, or radically revising the plan for Citadel. Though in mid-April, Manstein had considered the Citadel offensive profitable, by May he shared Model's misgivings. Hitler called his senior officers and advisors to Munich for a meeting on 4 May. Hitler spoke for about 45 minutes on the reasons to postpone the attack, essentially reiterating Model's arguments. A number of options were put forth for comment: going on the offensive immediately with the forces at hand; delaying the offensive further to await the arrival of new and better tanks; radically revising the operation, or cancelling it altogether. Manstein advocated an early attack, but requested two additional infantry divisions, to which Hitler responded that none were available. Kluge spoke out strongly against postponement and discounted Model's reconnaissance materials. Albert Speer, the minister of Armaments and War Production, spoke about the difficulties of rebuilding the armoured formations and the limitations of German industry to replace losses. General Heinz Guderian argued strongly against the operation, stating "the attack was pointless". The conference ended without Hitler coming to a decision, but Citadel was not aborted. Three days later, OKW, Hitler's conduit for controlling the military, postponed the launch date for Citadel to 12 June. Following this meeting, Guderian continued to voice his concerns over an operation that would likely degrade the panzer forces that he had been attempting to rebuild. He considered the offensive, as planned, to be a misuse of the panzer forces, as it violated two of the three tenets he had laid out as the essential elements for a successful panzer attack. In his opinion, the limited German resources in men and materiel should be conserved, as they would be needed for the pending defence of western Europe. In a meeting with Hitler on 10 May he asked, Hitler replied, "I know. The thought of it turns my stomach." Guderian concluded, "In that case your reaction to the problem is the correct one. Leave it alone." Despite reservations, Hitler remained committed to the offensive. He and the OKW, early in the preparatory phase, were hopeful that the offensive would revitalise German strategic fortunes in the east. As the challenges offered by Citadel increased, he focused more and more on the expected new weapons that he believed were the key to victory: principally the Panther tank, but also the Elefant tank destroyer and greater numbers of the Tiger heavy tank. He postponed the operation in order to await their arrival. Receiving reports of powerful Soviet concentrations behind the Kursk area, Hitler further delayed the offensive to allow for more equipment to reach the front. With pessimism for Citadel increasing with each delay, in June, Alfred Jodl, the Chief of Staff at the OKW, instructed the armed forces propaganda office to portray the upcoming operation as a limited counteroffensive. Due to concerns of an Allied landing in the south of France or in Italy and delays in deliveries of the new tanks, Hitler postponed again, this time to 20 June. Zeitzler was profoundly concerned with the delays, but he still supported the offensive. On 17–18 June, following a discussion in which the OKW Operations Staff suggested abandoning the offensive, Hitler further postponed the operation until 3 July. Finally, on 1 July, Hitler announced 5 July as the launch date of the offensive. A three-month quiet period descended upon the Eastern Front as the Soviets prepared their defences and the Germans attempted to build up their forces. The Germans used this period for specialised training of their assault troops. All units underwent training and combat rehearsals. The Waffen-SS had built a full-scale duplicate Soviet strong point that was used to practice the techniques for neutralizing such positions. The panzer divisions received replacement men and equipment and attempted to get back up to strength. The German forces to be used in the offensive included 12 panzer divisions and 5 panzergrenadier divisions, four of which had tank strengths greater than their neighboring panzer divisions. However, the force was markedly deficient in infantry divisions, which were essential to hold ground and to secure the flanks. By the time the Germans initiated the offensive, their force amounted to around 777,000 men, 2,451 tanks and assault guns (70 percent of the German armour on the Eastern Front) and 7,417 guns and mortars. Soviet plans and preparation In 1943 an offensive by the Soviet Central, Bryansk and Western Fronts against Army Group Centre was abandoned shortly after it began in early March, when the southern flank of the Central Front was threatened by Army Group South. Soviet intelligence received information about German troop concentrations spotted at Orel and Kharkov, as well as details of an intended German offensive in the Kursk sector through the Lucy spy ring in Switzerland. The Soviets verified the intelligence via their spy in Britain, John Cairncross, at the Government Code and Cypher School at Bletchley Park, who clandestinely forwarded raw decrypts directly to Moscow. Cairncross also provided Soviet intelligence with identifications of the Luftwaffe airfields in the region. Soviet politician Anastas Mikoyan wrote that on 27 March 1943, Soviet leader Joseph Stalin notified him of a possible German attack in the Kursk sector. Stalin and some senior officers were eager to strike first once the rasputitsa ended, but a number of key officers, including Deputy Supreme Commander Georgiy Zhukov, recommended a strategic defensive before going on the offensive. In a letter to the Stavka and Stalin, on 8 April, Zhukov wrote: Stalin consulted with his frontline commanders and senior officers of the General Staff from 12 to 15 April 1943. In the end he and the Stavka agreed that the Germans would probably target Kursk. Stalin believed the decision to defend would give the Germans the initiative, but Zhukov countered that the Germans would be drawn into a trap where their armoured power would be destroyed, thus creating the conditions for a major Soviet counteroffensive. They decided to meet the enemy attack by preparing defensive positions to wear out the German groupings before launching their own offensive. Preparation of defences and fortifications began by the end of April, and continued until the German attack in early July. The two-month delay between the German decision to attack the Kursk salient and its implementation allowed the Red Army ample time to thoroughly prepare. The Voronezh Front, commanded by Nikolai Vatutin, was tasked with defending the southern face of the salient. The Central Front, commanded by Konstantin Rokossovsky, defended the northern face. Waiting in reserve was the Steppe Front, commanded by Ivan Konev. In February 1943, the Central Front had been reconstructed from the Don Front, which had been part of the northern pincer of Operation Uranus and had been responsible for the destruction of the 6th Army at Stalingrad. The Central and Voronezh Fronts each constructed three main defensive belts in their sectors, with each subdivided into several zones of fortification. The Soviets employed the labour of over 300,000 civilians. Fortifying each belt was an interconnected web of minefields, barbed-wire fences, anti-tank ditches, deep entrenchments for infantry, anti-tank obstacles, dug-in armoured vehicles, and machine-gun bunkers. Behind the three main defensive belts were three more belts prepared as fallback positions; the first was not fully occupied or heavily fortified, and the last two, though sufficiently fortified, were unoccupied with the exception of a small area in the immediate environs of Kursk. The combined depth of the three main defensive zones was about . The six defensive belts on either side of Kursk were deep. If the Germans managed to break through these defences they would still be confronted by additional defensive belts to the east, manned by the Steppe Front. These brought the total depth of the defences to nearly . The Voronezh and Central Fronts dug and of trenches respectively, laid out in criss-cross pattern for ease of movement. The Soviets built more than 686 bridges and about of roads in the salient. Red Army combat engineers laid 503,663 anti-tank mines and 439,348 anti-personnel mines, with the highest concentration in the first main defensive belt. The minefields at Kursk achieved densities of 1,700 anti-personnel and 1,500 anti-tank mines per kilometre, about four times the density used in the defence of Moscow. For example, the 6th Guards Army of the Voronezh Front, was spread out over nearly of front and was protected by 69,688 anti-tank and 64,430 anti-personnel mines in its first defensive belt with a further 20,200 anti-tank and 9,097 anti-personnel mines in its second defensive belt. Furthermore, mobile obstacle detachments were tasked with laying more mines directly in the path of advancing enemy armoured formations. These units, consisting of two platoons of combat engineers with mines at division level and one company of combat engineers normally equipped with 500–700 mines at corps level, functioned as anti-tank reserves at every level of command. In a letter dated 8 April, Zhukov warned that the Germans would attack the salient with a strong armoured force: Nearly all artillery, including howitzers, guns, anti-aircraft and rockets, were tasked with anti-tank defence. Dug-in tanks and self-propelled guns further strengthened the anti-tank defences. Anti-tank forces were incorporated into every level of command, mostly as anti-tank strong points with the majority concentrated on likely attack routes and the remainder amply spread out elsewhere. Each anti-tank strong-point typically consisted of four to six anti-tank guns, six to nine anti-tank rifles, and five to seven heavy and light machine guns. They were supported by mobile obstacle detachments as well as by infantry with automatic firearms. Independent tank and self-propelled gun brigades and regiments were tasked with cooperating with the infantry during counterattacks. Soviet preparations also included increased activity of Soviet partisans, who attacked German communications and supply lines. The attacks were mostly behind Army Group North and Army Group Centre. In June 1943, partisans operating in the occupied area behind Army Group Centre destroyed 298 locomotives, 1,222 railway wagons and 44 bridges, and in the Kursk sector there were 1,092 partisan attacks on railways. These attacks delayed the build-up of German supplies and equipment, and required the diversion of German troops to suppress the partisans, delaying their training for the offensive. Central Partisan Headquarters coordinated many of these attacks. In June Soviet Air Forces (VVS) flew over 800 sorties at night to resupply the partisan groups operating behind Army Group Centre. The VVS also provided communication and sometimes even daylight air-support for major partisan operations. Special training was provided to the Soviet infantry manning the defences to help them overcome the tank phobia that had been evident since the start of the German invasion. Soldiers were packed into trenches and tanks were driven overhead until all signs of fear were gone. This training exercise was referred to by the soldiers as "ironing". In combat, the soldiers would spring up in the midst of the attacking infantry to separate them from the spearheading armoured vehicles. The separated armoured vehicles – now vulnerable to infantry armed with anti-tank rifles, demolition charges and Molotov cocktails – could then be disabled or destroyed at point-blank range. These types of attacks were mostly effective against the Elefant tank destroyers, which lacked machine guns as secondary armament. The soldiers were also promised financial rewards for each tank destroyed, with the People's Commisariat of Defence providing 1,000 rubles for destroyed tanks. The Soviets employed maskirovka (military deception) to mask defensive positions and troop dispositions and to conceal the movement of men and materiel. These included camouflaging gun emplacements, constructing dummy airfields and depots, generating false radio-traffic, and spreading rumours among the Soviet frontline troops and the civilian population |
combat results and inflicted casualties, and the casualties inflicted by firearms and artillery decreased over distance. Unlike chess pieces, units in Reisswitz's game could suffer partial losses before being defeated, which were tracked on a sheet of paper (recreational gamers might call this "hitpoint tracking"). The game also had some rules that modeled morale and exhaustion. Reisswitz's game also used an umpire. The players did not directly control the pieces on the game map. Rather, they wrote orders for their virtual troops on pieces of paper, which they submitted to the umpire. The umpire then moved the pieces across the game map according to how he judged the virtual troops would interpret and carry out their orders. When the troops engaged the enemy on the map, the umpire rolled the dice, computed the effects, and removed defeated units the from map. The umpire also managed secret information so as to simulate the fog of war. The umpire placed pieces on the map only for those units which he judged both sides could see. He kept a mental track of where the hidden units were, and only placed their pieces on the map when he judged they came into view of the enemy. Earlier wargames had fixed victory conditions, such as occupying the enemy's fortress. By contrast, Reisswitz's wargame was open-ended. The umpire decided what the victory conditions were, if there were to be any, and they typically resembled the goals an actual army in battle might aim for. The emphasis was on the experience of decision-making and strategic thinking, not on competition. As Reisswitz himself wrote: "The winning or losing, in the sense of a card or board game, does not come into it." In the English-speaking world, Reisswitz's wargame and its variants are called Kriegsspiel, which is the German word for "wargame". The Prussian king and the General Staff officially endorsed Reisswitz's wargame, and by the end of the decade every German regiment had bought materials for it. This was thus the first wargame to be widely adopted by a military as a serious tool for training and research. Over the years, the Prussians developed new variations of Reisswitz's system to incorporate new technologies and doctrine. Worldwide spread Prussian wargaming attracted little attention outside Prussia until 1870, when Prussia defeated France in the Franco-Prussian War. Many credited Prussia's victory to its wargaming tradition. The Prussian army did not have any significant advantage in weaponry, numbers, or troop training, but it was the only army in the world that practiced wargaming. Civilians and military forces around the world now took a keen interest in the German military wargames, which foreigners referred to as Kriegsspiel (the German word for "wargame"). The first Kriegsspiel manual in English, based on the system of Wilhelm von Tschischwitz, was published in 1872 for the British army and received a royal endorsement. The world's first recreational wargaming club was the University Kriegspiel [sic] Club, founded in 1873 at Oxford University in England. In the United States, Charles Adiel Lewis Totten published Strategos, the American War Game in 1880, and William R. Livermore published The American Kriegsspiel in 1882, both heavily inspired by Prussian wargames. In 1894, the US Naval War College made wargaming a regular tool of instruction. Miniature wargaming The English writer H. G. Wells developed codified rules for playing with toy soldiers, which he published in a book titled Little Wars (1913). This is widely remembered as the first rulebook for miniature wargaming (for terrestrial armies, at least). Little Wars had very simple rules to make it fun and accessible to anyone. Little Wars did not use dice or computation to resolve fights. For artillery attacks, players used spring-loaded toy cannons which fired little wooden cylinders to physically knock over enemy models. As for infantry and cavalry, they could only engage in hand-to-hand combat (even if the figurines exhibited firearms). When two infantry units fought in close quarters, the units would suffer non-random losses determined by their relative sizes. Little Wars was designed for a large field of play, such as a lawn or the floor of a large room. An infantryman could move up to one foot per turn, and a cavalryman could move up to two feet per turn. To measure these distances, players used a two-foot long piece of string. Wells was also the first wargamer to use scale models of buildings, trees, and other terrain features to create a three-dimensional battlefield. Wells' rulebook failed to invigorate the miniature wargaming community. A possible reason was the two World Wars, which de-glamorized war and caused shortages of tin and lead that made model soldiers expensive. Another reason may have been the lack of magazines or clubs dedicated to miniature wargames. Miniature wargaming was seen as a niche within the larger hobby of making and collecting model soldiers. In 1955, a California man named Jack Scruby began making inexpensive miniature models for miniature wargames out of type metal. Scruby's major contribution to the miniature wargaming hobby was to network players across America and the UK. At the time, the miniature wargaming community was minuscule, and players struggled to find each other. In 1956, Scruby organized the first miniature wargaming convention in America, which was attended by just fourteen people. From 1957 to 1962, he self-published the world's first wargaming magazine, titled The War Game Digest, through which wargamers could publish their rules and share game reports. It had less than two hundred subscribers, but it did establish a community that kept growing. Around the same time in the United Kingdom, Donald Featherstone began writing an influential series of books on wargaming, which represented the first mainstream published contribution to wargaming since Little Wars. Titles included : War Games (1962), Advanced Wargames, Solo Wargaming, Wargame Campaigns, Battles with Model Tanks, Skirmish Wargaming. Such was the popularity of such titles that other authors were able to have published wargaming titles. This output of published wargaming titles from British authors coupled with the emergence at the same time of several manufacturers providing suitable wargame miniatures (e.g. Miniature Figurines, Hinchliffe, Peter Laing, Garrisson, Skytrex, Davco, Heroic & Ros) was responsible for the huge upsurge of popularity of the hobby in the late 1960s and into the 1970s. In 1956, Tony Bath published what was the first ruleset for a miniature wargame set in the medieval period. These rules were a major inspiration for Gary Gygax's Chainmail (1971), which in turn became the basis for the roleplaying game Dungeons and Dragons. From 1983 to 2010, Games Workshop produced what was the first miniature wargame designed to be used with proprietary models: Warhammer Fantasy. Earlier miniature wargames were designed to be played using generic models that could be bought from any manufacturer, but Warhammer Fantasy's setting featured original characters with distinctive visual designs, and their models were produced exclusively by Games Workshop. Board wargaming (1954–present) The first successful commercial board wargame was Tactics (1954) by an American named Charles S. Roberts. What distinguished this wargame from previous ones is that it was mass-produced and all the necessary materials for play were bundled together in a box. Previous wargames were often just a rulebook and required players to obtain the other materials themselves. The game was played on a pre-fabricated board with a fixed layout, which is why it was called a board game. Roberts later founded the Avalon Hill Game Company, the first firm that specialized in commercial wargames. In 1958, Avalon Hill released Gettysburg, which was a retooling of the rules of Tactics, and was based on the historical Battle of Gettysburg. Gettysburg became the most widely-played wargame yet. Board wargames were more popular than miniature wargames. One reason was that assembling a playset for miniature wargaming was expensive, time-consuming, and require artisanal skill. Another reason was that board wargames could be played by correspondence. Board wargames were usually grid-based, or else designed in some way that moves could be explained in writing in simple terms. This was not possible with the free-form nature of miniature wargames. Notable people Wargaming as a hobby Captain Georg Heinrich Rudolf von Reisswitz, who with his father Georg Leopold von Reisswitz invented Kriegsspiel. H.G. Wells – Pioneer in miniature wargaming, author of Little Wars. His usual companion in wargames was Jerome K. Jerome (of Three Men in a Boat fame). Jack Scruby – After H.G. Wells, he did the most to make miniature wargaming a respectable hobby. He also popularized miniatures wargaming with a cheaper production process for miniature figures, publishing the first miniature wargaming magazine, the War Game Digest, and community building. Don Featherstone – Known in the UK as the "co-father" of modern miniature wargaming. Charles S. Roberts – Known as the "Father of modern board wargaming", designed the first modern wargame, as well as the company most identified with modern wargames (Avalon Hill). Phil Barker – Co-founder of (Wargames Research Group), co writer of WRG Ancients in 1969 and of DBA the innovative 1990 ruleset. Designers/developers Richard Berg – Designer of Terrible Swift Sword, and worked at SPI. Larry Bond – Designer of Harpoon, and best selling author Frank Chadwick – A co-founder of Game Designers Workshop (along with Loren Wiseman, Marc Miller, and Rich Banner), one of the first major competitors to Avalon Hill, and himself a prolific wargame designer and innovator. Jim Dunnigan – considered "The Dean of Modern Wargaming", founder of SPI and the most prolific print wargame designer in history. His designs included many firsts in wargaming, including the first tactical wargames. Charles Grant – Author of The Wargame. E. Gary Gygax – Designer of several miniatures and board wargames who went on to co-create (with Dave Arneson) and publish Dungeons & Dragons. Larry Harris – Designer of Axis and Allies, Conquest of the Empire, and other games in the Axis and Allies Series. Bruce Quarrie – wrote rule sets for Napoleonic and World War II wargames and also on military history. John Hill – Designer of Squad Leader, Johnny Reb, and other well-received designs. Redmond Simonsen – Co-founder of SPI and introduced many advanced graphics design elements to wargame designs. Notable players Peter Cushing – Actor Notable examples Board While a comprehensive list will show the variety of titles, the following games are notable for the reasons indicated: Diplomacy – (1954) a classic multi-player game from the "golden age" of wargames in which strategy is exercised off the game board as well as on it. Tactics II (Avalon Hill, 1958) – the wargame that launched Avalon Hill. Risk (Parker Brothers, 1959) – Widely accepted as the first mainstream wargame. Gettysburg (Avalon Hill, 1958) – the first modern era wargame intended to model an actual historical event. Tactical Game 3 (Strategy & Tactics Magazine game, 1969); re-released as PanzerBlitz by Avalon Hill in 1970. The very first tactical wargame. The game pioneered the use of "geomorphic mapboards" and PanzerBlitz was a game system rather than just a game in that forces could be used to depict any number of actual tactical situations rather than one specific scenario. Pioneered several ground-breaking features, such as use of various types of weapons fire to reflect battlefield conditions. Also created new level of realism in reflecting tactical armored vehicles. Quebec 1759 (Columbia Games, 1972) – The first wargame to use wooden blocks with labels to provide a fog of war and four possible steps of strength. Sniper! (SPI, 1973) – along with Patrol, the first Man to Man wargames where game pieces depicted a single soldier. An adaptation of Sniper! also became one of the first multi-player computer wargames. Wooden Ships and Iron Men (Battleline Publications, 1974 Avalon Hill, 1976) – the definitive game of Age of Sail warfare for many years. Rise and Decline of the Third Reich (Avalon Hill, 1974) – The first serious attempt to model World War II in Europe in its entirety, including (in a limited way) the economic and industrial production of the nations involved. It has seen numerous versions and editions, and is currently available as John Prados' Third Reich from Avalanche Press, and as a far more complex descendant game, A World At War, published by GMT Games. La Bataille de la Moskowa (Martial Enterprises, 1974) Later republished by Games Designers Workshop and Clash of Arms. With 4 maps and 1000+ counters, it is credited with being the first "monster" wargame (by famed designer Richard Berg.) SPQR (GMT Games, 1992) Squad Leader (Avalon Hill, 1977) and Advanced Squad Leader (1985) have become the most prolific series of wargames, including 3 add-on modules for the former, and 12 for the latter, with additional Historical modules and Deluxe modules also having been released. ASL also sets the record for sheer volume of playing components, with thousands of official counters and 60+ "geomorphic mapboards" not counting Deluxe and Historical maps. Star Fleet Battles – (Task Force Games, 1978) one of the older still actively played and published wargames today; based on Star Trek, it is arguably the most successful tactical space combat system that does not rely on miniatures (published by Amarillo Design Bureau). Storm Over Arnhem (Avalon Hill, 1981) – pioneered the use of "point to point" or "area movement" in tactical wargames. Axis and Allies – (Nova Games, 1981) the most successful of Milton Bradley's (1984) 'GameMaster' line in an attempt to bring wargaming into the mainstream by appealing to non-wargamers through simplicity and attractive components. Ambush! – (Victory Games, 1983) the first solitaire board wargame depicting man to man combat, in which each game piece represented a single person. Blue Max – (GDW, 1983) is a multi-player game of World War I aerial combat over the Western Front during 1917 and 1918 with an extremely easy to play mechanism but allow the development of complex strategies. We the People – (Avalon Hill, 1994) this game started the Card-Driven wargame movement, which is very influential in current wargame design. Miniature Rules for the Jane Naval War Game (S. Low, Marston, 1898) – The first published miniature wargame. A 26-page rule set limited to naval miniature battles. It came in a crate measuring 4 ft. X 4 ft. X 2 ft. Written by Fred Jane. As only a handful of these games survive, they are highly collectible. Little Wars (H.G. Wells, 1913) – The first popular published wargame rules. Includes the common miniature wargaming mechanics of dice rolling, range, line of sight, and moving in alternate turns. This game earned Wells the title "The Father of Miniature Wargaming". Miniature Wargames du temps de Napoleon (John C. Candler, 1964) – First period-specific historical miniature wargame. Also the first in a long line of Napoleonic miniature wargames. Chainmail (Guidon Games, 1971) – An extension and distillation of rules previously published in various periodicals. While mostly about historical medieval combat, it had an addendum that covered fantasy elements. Major elements of this game were adopted by the role-playing game Dungeons & Dragons. Unlike Dungeons & Dragons, Chainmail used two six-sided dice to resolve combat. Previous fantasy miniature wargames had been written, but this was the first one published. Drawing on the popularity of The Lord of the Rings, this game featured the novelties of combat magic and fantastic creatures as combatants. Warhammer Fantasy Battle (Games Workshop, 1983) – An internationally successful fantasy miniature wargame. The First Edition rules introduced innovative open unit design rules, however later editions eliminated the option to build custom units and make use of standard army lists mandatory. Warhammer was one of the first newly developed miniature wargames to enjoy popularity after role-playing games came to market in 1974. In fact, it is because of Roleplaying games becoming so popular, and people having too many models that were rarely used, that this was first published. Warhammer 40,000 (Games Workshop, 1987) – A futuristic wargame featuring rival armies with different fighting styles. This wargame has very conceptual artwork suggesting a post-apocalyptic neo-gothic universe with heavy dystopic themes. Unarguably the most profitable miniature wargame ever , it has popularized competitive tournament gameplay in large, international events sanctioned by Games Workshop. De Bellis Antiquitatis (Wargames Research Group, 1990) – Radically minimalist rules differentiate this game from other notable miniature wargames. A number of systems have been strongly influenced by DBA. Mage Knight (WizKids Inc., 2001) – Innovative game popularizing the combat dial, pre-painted plastic miniatures, and the collectible miniatures games. Mage Knight has inspired numerous collectible, skirmish miniature wargames. Warmachine (Privateer Press, 2003) – A steampunk-inspired miniatures game featuring steam-powered robots fighting under the direction of powerful wizards. Also has a sister game, Hordes, which features large monstrous creatures in the place of robots. Heroscape (Milton Bradley Company, 2004) – An inexpensive, simple wargame that has been successfully mass marketed to both younger wargamers and adults. As miniature wargaming is often an expensive hobby, Heroscape and the collectible miniatures games have opened the miniature wargaming hobby to a new demographic. Infinity (Corvus Belli, 2005) is a tabletop wargame in which sci-fi themed with 28mm scale metal miniatures are used to simulate futuristic skirmishes. BrikWars is a wargame that uses Lego bricks as miniatures and scenery and gained popularity mostly due to the looseness of the rules. Flames of War (Battlefront Miniatures, 2002) – Popular World War II wargame at 15mm (1:100) scale, currently focusing on the European and Mediterean theatres. Splits into three time periods (Early War 1939-41, Mid War 1942-43 and Late War 1944-45) to bring some balance and | chess, the pieces had orientation: for instance, an infantry piece could only shoot an enemy piece if they were facing it and flanking it. Hellwig's wargame could also simulate the fog of war to limited degree: while the players were arranging their pieces in their starting positions, they had the option of placing a screen across the board so that they could not observe their opponent's arrangement until the game started. Once the game was in progress, however, there was no hiding anything. Hellwig's wargame was a commercial success, and inspired other inventors to develop their own chess-like wargames. In 1796, another Prussian named Johann Georg Julius Venturini invented his own wargame, inspired by Hellwig's game. Venturini's game was played on an even larger grid. Venturini's game also added rules governing logistics, such as supply convoys and mobile bakeries, and the effects of weather and seasons, making this perhaps the first operational-level wargame. In 1806, an Austrian named Johann Ferdinand Opiz developed a wargame aimed at both civilian and military markets. Like Hellwig's game, it used a modular grid-based board. But unlike Hellwig's game, Opiz's game used dice rolls to simulate the unpredictability of real warfare. This innovation was controversial at the time. Hellwig, who designed his wargame for both leisure as well as instruction, felt that introducing chance would spoil the fun. A criticism of the chess-like wargames of Hellwig, Venturini, and Opiz was that the pieces were constrained to move across a grid in chess-like fashion. Only a single piece could occupy a square, even if that square represented a square mile; and the pieces had to move square by square, their exact location within a square being immaterial. The grid also forced the terrain into unnatural forms, such as rivers that flowed in straight lines and bent at right angles. This lack of realism meant that no army took these wargames seriously. Kriegsspiel (1824) In 1824, a Prussian army officer named Georg Heinrich Rudolf Johann von Reisswitz presented to the Prussian General Staff a highly realistic wargame that he and his father had developed over the years. Instead of a chess-like grid, this game was played on accurate paper maps of the kind the Prussian army used. This allowed the game to model terrain naturally and simulate battles in real locations. The pieces could be moved across the map in a free-form manner, subject to terrain obstacles. The pieces, each of which represented some kind of army unit (an infantry battalion, a cavalry squadron, etc.), were little rectangular blocks made of lead. The pieces were painted either red or blue to indicate the faction it belonged to. The blue pieces were used to represent the Prussian army and red was used to represent some foreign enemy—since then it has been the convention in military wargaming to use blue to represent the faction to which the players actually belong to. The game used dice to add a degree of randomness to combat. The scale of the map was 1:8000 and the pieces were made to the same proportions as the units they represented, such that each piece occupied the same relative space on the map as the corresponding unit did on the battlefield. The game modeled the capabilities of the units realistically using data gathered by the Prussian army during the Napoleonic Wars. Reisswitz's manual provided tables that listed how far each unit type could move in a round according to the terrain it was crossing and whether it was marching, running, galloping, etc.; and accordingly the umpire used a ruler to move the pieces across the map. The game used dice to determine combat results and inflicted casualties, and the casualties inflicted by firearms and artillery decreased over distance. Unlike chess pieces, units in Reisswitz's game could suffer partial losses before being defeated, which were tracked on a sheet of paper (recreational gamers might call this "hitpoint tracking"). The game also had some rules that modeled morale and exhaustion. Reisswitz's game also used an umpire. The players did not directly control the pieces on the game map. Rather, they wrote orders for their virtual troops on pieces of paper, which they submitted to the umpire. The umpire then moved the pieces across the game map according to how he judged the virtual troops would interpret and carry out their orders. When the troops engaged the enemy on the map, the umpire rolled the dice, computed the effects, and removed defeated units the from map. The umpire also managed secret information so as to simulate the fog of war. The umpire placed pieces on the map only for those units which he judged both sides could see. He kept a mental track of where the hidden units were, and only placed their pieces on the map when he judged they came into view of the enemy. Earlier wargames had fixed victory conditions, such as occupying the enemy's fortress. By contrast, Reisswitz's wargame was open-ended. The umpire decided what the victory conditions were, if there were to be any, and they typically resembled the goals an actual army in battle might aim for. The emphasis was on the experience of decision-making and strategic thinking, not on competition. As Reisswitz himself wrote: "The winning or losing, in the sense of a card or board game, does not come into it." In the English-speaking world, Reisswitz's wargame and its variants are called Kriegsspiel, which is the German word for "wargame". The Prussian king and the General Staff officially endorsed Reisswitz's wargame, and by the end of the decade every German regiment had bought materials for it. This was thus the first wargame to be widely adopted by a military as a serious tool for training and research. Over the years, the Prussians developed new variations of Reisswitz's system to incorporate new technologies and doctrine. Worldwide spread Prussian wargaming attracted little attention outside Prussia until 1870, when Prussia defeated France in the Franco-Prussian War. Many credited Prussia's victory to its wargaming tradition. The Prussian army did not have any significant advantage in weaponry, numbers, or troop training, but it was the only army in the world that practiced wargaming. Civilians and military forces around the world now took a keen interest in the German military wargames, which foreigners referred to as Kriegsspiel (the German word for "wargame"). The first Kriegsspiel manual in English, based on the system of Wilhelm von Tschischwitz, was published in 1872 for the British army and received a royal endorsement. The world's first recreational wargaming club was the University Kriegspiel [sic] Club, founded in 1873 at Oxford University in England. In the United States, Charles Adiel Lewis Totten published Strategos, the American War Game in 1880, and William R. Livermore published The American Kriegsspiel in 1882, both heavily inspired by Prussian wargames. In 1894, the US Naval War College made wargaming a regular tool of instruction. Miniature wargaming The English writer H. G. Wells developed codified rules for playing with toy soldiers, which he published in a book titled Little Wars (1913). This is widely remembered as the first rulebook for miniature wargaming (for terrestrial armies, at least). Little Wars had very simple rules to make it fun and accessible to anyone. Little Wars did not use dice or computation to resolve fights. For artillery attacks, players used spring-loaded toy cannons which fired little wooden cylinders to physically knock over enemy models. As for infantry and cavalry, they could only engage in hand-to-hand combat (even if the figurines exhibited firearms). When two infantry units fought in close quarters, the units would suffer non-random losses determined by their relative sizes. Little Wars was designed for a large field of play, such as a lawn or the floor of a large room. An infantryman could move up to one foot per turn, and a cavalryman could move up to two feet per turn. To measure these distances, players used a two-foot long piece of string. Wells was also the first wargamer to use scale models of buildings, trees, and other terrain features to create a three-dimensional battlefield. Wells' rulebook failed to invigorate the miniature wargaming community. A possible reason was the two World Wars, which de-glamorized war and caused shortages of tin and lead that made model soldiers expensive. Another reason may have been the lack of magazines or clubs dedicated to miniature wargames. Miniature wargaming was seen as a niche within the larger hobby of making and collecting model soldiers. In 1955, a California man named Jack Scruby began making inexpensive miniature models for miniature wargames out of type metal. Scruby's major contribution to the miniature wargaming hobby was to network players across America and the UK. At the time, the miniature wargaming community was minuscule, and players struggled to find each other. In 1956, Scruby organized the first miniature wargaming convention in America, which was attended by just fourteen people. From 1957 to 1962, he self-published the world's first wargaming magazine, titled The War Game Digest, through which wargamers could publish their rules and share game reports. It had less than two hundred subscribers, but it did establish a community that kept growing. Around the same time in the United Kingdom, Donald Featherstone began writing an influential series of books on wargaming, which represented the first mainstream published contribution to wargaming since Little Wars. Titles included : War Games (1962), Advanced Wargames, Solo Wargaming, Wargame Campaigns, Battles with Model Tanks, Skirmish Wargaming. Such was the popularity of such titles that other authors were able to have published wargaming titles. This output of published wargaming titles from British authors coupled with the emergence at the same time of several manufacturers providing suitable wargame miniatures (e.g. Miniature Figurines, Hinchliffe, Peter Laing, Garrisson, Skytrex, Davco, Heroic & Ros) was responsible for the huge upsurge of popularity of the hobby in the late 1960s and into the 1970s. In 1956, Tony Bath published what was the first ruleset for a miniature wargame set in the medieval period. These rules were a major inspiration for Gary Gygax's Chainmail (1971), which in turn became the basis for the roleplaying game Dungeons and Dragons. From 1983 to 2010, Games Workshop produced what was the first miniature wargame designed to be used with proprietary models: Warhammer Fantasy. Earlier miniature wargames were designed to be played using generic models that could be bought from any manufacturer, but Warhammer Fantasy's setting featured original characters with distinctive visual designs, and their models were produced exclusively by Games Workshop. Board wargaming (1954–present) The first successful commercial board wargame was Tactics (1954) by an American named Charles S. Roberts. What distinguished this wargame from previous ones is that it was mass-produced and all the necessary materials for play were bundled together in a box. Previous wargames were often just a rulebook and required players to obtain the other materials themselves. The game was played on a pre-fabricated board with a fixed layout, which is why it was called a board game. Roberts later founded the Avalon Hill Game Company, the first firm that specialized in commercial wargames. In 1958, Avalon Hill released Gettysburg, which was a retooling of the rules of Tactics, and was based on the historical Battle of Gettysburg. Gettysburg became the most widely-played wargame yet. Board wargames were more popular than miniature wargames. One reason was that assembling a playset for miniature wargaming was expensive, time-consuming, and require artisanal skill. Another reason was that board wargames could be played by correspondence. Board wargames were usually grid-based, or else designed in some way that moves could be explained in writing in simple terms. This was not possible with the free-form nature of miniature wargames. Notable people Wargaming as a hobby Captain Georg Heinrich Rudolf von Reisswitz, who with his father Georg Leopold von Reisswitz invented Kriegsspiel. H.G. Wells – Pioneer in miniature wargaming, author of Little Wars. His usual companion in wargames was Jerome K. Jerome (of Three Men in a Boat fame). Jack Scruby – After H.G. Wells, he did the most to make miniature wargaming a respectable hobby. He also popularized miniatures wargaming with a cheaper production process for miniature figures, publishing the first miniature wargaming magazine, the War Game Digest, and community building. Don Featherstone – Known in the UK as the "co-father" of modern miniature wargaming. Charles S. Roberts – Known as the "Father of modern board wargaming", designed the first modern wargame, as well as the company most identified with modern wargames (Avalon Hill). Phil Barker – Co-founder of (Wargames Research Group), co writer of WRG Ancients in 1969 and of DBA the innovative 1990 ruleset. Designers/developers Richard Berg – Designer of Terrible Swift Sword, and worked at SPI. Larry Bond – Designer of Harpoon, and best selling author Frank Chadwick – A co-founder of Game Designers Workshop (along with Loren Wiseman, Marc Miller, and Rich Banner), one of the first major competitors to Avalon Hill, and himself a prolific wargame designer and innovator. Jim Dunnigan – considered "The Dean of Modern Wargaming", founder of SPI and the most prolific print wargame designer in history. His designs included many firsts in wargaming, including the first tactical wargames. Charles Grant – Author of The Wargame. E. Gary Gygax – Designer of several miniatures and board wargames who went on to co-create (with Dave Arneson) and publish Dungeons & Dragons. Larry Harris – Designer of Axis and Allies, Conquest of the Empire, and other games in the Axis and Allies Series. Bruce Quarrie – wrote rule sets for Napoleonic and World War II wargames and also on military history. John Hill – Designer of Squad Leader, Johnny Reb, and other well-received designs. Redmond Simonsen – Co-founder of SPI and introduced many advanced graphics design elements to wargame designs. Notable players Peter Cushing – Actor Notable examples Board While a comprehensive list will show the variety of titles, the following games are notable for the reasons indicated: Diplomacy – (1954) a classic multi-player game from the "golden age" of wargames in which strategy is exercised off the game board as well as on it. Tactics II (Avalon Hill, 1958) – the wargame that launched Avalon Hill. Risk (Parker Brothers, 1959) – Widely accepted as the first mainstream wargame. Gettysburg (Avalon Hill, 1958) – the first modern era wargame intended to model an actual historical event. Tactical Game 3 (Strategy & Tactics Magazine game, 1969); re-released as PanzerBlitz by Avalon Hill in 1970. The very first tactical wargame. The game pioneered the use of "geomorphic mapboards" and PanzerBlitz was a game system rather than just a game in that forces could be used to depict any number of actual tactical situations rather than one specific scenario. Pioneered several ground-breaking features, such as use of various types of weapons fire to reflect battlefield conditions. Also created new level of realism in reflecting tactical armored vehicles. Quebec 1759 (Columbia Games, 1972) – The first wargame to use wooden blocks with labels to provide a fog of war and four possible steps of strength. Sniper! (SPI, 1973) – along with Patrol, the first Man to Man wargames where game pieces depicted a single soldier. An adaptation of Sniper! also became one of the first multi-player computer wargames. Wooden Ships and Iron Men (Battleline Publications, 1974 Avalon Hill, 1976) – the definitive game of Age of Sail warfare for many years. Rise and Decline of the Third Reich (Avalon Hill, 1974) – The first serious attempt to model World War II in Europe in its entirety, including (in a limited way) the economic and industrial production of the nations involved. It has seen numerous versions and editions, and is currently available as John Prados' Third Reich from Avalanche Press, and as a far more complex descendant game, A World At War, published by GMT Games. La Bataille de la Moskowa (Martial Enterprises, 1974) Later republished by Games Designers Workshop and Clash of Arms. With 4 maps and 1000+ counters, it is credited with being the first "monster" wargame (by famed designer Richard Berg.) SPQR (GMT Games, 1992) Squad Leader (Avalon Hill, 1977) and Advanced Squad Leader (1985) have become the most prolific series of wargames, including 3 add-on modules for the former, and 12 for the latter, with additional Historical modules and Deluxe modules also having been released. ASL also sets the record for sheer volume of playing components, with thousands of official counters and 60+ "geomorphic mapboards" not counting Deluxe and Historical maps. Star Fleet Battles – (Task Force Games, 1978) one of the older still actively played and published wargames today; based on Star Trek, it is arguably the most successful tactical space combat system that does not rely on miniatures (published by Amarillo Design Bureau). Storm Over Arnhem (Avalon Hill, 1981) – pioneered the use of "point to point" or "area movement" in tactical wargames. Axis and Allies – (Nova Games, 1981) the most successful of Milton Bradley's (1984) 'GameMaster' line in an attempt to bring wargaming into the mainstream by appealing to non-wargamers through simplicity and attractive components. Ambush! – (Victory Games, 1983) the first solitaire board wargame depicting man to man combat, in which each game piece represented a single person. Blue Max – (GDW, 1983) is a multi-player game of World War I aerial combat over the Western Front during 1917 and 1918 with an extremely easy to play mechanism but allow the development of complex strategies. We the People – (Avalon Hill, 1994) this game started the Card-Driven wargame movement, which is very influential in current wargame design. Miniature Rules for the Jane Naval War Game (S. Low, Marston, 1898) – The first published miniature wargame. A 26-page rule set limited to naval miniature battles. It came in a crate measuring 4 ft. X 4 ft. X 2 ft. Written by Fred Jane. As only a handful of these games survive, they are highly collectible. Little Wars (H.G. Wells, 1913) – The first popular published wargame rules. Includes the common miniature wargaming mechanics of dice rolling, range, line of sight, and moving in alternate turns. This game earned Wells the title "The Father of Miniature Wargaming". Miniature Wargames du temps de Napoleon (John C. Candler, 1964) – First period-specific historical miniature wargame. Also the first in a long line of Napoleonic miniature wargames. Chainmail (Guidon Games, 1971) – An extension and distillation of rules previously published in various periodicals. While mostly about historical medieval combat, it had an addendum that covered fantasy elements. Major elements of this game were adopted by the role-playing game Dungeons & Dragons. Unlike Dungeons & Dragons, Chainmail used two six-sided dice to resolve combat. Previous fantasy miniature wargames had been written, but this was the first one published. Drawing on the popularity of The Lord of the Rings, this game featured the novelties of combat magic and fantastic creatures as combatants. Warhammer Fantasy Battle (Games Workshop, 1983) – An internationally successful fantasy miniature wargame. The First Edition rules introduced innovative open unit |
the Antarctic flora (found in diverse parts of the southern hemisphere). Although the order was defined based on phylogenetic studies, a number of possible synapomorphies have been suggested, relating to the pollen tube, the seeds, the thickness of the integument, and other aspects of the morphology. Until 1999, these two families were not considered to be closely related. Instead the Winteraceae were considered to be a primitive family (due to the structure of the xylem and | the botanical name for an order of flowering plants, one of the four orders of the magnoliids. It is recognized by the most recent classification of flowering plants, the APG IV system. It is defined to contain two families: Canellaceae and Winteraceae, which comprise 136 species of fragrant trees and shrubs. The Canellaceae are found in tropical America and Africa, and the Winteraceae are part of the Antarctic flora (found in diverse parts of the southern hemisphere). Although the order was defined based on phylogenetic studies, a number of possible synapomorphies have been suggested, relating to |
100 times the fundraising target. Pebble released several smartwatches, including the Pebble Time and the Pebble Round. Google Glass launched their optical head-mounted display (OHMD) to a test group of users in 2013, before it became available to the public on 15 May 2014. Google's mission was to produce a mass-market ubiquitous computer that displays information in a smartphone-like hands-free format that can interact with the Internet via natural language voice commands. Google Glass received criticism over privacy and safety concerns. On 15 January 2015, Google announced that it would stop producing the Google Glass prototype but would continue to develop the product. According to Google, Project Glass was ready to "graduate" from Google X, the experimental phase of the project. Thync, a headset launched in 2014, is a wearable that stimulates the brain with mild electrical pulses, causing the wearer to feel energized or calm based on input into a phone app. The device is attached to the temple and to the back of the neck with an adhesive strip. Macrotellect launched two portable brainwave (EEG) sensing devices, BrainLink Pro and BrainLink Lite in 2014, which allows families and meditation students to enhance the mental fitness and stress relief with 20+ brain fitness enhancement Apps on Apple and Android App Stores. In January 2015, Intel announced the sub-miniature Intel Curie for wearable applications, based on its Intel Quark platform. As small as a button, it features a six-axis accelerometer, a DSP sensor hub, a Bluetooth LE unit, and a battery charge controller. It was scheduled to ship in the second half of the year. On 24 April 2015, Apple released their take on the smartwatch, known as the Apple Watch. The Apple Watch features a touchscreen, many applications, and a heart-rate sensor. Some advanced VR headsets require the user to wear a desktop-sized computer as a backpack to enable them to move around freely. Commercialization The commercialization of general-purpose wearable computers, as led by companies such as Xybernaut, CDI and ViA, Inc. has thus far been met with limited success. Publicly traded Xybernaut tried forging alliances with companies such as IBM and Sony in order to make wearable computing widely available, and managed to get their equipment seen on such shows as The X-Files, but in 2005 their stock was delisted and the company filed for Chapter 11 bankruptcy protection amid financial scandal and federal investigation. Xybernaut emerged from bankruptcy protection in January, 2007. ViA, Inc. filed for bankruptcy in 2001 and subsequently ceased operations. In 1998, Seiko marketed the Ruputer, a computer in a (fairly large) wristwatch, to mediocre returns. In 2001, IBM developed and publicly displayed two prototypes for a wristwatch computer running Linux. The last message about them dates to 2004, saying the device would cost about $250, but it is still under development. In 2002, Fossil, Inc. announced the Fossil Wrist PDA, which ran the Palm OS. Its release date was set for summer of 2003, but was delayed several times and was finally made available on 5 January 2005. Timex Datalink is another example of a practical wearable computer. Hitachi launched a wearable computer called Poma in 2002. Eurotech offers the ZYPAD, a wrist-wearable touch screen computer with GPS, Wi-Fi and Bluetooth connectivity and which can run a number of custom applications. In 2013, a wearable computing device on the wrist to control body temperature was developed at MIT. Evidence of weak market acceptance was demonstrated when Panasonic Computer Solutions Company's product failed. Panasonic has specialized in mobile computing with their Toughbook line since 1996 and has extensive market research into the field of portable, wearable computing products. In 2002, Panasonic introduced a wearable brick computer coupled with a handheld or a touchscreen worn on the arm. The "Brick" Computer is the CF-07 Toughbook, dual batteries, screen used same batteries as the base, 800 x 600 resolution, optional GPS and WWAN. Has one M-PCI slot and one PCMCIA slot for expansion. CPU used is a 600 MHz Pentium 3 factory under clocked to 300 MHz so it can stay cool passively as it has no fan. Micro DIM RAM is upgradeable. The screen can be used wirelessly on other computers. The brick would communicate wirelessly to the screen, and concurrently the brick would communicate wirelessly out to the internet or other networks. The wearable brick was quietly pulled from the market in 2005, while the screen evolved to a thin client touchscreen used with a handstrap. Google has announced that it has been working on a head-mounted display-based wearable "augmented reality" device called Google Glass. An early version of the device was available to the US public from April 2013 until January 2015. Despite ending sales of the device through their Explorer Program, Google has stated that they plan to continue developing the technology. LG and iriver produce earbud wearables measuring heart rate and other biometrics, as well as various activity metrics. Greater response to commercialization has been found in creating devices with designated purposes rather than all-purpose. One example is the WSS1000. The WSS1000 is a wearable computer designed to make the work of inventory employees easier and more efficient. The device allows workers to scan the barcode of items and immediately enter the information into the company system. This removed the need for carrying a clipboard, removed error and confusion from hand written notes, and allowed workers the freedom of both hands while working; the system improves accuracy as well as efficiency. Popular culture Many technologies for wearable computers derive their ideas from science fiction. There are many examples of ideas from popular movies that have become technologies or are technologies currently being developed. 3D user interface Devices that display usable, tactile interfaces that can be manipulated in front of the user. Examples include the glove-operated hologram computer featured at the Pre-Crime headquarters in the beginning of Minority Report and the computers used by the gate workers at Zion in The Matrix trilogy. Intelligent textiles or smartwear Clothing that can relay and collect information. Examples include Tron and its sequel, and also many sci-fi military films. Threat glasses Scan others in vicinity and assess threat-to-self level. Examples include Terminator 2, 'Threep' Technology in Lock-In, and Kill switch. Computerized contact lenses Special contact lenses that are used to confirm one's identity. Used in Mission Impossible 4. Combat suit armor A wearable exoskeleton that provides protection to its wearer and is typically equipped with powerful weapons and a computer system. Examples include numerous Iron Man suits, the Predator suit, along with Samus Aran's Power Suit and Fusion Suit in the Metroid video game series. Brain nano-bots to store memories in the cloud Used in Total Recall. Infrared headsets Can help identify suspects and see through walls. Examples include Robocop's special eye system, as well as some more advanced visors that Samus Aran uses in the Metroid Prime trilogy. Wrist-worn computers Provide various abilities and information, such as data about the wearer, a vicinity map, a flashlight, a communicator, a poison detector or an enemy-tracking device. Examples included are the Pip-Boy 3000 from the Fallout games and Leela's Wrist Device from the Futurama TV sitcom. On-chest or smart necklace This form-factor of wearable computer has been shown in many sci-fi movies, including Prometheus and Iron Man. Advancement with wearable technology over years Technology has advanced with continuous change in wearable computers. Wearable technologies are increasingly used in healthcare. For instance, portable sensors are used as medical devices which helps patients with diabetes to help them keep track of exercise related data. A number of people think wearable technology as a new trend; however, companies have been trying to develop or design wearable technologies for decades. The spotlight has more recently been focused on new types of technology which are more focused on improving efficiency in the wearer's life. The main elements of wearable computers the display, which allows the user to see the work they do. the computer, which allows the user to run an application or access the internet the commands, which allows the user to control the machine. Challenges with wearable computers Wearable technology comes with many challenges, like data security, trust issues, and regulatory and ethical issues. After 2010, wearable technologies have been seen more as a technology focused mostly on fitness. They have been used with the potential to improve the operations of health and many other professions. With an increase in wearable devices, privacy and security issues can be very important, especially when it comes to health devices. Also, the FDA considers wearable devices as "general wellness products". In the US, wearable devices are not under any Federal laws, but regulatory law like Protected Health Information (PHI) is the subject to regulation which is handled by the Office for Civil Rights (OCR). The devices with sensors can create security issues as the companies have to be more alert to protect the public data. The issue with cybersecurity of these devices are the regulations are not that strict in the US. Likewise, the National Institute of Standards and Technology (NIST) has a code called NIST Cyber security Framework, but it is not mandatory. Consequently, the lack of specific regulations for wearable devices, specifically medical devices, increases the risk of threats and other vulnerabilities. For instance, Google Glass raised major privacy risks with wearable computer technology; Congress investigated the privacy risks related to consumers using Google Glass and how they use the data. The product can be used to track not only the users of the product but others around them, particularly without them being aware. Nonetheless, all the data captured with Google Glass was then stored on Google's cloud servers, giving them access to the data. They also raised questions regarding women's security as they allowed stalkers or harassers to take intrusive pictures of women's bodies by wearing the Glass without any fear of getting caught. Wearable technologies like smart glasses can also raise cultural and social issues. Even though wearable technologies can make life easier and more enjoyable, with the adoption of wearable technology, they allow social conventions to govern human-to-human communication. Correspondingly, wearable devices like Bluetooth headphones can make people dependent on technology more than human interaction with others nearby. Society considers these technologies luxury accessories and there is peer pressure to own similar products in order to not feel left out. These products raise challenges of social and moral discipline. Wearable devices are seen as objects of discipline and control like it mediates the cultural ideologies. For instance, wearing a smart watch can be a way to fit in with standards in male-dominated fields and where people are against feminism. Wearable technologies deal with issues of biopolitics on understanding the fact that wearables dominate humans and how they act. Despite the fact that the demand for this technology is increasing, one of the biggest challenges is the price. For example, the price of an Apple Watch ranges from $399 to $1,399, which for a normal consumer can be prohibitively expensive. Future innovations Augmented reality allows a new generation of display. As opposed to virtual reality, the user does not exist in a virtual world, but information is superimposed on the real world. These displays can be easily portable, such as the Vufine+. Other are quite massive, like the Hololens 2. Some headsets are autonomous, such as the Oculus Quest 2 and others. In contrast to a computer, they are more like a terminal module. Single-board computers (SBC) are improving in performance and becoming cheaper. Some boards are cheap such as the Raspberry Pi Zero and Pi 4, while others are more expensive but more similar to a normal PC, like the Hackboard and LattePanda. One main domain of future research could be the method of control. Today computers are commonly controlled through the keyboard and the mouse, which could change in the future. For example, the words per | with the goal of producing a variety of products including computers, radios, navigation systems and human-computer interfaces that have both military and commercial use. In July 1996, DARPA went on to host the "Wearables in 2005" workshop, bringing together industrial, university, and military visionaries to work on the common theme of delivering computing to the individual. A follow-up conference was hosted by Boeing in August 1996, where plans were finalized to create a new academic conference on wearable computing. In October 1997, Carnegie Mellon University, MIT, and Georgia Tech co-hosted the IEEE International Symposium on Wearables Computers (ISWC) in Cambridge, Massachusetts. The symposium was a full academic conference with published proceedings and papers ranging from sensors and new hardware to new applications for wearable computers, with 382 people registered for the event. In 1998, the Microelectronic and Computer Technology Corporation created the Wearable Electronics consortial program for industrial companies in the U.S. to rapidly develop wearable computers. The program preceded the MCC Heterogeneous Component Integration Study, an investigation of the technology, infrastructure, and business challenges surrounding the continued development and integration of micro-electro-mechanical systems (MEMS) with other system components. In 1998, Steve Mann invented and built the world's first smartwatch. It was featured on the cover of Linux Journal in 2000, and demonstrated at ISSCC 2000. 2000s Dr. Bruce H. Thomas and Dr. Wayne Piekarski developed the Tinmith wearable computer system to support augmented reality. This work was first published internationally in 2000 at the ISWC conference. The work was carried out at the Wearable Computer Lab in the University of South Australia. In 2002, as part of Kevin Warwick's Project Cyborg, Warwick's wife, Irena, wore a necklace which was electronically linked to Warwick's nervous system via an implanted electrode array. The color of the necklace changed between red and blue dependent on the signals on Warwick's nervous system. Also in 2002, Xybernaut released a wearable computer called the Xybernaut Poma Wearable PC, Poma for short. Poma stood for Personal Media Appliance. The project failed for a few reasons though the top reasons are that the equipment was expensive and clunky. The user would wear a head-mounted optical piece, a CPU that could be clipped onto clothing, and a mini keyboard that was attached to the user's arm. GoPro released their first product, the GoPro HERO 35mm, which began a successful franchise of wearable cameras. The cameras can be worn atop the head or around the wrist and are shock and waterproof. GoPro cameras are used by many athletes and extreme sports enthusiasts, a trend that became very apparent during the early 2010s. In the late 2000s, various Chinese companies began producing mobile phones in the form of wristwatches, the descendants of which as of 2013 include the i5 and i6, which are GSM phones with 1.8-inch displays, and the ZGPAX s5 Android wristwatch phone. 2010s Standardization with IEEE, IETF, and several industry groups (e.g. Bluetooth) lead to more various interfacing under the WPAN (wireless personal area network). It also led the WBAN (Wireless body area network) to offer new classification of designs for interfacing and networking. The 6th-generation iPod Nano, released in September 2010, has a wristband attachment available to convert it into a wearable wristwatch computer. The development of wearable computing spread to encompass rehabilitation engineering, ambulatory intervention treatment, life guard systems, and defense wearable systems. Sony produced a wristwatch called Sony SmartWatch that must be paired with an Android phone. Once paired, it becomes an additional remote display and notification tool. Fitbit released several wearable fitness trackers and the Fitbit Surge, a full smartwatch that is compatible with Android and iOS. On 11 April 2012, Pebble launched a Kickstarter campaign to raise $100,000 for their initial smartwatch model. The campaign ended on 18 May with $10,266,844, over 100 times the fundraising target. Pebble released several smartwatches, including the Pebble Time and the Pebble Round. Google Glass launched their optical head-mounted display (OHMD) to a test group of users in 2013, before it became available to the public on 15 May 2014. Google's mission was to produce a mass-market ubiquitous computer that displays information in a smartphone-like hands-free format that can interact with the Internet via natural language voice commands. Google Glass received criticism over privacy and safety concerns. On 15 January 2015, Google announced that it would stop producing the Google Glass prototype but would continue to develop the product. According to Google, Project Glass was ready to "graduate" from Google X, the experimental phase of the project. Thync, a headset launched in 2014, is a wearable that stimulates the brain with mild electrical pulses, causing the wearer to feel energized or calm based on input into a phone app. The device is attached to the temple and to the back of the neck with an adhesive strip. Macrotellect launched two portable brainwave (EEG) sensing devices, BrainLink Pro and BrainLink Lite in 2014, which allows families and meditation students to enhance the mental fitness and stress relief with 20+ brain fitness enhancement Apps on Apple and Android App Stores. In January 2015, Intel announced the sub-miniature Intel Curie for wearable applications, based on its Intel Quark platform. As small as a button, it features a six-axis accelerometer, a DSP sensor hub, a Bluetooth LE unit, and a battery charge controller. It was scheduled to ship in the second half of the year. On 24 April 2015, Apple released their take on the smartwatch, known as the Apple Watch. The Apple Watch features a touchscreen, many applications, and a heart-rate sensor. Some advanced VR headsets require the user to wear a desktop-sized computer as a backpack to enable them to move around freely. Commercialization The commercialization of general-purpose wearable computers, as led by companies such as Xybernaut, CDI and ViA, Inc. has thus far been met with limited success. Publicly traded Xybernaut tried forging alliances with companies such as IBM and Sony in order to make wearable computing widely available, and managed to get their equipment seen on such shows as The X-Files, but in 2005 their stock was delisted and the company filed for Chapter 11 bankruptcy protection amid financial scandal and federal investigation. Xybernaut emerged from bankruptcy protection in January, 2007. ViA, Inc. filed for bankruptcy in 2001 and subsequently ceased operations. In 1998, Seiko marketed the Ruputer, a computer in a (fairly large) wristwatch, to mediocre returns. In 2001, IBM developed and publicly displayed two prototypes for a wristwatch computer running Linux. The last message about them dates to 2004, saying the device would cost about $250, but it is still under development. In 2002, Fossil, Inc. announced the Fossil Wrist PDA, which ran the Palm OS. Its release date was set for summer of 2003, but was delayed several times and was finally made available on 5 January 2005. Timex Datalink is another example of a practical wearable computer. Hitachi launched a wearable computer called Poma in 2002. Eurotech offers the ZYPAD, a wrist-wearable touch screen computer with GPS, Wi-Fi and Bluetooth connectivity and which can run a number of custom applications. In 2013, a wearable computing device on the wrist to control body temperature was developed at MIT. Evidence of weak market acceptance was demonstrated when Panasonic Computer Solutions Company's product failed. Panasonic has specialized in mobile computing with their Toughbook line since 1996 and has extensive market research into the field of portable, wearable computing products. In 2002, Panasonic introduced a wearable brick computer coupled |
of public education, as well as in the United States and Japan. He was elected as a member of the American Philosophical Society in 1822. Biography Humboldt was born in Potsdam, Margraviate of Brandenburg, and died in Tegel, Province of Brandenburg. In June 1791, he married Caroline von Dacheröden. They had eight children, of whom five (amongst them Gabriele von Humboldt) survived to adulthood. Philosopher Humboldt was a philosopher; he wrote The Limits of State Action in 1791–1792 (though it was not published until 1850, after Humboldt's death), one of the boldest defences of the liberties of the Enlightenment. It influenced John Stuart Mill's essay On Liberty through which von Humboldt's ideas became known in the English-speaking world. Humboldt outlined an early version of what Mill would later call the "harm principle". His house in Rome became a cultural hub, run by Caroline von Humboldt. The section dealing with education was published in the December 1792 issue of the Berlinische Monatsschrift under the title "On public state education". With this publication, Humboldt took part in the philosophical debate regarding the direction of national education that was in progress in Germany, as elsewhere, after the French Revolution. Educational reforms Humboldt had been home schooled and never finished his comparably short university studies at the universities of Frankfurt (Oder) and Göttingen. Nevertheless, he became one of the most influential officials in German education. Actually, Humboldt had intended to become Minister of education, but failed to attain that position. The Prussian King asked him to leave Rome in 1809 and to lead the directorate of education under Friedrich Ferdinand Alexander zu Dohna-Schlobitten. Humboldt did not reply to the appointment for several weeks and would have preferred to stay on at the embassy in Rome. His wife did not return with him to Prussia; the couple met again when Humboldt stepped down from the educational post and was appointed head of the Embassy in Vienna. Humboldt installed a standardized system of public instruction, from basic schools till secondary education, and founded Berlin University. He imposed a standardization of state examinations and inspections and created a special department within the ministry to oversee and design curricula, textbooks and learning aids. Humboldt's educational model went beyond vocational training. In a letter to the Prussian king, he wrote: "There are undeniably certain kinds of knowledge that must be of a general nature and, more importantly, a certain cultivation of the mind and character that nobody can afford to be without. People obviously cannot be good craftworkers, merchants, soldiers or businessmen unless, regardless of their occupation, they are good, upstanding and – according to their condition – well-informed human beings and citizens. If this basis is laid through schooling, vocational skills are easily acquired later on, and a person is always free to move from one occupation to another, as so often happens in life." The philosopher Julian Nida-Rümelin has criticized discrepancies between Humboldt's ideals and modern European education policy, which narrowly understands education as a preparation for the labor market, and argued that we need to decide between McKinsey and Humboldt. Diplomat As a successful diplomat between 1802 and 1819, Humboldt was plenipotentiary Prussian minister at Rome from 1802, ambassador at Vienna from 1812 during the closing struggles of the Napoleonic Wars, at the congress of Prague (1813) where he was instrumental in drawing Austria to ally with Prussia and Russia against Napoleon; a signer of the peace treaty at Paris and the treaty between Prussia and defeated Saxony (1815), and at the congress at Aachen in 1818. However, the increasingly reactionary policy of the Prussian government made him give up political life in 1819; and from that time forward he devoted himself solely to literature and study. Linguist Wilhelm von Humboldt was an adept linguist and studied the Basque language. He translated Pindar and Aeschylus into German. Humboldt's work as a philologist in Basque has had more extensive impact than his other work. His two visits to the Basque country resulted in Researches into the Early Inhabitants of Spain by the help of the Basque language (1821). In this work, Humboldt endeavored to show by examining geographical placenames that at one time a race or races speaking dialects allied to modern Basque extended throughout Spain, southern France and the Balearic Islands; he identified these people with the Iberians of classical writers, and further surmised that they had been allied with the Berbers of northern Africa. Humboldt's pioneering work has been superseded in its details by modern linguistics and archaeology, but is sometimes still uncritically followed even today. He was elected a member of the American Antiquarian Society in 1820, and a Foreign Honorary Member of the American Academy of Arts and Sciences in 1822. Humboldt died while preparing his greatest work, on the ancient Kawi language of Java, but its introduction was published in 1836 as The Heterogeneity of Language and its Influence on the Intellectual Development of Mankind. His essay on the philosophy of speech ... first clearly laid down that the character and structure of a language expresses the inner life and knowledge of its speakers, and that languages must differ from one another in the same way and to the same degree as those who use them. Sounds do not become words until a meaning has been put into them, and this meaning embodies the thought of a community. What Humboldt terms the inner form of a language is just that mode of denoting the relations between the parts of a sentence which reflects the manner in which a particular body of men regards the world about them. It is the task of the morphology of speech to distinguish the various ways in which languages differ from each other as regards their inner form, and to classify and arrange them accordingly. Noam Chomsky frequently quotes Humboldt's description of language as a system which "makes infinite use of finite means", meaning that an infinite number of sentences can be created using a finite number of grammatical rules. Humboldt scholar Tilman Borsche, however, notes profound differences between von Humboldt's view of language and that of Chomsky. More recently, Humboldt has also been credited as an originator of the linguistic relativity hypothesis (more commonly known as the Sapir–Whorf hypothesis), developed by linguists Edward | The reception of Humboldt's work remains problematic in English-speaking countries, despite the work of Langham Brown, Manchester and James W. Underhill (Humboldt, Worldview & Language, 2009), on account of his concept of what he called Weltansicht, the linguistic worldview, with Weltanschauung being translated simply as 'worldview', a term associated with ideologies and cultural mindsets in both German and English. The centrality of distinction in understanding Humboldt's work was set out by one of the leading contemporary German Humboldt scholars, Jürgen Trabant, in his works in both German and French. Polish linguists at the Lublin School (see Jerzy Bartmiński), in their research of Humboldt, also stress this distinction between the worldviews of a personal or political kind and the worldview that is implicit in language as a conceptual system. However, little rigorous research in English has gone into exploring the relationship between the linguistic worldview and the transformation and maintenance of this worldview by individual speakers. One notable exception is the work of Underhill, who explores comparative linguistic studies in both Creating Worldviews: Language, Ideology & Metaphor (2011) and in Ethnolinguistics and Cultural Concepts: Truth, Love, Hate & War (2012). In Underhill's work, a distinction is made between five forms of worldview: world-perceiving, world-conceiving, cultural mindset, personal world and perspective, in order to convey the distinctions Humboldt was concerned with preserving in his ethnolinguistics. Probably the best-known linguist working with a truly Humboldtian perspective writing in English today is Anna Wierzbicka, who has published a number of comparative works on semantic universals and conceptual distinctions in language. The Rouen Ethnolinguistics Project, in France, published online a 7-hour series of lectures on Humboldt's thought on language, with the Berlin specialist Prof. Trabant. In Charles Taylor's important summative work, The Language Animal: The Full Shape of the Human Linguistic Capacity (2016), von Humboldt is given credit, along with Johann Georg Hamann and Johann Gottfried Herder, for inspiring Taylor's "HHH" approach to the philosophy of language, emphasizing the creative power and cultural specificity of language. Bibliography Socrates and Plato on the Divine (orig. Sokrates und Platon über die Gottheit). 1787–1790 Humboldt. On the Limits of State Action, first seen in 1792. Ideen zu einem Versuch, die Grenzen der Wirksamkeit des Staates zu bestimmen, p. ii. Published by E. Trewendt, 1851 (German) Ueber den Geschlechtsunterschied. 1794 Ueber männliche und weibliche Form. 1795 Outline of a Comparative Anthropology (orig. Plan einer vergleichenden Anthropologie). 1797. The Eighteenth Century (orig. Das achtzehnte Jahrhundert). = 1797. Ästhetische Versuche I. – Ueber Göthes Herrmann und Dorothea. 1799. Latium und Hellas (1806) Geschichte des Verfalls und Untergangs der griechischen Freistaaten. 1807–1808. Pindars "Olympische Oden". Translation from Greek, 1816. Aischylos' "Agamemnon". Translation from Greek, 1816. Ueber das vergleichende Sprachstudium in Beziehung auf die verschiedenen Epochen der Sprachentwicklung. 1820. Ueber die Aufgabe des Geschichtsschreibers. 1821. Researches into the Early Inhabitants of Spain with the help of the Basque language (orig. Prüfung der Untersuchungen über die Urbewohner Hispaniens vermittelst der vaskischen Sprache). 1821. Ueber die Entstehung der grammatischen Formen und ihren Einfluss auf die Ideenentwicklung. 1822. Upon Writing and its Relation to Speech (orig. Ueber die Buchstabenschrift und ihren Zusammenhang mit dem Sprachbau). 1824. Notice sur la grammaire japonaise du P. Oyanguren (1826), a review of Melchor Oyanguren de Santa Inés's Japanese grammar, read online. Ueber die unter dem Namen Bhagavad-Gítá bekannte Episode des Mahá-Bhárata. 1826. Ueber den Dualis. 1827. On the languages of the South Seas (orig. Über die Sprache der Südseeinseln). 1828. On Schiller and the Path of Spiritual Development (orig. Ueber Schiller und den Gang seiner Geistesentwicklung). 1830. Rezension von Goethes Zweitem römischem Aufenthalt. 1830. The Heterogeneity of Language and its Influence on the Intellectual Development of Mankind (orig. Ueber die Verschiedenheit des menschlichen Sprachbaus und ihren Einfluss auf die geistige Entwicklung des Menschengeschlechts). 1836. New edition: On Language. On the Diversity of Human Language Construction and Its Influence on the Mental Development of the Human Species, Cambridge University Press, 2nd rev. edition 1999 Collected writings Humboldt, Wilhelm von. Gesammelte Schriften. Ausgabe der preussischen Akademie der Wissenschaften. Vols. I–XVII, Berlin 1903–36. (Cited as GS; the Roman numeral indicates the volume and the Arabic figure the page; the original German spelling has been modernized.) See also Contributions to liberal theory Ferdinand de Saussure References Further reading Craig, Gordon. "Wilhelm von Humboldt as a diplomat", in Craig, Studies in International History (1967). Forster, Michael N. German Philosophy of Language: From Schlegel to Hegel and Beyond, Oxford, Oxford University Press, 2011. . Mueller-Vollmer, Kurt, and Markus Messling. "Wilhelm von Humboldt." Stanford Encyclopedia of Philosophy (2016). online Östling, Johan, Humboldt and the Modern German University: An Intellectual History (Lund: Lund University Press/Manchester University Press, 2018) Roberts, John. German Liberalism and Wilhelm Von Humboldt: A Reassessment, Mosaic Press, 2002 Sorkin, David. |
November 1918 of those wounded and 11,400 Navy dead which brings total dead and missing to 1,397,800. These figures include 35,200 French Colonial Forces, 35,900 "north Africans" and 4,600 French Foreign Legion personnel. According to the French Army official report "La Statistique médicale de l'armée" Total dead were 1,325,000 (675,000 killed in action, 225,000 missing and prisoners killed, 250,000 died of wounds and 175,000 died of disease.) A breakdown of French casualties published in the Official History of the Australian Army Medical Services, 1914–1918 lists 674,700 killed in action, 250,000 died of wounds, 225,300 missing and presumed dead and 175,000 dead from disease and injury. Wounded amounted to 2,300,000. United States War Dept. figures for French casualties are: Total mobilized force 8,410,000; total casualties 6,160,800 including killed and died: 1,357,800, wounded: 4,266,000, prisoners and missing: 537,000. The UK War Office put French dead, killed and missing at 1,385,300 dead and missing, including 58,000 colonial soldiers up until 1 November 1918. They noted that a government report of 1 August 1919, listed the number of killed and died at 1,357,000. There were no figures available of the wounded. In 1924, the French government in a reply to a questionnaire from the International Labour Office, an agency of the League of Nations, reported 7,935,000 men mobilized and 1,400,000 dead and missing in World War I. The names of the soldiers who died for France during World War I are listed on-line by the French government. The Soviet demographer Boris Urlanis estimated that included in total French military deaths are 1,126,000 killed and died of wounds. According to the French encyclopedia Quid 30–40,000 foreign volunteers from about 40 nationalities served in the French army, including 12,000 with the Czechoslovak Legion and the ethnic Polish Blue Army; 5,000 Italians served in a "Legion" commanded by Colonel Garibaldi. There were also 1,000 Spaniards and 1,500 Swiss in French service, 200 American volunteers served with the French from 1914 to 1916, including the Lafayette Escadrille. Luxembourg was occupied by Germany during the war. According to the Mobile Reference travel Guide 3,700 Luxembourg citizens served in the French armed forces, 2,800 gave their lives in the war. They are commemorated at the Gëlle Fra in Luxembourg. The French Armenian Legion served as part of the French armed forces during the war. French colonies, such as Algeria and Vietnam, also sent troops to fight and serve on the battlefront. American military historian Douglas Porch reported of the French Foreign Legion, in which most non-French nationals served, that some estimates put Legion casualties during the war as high as 31,000 of the 44,150 men who served in the Legion, a 70 per cent casualty rate. According to a demographic study, there were 500,000 indirect deaths in France (300,000 deaths due to wartime privations and 200,000 in the Spanish flu pandemic). Another estimate of the demographic loss of the civilian population in the France during the war, put total excess deaths at 264,000 to 284,000, not including an additional 100,000 to 120,000 Spanish flu deaths. Civilian dead include 1,509 merchant sailors and 3,357 killed in air attacks and long range artillery bombardments Tertiary sources put French civilian war dead at 40,000. Greece The Soviet demographer Boris Urlanis estimated total military dead of 26,000, including 15,000 deaths due to disease and 11,000 killed and died of wounds United States War Dept. figures for Greek casualties are: Total mobilized force 230,000; total casualties 27,000 (killed and died 5,000; wounded 21,000; prisoners and missing 1,000). The report of the UK War Office listed 27,000 casualties (5,000 killed or died of wounds; 21,000 wounded and 1,000 prisoners and missing). In 1924, the Greek government in a reply to a questionnaire from the International Labour Office, an agency of the League of Nations, reported 355,000 men mobilized and no dead and missing in World War I. Jean Bujac in a campaign history of the Greek Army in World War I, listed 8,365 combat related deaths and 3,255 missing. According to a demographic study there were 150,000 indirect deaths in Greece due to wartime privations. India (British) The Commonwealth War Graves Commission figure for Indian war dead is 73,905. The report of the UK War Office listed 64,449 Army war dead, 69,214 wounded and 11,264 taken prisoner, these figures include British serving in the Indian Army (2,393 dead, 2,325 wounded and 194 taken prisoner). The Soviet demographer Boris Urlanis estimated that included in total Indian military deaths are 27,000 killed and died of wounds. Italy The Italian government put military war deaths at 651,000 (killed in action or died of wounds 378,000; died of disease 186,000 plus an additional 87,000 deaths of invalids from 12 November 1918 until 30 April 1920, due to war related injuries.) These official figures were published in an Italian study of war losses by G. Mortara, however he estimated actual losses until the war's end in Nov. 1918, at 600,000 (400,000 killed or died of wounds and 200,000 deaths due to disease). A brief summary of data from this study can be found online. United States War Dept. figures for Italian casualties are: Total mobilized force 5,615,000; total casualties 2,197,000 (killed and died 650,000; wounded 947,000; prisoners and missing 600,000). The report of the UK War Office listed 1,937,000 casualties up until 11 November 1918 (460,000 dead; 947,000 wounded and 530,000 prisoners). In 1924, the Italian government in a reply to a questionnaire from the International Labour Office, an agency of the League of Nations, reported 5,615,000 men mobilized and 750,000 dead and missing in World War I. The Soviet demographer Boris Urlanis estimated that included in total Italian military deaths are 433,000 killed and died of wounds. According to a demographic study there were 1,021,000 indirect deaths in Italy (589,000 deaths due to wartime privations and 432,000 in the Spanish flu pandemic). Another estimate of the demographic loss of the civilian population in the Italy during the war, put total excess deaths at 324,000 not including an additional 300,000 Spanish flu deaths. Civilian deaths due to military action were 3,400 (including 2,293 by attacks on shipping, 965 during air raids and 142 by sea bombardment). Japan In 1924, the Japanese government in a reply to a questionnaire from the International Labour Office, an agency of the League of Nations, reported 800,000 men mobilized and 4,661 dead and missing in World War I. The Yasukuni Shrine lists 4,850 dead in World War I. United States War Dept. figures for Japanese casualties are: total mobilized force 800,000; total casualties 1,210 (including Killed and died 300; wounded 907; Prisoners and missing 3). Montenegro In 1924, the Yugoslav government in a reply to a questionnaire from the International Labour Office, an agency of the League of Nations, reported Montenegro mobilized 50,000 men and 13,325 were dead and missing in World War I. United States War Dept. figures for Montenegrin casualties are: total mobilized force 50,000; total casualties 20,000 including killed and died 3,000; wounded 10,000; prisoners and missing 7,000. New Zealand The Auckland War Memorial Museum commemorates the 18,060 New Zealand World War I dead. The Auckland War Memorial Museum maintains a database listing the names of the New Zealand war dead. The Commonwealth War Graves Commission figure for New Zealand war dead is 18,060. The report of the UK War Office listed 16,711 army war dead, 41,317 wounded and 498 taken prisoner. The Soviet demographer Boris Urlanis estimated that included in total New Zealand military deaths are 14,000 killed and died of wounds. Newfoundland The Dominion of Newfoundland was not part of Canada during World War I. The report of the UK War Office listed 1,204 Army war dead, 2,314 wounded and 150 taken prisoner. An academic journal published in Newfoundland has given the details of Newfoundland's military casualties. Fatalities totaled 1,570 The Royal Newfoundland Regiment suffered 1,297 dead; there were an additional 171 dead in the Royal Navy and 101 in the Merchant Navy. Portugal United States War Dept. figures for Portuguese casualties are: total mobilized force 100,000; total casualties 33,291 (including killed and died 7,222; wounded 13,751; prisoners and missing 12,318). The report of the UK War Office listed 33,291 casualties: 7,222 dead (1,689 in Europe and 5,533 in Africa); 13,751 wounded (figure for Europe only) and 12,318 prisoners and missing (6,678 in Europe and "a large number of missing in Mozambique). In 1924, the Portuguese government in a reply to a questionnaire from the International Labour Office, an agency of the League of Nations, reported 100,000 men mobilized and 4,000 dead and missing in World War I. The Soviet demographer Boris Urlanis estimated that included in total Portuguese military deaths are 6,000 killed or missing in action and died of wounds. According to a demographic study there were 220,000 indirect deaths in Portugal (82,000 deaths due to wartime privations and 138,000 in the Spanish flu pandemic). 13 Portuguese civilians that were killed during bombardment of Funchal, Madeira Island on 3 December 1916, and 12 December 1917, by German submarines. Romania In 1924, the Romanian government in a reply to a questionnaire from the International Labour Office, an agency of the League of Nations, reported 1,000,000 men mobilized and 250,000 dead and missing in World War I. United States War Dept. figures for Romanian casualties are: total mobilized force 750,000; total casualties 535,706 (including killed and died 335,706; wounded 120,000; prisoners and missing 80,000). The report of the UK War Office listed military casualties of 335,706 killed or missing. In addition 265,000 civilians were killed or missing. The Soviet demographer Boris Urlanis estimated that included in total Romanian military deaths are 177,000 killed and died of wounds. According to a demographic study there were 430,000 indirect deaths in Romania due to wartime privations. A Russian historian in a 2004 handbook of human losses in the 20th century estimated 330,000 civilian dead (120,000 due to military activity, 10,000 as prisoners and 200,000 caused by famine and disease). Russian Empire According to the Soviet demographer Boris Urlanis the sources for Russian casualties are difficult to ascertain. Casualty figures, compiled from the field reports during the war, were published in 1925 by the Soviet Central Statistical office They put Russia's total losses at 775,400 dead and missing, 348,500 disabled and 3,343,900 POW. Those evacuated to the rear area were 1,425,000 sick and 2,844,500 wounded. Included in these figures are battle casualties of 7,036,087. (626,440 killed in action, 17,174 died of wounds, 228,838 missing, 3,409,433 held as prisoners of war and 2,754,202 wounded in action). Urlanis believes that the figures for those killed were considerably underestimated, because a large part of the reports were lost in retreats. Urlanis estimated the actual total military war dead at 1,811,000 (killed 1,200,000, died of wounds 240,000, gassed 11,000, died from disease 155,000, POW deaths 190,000, deaths due to accidents and other causes 15,000). A study by the Russian military historian G.F. Krivosheev estimated the total war dead at 2,254,369 (killed in action 1,200,000; missing and presumed dead 439,369; died of wounds 240,000, gassed 11,000, died from disease 155,000, POW deaths 190,000, deaths due to accidents and other causes 19,000). Wounded 3,749,000. POW 3,343,900. Total mobilized force 15,378,000. United States War Dept. figures for Russian casualties are: Total mobilized force 12,000,000. Total casualties 9,150,000 (including Killed and died 1,700,000, wounded 4,950,000, prisoners and missing 2,500,000). The UK War Office Based on a telegram from Petrograd to Copenhagen in December 1918 listed military casualties of 9,150,000 (including 1,700,000 killed, 1,450,000 disabled, 3,500,000 wounded and 2,500,000 POW). In 1924, the Soviet government in a reply to a questionnaire from the International Labour Office, an agency of the League of Nations, reported for Russia 15,070,000 men mobilized and 1,700,000 dead and missing in World War I. According to the Soviet demographer Boris Urlanis there were 1,500,000 civilian deaths due to wartime privations up until the end of 1917. A Russian historian in a 2004 handbook of human losses in the 20th century estimated 1,140,000 war related Russian civilian deaths, from 1914 to 1917 in 1914 borders (410,000 due to military operations and 730,000 caused by famine and disease). Serbia Sources for total Serbian casualties range from 750,000 to 1,250,000. A demographic study in 1927, put total the war dead for Serbia and Montenegro at 750,000 (300,000 military and 450,000 civilians). The overall population loss from 1912 to 1920, based on the pre-war level was 1,236,000 persons (including 750,000 in World War I; 150,000 killed in the Balkan Wars and a decline in the number of births of 336,000), in addition there were 47,000 war related deaths during 1914–1920, that are included with deaths by natural causes. According to Frédéric Le Moal, Serbian historian Dušan T. Bataković puts their losses at 1,250,000 (450,000 military and 800,000 civilians). These losses are from 1912 to 1918 and include the Balkan Wars. In July 2014, Serbian poet and academic Matija Bećković said "that 402,435 Serbian soldiers have been killed and 845,000 civilians hanged or exterminated in concentration camps during WWI. At a September 2014 conference sponsored by the Serbian Ministry of Defense, Dr. Alexander Nedok put Serbian war dead at 1,247,435 persons. According to the Soviet demographer Boris Urlanis regarding Serbia "it is particularly difficult to ascertain the number of killed". Based on a demographic analysis of the population, Urlanis estimated total Serbian and Montenegrin casualties of 728,000 including military dead: 278,000 (140,000 killed in action; 25,000 died of wounds; 50,000 disease; 60,000 POW and 3,000 from other causes) and total civilian dead of 450,000. In 1924, the Serbian government in a reply to a questionnaire from the International Labour Office, an agency of the League of Nations, reported 1,008,240 men mobilized and 365,164 dead and missing in World War I. United States War Dept. figures for Serbian casualties are: total mobilized force 707,343; total casualties 331,106 (including killed and died 45,000; wounded 133,148; prisoners and missing 152,958). The report of the UK War Office listed military casualties of 331,106 including 45,000 killed, 133,148 wounded and 70,243 prisoners and 82,535 missing. A Russian historian in a 2004 handbook of human losses in the 20th century, estimated 120,000 Serbian civilian deaths due to military activity and 30,000 executed (казнено и убито) by the Austro-Hungarians. His estimate for total Yugoslav civilian casualties including Austro-Hungarian territory was 550,000. South Africa The Commonwealth War Graves Commission figure for South Africa war dead is 9,726 The report of the UK War Office listed 7,121 Army war dead, 12,029 wounded and 1,538 taken prisoner. In 1924, the South African government in a reply to a questionnaire from the International Labour Office, an agency of the League of Nations, reported 136,070 men mobilized and 7,134 dead and missing in World War I. The Soviet demographer Boris Urlanis estimated that included in total | the League of Nations, reported 412,953 men mobilized and 59,337 dead and missing in World War I. The Soviet demographer Boris Urlanis estimated that included in total military deaths are 54,000 killed and died of wounds. Belgium Belgian government figures for military losses in Europe were 40,367 (26,338 killed, died of wounds or accidents and 14,029 died of disease or missing). In Africa: 2,620 soldiers were killed and 15,650 porters died. The combined total for Europe and Africa is 58,637. United States War Dept. figures for Belgium are: Total mobilized force 267,000; total casualties 93,061 including killed and died 13,716; wounded 44,686; Prisoners and missing 34,659. The report of the UK War Office listed 93,061 casualties up until 11 November 1918 including 13,716 killed and died; 24,456 missing; 44,686 wounded and 10,208 POW. "These figures are approximate only, the records being incomplete." In 1924, the Belgian government in a reply to a questionnaire from the International Labour Office, an agency of the League of Nations, reported 365,000 men mobilized and 40,936 dead and missing in World War I. The Soviet demographer Boris Urlanis estimated that included in total Belgian military deaths are 35,000 killed and died of wounds Civilian deaths according to Belgian government statistics were 23,700 (6,000 killed in the 1914 German massacres and 17,700 victims in prisons, deportations and by military tribunals). According to a demographic study, there were 92,000 indirect deaths in Belgium (62,000 deaths due to wartime privations and 30,000 in the Spanish flu pandemic). John Horne estimated that 6,500 Belgian and French civilians were killed in German reprisals. Canada According to the Canadian War Museum Close to 61,000 Canadians were killed during the war, and another 172,000 were wounded. The small Dominion of Newfoundland suffered 1,305 killed and several thousand wounded. The Canadian Expeditionary Force lost 59,544 in the war, including 51,748 due to enemy action; the Royal Canadian Navy reported 150 deaths from all causes and 1,388 Canadians died while serving with the British Flying Services. The Commonwealth War Graves Commission figure for Canadian war dead is 64,996. The report of the UK War Office listed 56,639 Canadian war dead, 149,732 wounded and 3,729 taken prisoner. In 1924, the Canadian government in a reply to a questionnaire from the International Labour Office, an agency of the League of Nations, reported 628,964 men mobilized and 51,674 dead and missing in World War I. The Soviet demographer Boris Urlanis estimated that included in total Canadian military deaths are 53,000 killed and died of wounds. The Canadian Virtual War Memorial contains a registry of information about the graves and memorials of Canadians and Newfoundlanders who served valiantly and gave their lives for their country. The 2,000 civilian deaths were due to the Halifax Explosion. France French casualty figures up until 1 June 1919 were listed in a French government report of 1 August 1919 presented to the French Chamber of Deputies. Total Army dead and missing up until 11 November 1918 were 1,357,800; in addition there were 28,600 deaths after 11 November 1918 of those wounded and 11,400 Navy dead which brings total dead and missing to 1,397,800. These figures include 35,200 French Colonial Forces, 35,900 "north Africans" and 4,600 French Foreign Legion personnel. According to the French Army official report "La Statistique médicale de l'armée" Total dead were 1,325,000 (675,000 killed in action, 225,000 missing and prisoners killed, 250,000 died of wounds and 175,000 died of disease.) A breakdown of French casualties published in the Official History of the Australian Army Medical Services, 1914–1918 lists 674,700 killed in action, 250,000 died of wounds, 225,300 missing and presumed dead and 175,000 dead from disease and injury. Wounded amounted to 2,300,000. United States War Dept. figures for French casualties are: Total mobilized force 8,410,000; total casualties 6,160,800 including killed and died: 1,357,800, wounded: 4,266,000, prisoners and missing: 537,000. The UK War Office put French dead, killed and missing at 1,385,300 dead and missing, including 58,000 colonial soldiers up until 1 November 1918. They noted that a government report of 1 August 1919, listed the number of killed and died at 1,357,000. There were no figures available of the wounded. In 1924, the French government in a reply to a questionnaire from the International Labour Office, an agency of the League of Nations, reported 7,935,000 men mobilized and 1,400,000 dead and missing in World War I. The names of the soldiers who died for France during World War I are listed on-line by the French government. The Soviet demographer Boris Urlanis estimated that included in total French military deaths are 1,126,000 killed and died of wounds. According to the French encyclopedia Quid 30–40,000 foreign volunteers from about 40 nationalities served in the French army, including 12,000 with the Czechoslovak Legion and the ethnic Polish Blue Army; 5,000 Italians served in a "Legion" commanded by Colonel Garibaldi. There were also 1,000 Spaniards and 1,500 Swiss in French service, 200 American volunteers served with the French from 1914 to 1916, including the Lafayette Escadrille. Luxembourg was occupied by Germany during the war. According to the Mobile Reference travel Guide 3,700 Luxembourg citizens served in the French armed forces, 2,800 gave their lives in the war. They are commemorated at the Gëlle Fra in Luxembourg. The French Armenian Legion served as part of the French armed forces during the war. French colonies, such as Algeria and Vietnam, also sent troops to fight and serve on the battlefront. American military historian Douglas Porch reported of the French Foreign Legion, in which most non-French nationals served, that some estimates put Legion casualties during the war as high as 31,000 of the 44,150 men who served in the Legion, a 70 per cent casualty rate. According to a demographic study, there were 500,000 indirect deaths in France (300,000 deaths due to wartime privations and 200,000 in the Spanish flu pandemic). Another estimate of the demographic loss of the civilian population in the France during the war, put total excess deaths at 264,000 to 284,000, not including an additional 100,000 to 120,000 Spanish flu deaths. Civilian dead include 1,509 merchant sailors and 3,357 killed in air attacks and long range artillery bombardments Tertiary sources put French civilian war dead at 40,000. Greece The Soviet demographer Boris Urlanis estimated total military dead of 26,000, including 15,000 deaths due to disease and 11,000 killed and died of wounds United States War Dept. figures for Greek casualties are: Total mobilized force 230,000; total casualties 27,000 (killed and died 5,000; wounded 21,000; prisoners and missing 1,000). The report of the UK War Office listed 27,000 casualties (5,000 killed or died of wounds; 21,000 wounded and 1,000 prisoners and missing). In 1924, the Greek government in a reply to a questionnaire from the International Labour Office, an agency of the League of Nations, reported 355,000 men mobilized and no dead and missing in World War I. Jean Bujac in a campaign history of the Greek Army in World War I, listed 8,365 combat related deaths and 3,255 missing. According to a demographic study there were 150,000 indirect deaths in Greece due to wartime privations. India (British) The Commonwealth War Graves Commission figure for Indian war dead is 73,905. The report of the UK War Office listed 64,449 Army war dead, 69,214 wounded and 11,264 taken prisoner, these figures include British serving in the Indian Army (2,393 dead, 2,325 wounded and 194 taken prisoner). The Soviet demographer Boris Urlanis estimated that included in total Indian military deaths are 27,000 killed and died of wounds. Italy The Italian government put military war deaths at 651,000 (killed in action or died of wounds 378,000; died of disease 186,000 plus an additional 87,000 deaths of invalids from 12 November 1918 until 30 April 1920, due to war related injuries.) These official figures were published in an Italian study of war losses by G. Mortara, however he estimated actual losses until the war's end in Nov. 1918, at 600,000 (400,000 killed or died of wounds and 200,000 deaths due to disease). A brief summary of data from this study can be found online. United States War Dept. figures for Italian casualties are: Total mobilized force 5,615,000; total casualties 2,197,000 (killed and died 650,000; wounded 947,000; prisoners and missing 600,000). The report of the UK War Office listed 1,937,000 casualties up until 11 November 1918 (460,000 dead; 947,000 wounded and 530,000 prisoners). In 1924, the Italian government in a reply to a questionnaire from the International Labour Office, an agency of the League of Nations, reported 5,615,000 men mobilized and 750,000 dead and missing in World War I. The Soviet demographer Boris Urlanis estimated that included in total Italian military deaths are 433,000 killed and died of wounds. According to a demographic study there were 1,021,000 indirect deaths in Italy (589,000 deaths due to wartime privations and 432,000 in the Spanish flu pandemic). Another estimate of the demographic loss of the civilian population in the Italy during the war, put total excess deaths at 324,000 not including an additional 300,000 Spanish flu deaths. Civilian deaths due to military action were 3,400 (including 2,293 by attacks on shipping, 965 during air raids and 142 by sea bombardment). Japan In 1924, the Japanese government in a reply to a questionnaire from the International Labour Office, an agency of the League of Nations, reported 800,000 men mobilized and 4,661 dead and missing in World War I. The Yasukuni Shrine lists 4,850 dead in World War I. United States War Dept. figures for Japanese casualties are: total mobilized force 800,000; total casualties 1,210 (including Killed and died 300; wounded 907; Prisoners and missing 3). Montenegro In 1924, the Yugoslav government in a reply to a questionnaire from the International Labour Office, an agency of the League of Nations, reported Montenegro mobilized 50,000 men and 13,325 were dead and missing in World War I. United States War Dept. figures for Montenegrin casualties are: total mobilized force 50,000; total casualties 20,000 including killed and died 3,000; wounded 10,000; prisoners and missing 7,000. New Zealand The Auckland War Memorial Museum commemorates the 18,060 New Zealand World War I dead. The Auckland War Memorial Museum maintains a database listing the names of the New Zealand war dead. The Commonwealth War Graves Commission figure for New Zealand war dead is 18,060. The report of the UK War Office listed 16,711 army war dead, 41,317 wounded and 498 taken prisoner. The Soviet demographer Boris Urlanis estimated that included in total New Zealand military deaths are 14,000 killed and died of wounds. Newfoundland The Dominion of Newfoundland was not part of Canada during World War I. The report of the UK War Office listed 1,204 Army war dead, 2,314 wounded and 150 taken prisoner. An academic journal published in Newfoundland has given the details of Newfoundland's military casualties. Fatalities totaled 1,570 The Royal Newfoundland Regiment suffered 1,297 dead; there were an additional 171 dead in the Royal Navy and 101 in the Merchant Navy. Portugal United States War Dept. figures for Portuguese casualties are: total mobilized force 100,000; total casualties 33,291 (including killed and died 7,222; wounded 13,751; prisoners and missing 12,318). The report of the UK War Office listed 33,291 casualties: 7,222 dead (1,689 in Europe and 5,533 in Africa); 13,751 wounded (figure for Europe only) and 12,318 prisoners and missing (6,678 in Europe and "a large number of missing in Mozambique). In 1924, the Portuguese government in a reply to a questionnaire from the International Labour Office, an agency of the League of Nations, reported 100,000 men mobilized and 4,000 dead and missing in World War I. The Soviet demographer Boris Urlanis estimated that included in total Portuguese military deaths are 6,000 killed or missing in action and died of wounds. According to a demographic study there were 220,000 indirect deaths in Portugal (82,000 deaths due to wartime privations and 138,000 in the Spanish flu pandemic). 13 Portuguese civilians that were killed during bombardment of Funchal, Madeira Island on 3 December 1916, and 12 December 1917, by German submarines. Romania In 1924, the Romanian government in a reply to a questionnaire from the International Labour Office, an agency of the League of Nations, reported 1,000,000 men mobilized and 250,000 dead and missing in World War I. United States War Dept. figures for Romanian casualties are: total mobilized force 750,000; total casualties 535,706 (including killed and died 335,706; wounded 120,000; prisoners and missing 80,000). The report of the UK War Office listed military casualties of 335,706 killed or missing. In addition 265,000 civilians were killed or missing. The Soviet demographer Boris Urlanis estimated that included in total Romanian military deaths are 177,000 killed and died of wounds. According to a demographic study there were 430,000 indirect deaths in Romania due to wartime privations. A Russian historian in a 2004 handbook of human losses in the 20th century estimated 330,000 civilian dead (120,000 due to military activity, 10,000 as prisoners and 200,000 caused by famine and disease). Russian Empire According to the Soviet demographer Boris Urlanis the sources for Russian casualties are difficult to ascertain. Casualty figures, compiled from the field reports during the war, were published in 1925 by the Soviet Central Statistical office They put Russia's total losses at 775,400 dead and missing, 348,500 disabled and 3,343,900 POW. Those evacuated to the rear area were 1,425,000 sick and 2,844,500 wounded. Included in these figures are battle casualties of 7,036,087. (626,440 killed in action, 17,174 died of wounds, 228,838 missing, 3,409,433 held as prisoners of war and 2,754,202 wounded in action). Urlanis believes that the figures for those killed were considerably underestimated, because a large part of the reports were lost in retreats. Urlanis estimated the actual total military war dead at 1,811,000 (killed 1,200,000, died of wounds 240,000, gassed 11,000, died from disease 155,000, POW deaths 190,000, deaths due to accidents and other causes 15,000). A study by the Russian military historian G.F. Krivosheev estimated the total war dead at 2,254,369 (killed in action 1,200,000; missing and presumed dead 439,369; died of wounds 240,000, gassed 11,000, died from disease 155,000, POW deaths 190,000, deaths due to accidents and other causes 19,000). Wounded 3,749,000. POW 3,343,900. Total mobilized force 15,378,000. United States War Dept. figures for Russian casualties are: Total mobilized force 12,000,000. Total casualties 9,150,000 (including Killed and died 1,700,000, wounded 4,950,000, prisoners and missing 2,500,000). The UK War Office Based on a telegram from Petrograd to Copenhagen in December 1918 listed military casualties of 9,150,000 (including 1,700,000 killed, 1,450,000 disabled, 3,500,000 wounded and 2,500,000 POW). In 1924, the Soviet government in a reply to a questionnaire from the International Labour Office, an agency of the League of Nations, reported for Russia 15,070,000 men mobilized and 1,700,000 dead and missing in World War I. According to the Soviet demographer Boris Urlanis there were 1,500,000 civilian deaths due to wartime privations up until the end of 1917. A Russian historian in a 2004 handbook of human losses in the 20th century estimated 1,140,000 war related Russian civilian deaths, from 1914 to 1917 in 1914 borders (410,000 due to military operations and 730,000 caused by famine and disease). Serbia Sources for total Serbian casualties range from 750,000 to 1,250,000. A demographic study in 1927, put total the war dead for Serbia and Montenegro at 750,000 (300,000 military and 450,000 civilians). The overall population loss from 1912 to 1920, based on the pre-war level was 1,236,000 persons (including 750,000 in World War I; 150,000 killed in the Balkan Wars and a decline in the number of births of 336,000), in addition there were 47,000 war related deaths during 1914–1920, that are included with deaths by natural causes. According to Frédéric Le Moal, Serbian historian Dušan T. Bataković puts their losses at 1,250,000 (450,000 military and 800,000 civilians). These losses are from 1912 to 1918 and include the Balkan Wars. In July 2014, Serbian poet and academic Matija Bećković said "that 402,435 Serbian soldiers have been killed and 845,000 civilians hanged or exterminated in concentration camps during WWI. At a September 2014 conference sponsored by the Serbian Ministry of Defense, Dr. Alexander Nedok put Serbian war dead at 1,247,435 persons. According to the Soviet demographer Boris Urlanis regarding Serbia "it is particularly difficult to ascertain the number of killed". Based on a demographic analysis of the population, Urlanis estimated total Serbian and Montenegrin casualties of 728,000 including military dead: 278,000 (140,000 killed in action; 25,000 died of wounds; 50,000 disease; 60,000 POW and 3,000 from other causes) and total civilian dead of 450,000. In 1924, the Serbian government in a reply to a questionnaire from the International Labour Office, an agency of the League of Nations, reported 1,008,240 men mobilized and 365,164 dead and missing in World War I. United States War Dept. figures for Serbian casualties are: total mobilized force 707,343; total casualties 331,106 (including killed and died 45,000; wounded 133,148; prisoners and missing 152,958). The report of the UK War Office listed military casualties of 331,106 including 45,000 killed, 133,148 wounded and 70,243 prisoners and 82,535 missing. A Russian historian in a 2004 handbook of human losses in the 20th century, estimated 120,000 Serbian civilian deaths due to military activity and 30,000 executed (казнено и убито) by the Austro-Hungarians. His estimate for total Yugoslav civilian casualties including Austro-Hungarian territory was 550,000. South Africa The Commonwealth War Graves Commission figure for South Africa war dead is 9,726 The report of the UK War Office listed 7,121 Army war dead, 12,029 wounded and 1,538 taken prisoner. In 1924, the South African government in a reply to a questionnaire from the International Labour Office, an agency of the League of Nations, reported 136,070 men mobilized and 7,134 dead and missing in World War I. The Soviet demographer Boris Urlanis estimated that included in total South African military deaths are 5,000 killed and died of wounds. United Kingdom UK military casualties were reported separately by branch of service: Total of 744,000 dead and missing from the British Isles: Army 702,410 "soldiers"; Royal Navy 32,287 Losses at sea |
until June. This delay brought about the downfall of Brüning's Government. On 16 June, the Lausanne Conference opened. However, discussions were complicated by the ongoing World Disarmament Conference. At the latter conference, the US informed the British and French that they would not be allowed to default on their war debts. In turn, they recommended that war debts be tied into German reparation payments, to which the Germans objected. On 9 July, an agreement was reached and signed. The Lausanne Conference annulled the Young Plan and required Germany to pay a final, single installment of 3 billion marks, saving France from political humiliation and ending Germany's obligation to pay reparations. Amount paid by Germany The precise figure Germany paid is a matter of dispute. The German Government estimated it had paid the equivalent of 67.8 billion gold marks in reparations. The German figure includedother than gold or goods in kindthe scuttling of the German fleet at Scapa Flow, state property lost in lands ceded to other countries, and the loss of colonial territories. The Reparation Commission and the Bank for International Settlements state that gold marks was paid by Germany in reparations, of which was paid before the implementation of the London Schedule of Payments. Niall Ferguson provides a slightly lower figure. He estimates that Germany paid no more than gold marks. Ferguson further estimates that this sum amounted to 2.4 per cent of Germany's national income between 1919 and 1932. Stephen Schuker, in his comprehensive econometric study, concedes that Germany transferred 16.8 billion marks over the whole period, but points out that this sum was vastly offset by the devaluation of Allied paper-mark deposits up to 1923, and by loans that Germany subsequently repudiated after 1924. The net capital transfer into Germany amounted to 17.75 billion marks, or 2.1% of Germany's entire national income over the period 1919–1931. In effect, America paid Germany four times more, in price-adjusted terms, than the U.S. furnished to West Germany under the post-1948 Marshall Plan. According to Gerhard Weinberg, reparations were paid, towns were rebuilt, orchards replanted, mines reopened and pensions paid. However, the burden of repairs was shifted away from the German economy and onto the damaged economies of the war's victors. Hans Mommsen wrote "Germany financed its reparation payments to Western creditor nations with American loans", which the British and French then used to "cover their long-term interest obligations and to retire their wartime debts with the United States." Loan payments To help make reparations payments, Germany took out various loans during the 1920s. In 1933, following the cancellation of reparations, the new German Chancellor Adolf Hitler cancelled all payments. In June 1953, an agreement was reached on this existing debt with West Germany. Germany agreed to repay 50 per cent of the loan amounts that had been defaulted on in the 1920s, but deferred some of the debt until West and East Germany were unified. In 1995, following reunification, Germany began making the final payments towards the loans. A final installment of was made on 3 October 2010, settling German loan debts in regard to reparations. Summary Analysis Effect on the German economy Overall During the period of reparations, Germany received between 27 and 38 billion marks in loans. By 1931, German foreign debt stood at 21.514 billion marks; the main sources of aid were the United States, Britain, the Netherlands, and Switzerland. Detlev Peukert argued the financial problems that arose in the early 1920s, were a result of post-war loans and the way Germany funded her war effort, and not the result of reparations. During the First World War, Germany did not raise taxes or create new ones to pay for war-time expenses. Rather, loans were taken out, placing Germany in an economically precarious position as more money entered circulation, destroying the link between paper money and the gold reserve that had been maintained before the war. With its defeat, Germany could not impose reparations and pay off her war debts now, which were now colossal. Historian Niall Ferguson partially supports this analysis: had reparations not been imposed, Germany would still have had significant problems caused by the need to pay war debts and the demands of voters for more social services. Ferguson argued that these problems were aggravated by a trade deficit and a weak exchange rate for the mark during 1920. Afterwards, as the value of the mark rose, inflation became a problem. None of these were the result of reparations. According to Ferguson, even without reparations total public spending in Germany between 1920 and 1923 was 33 per cent of total net national product. A.J.P. Taylor wrote "Germany was a net gainer by the financial transactions of the nineteen-twenties: she borrowed far more from private American investors ... than she paid in reparations". P.M.H. Bell stated the creation of a multi-national committee, which resulted in the Dawes Plan, was done to consider ways the German budget could be balanced, the currency stabilized, and the German economy fixed to ease reparation payments. Max Winkler wrote that from 1924 onward, German officials were "virtually flooded with loan offers by foreigners". Overall, the German economy performed reasonably well until the foreign investments funding the economy and the loans funding reparations payments were suddenly withdrawn after the 1929 Stock Market Crash. This collapse was magnified by the volume of loans provided to German companies by US lenders. Even the reduced payments of the Dawes Plan were mainly financed through a large volume of international loans. While Germany initially had a trade deficit, British policy during the early 1920s was to reintegrate Germany into European trade as soon as possible. Likewise, France attempted to secure trade deals with Germany. During the mid-to-late 1920s, trade between France and Germany grew rapidly. French imports of German goods "increased by 60 per cent", highlighting the close links between French industrial growth and German production, and the increase in cooperation between the countries. Max Hantke and Mark Spoerer provide a different perspective on the effect of reparations on the German economy. They wrote that focusing on the reparations and inflation ignores "the fact that the restriction of the German military to 115,000 men relieved the German central budget considerably". Hantke and Spoerer argue that their findings show "that even under quite rigorous assumptions the net economic burden of the Treaty of Versailles was much less heavy than has been hitherto thought, in particular if we confine our perspective to the Reich's budget". They say, "though politically a humiliation", the limitation on the military "was beneficial in fiscal terms" and that their economic models show that "the restriction of the size of the army was clearly beneficial for the Reich budget". Additionally, their economic scenarios indicate that while the Treaty of Versailles was "overall clearly a burden on the German economy", it "also offered a substantial peace dividend for Weimar's non-revanchist budget politicians." They conclude that, "The fact that [these politicians] did not make sufficient use of this imposed gift supports the hypothesis that the Weimar Republic suffered from home-made political failure". Hyperinflation Erik Goldstein wrote that in 1921, the payment of reparations caused a crisis and that the occupation of the Ruhr had a disastrous effect on the German economy, resulting in the German Government printing more money as the currency collapsed. Hyperinflation began and printing presses worked overtime to print Reichsbank notes; by November 1923 one US dollar was worth Ferguson writes that the policy of the Economics Minister Robert Schmidt led Germany to avoid economic collapse from 1919 to 1920, but that reparations accounted for most of Germany's deficit in 1921 and 1922 and that reparations were the cause of the hyperinflation. Several historians counter the argument that reparations caused the inflation and collapse of the mark. Gerhard Weinberg writes that Germany refused to pay by, and that doing so destroyed their own currency. Anthony Lentin agrees and writes that inflation was "a consequence of the war rather than of the peace" and that hyperinflation was a result of the "German government's reckless issue of paper money" during the Allied occupation of the Ruhr. British and French experts believed that the Mark was being sabotaged to avoid budgetary and currency reform and to evade reparations. Sally Marks writes that the Germans claimed that reparations destroyed the Mark. Marks writes that historians who say reparations caused hyperinflation have overlooked "that the inflation long predated reparations" and the way "inflation mushroomed" between mid-1921 and the end of 1922 "when Germany was actually paying very little in reparations" and have failed to explain why "the period of least inflation coincided with the period of largest reparation payments ... or why Germans claimed after 1930 that reparations were causing deflation". She writes "there is no doubt that British and French suspicions late in 1922 were sound". Marks also writes that the "astronomic inflation which ensued was a result of German policy", whereby the government paid for passive resistance in the Ruhr "from an empty exchequer" and paid off its domestic and war debts with worthless marks. Bell agrees and writes that "inflation had little direct connection with reparation payments themselves, but a great deal to do with the way the German government chose to subsidize industry and to pay the costs of passive resistance to the occupation [of the Ruhr] by extravagant use of the printing press". Bell also writes that hyperinflation was not an inevitable consequence of the Treaty of Versailles, but was among the actual results. Reparations Contemporaneous According to historian Claude Campbell, John Maynard Keynes "set the fashion for critics of the economic aspects of the treaty" and "made probably the severest and most sweeping indictment of its economic provisions". Keynes was temporarily attached to the British Treasury during the war and was their official representative at the peace conference. He later resigned "when it became evident that hope could no longer be entertained of substantial modifications in the draft Terms of Peace" due to the "policy of the Conference towards the economic problems of Europe". In 1919, he wrote The Economic Consequences of the Peace based on his objections. He wrote that he believed "that the campaign for securing out of Germany the general costs of the war was one of the most serious acts of political unwisdom for which our statesmen have ever been responsible", and called the treaty a "Carthaginian peace" that would economically affect all of Europe. Keynes said that the treaty's reparation figures "generally exceed Germany's capacity" to pay. He said that was the "safe maximum figure", but even then he did "not believe that [Germany could] pay as much". He said the Reparation Commission was a tool that could "be employed to destroy Germany's commercial and economic organization as well as to exact payment". In Keynes' opinion, the reparation figure should have been fixed "well within Germany's capacity to pay" so to "make possible the renewal of hope and enterprise within her territory" and to "avoid the perpetual friction and opportunity of improper pressure arising out of the Treaty clauses". Keynes identified reparations as the "main excursion into the economic field" by the Treaty of Versailles, but said that the treaty excluded provisions for rehabilitating Europe's economies, for improving relations between the Allies and the defeated Central Powers, for stabilizing Europe's new nations, for "reclaim[ing] Russia", or for promoting economic solidarity between the Allies. Coal provides an example of these destabilizing effects in Germany and beyond. Keynes said the "surrender of the coal will destroy German industry" but conceding that without coal shipments as reparations, the French and Italian industries damaged directly by the war or indirectly by damage to coal mines would be affected. He writes that this is "not yet the whole problem". The repercussions would also affect Central and Northern Europe, and neutral states such as Switzerland and Sweden, which made up for their own coal deficiencies by trading with Germany. Likewise, Keynes said Austria would now be consigned to "industrial ruin" as "nearly all the coalfields of the former Empire lie outside of what is now German-Austria". Campbell writes that the "apparent majority did not regard the treaty as perfect". Bernard Baruch writes in The Making of the Reparation and Economic Sections of the Treaty that most believed it to be the best agreement obtainable under the circumstances and that it was a minority that attacked the treaty, but these attacks "centered upon its economic provisions". James T. Shotwell, writing in What Germany Forgot, said, "the only 'unendurable servitudes' in the treaty were in the sections on Reparation and the Polish settlement and raised the question as to what part of Germany's grievance against the peace lay in the substance of its exactions and what part in the manner of their imposition". Sir Andrew McFayden, who also represented the British Treasury at the peace conference and later worked with the Reparation Commission, published his work Don't Do it Again. McFayden's position "falls somewhere between the views of Keynes and Shotwell". His attack on reparations "was as harsh as Keynes" but he conceded that the "fault did not lie primarily in the provisions of the treaty but in their execution". He also believed "that the Polish settlement was the only readjustment ... which was decidedly unwise". Albrecht-Carrié writes that before the German surrender, Woodrow Wilson dispatched a note to the German Government on 5 November 1918 stating that the Allies "under-stand that compensation will be made by Germany for all damage done to the civilian population of the Allies and their property by the aggression of Germany by land, by sea, and from the air", the terms of which they accepted. Regardless of which, Albrecht-Carrié says the reparation section of the treaty proved "to be a dismal failure". Campbell says, "although there was much in the peace that was 'petty, unjust, and humiliating', there was little aside from reparation clauses and certain territorial concessions, which had much real bearing upon Germany's economic future". Summarizing the view of economists throughout the 1920s, she says the territorial changes to Germany were "not necessarily ... economically unsound", but than the removal of the Saar and territory to Poland "depriv[ed] Germany of her resources in excess of the amount necessary to fulfill the legitimate economic demands of the victors ... [and] was indefensible". Campbell also said the treaty failed to include "provisions looking to the restoration of Germany to her former position as the chief economic and financial stabilizing influence in central Europe" and that this was economically shortsighted and was an economic failing of the treaty. Étienne Mantoux, a French economist, was the harshest contemporaneous critic of Keynes. In his posthumously published book, The Carthaginian Peace, or the Economic Consequences of Mr. Keynes, Mantoux said that Keynes "had been wrong on various counts, especially with respect to his predictions about Germany's coal, iron and steel production ... and its level of national saving". Keynes said Europe's overall output of iron would decrease; Mantoux said the opposite occurred. By 1929, European iron output had increased by ten per cent from that of 1913. Keynes believed that this European trend would also affect German iron and steel production. Mantoux says this prediction was also incorrect. By 1927, German steel output had increased by 30 per cent and iron output increased by 38 per cent from 1913. Keynes predicted that German coal extraction would also decrease and that Germany would not be able to export coal immediately after the war. Mantoux also counters these arguments. By 1920, German was exporting 15 million tons of coal a year and reached 35 million tons by 1926. By 1929, German coal mining had risen by 30 per cent on the 1913 figures because of her increased labor efficiency methods. In regard to national savings, Keynes stated that 2 billion marks would only be possible after the adoption of the treaty. Mantoux says that the 1925 German national savings figure was estimated at 6.4 billion marks, rising to 7.6 billion marks by 1927. Mantoux calculated that Germany borrowed between 8 billion and 35 billion marks in the period 1920–1931, while only paying 21 billion in reparations. This, he says, allowed Germany to re-equip, expand, and modernize her industry. Highlighting the rearmament under Hitler, Mantoux said Germany "had been in a stronger position to pay reparations than Keynes had made out". He also says that Germany could have paid all of the reparations if she had wanted to, and that the problem was not that Germany was unable to pay, but that she was unwilling to pay. In 1954, United States Secretary of State John Foster Dullesone of the authors of Article 231said that, "Efforts to bankrupt and humiliate a nation merely incite a people of vigor and of courage to break the bonds imposed upon them ... Prohibitions thus incite the very acts that are prohibited." Modern Geoff Harcourt writes that Keynes' arguments that reparations would lead to German economic collapse have been adopted "by historians of almost all political persuasions" and have influenced the way historians and the public "see the unfolding events in Germany and the decades between Versailles and the outbreak of the Second World War". He says Mantoux's work "is not simply a critique of Keynes", but "a stimulus to question the received wisdom's interpretation of the unfolding events in Germany". Harcourt says that despite it discussing Keynes' errors "in great detail", Mantoux's work "has not led us to revise our general judgment of Keynes", yet "it does make us question the soundness of theoretical and empirical aspects" of his arguments. A.J.P. Taylor writes that in 1919 "many people believed that the payment of reparations would reduce Germany to a state | to prove that Germany was not solely guilty for causing the war; if that guilt could be disproved the legal requirement to pay reparations would disappear. Evolution of reparations Initial demands The Treaty of Versailles stated that a Reparation Commission would be established in 1921. This commission would consider the resources available to Germany and her capacity to pay, provide the German Government with an opportunity to be heard on the subject, and decide on the final reparation figure that Germany would be required to pay. In the interim, Germany was required to pay an equivalent of gold marks in gold, commodities, ships, securities, or other forms. The money would be used to pay Allied occupation costs and to buy food and raw materials for Germany. Article 121 of the Treaty of Neuilly acknowledged that "the resources of Bulgaria are not sufficient to enable her to make complete reparation". Therefore, the treaty required Bulgaria to pay a sum equivalent of 2.250 billion Gold francs in reparations. The treaties of Saint-Germain-en-Laye, Trianon, and Sèvres acknowledged that Austria, Hungary, and Turkey did not have the resources to pay reparations, and delayed the establishment of a final figure until the Reparation Commission was established. In addition, Bulgaria was required to hand over thousands of livestock to Greece, Romania, and the Serb-Croat-Slovene State "in restitution for animals taken away by Bulgaria during the war". This would not be credited towards the reparation figure. Likewise, Bulgaria had to dispatch 50,000 tons of coal a year to the Serb-Croat-Slovene State in restitution for destroyed mines. These shipments would not be credited against Bulgaria's reparation sum. Germany, Austria, and Hungary all had commitments to handover timber, ore, and livestock to the Allied Powers. They would, however, be credited for these goods. In January 1921, the Allied Powers grew impatient and established the reparation sum at 226 billion gold marks. The Germans countered with an offer of 30 billion. On 24 April 1921, the German Government wrote to the American Government expressing "her readiness to acknowledge for reparation purposes a total liability of 50 billion gold marks", but was also prepared "to pay the equivalent of this sum in annuities adapted to her economic capacity totalling 200 billion gold marks". In addition, the German Government stated that "to accelerate the redemption of the balance" and "to combat misery and hatred created by the war", Germany was willing to provide the resources needed and "to undertake herself the rebuilding of townships, villages, and hamlets". London Schedule of Payments The London Schedule of Payments of 5 May 1921 established "the full liability of all the Central Powers combined, not just Germany alone," at gold marks. This sum was a compromise promoted by Belgiumagainst higher figures demanded by the French and Italians and the lower figure the British supportedthat "represented an assessment of the lowest amount that public opinion ... would tolerate". This figure was divided into three series of bonds: "A" and "B" Bonds together had a nominal value of gold marks less than the sum Germany had previously offered to pay. "C" Bonds, comprising the remainder of the reparation figure, "were deliberately designed to be chimerical." They were "a political bargaining chip" that served the domestic policies of France and the United Kingdom. The figure was completely unreal; its primary function was to mislead public opinion "into believing that the 132-billion-mark figure was being maintained". Furthermore, "Allied experts knew that Germany could not pay 132 billion marks and that the other Central Powers could pay little. Thus, the A and B Bonds, which were genuine, represented the actual Allied assessment of German capacity to pay." Taking into account the sum already paid between 1919 and 1921, Germany's immediate obligation was 41 billion gold marks. To pay towards this sum, Germany could pay in kind or in cash. Commodities paid in kind included coal, timber, chemical dyes, pharmaceuticals, livestock, agricultural machines, construction materials, and factory machinery. The gold value of these would be deducted from what Germany was required to pay. Germany's assistance with the restoration of the university library of Louvain, which was destroyed by the Germans on 25 August 1914, was also credited towards the sum, as were some of the territorial changes the treaty imposed upon Germany. The payment schedule required within twenty-five days and then annually, plus 26 per cent of the value of German exports. The German Government was to issue bonds at five per cent interest and set up a sinking fund of one per cent to support the payment of reparations. End of reparations for Austria, Bulgaria, Hungary, and Turkey Between the signing of the Treaty of Neuilly-sur-Seine and April 1922, Bulgaria paid 173 million gold francs in reparations. In 1923, the Bulgarian reparation sum was revised downwards to 550 million gold francs, "plus a lump sum payment of 25 million francs for occupation costs". Towards this figure, Bulgaria paid 41 million gold francs between 1925 and 1929. In 1932, the Bulgarian reparation obligation was abandoned following the Lausanne Conference. Because Austria was "so impoverished" after the war, and because of the collapse of the Bank of Vienna, the country paid no reparations "beyond credits for transferred property". Likewise, Hungary paid no reparations beyond coal deliveries because of the collapse of the Hungarian economy. Turkish reparations had been "sharply limited in view of the magnitude of Turkish territorial losses". However, the Treaty of Sèvres was never ratified. When the Treaty of Lausanne was signed in 1923, Turkish reparations were "eliminated altogether". German defaults From the initiation of reparations, German coal deliveries were below the level agreed. In an attempt to rectify this situation, the Spa Conference was held in July 1920. At this conference it was decided that Germany would be paid five marks per coal ton delivered to facilitate coal shipments and help feed the miners. Despite this, Germany continued to default on her obligations. By late 1922, the German defaults on payments had grown so serious and regular that a crisis engulfed the Reparations Commission. French and Belgian delegates urged the seizure of the Ruhr to encourage the Germans to make more effort to pay, while the British supported postponing payments to facilitate the financial reconstruction of Germany. On 26 December 1922, Germany defaulted on timber deliveries. The timber quota was based upon a German proposal and the default was massive. The Allies were unanimous that the default was in bad faith. In January 1923, despite quota reductions, the German Government defaulted on coal deliveries for the 34th time in three years following the loss of the Upper Silesian coal fields containing 11 per cent of German coal resources, which had been transferred to Poland. On 9 January 1923, the Reparation Commission declared Germany to be in default of her coal deliveries and voted to occupy the Ruhr to enforce the country's reparation commitments. Britain was the lone dissenting voice to both measures. On 11 January, French and Belgian soldierssupported by engineers including an Italian contingententered the region, initiating the Occupation of the Ruhr. The French Premier Raymond Poincaré was deeply reluctant to order the occupation and had only taken this step after the British had rejected his proposals for more moderate sanctions against Germany. By December 1922, Poincaré was faced with Anglo-American-German hostility; coal supplies for French steel production were running low. Exasperated with Britain's failure to act, he wrote to the French ambassador in London: Judging others by themselves, the English, who are blinded by their loyalty, have always thought that the Germans did not abide by their pledges inscribed in the Versailles Treaty because they had not frankly agreed to them ... We, on the contrary, believe that if Germany, far from making the slightest effort to carry out the treaty of peace, has always tried to escape her obligations, it is because until now she has not been convinced of her defeat ... We are also certain that Germany, as a nation, resigns herself to keep her pledged word only under the impact of necessity. The occupation proved marginally profitable; the occupying powers received 900 million gold marks, and much of this merely covered the military costs of occupation. However, the real issue behind the occupation was not German defaults on coal and timber deliveries, but the forcing of Germany "to acknowledge her defeat in World War I and to accept the Versailles Treaty". Poincaré recognized that if Germany could get away with defying Versailles in regard to the reparations, a precedent would be created and inevitably the Germans would proceed to dismantle the rest of the Versailles treaty. Dawes Plan Although the French succeeded in their objective during the Ruhr occupation, the Germans had wrecked their economy by funding passive resistance and brought about hyperinflation. Under Anglo-American pressure and simultaneous decline in the value of the franc, France was increasingly isolated and her diplomatic position was weakened. In October 1923, a committee consisting of American, Belgian, British, French, German, and Italian experts and chaired by the former Director of the US Bureau of the Budget Charles G. Dawes was formed, to consider "from a purely technical standpoint", how to balance the German budget, stabilize the economy and set an achievable level of reparations. In April 1924, the Dawes Plan was accepted and it replaced the London schedule of payment. While the "C" Bonds were omitted from the plan's framework, they were not formally rescinded. French troops were to withdraw from the Ruhr, and a bank independent of the German Government, with a ruling body at least , was to be established and the German currency was to be stabilized. The payment of reparations was also reorganized. In the first year following the implementation of the plan, Germany would have to pay marks. This figure would rise to marks per year by the fifth year of the plan. A Reparations Agency was established with Allied representatives to organize the payment of reparations. Furthermore, a loan of marks was to be raisedover 50 per cent coming from the United States, 25 per cent from Britain, and the balance from other European nationsto back the German currency and to aid in the payment of reparations. Young Plan The adoption of the plan was followed by the Locarno Treaties. The subsequent "spirit of Locarno" saw an apparent reconciliation between the European Powers. The implementation of the Dawes Plan also saw a positive economic impact in Europe, largely funded by American loans. Under the Dawes Plan, Germany always met her obligations. However, German long-term goals remained the same despite the apparent reconciliation: the revision of the Treaty of Versailles to end reparations. The Dawes Plan was seen only a temporary measure, with expected future revisions. In late 1927, the Agent-General for Reparations "called for a more permanent scheme" for payments and in 1928 the Germans followed suit. German Foreign Minister Gustav Stresemann called for a final reparation plan to be established alongside an early withdrawal of Allied troops from the Rhineland. The French, aware of their weakening political and financial position, acquiesced. On 16 September 1928, a joint Entente-German statement acknowledging the need for a new reparation plan was issued. In February 1929, a new committee was formed to re-examine reparations. It was chaired by the American banker Owen D. Young and presented its findings in June 1929. The "Young Plan" was accepted and was ratified by the German Government on 12 March 1930. The plan established a theoretical final reparation figure at 112 billion gold marks , with a new payment schedule that would see reparations completed by 1988the first time a final date had been set. In addition, foreign oversight of German finances was to end with the withdrawal of the Reparations Agency, which would be replaced by the Bank for International Settlements. The bank was established to provide cooperation among central banks and to receive and disburse reparation payments. A further loan of was to be raised and given to Germany. As a result of the plan, German payments were half the sum required under the Dawes Plan. The implementation of the Young Plan required the Anglo-French withdrawal from the Rhineland within months. Despite the reduction, there was increasing German hostility to the plan. For example, the Law against the Enslavement of the German People, or Freedom Law, was proposed by the nationalist politician Alfred Hugenberg. Hugenberg's proposed law called for the end of the Ruhr occupation, the official renouncement of the Article 231 and the rejection of the Young Plan. While politicians rejected it, it attracted enough support from voters in order to put up for a referendum. The plebiscite was held in December 1929, resulting in 5.8 million people out of 6.3 million voters, voting in favor for the law. This fell below the required 21 million votes in order for it to take effect. While this was a political defeat for Hugenberg, it did result in significant national attention for Adolf Hitler and subsequently valuable right-wing financing. End of German reparations In March 1930, the German Government collapsed and was replaced by a new coalition led by Chancellor Heinrich Brüning. In June, Allied troops withdrew from near Mainzthe last occupation zone in the Rhinelandand Brüning's Government broached the subject of demanding further refinement to reparations, but this demand was refused by William Tyrrell, the British ambassador to France. During 1931, a financial crisis began in Germany. In May, Creditanstaltthe largest bank in Austriacollapsed, sparking a banking crisis in Germany and Austria. In response, Brüning announced that Germany was suspending reparation payments. This resulted in a massive withdrawal of domestic and foreign funds from German banks. By mid-July, all German banks had closed. Until this point, France's policy had been to provide Germany with financial support to help Brüning's Government stabilize the country. Brüning, now under considerable political pressure from the far-right and President Paul von Hindenburg, was unable to make any concessions or reverse policy. As a result, Brüning was unable to borrow money from foreign or domestic sources. Further attempts to enlist British support to end reparations failed; the British said it was a joint issue with France and the United States. In early July, Brüning announced "his intention to seek the outright revision of the Young Plan". In light of the crisis and with the prospect of Germany being unable to repay her debts, United States President Herbert Hoover intervened. In June, Hoover publicly proposed a one-year moratorium to reparation and war debts. By July, the "Hoover Moratorium" had been accepted. The moratorium was widely supported in both Germany and the United Kingdom. The French, initially hesitant, eventually agreed to support the American proposal. However, on 13 July, the German Darmstädter Bank collapsed, leading to further bankruptcies and a rise in unemployment further exacerbating Germany's financial crisis. With the Great Depression now exerting its influence, the Bank for International Settlements reported that the Young Plan was unrealistic in light of the economic crisis and urged the world governments to reach a new settlement on the various debts they owed each other. During January 1932, Brüning said he would seek the complete cancellation of reparations. His position was supported by the British and Italians, and opposed by the French. Because of the political differences between countries on the subject and impending elections in France and Germany, a conference could not be established until June. This delay brought about the downfall of Brüning's Government. On 16 June, the Lausanne Conference opened. However, discussions were complicated by the ongoing World Disarmament Conference. At the latter conference, the US informed the British and French that they would not be allowed to default on their war debts. In turn, they recommended that war debts be tied into German reparation payments, to which the Germans objected. On 9 July, an agreement was reached and signed. The Lausanne Conference annulled the Young Plan and required Germany to pay a final, single installment of 3 billion marks, saving France from political humiliation and ending Germany's obligation to pay reparations. Amount paid by Germany The precise figure Germany paid is a matter of dispute. The German Government estimated it had paid the equivalent of 67.8 billion gold marks in reparations. The German figure includedother than gold or goods in kindthe scuttling of the German fleet at Scapa Flow, state property lost in lands ceded to other countries, and the loss of colonial territories. The Reparation Commission and the Bank for International Settlements state that gold marks was paid by Germany in reparations, of which was paid before the implementation of the London Schedule of Payments. Niall Ferguson provides a slightly lower figure. He estimates that Germany paid no more than gold marks. Ferguson |
World Series of Poker, Maria Ho was the last woman remaining in the Championship Event, placing 38th out of 6,358 players and earning a $237,865 payday. She repeated this accomplishment in 2014, when she came in 77th place out of 6,683 players. Her 27th place "Last Woman Standing" finish at the 2011 World Series of Poker Europe Main Event along with a 2017 6th place final table finish makes Maria the only player to ever hold the title Last Woman Standing four times over and at both the WSOP and WSOPE Main Events. In 1995, Barbara Enright became the only woman to make the Final Table of the World Series of Poker, finishing in 5th place. She also finished in the money of the Main Event in 2005. An Ambassador of Poker League of Nations, Barbara is the first woman to win two WSOP bracelets, the first woman to win three bracelets, and the first woman to win an open event at the World Series of Poker. Barbara is also the first woman to be inducted into the Poker Hall of Fame, the Women in Poker Hall of Fame, and the Senior Poker Hall of Fame, making her the only poker player to be in all three poker halls of fame. WSOP Ladies Championship Events In 1977, the first Ladies only event was introduced in the form of $100 buy-in Stud Poker Tournament. Jackie McDaniels won that event to become the first Ladies Champion. She won one of the smallest prizes ($5,580) in WSOP history. By 2007, the popularity of the Ladies Event had grown to the point that it became the first Ladies-only event to have a prize pool greater than $1,000,000. The Ladies played Seven Card Stud for the event's first two decades, but have been playing Texas hold 'em since 2001. WSOP television coverage 1970s The earliest filming of the World Series was a special produced by Binion's Horseshoe in 1973 and narrated by Jimmy "The Greek" Snyder. CBS began covering the World Series in the late 1970s. 1980s In the early 1980s, the event was again broadcast as specials. In the late 1980s, the World Series returned to television as ESPN took over broadcasting. Initially, coverage only consisted of just a single one-hour taped-delay broadcast of the Main Event. 1990s ESPN Classic currently airs many of the old broadcasts from the mid-1990s and beyond. Since no "pocket cam" existed, very few hole cards were actually shown to television viewers. Generally, ESPN used poker-playing actors such as Dick Van Patten, Vince Van Patten, and Gabe Kaplan, with either the tournament director (usually Jim Albrecht) or a poker professional, of which one was Phil Hellmuth, joining the team. Unlike today's coverage, ESPN featured no pre-taped interviews or profiles on the players. In addition, the commentators were generally on the casino floor itself. In the 1994 coverage of the final hand of the Main Event shows Hugh Vincent holding . The flop was , indicating that there were two in the deck. The tournament director announces that Hugh Vincent needed two running spades to win. The likely hand for Hugh Vincent was , but there is no known video of the actual hand turned over by Hugh Vincent. 2000s Early 2000s From 1999 to 2001, the World Series of Poker was broadcast by The Discovery Channel. These hour-long programs presented more of an overview or recap of the WSOP as opposed to broadcasting an actual live event with play-by-play analysis and color commentary. The Discovery Channel's broadcast also featured final table players interviews interlaced throughout the show. ESPN would resume coverage the following year. ESPN's coverage in 2002 was typical of their coverage in the 1990s (recorded in video, little or no post-production commentary or player profiles, no card cams). However, the final table broadcast was expanded over two one-hour episodes. The 2002 WSOP was the first with the "sneak peek" (later called the pocket cam, or hole cam). 2003 expansion In 2003, Fred Christenson secured the long-term rights acquisition for ESPN, and the channel expanded their coverage to new heights with their coverage of the WSOP. They included coverage of the entire tournament, with a "Featured Table". At this table, the viewers could see the player's hole cards and subsequent strategy. The action was also broadcast as if live, though on tape-delay. 2003 was the first year that the broadcast covered action preceding the final table. Since then, ESPN has greatly expanded its coverage to include many of the preliminary events of the WSOP, especially Texas Hold 'Em. Also, their coverage of the main event now typically includes at least one hour program on each day. For the first two years of its existence, ESPN was broadcasting one hour programs of the "circuit" events that the WSOP has at various Harrah's-owned casinos, but ESPN did not renew these events. ESPN's coverage now includes many of the trappings of sports coverage, such as lighter segments (called "The Nuts") and interviews. ESPN's coverage has been largely driven by Matt Maranz, Executive Producer for the WSOP telecasts. Maranz previously worked on ESPN's football pre-game show, and has also produced taped segments for NBC's Olympic coverage. 2004–2020 Coverage would increase in 2004 and 2005 to include preliminary events from the WSOP, in addition to the "Main Event". ESPN has expanded poker to all-new levels, especially with their coverage of the 2006 WSOP, including providing the entire final table of the 2006 Main Event via pay-per-view airing. In 2008, ESPN experimented with the idea of a delayed final table. This idea presented greater sponsorship opportunities and notoriety, culminating in a recap of the Main Event and the conclusion of the 2008 Main Event final table. In 2009, ESPN announced they would again move the final table to November 2009. The WSOP also decided there would be no rebuy events in 2009. The decision was reached because of complaints that rebuy events provided an unfair advantage to professionals with no limitation on how much money they can spend for an event. There were 57 bracelet events that year. The 2010 WSOP had the same number of bracelet events as in 2009, again with no rebuy events. With 58 bracelet events and no rebuy events, the 2011 WSOP featured unprecedented "nearly live" coverage, with broadcasts being delayed by much smaller amounts of time while still satisfying Nevada Gaming Commission regulators. Caesars Entertainment, via WSOP.com, streamed final-table coverage of all bracelet events on a 5-minute delay, although without pocket cams. The ESPN family of networks aired 36 hours of Main Event coverage leading up to the November Nine on a 30-minute delay, showing the hole cards of all players who voluntarily entered the pot once the hand ended. The Main Event final table was broadcast on a 15-minute delay with the same policy regarding hole cards. The first day of the final table was aired on ESPN2 and the final day on ESPN, with both days also streamed on ESPN3 and WSOP.com. POKER PROductions has produced the World Series of Poker Europe since 2008 and World Series of Poker since 2011. Former pro turned executive producer Mori Eskandani's team pioneered the live broadcast format seen at the WSOP since 2011. POKER PROductions has filmed WSOP bracelet final tables and the WSOP Main Event for PokerGO, a subscription video on demand service. PokerGO has had exclusive WSOP broadcast rights since 2017, with shared coverage of select events appearing on PokerGO. 2021-present Starting in 2021, CBS Sports Network became the official television home of the World Series of Poker through a multi-year deal reached with PokerGO. Per the terms of the new deal, CBS Sports was set to broadcast 15 hours of WSOP Main Event coverage plus 36 additional hours from select gold bracelet events. In an interview for Card Player Magazine, PokerGO President Mori Eskandani mentioned longtime WSOP broadcasters Lon McEachern and Norman Chad would be back in the booth, along with Ali Nejad, David Tuchman, and Jeff Platt. Live broadcast coverage of the 2021 WSOP moved exclusively to PokerGO. PokerGO's 2021 WSOP live streaming coverage began on Monday, October 4, and would include 36 days of live broadcasts from more than 20 unique events as part of the 52nd annual WSOP. As part of PokerGO's live coverage of the 2021 WSOP, and for the first time ever, live streaming of the WSOP Main Event moved to the PokerGO platform and would be broadcast from start to finish. WSOP broadcasters 1973 (special) – Jimmy Snyder 1978 (CBS) – Brent Musburger and Jimmy Snyder 1979 (CBS) – Frank Glieber and Jimmy Snyder 1981 (special) – Curt Gowdy 1983 (special) – Curt Gowdy and Bobby Baldwin 1987 (special) – Ted Robinson 1988 (ESPN) – Chris Marlowe 1989 (ESPN) – Chris Marlowe 1990 (ESPN) – Chris Marlowe 1991 (ESPN) – Chris Marlowe 1992 (ESPN) – Chris Marlowe 1993 (ESPN) – Dick Van Patten and Jim Albrecht 1994 (ESPN) – Dick Van Patten and Jim Albrecht 1995 (ESPN) – Dick Van Patten and Jim Albrecht 1996 – Was not televised 1997 (ESPN) – Gabe Kaplan and Jim Albrecht 1998 (ESPN) – Vince Van Patten and Jim Albrecht 1999 (The Discovery Channel) 2000 (The Discovery Channel) 2001 (The Discovery Channel) 2002 (ESPN) – Lon McEachern and Gabe Kaplan; (ESPN Latin America – Spanish) – Gabriela Hill 2003 (ESPN) – Lon McEachern and Norman Chad; (ESPN Latin America – Spanish) – Gabriela Hill 2004 (ESPN) – Lon McEachern and Norman Chad; (ESPN Deportes and ESPN Latin America – Spanish) – Gabriela Hill 2005 (ESPN) – Lon McEachern and Norman Chad; (ESPN Deportes and ESPN Latin America – Spanish) – Gabriela Hill and Andrés Agulla 2006 (ESPN) – Lon McEachern and Norman Chad; Phil Gordon and Ali Nejad in Main Event Pay-per-view; (ESPN Deportes and ESPN Latin America – Spanish) – Gabriela Hill and Andrés Agulla 2007 (ESPN) – Lon McEachern and Norman Chad; Phil Gordon and Ali Nejad in Main Event Pay-per-view; (ESPN Deportes and ESPN Latin America – Spanish) – Fernando Álvarez and Gabriela Hill 2008 (ESPN) – Lon McEachern and Norman Chad; (ESPN Deportes and ESPN Latin America – Spanish) – Fernando Álvarez and Gabriela Hill 2009 (ESPN) – Lon McEachern and Norman Chad; (ESPN Deportes and ESPN Latin America – Spanish) – Georgina Ruiz Sandoval and Fernando Álvarez 2010 (ESPN) – Lon McEachern and Norman Chad; (ESPN3) – James Hartigan and Adam Schoenfeld, Phil Hellmuth, Gavin Griffin, Bernard Lee, Jonathan Aguiar, Joseph Cheong; (ESPN Deportes and ESPN Latin America – Spanish) – Georgina Ruiz Sandoval and Fernando Álvarez 2011 (ESPN) – Lon McEachern, Norman Chad and Kara Scott; (ESPN2 & 3 LIVE) Lon McEachern, David Tuchman, Antonio Esfandiari, Norman Chad, Phil Hellmuth, Olivier Busquet, Johnny Chan, Vanessa Rousso 2012 (ESPN) – Lon McEachern, Norman Chad, Antonio Esfandiari, Kara Scott, and Olivier Busquet 2013 (ESPN) – Lon McEachern, Norman Chad, Antonio Esfandiari, Kara Scott, Marianela Pereyra, and Phil Hellmuth 2013 (ESPN Australia) – Lon McEachern, Norman Chad, Antonio Esfandiari and Lynn Gilmartin 2014 (ESPN) – Lon McEachern, Norman Chad, Antonio Esfandiari, Kara Scott, Daniel Negreanu, and Phil Hellmuth 2015 (ESPN) – Lon McEachern, Norman Chad, Antonio Esfandiari, Kara Scott, Daniel Negreanu, and Phil Hellmuth 2016 (ESPN) – Lon McEachern, Norman Chad, Antonio Esfandiari, Kara Scott 2017 (ESPN) – Lon McEachern, Norman Chad, Antonio Esfandiari, and Kara Scott 2018 (ESPN) – Lon McEachern, Norman Chad, Antonio Esfandiari, and Joe Stapleton 2019 (ESPN) – Lon McEachern, Norman Chad, Jamie Kerstetter, and Kara Scott 2020 (ESPN)– Lon McEachern, Jamie Kerstetter, and Jeff Platt 2021 (PokerGO/CBS Sports)– Norman Chad, Maria Ho, Lon McEachern, Jamie Kerstetter, Ali Nejad, David Tuchman, and Jeff | 1, 2012, with a record US$1 million entry fee. 11% of the money (more precisely, $111,111 from each buy-in) went to Laliberté's charity, the One Drop Foundation, and the WSOP waived its normal 10% rake of the entry fees. At the time of the original announcement, 15 of the maximum 48 seats had been taken. By early December 2011, the field size had increased to 22, the minimum required for an official bracelet tournament. Among those who committed early to the event were Johnny Chan, Daniel Negreanu, Jonathan Duhamel, Tom Dwan, Laliberté, billionaire businessman Phil Ruffin and Erik Seidel. On April 12, 2012, the WSOP announced that 30 players had committed to the tournament, which brought the first prize to $12.3 million, exceeding the record amount won by Jamie Gold. In the end, all 48 seats were filled, resulting in a first prize of $18.3 million. Poker professional Antonio Esfandiari won the event, also receiving a special platinum WSOP bracelet. Main Event Since 1972, the Main Event of the WSOP has been the $10,000 buy-in no-limit Texas Hold 'em (NLHE) tournament (in 1971 the buy-in was $5,000 and the inaugural 1970 event was an invitational with winner determined by a vote from the players). Winners of the event not only get the largest prize of the tournament and a gold bracelet, but additionally their picture is placed in the Gallery of Champions at Binion's. The winner of the Main Event has traditionally been given the unofficial title of World Champion. However, some believe that no-limit hold 'em is not the optimal structure for determining a champion poker player. In 2002, Daniel Negreanu argued that the Main Event should switch to pot-limit hold 'em, believing that pot-limit required a more complete set of poker skills than no-limit, although he admitted that such a change would likely never be made. However, after the $50,000 H.O.R.S.E./Poker Players Championship event was added, many of the game's top professionals, including Negreanu, have since stated that this tournament ultimately decides the world's best player. The $50,000 buy-in, being five times larger than the buy-in for the Main Event, has thus far tended to deter amateurs from playing in this event, and the variety of games played require a broader knowledge of poker. The first $50,000 event, conducted as a H.O.R.S.E. tournament, was won by Chip Reese in 2006. In 2010, the $50,000 event changed from H.O.R.S.E. to an "8-game" format, adding no-limit hold 'em, pot-limit Omaha, and 2–7 triple draw to the mix, and was rechristened The Poker Players Championship, with Michael Mizrachi winning the first edition of the revamped event. Since Reese's death in December 2007, the winner of this event receives the David 'Chip' Reese Memorial Trophy in addition to the bracelet and the prize money. There have been many memorable moments during the main events, including Jack Straus's 1982 comeback win after discovering he had one $500 chip left when he thought he was out of the tournament. The end of the 1988 main event was featured in the movie Rounders. Chris Moneymaker and Greg Raymer, the winners in 2003 and 2004, both qualified for the main event through satellite tournaments at the PokerStars online card room. Jerry Yang, the winner in 2007, had only been playing poker for two years prior to his victory. He won his seat at a $225 satellite tournament at Pechanga Resort & Casino, in California. With the passage of the Unlawful Internet Gambling Enforcement Act (UIGEA) of 2006 online poker sites have been barred from purchasing entrance directly for their users. WSOP Main Event winners WSOP Main Event records These records do not include WSOP Europe or Asia Pacific Main Events. Most Main Event wins: Johnny Moss (3), Stu Ungar (3) Most Main Event final tables: Jesse Alto (7) Most Main Event money finishes: Berry Johnston (10) Most Main Event wins in consecutive years: Doyle Brunson (2), Johnny Chan (2), Johnny Moss (2), Stu Ungar (2) Most Main Event final tables in consecutive years: Bob Hooks (4, 1973–1976), Johnny Moss (4, 1971–1974) Most Main Event money finishes in consecutive years: Ronnie Bardah (5, 2010–2014) Highest Main Event earnings: Jamie Gold ($12,000,000) Youngest Main Event winner: Joe Cada () Oldest Main Event winner: Johnny Moss () Most Main Event participations: Howard Andrew (41, 1974–2014) Oldest Main Event participant: Jack Ury (97 years, 2010) WSOP Europe Main Event winners WSOP Asia Pacific Main Event winners WSOP Online Main Event winners Players Poker Hall of Fame Since its inception in 1979, the WSOP Poker Hall of Fame has honored 42 individuals. Selection criteria for players include having competed against acknowledged top competition, played for high stakes, and played consistently well to gain the respect of their peers. For non-players, selection is based on positive and lasting contributions to the overall growth and success of poker. Player of the Year Since 2004, a Player of the Year (POY) award has been given to the player with the most points accumulated throughout the WSOP. As of 2019, fifteen different players have won the sixteen awards, with Daniel Negreanu as the only player to win the award more than once. Only "open" events in which all players can participate count in the standings; this eliminates the Seniors, Ladies, and Casino Employee events. Beginning with the 2006 World Series of Poker, the Main Event and the $50,000 H.O.R.S.E. competition had no effect on the outcome of the winner of the Player of the Year award. In the 2008 World Series of Poker, the $50,000 H.O.R.S.E. event counted toward the Player of the Year award, but the Main Event did not. Since 2009, all open events, including the Main Event, count towards Player of the Year. The Player of the Year standings were based upon performance solely at the WSOP in Las Vegas up until 2010, but beginning in 2011 have also taken the World Series of Poker Europe into account, and starting in 2013 also include events in the World Series of Poker Asia Pacific. The 2011 WSOP Player of the Year organized by Bluff Magazine used a different scoring system which took into account field sizes and buy-in amounts when calculating points earned. This scoring system has been used ever since. Since 2016, the WSOP payout a bigger percentage of the field (15% instead of 10% until then). Bracelets Notes Money finishes Information correct as of 23 November 2021. Career earnings Information correct as of 23 November 2021. Records Since its inception, Stu Ungar and Johnny Moss are the only players to have won the Main Event three times. However, Moss's first victory came in a different format, as he was elected winner by vote of his fellow players at the conclusion of what was then a timed event. Moss, Ungar, Doyle Brunson, and Johnny Chan are the only people who have won the Main Event in consecutive years. Chan's second victory in 1988 was featured in the 1998 film Rounders. Phil Hellmuth holds multiple WSOP records including most bracelets, most WSOP cashes, and most WSOP final tables. He is also the only player to have won the Main Events of both the WSOP and WSOP Europe. In recent years, the prize pool for the WSOP Main Event has become so large that the winner instantly becomes one of the top money winners of WSOP and even in tournament poker history. Before July 2012, the top seven players on the all-time WSOP Earnings list were Main Event champions from 2005 to 2011, among whom Jamie Gold topped those seven, he won the 2006 Main Event, which had then the biggest first prize for a single tournament, and still is the largest poker tournament by prize pool in history. However, the all-time leader is currently poker professional Daniel Negreanu, who has not won a Main Event, although he won the inaugural WSOP Asia Pacific Main Event in 2013. He is followed by professionals Antonio Esfandiari and Daniel Colman, both also yet to win a Main Event in Las Vegas. The list below includes the WSOP Europe and WSOP Asia-Pacific, but excludes WSOP Circuit events and other non-bracelet events. The results are updated through the 2014 WSOP APAC. Women at the WSOP At present, women make up around 5% of the field in all the events at the annual WSOP tournament. Vanessa Selbst, Barbara Enright, Nani Dollison and Kristen Bicknell all have won 3 WSOP Bracelets. Last Woman Standing In 2015, Kelly Minkin finished in 29th place in the Main Event earning the "Last Woman Standing". In the 2007 World Series of Poker, Maria Ho was the last woman remaining in the Championship Event, placing 38th out of 6,358 players and earning a $237,865 payday. She repeated this accomplishment in 2014, when she came in 77th place out of 6,683 players. Her 27th place "Last Woman Standing" finish at the 2011 World Series of Poker Europe Main Event along with a 2017 6th place final table finish makes Maria the only player to ever hold the title Last Woman Standing four times over and at both the WSOP and WSOPE Main Events. In 1995, Barbara Enright became the only woman to make the Final Table of the World Series of Poker, finishing in 5th place. She also finished in the money of the Main Event in 2005. An Ambassador of Poker League of Nations, Barbara is the first woman to win two WSOP bracelets, the first woman to win three bracelets, and the first woman to win an open event at the World Series of Poker. Barbara is also the first woman to be inducted into the Poker Hall of Fame, the Women in Poker Hall of Fame, and the Senior Poker Hall of Fame, making her the only poker player to be in all three poker halls of fame. WSOP Ladies Championship Events In 1977, the first Ladies only event was introduced in the form of $100 buy-in Stud Poker Tournament. Jackie McDaniels won that event to become the first Ladies Champion. She won one of the smallest prizes ($5,580) in WSOP history. By 2007, the popularity of the Ladies Event had grown to the point that it became the first Ladies-only event to have a prize pool greater than $1,000,000. The Ladies played Seven Card Stud for the event's first two decades, but have been playing Texas hold 'em since 2001. WSOP television coverage 1970s The earliest filming of the World Series was a special produced by Binion's Horseshoe in 1973 and narrated by Jimmy "The Greek" Snyder. CBS began covering the World Series in the late 1970s. 1980s In the early 1980s, the event was again broadcast as specials. In the late 1980s, the World Series returned to television as ESPN took over broadcasting. Initially, coverage only consisted of just a single one-hour taped-delay broadcast of the Main Event. 1990s ESPN Classic currently airs many of the old broadcasts from the mid-1990s and beyond. Since no "pocket cam" existed, very few hole cards were actually shown to television viewers. Generally, ESPN used poker-playing actors such as Dick Van Patten, Vince Van Patten, and Gabe Kaplan, with either the tournament director (usually Jim Albrecht) or a poker professional, of which one was Phil Hellmuth, joining the team. Unlike today's coverage, ESPN featured no pre-taped interviews or profiles on the players. In addition, the commentators were generally on the casino floor itself. In the 1994 coverage of the final hand of the Main Event shows Hugh Vincent holding . The flop was , indicating that there were two in the deck. The tournament director announces that Hugh Vincent needed two running spades to win. The likely hand for Hugh Vincent was , but there is no known video of the actual hand turned over by Hugh Vincent. 2000s Early 2000s From 1999 to 2001, the World Series of Poker was broadcast by The Discovery Channel. These hour-long programs presented more of an overview or recap of the WSOP as opposed to broadcasting an actual live event with play-by-play analysis and color commentary. The Discovery Channel's broadcast also featured final table players interviews interlaced throughout the show. ESPN would resume coverage the following year. ESPN's coverage in 2002 was typical of their coverage in the 1990s (recorded in video, little or no post-production commentary or player profiles, no card cams). However, the final table broadcast was expanded over two one-hour episodes. The 2002 WSOP was the first with the "sneak peek" (later called the pocket cam, or hole cam). 2003 expansion In 2003, Fred Christenson secured the long-term rights acquisition for ESPN, and the channel expanded their coverage to new heights with their coverage of the WSOP. They included coverage of the entire tournament, with a "Featured Table". At this table, the viewers could see the player's hole cards and subsequent strategy. The action was also broadcast as if live, though on tape-delay. 2003 was the first year that the broadcast covered action preceding the final table. Since then, ESPN has greatly expanded its coverage to include many of the preliminary events of the WSOP, especially Texas Hold 'Em. Also, their coverage of the main event now typically includes at least one hour program on each day. For the first two years of its existence, ESPN was broadcasting one hour programs of the "circuit" events that the WSOP has at various Harrah's-owned casinos, but ESPN did not renew these events. ESPN's coverage now includes many of the trappings of sports coverage, such as lighter segments (called "The Nuts") and interviews. ESPN's coverage has been largely driven by Matt Maranz, Executive Producer for the WSOP telecasts. Maranz previously worked on ESPN's football pre-game show, and has also produced taped segments for NBC's Olympic coverage. 2004–2020 Coverage would increase in 2004 and 2005 to include preliminary events from the WSOP, in addition to the "Main Event". ESPN has expanded poker to all-new levels, especially with their coverage of the 2006 WSOP, including providing the entire final table of the 2006 Main Event via pay-per-view airing. In 2008, ESPN experimented with the idea of a delayed final table. This idea presented greater sponsorship opportunities and notoriety, culminating in a recap of the Main Event and the conclusion of the 2008 Main Event final table. In 2009, ESPN announced they would again move the final table to November 2009. The WSOP also decided there would be no rebuy events in 2009. The decision was reached because of complaints that rebuy events provided an unfair advantage to professionals with no limitation on how much money they can spend for an event. There were 57 bracelet events that year. The 2010 WSOP had the same number of bracelet events as in 2009, again with no rebuy events. With 58 bracelet events and no rebuy events, the 2011 WSOP featured unprecedented "nearly live" coverage, with broadcasts being delayed by much smaller amounts of time while still satisfying Nevada Gaming Commission regulators. Caesars Entertainment, via WSOP.com, streamed final-table coverage of all bracelet events on a 5-minute delay, although without pocket cams. The ESPN family of networks aired 36 hours of Main Event coverage leading up to |
to periodicals, including Macmillan's Magazine; a collection in book form Poems of Rural Life in the Dorset Dialect, was published in 1844. A second collection Hwomely Rhymes followed in 1858, and a third collection in 1863; a combined edition appeared in 1879. A "translation", Poems of Rural Life in Common English had already appeared in 1868. His philological works include Philological Grammar (1854), Se Gefylsta, an Anglo-Saxon Delectus (1849), Tiw, or a View of Roots (1862), and a Glossary of Dorset Dialect (1863), and among his other writings is a slim volume on "the Advantages of a More Common Adoption of The Mathematics as a Branch of Education, or Subject of Study", published in 1834. Barnes is buried in Winterborne Came churchyard beneath a Celtic cross. The plinth of the cross has the inscription: 'In Memory of William Barnes, Died 7 October 1886. Aged 86 Years. For 24 Years Rector of this Parish. This Memorial was raised to his Memory by his Children and Grandchildren." On 4 February 1889 a bronze statue of William Barnes by Edwin Roscoe Mullins (1848–1907) was unveiled outside St Peter's Church in High West Street, Dorchester. Ralph Vaughan Williams set to music four of Barnes' poems: "My Orcha'd in Lindèn Lea" and "Blackmwore Maidens" in their "Common English" versions ("Linden Lea" and "Blackmwore by the Stour", respectively), "The Winter's Willow", and "In the Spring". Linguistic purism Barnes had a strong interest in linguistics; he was fluent in Greek, Latin, French, Hebrew, Hindi, Italian, Russian, Welsh, Cornish and Old English. He called for the purification of English by removal of Greek, Latin and foreign influences so that it might be better understood by those without a classical education. His coinages included such words as sun-print for photograph, wortlore for botany, and welkinfire for meteor. His strain of purism resembles the later "blue-eyed English" of composer Percy Grainger, and in certain instances the terms in David Cowley's How We'd Talk if the English had WON in 1066. Style Uniquely fond of the Dorset dialect, which he felt to be particularly near to English's Anglo-Saxon roots, many of Barnes's poems are written in the local parlance of Dorset. Additionally, as well as avoiding the use of foreign words in his poetry, Barnes frequently employed alliterative verse, the repetition of consonantal sounds. Examples of this can be heard | was there he began writing poetry in the Dorset dialect, as well as studying several languages—Italian, Persian, German and French, in addition to Greek and Latin—playing musical instruments (violin, piano, and flute) and practicing wood-engraving. He married Julia Miles, the daughter of an exciseman from Dorchester, in 1827. In 1835 he moved back to the county town, where again he ran a school at first located on Durngate Street and subsequently on South Street. By a further move, within South Street, the school became a neighbor of an architect's practice in which Thomas Hardy was an apprentice. The architect, John Hicks, was interested in literature and the classics, and when disputes about grammar occurred in the practice, Hardy visited Barnes for authoritative opinions. Barnes's other literary friends included Lord Tennyson and Gerard Manley Hopkins. Barnes was ordained into the Church of England in 1847, taking a BD degree from St John's College, Cambridge, in 1851. He served curacies at Whitcombe Church in Whitcombe, Dorset, from 1847 to 1852, and again from 1862. He became rector of St Peter's Church, Winterborne Came, with Winterborne Farringdon, Dorset, from 1862 to his death. Shortly before his death, he was visited at Old Came Rectory by Thomas Hardy and Edmund Gosse; in a letter, Gosse wrote that Barnes was "dying as picturesquely as he lived": Barnes first contributed the Dorset dialect poems for which he is best known to periodicals, including Macmillan's Magazine; a collection in book form Poems of Rural Life in the Dorset Dialect, was published in 1844. A second collection Hwomely Rhymes followed in 1858, and a third collection in 1863; a combined edition appeared in 1879. A "translation", Poems of Rural Life in Common English had already appeared in 1868. His philological works include Philological Grammar (1854), Se Gefylsta, an Anglo-Saxon Delectus (1849), Tiw, or a View of Roots (1862), and a Glossary of Dorset Dialect (1863), and among his other writings is a slim volume on "the Advantages of a More Common Adoption of The Mathematics as a Branch of Education, or Subject of Study", published in 1834. Barnes is buried in Winterborne Came churchyard beneath a Celtic cross. The plinth of the cross has the inscription: 'In Memory of William Barnes, Died 7 October 1886. Aged 86 Years. For 24 Years Rector of this Parish. This Memorial was raised to his Memory by his Children and Grandchildren." |
Fir Within the USA fir, also known as Douglas fir, is inexpensive and common at local home centers. It has a characteristic straight, pronounced grain with a red-brown tint. However, its grain pattern is relatively plain and it does not stain well, so fir is commonly used when the finished product will be painted. While commonly used for building, this softwood would also be suitable for furniture-making. Pine White pine, ponderosa, and southern yellow pine are common species used in furniture-making. White pine and ponderosa are typically used for indoor projects, while Southern yellow pine is recommended for outdoor projects due to its durability. Common hardwoods used for furniture Ash This hardwood is relatively easy to work with and takes stain well, but its white to light brown color with a straight grain is visually appealing on its own. However, ash is much more difficult to find than other common woods, and will not be found at the local home center. Larger lumber yards should have it in stock. Birch Whether yellow or white birch, these hardwoods are stable and easy to work with. Despite this, birch is prone to blotching when stained, so painting birch products is probably best. Birch is easily found at many home centers and is a relatively inexpensive hardwood. Cherry Popular and easy to work with, cherry is in high demand for its reddish-brown color and ease of staining and finishing. Cherry likely will not be at the local home center, but should be at a lumberyard for a somewhat expensive price. This hardwood is a very common material for furniture, and is resistant to normal wear-and-tear, but it is best for indoor pieces. Mahogany A hardwood, mahogany has a trademark reddish-brown to deep-red tint and is known as "one of the great furniture woods". However, mahogany is not typically grown in sustainable forests, and thus runs a steep price at local lumber yards. Oak With two varieties, red and white, oak is known to be easy to work with and relatively strong. However, furniture makers often opt for white oak over red oak for its attractive figure and moisture-resistance. Depending on the kind needed, oak can probably be found at a local home center or a lumberyard for a bit pricier than other hardwoods. Maple With strength, sturdiness, and durability, maple is a common material for furniture for the bedroom and even china cabinets. Maple is moisture-resistant and frequently displays stand-out swirls in the wood grain, an aesthetically pleasing differentiator from other hardwoods. While most commonly a lighter color, maple also can take stains and paint well. Factors in choosing materials There are many factors to consider when deciding what type of wood to use for a project. One of the most important is the workability of the wood: the way in which it responds when worked by hand or tools, the quality of the grain, and how it responds to adhesives and finishes. When the workability of wood is high, it offers a lower resistance when cutting and has a diminished blunting effect on tools. Highly workable wood is easier to manipulate into desired forms. If the wood grain is straight and even, it will be much easier to create strong and durable glued joints. Additionally, it will help protect the wood from splitting when nailed or screwed. Coarse grains require a lengthy process of filing and rubbing down the grain to produce a smooth result. Another important factor is the durability of the wood, especially in regards to moisture. If the finished project will be exposed to moisture (e.g. outdoor projects) or high humidity or condensation (e.g. in kitchens or bathrooms), then the wood needs to be especially durable in order to prevent rot. Because of their oily qualities, many tropical hardwoods such as teak and mahogany are popular for such applications. Woods with good working properties Agba (Gossweilerodendron balsamiferum) Alder (Alnus glutinosa) Basswood (Tilia americana) Obeah (Triplochiton scleroxylon) Pine (Pinus) Western cedar (Thuja plicata) Very durable woods Teak (Tectona grandis) Iron (Milicia excelsa) Jarrah (Eucalyptus marginata) Chestnut (Castanea) Oak (Quercus) Cedar (Thuja) Woods used for carving While many woods can be used for carving, there are some clear favorites, including aspen, basswood, butternut, black walnut, and oak. Because it has almost no grain and is notably soft, Basswood is particularly popular | and accessible. Most softwoods are suitable for general construction, especially framing, trim, and finish work, and carcassing. Hardwoods are separated into two categories, temperate and tropical hardwoods, depending on their origin. Temperate hardwoods are found in the regions between the tropics and poles, and are of particular interest to wood workers for their cost-effective aesthetic appeal and sustainable sources. Tropical hardwoods are found within the equatorial belt, including Africa, Asia, and South America. Hardwoods flaunt a higher density, around 1041 kg/m3 as a result of slower growing rates and is more stable when drying. As a result of its high density, hardwoods are typically heavier than softwoods but can also be more brittle. While there are an abundant number of hardwood species, only 200 are common enough and pliable enough to be used for woodworking. Hardwoods have a wide variety of properties, making it easy to find a hardwood to suit nearly any purpose, but they are especially suitable for outdoor use due to their strength and resilience to rot and decay. The coloring of hardwoods ranges from light to very dark, making it especially versatile for aesthetic purposes. However, because hardwoods are more closely grained, they are typically harder to work than softwoods. They are also harder to acquire in the United States and, as a result, are more expensive. Typically furniture such as tables and chairs is made using solid stock from hardwoods due to its strength and resistance to warping. Additionally, they also have a greater variety of grain patterns and color and take a finish better which allows the woodworker to exercise a great deal of artistic liberty. Hardwoods can be cut more cleanly and leave less residue on sawblades and other woodworking tools. Cabinet/fixture makers employ the use of plywood and other man made panel products. Some furniture, such as the Windsor chair involve green woodworking, shaping with wood while it contains its natural moisture prior to drying. Common softwoods used for furniture Cedar Cedars are strong, aromatic softwoods that are capable of enduring outdoor elements, the most common of which is the western red cedar. Western red cedar can sustain wet environments without succumbing to rot, and as a result is commonly used for outdoor projects such as patios, outdoor furniture, and building exteriors. This wood can be easily found at most home centers for a moderate price. Fir Within the USA fir, also known as Douglas fir, is inexpensive and common at local home centers. It has a characteristic straight, pronounced grain with a red-brown tint. However, its grain pattern is relatively plain and it does not stain well, so fir is commonly used when the finished product will be painted. While commonly used for building, this softwood would also be suitable for furniture-making. Pine White pine, ponderosa, and southern yellow pine are common species used in furniture-making. White pine and ponderosa are typically used for indoor projects, while Southern yellow pine is recommended for outdoor projects due to its durability. Common hardwoods used for furniture Ash This hardwood is relatively easy to work with and takes stain well, but its white to light brown color with a straight grain is visually appealing on its own. However, ash is much more difficult to find than other common woods, and will not be found at the local home center. Larger lumber yards should have it in stock. Birch Whether yellow or white birch, these hardwoods are stable and easy to work with. Despite this, birch is prone to blotching when stained, so painting birch products is probably best. Birch is easily found at many home centers and is a relatively inexpensive hardwood. Cherry Popular and easy to work with, cherry is in high demand for its reddish-brown color and ease of staining and finishing. Cherry likely will not be at the local home center, but should be at a lumberyard for a somewhat expensive price. This hardwood is a very common material for furniture, and is resistant to normal wear-and-tear, but it is best for indoor pieces. Mahogany A hardwood, mahogany has a trademark reddish-brown to deep-red tint and is known as "one of the great furniture woods". However, mahogany is not typically grown in sustainable forests, and thus runs a steep price at local lumber yards. Oak With two varieties, red and white, oak is known to be easy to work with and relatively strong. However, furniture makers often opt for white oak over red oak for its attractive figure and moisture-resistance. Depending on the kind needed, oak can probably be found at a local home center or a lumberyard for a bit pricier than other hardwoods. Maple With strength, sturdiness, and durability, maple is a common material for furniture for the bedroom and even china cabinets. Maple is moisture-resistant and frequently displays stand-out swirls in the wood grain, |
– a feat which he felt he was "four or five years away from". After viewing the first 20 minutes of landmark cyberpunk film Blade Runner (1982) which was released when Gibson had written a third of the novel, he "figured [Neuromancer] was sunk, done for. Everyone would assume I'd copped my visual texture from this astonishingly fine-looking film." He re-wrote the first two-thirds of the book twelve times, feared losing the reader's attention and was convinced that he would be "permanently shamed" following its publication; yet what resulted was a major imaginative leap forward for a first-time novelist. Neuromancers release was not greeted with fanfare, but it hit a cultural nerve, quickly becoming an underground word-of-mouth hit. It became the first winner of one science fiction "triple crown" —both Nebula and Hugo Awards as the year's best novel and Philip K. Dick Award as the best paperback original— eventually selling more than 6.5 million copies worldwide. Lawrence Person in his "Notes Toward a Postcyberpunk Manifesto" (1998) identified Neuromancer as "the archetypal cyberpunk work", and in 2005, Time included it in its list of the 100 best English-language novels written since 1923, opining that "[t]here is no way to overstate how radical [Neuromancer] was when it first appeared." Literary critic Larry McCaffery described the concept of the matrix in Neuromancer as a place where "data dance with human consciousness ... human memory is literalized and mechanized ... multi-national information systems mutate and breed into startling new structures whose beauty and complexity are unimaginable, mystical, and above all nonhuman." Gibson later commented on himself as an author, circa Neuromancer, that "I'd buy him a drink, but I don't know if I'd loan him any money," and referred to the novel as "an adolescent's book". The success of Neuromancer was to effect the 35-year-old Gibson's emergence from obscurity. Sprawl trilogy, The Difference Engine, and Bridge trilogy Although much of Gibson's reputation has remained rooted in Neuromancer, his work continued to evolve conceptually and stylistically. He next intended to write an unrelated postmodern space opera, titled The Log of the Mustang Sally, but reneged on the contract with Arbor House after a falling out over the dustjacket art of their hardcover of Count Zero. Abandoning The Log of the Mustang Sally, Gibson instead wrote Mona Lisa Overdrive (1988), which in the words of Larry McCaffery "turned off the lights" on cyberpunk literature. It was a culmination of his previous two novels, set in the same universe with shared characters, thereby completing the Sprawl trilogy. The trilogy solidified Gibson's reputation, with both later novels also earning Nebula and Hugo Award and Locus SF Award nominations. The Sprawl trilogy was followed by the 1990 novel The Difference Engine, an alternative history novel Gibson wrote in collaboration with Bruce Sterling. Set in a technologically advanced Victorian era Britain, the novel was a departure from the authors' cyberpunk roots. It was nominated for the Nebula Award for Best Novel in 1991 and the John W. Campbell Memorial Award in 1992, and its success drew attention to the nascent steampunk literary genre of which it remains the best-known work. Gibson's second series, the "Bridge trilogy", is composed of Virtual Light (1993), a "darkly comic urban detective story", Idoru (1996), and All Tomorrow's Parties (1999). The first and third books in the trilogy center on San Francisco in the near future; all three explore Gibson's recurring themes of technological, physical, and spiritual transcendence in a more grounded, matter-of-fact style than his first trilogy. Salon's Andrew Leonard notes that in the Bridge trilogy, Gibson's villains change from multinational corporations and artificial intelligences of the Sprawl trilogy to the mass media – namely tabloid television and the cult of celebrity. Virtual Light depicts an "end-stage capitalism, in which private enterprise and the profit motive are taken to their logical conclusion", according to one review. This argument on the mass media as the natural evolution of capitalism is the opening line of the major Situationist work The Society of the Spectacle. Leonard's review called Idoru a "return to form" for Gibson, while critic Steven Poole asserted that All Tomorrow's Parties marked his development from "science-fiction hotshot to wry sociologist of the near future." Blue Ant After All Tomorrow's Parties, Gibson began to adopt a more realist style of writing, with continuous narratives – "speculative fiction of the very recent past." Science fiction critic John Clute has interpreted this approach as Gibson's recognition that traditional science fiction is no longer possible "in a world lacking coherent 'nows' to continue from", characterizing it as "SF for the new century". Gibson's novels Pattern Recognition (2003), Spook Country (2007) and Zero History (2010) are set in the same contemporary universe — "more or less the same one we live in now" — and put Gibson's work on to mainstream bestseller lists for the first time. As well as the setting, the novels share some of the same characters, including Hubertus Bigend and Pamela Mainwaring, employees of the enigmatic marketing company Blue Ant. When asked on Twitter what this series of novels should be called ("The Bigend Trilogy? The Blue Ant Cycle? What?"), Gibson replied "I prefer 'books'. The Bigend books." However, "Blue Ant" rather than "Bigend" has become the standard signifier. At a later date, Gibson stated that he did not name his trilogies, "I wait to see what people call them," and has in 2016 used "the Blue Ant books" in a tweet. A phenomenon peculiar to this era was the independent development of annotating fansites, PR-Otaku and Node Magazine, devoted to Pattern Recognition and Spook Country respectively. These websites tracked the references and story elements in the novels through online resources such as Google and Wikipedia and collated the results, essentially creating hypertext versions of the books. Critic John Sutherland characterized this phenomenon as threatening "to completely overhaul the way literary criticism is conducted". About 100 pages into writing Pattern Recognition, Gibson felt impelled to re-write the main character's backstory, which had been suddenly rendered implausible by the September 11, 2001 attacks; he described this as "the strangest experience I've ever had with a piece of fiction." He saw the attacks as a nodal point in history, "an experience out of culture", and "in some ways ... the true beginning of the 21st century." He is noted as one of the first novelists to use the attacks to inform his writing. Examination of cultural changes in post-September 11 America, including a resurgent tribalism and the "infantilization of society", became a prominent theme of Gibson's work, while his focus nevertheless remained "at the intersection of paranoia and technology". The Jackpot books The Peripheral, the first in a new series of novels by William Gibson, was released on October 28, 2014. He described the story briefly in an appearance he made at the New York Public Library on April 19, 2013, and read an excerpt from the first chapter of the book entitled "The Gone Haptics." The story takes place in two eras, one about thirty years into the future and the other further in the future. Its continuation, Agency, was released on January 21, 2020 after being delayed from an initial announced release date of December 2018. Gibson said in a New Yorker magazine article that both Trump's election and the controversy over Cambridge Analytica had caused him to rethink and revise the text. On July 17, 2020, Gibson tweeted: "Third/final volume's working title: Jackpot", but reversed course on January 21, 2021: "I don't think I'm going to call Agency's sequel Jackpot after all. Not because of [Jackpot by Michael Mechanic], which I look forward to reading, but because Agency was originally called Tulpagotchi. Which I still like, but would've been a different book." Graphic novels In 2017, in between The Peripheral and Agency, Gibson's comic/graphic novel Archangel was published. Both Archangel and The Peripheral contain time travel (of sorts), but Gibson has clarified that the works are not related: "They're not "same universe". The Splitter and trans-continual virtuality are different mechanisms (different plot mechanisms too)." The next year, Dark Horse Comics began releasing Johnnie Christmas' adaptation of Gibson's Alien 3 script in five parts, resulting in a hardcover collection being published in 2019. Collaborations, adaptations, and miscellanea Literary collaborations Three of the stories that later appeared in Burning Chrome were written in collaboration with other authors: "The Belonging Kind" (1981) with John Shirley, "Red Star, Winter Orbit" (1983) with Sterling, and "Dogfight" (1985) with Michael Swanwick. Gibson had previously written the foreword to Shirley's 1980 novel City Come A-walkin and the pair's collaboration continued when Gibson wrote the introduction to Shirley's short story collection Heatseeker (1989). Shirley convinced Gibson to write a story for the television series Max Headroom for which Shirley had written several scripts, but the network canceled the series. Gibson and Sterling collaborated again on the short story "The Angel of Goliad" in 1990, which they soon expanded into the novel-length alternate history story The Difference Engine (1990). The two were later "invited to dream in public" (Gibson) in a joint address to the U.S. National Academy of Sciences Convocation on Technology and Education in 1993 ("the Al Gore people"), in which they argued against the digital divide and "appalled everyone" by proposing that all schools be put online, with education taking place over the Internet. In a 2007 interview, Gibson revealed that Sterling had an idea for "a second recursive science novel that was just a wonderful idea", but that Gibson was unable to pursue the collaboration because he was not creatively free at the time. In 1993, Gibson contributed lyrics and featured as a guest vocalist on Yellow Magic Orchestra's Technodon album, and wrote lyrics to the track "Dog Star Girl" for Deborah Harry's Debravation. Film adaptations, screenplays, and appearances Gibson was first solicited to work as a screenwriter after a film producer discovered a waterlogged copy of Neuromancer on a beach at a Thai resort. His early efforts to write film scripts failed to manifest themselves as finished product; "Burning Chrome" (which was to be directed by Kathryn Bigelow) and "Neuro-Hotel" were two attempts by the author at film adaptations that were never made. In the late 1980s he wrote an early version of Alien 3 (which he later characterized as "Tarkovskian"), few elements of which survived in the final version. In 2018-19, Dark Horse Comics released a five-part adaptation of Gibson's Alien 3 script, illustrated and adapted by Johnnie Christmas. In 2019, Audible released an audio drama of Gibson's script, adapted by Dirk Maggs and with Michael Biehn and Lance Henriksen reprising their roles. Gibson's early involvement with the film industry extended far beyond the confines of the Hollywood blockbuster system. At one point, he collaborated on a script with Kazakh director Rashid Nugmanov after an American producer had expressed an interest in a Soviet-American collaboration to star Soviet rock musician Viktor Tsoi. Despite being occupied with writing a novel, Gibson was reluctant to abandon the "wonderfully odd project" which involved "ritualistic gang-warfare in some sort of sideways-future Leningrad" and sent Jack Womack to Russia in his stead. Rather than producing a motion picture, a prospect that ended with Tsoi's death in a car crash, Womack's experiences in Russia ultimately culminated in his novel Let's Put the Future Behind Us and informed much of the Russian content of Gibson's Pattern Recognition. A similar fate befell Gibson's collaboration with Japanese filmmaker Sogo Ishii in 1991, a film they planned on shooting in the Walled City of Kowloon until the city was demolished in 1993. Adaptations of Gibson's fiction have frequently been optioned and proposed, to limited success. Two of the author's short stories, both set in the Sprawl trilogy universe, have been loosely adapted as films: Johnny Mnemonic (1995) with screenplay by Gibson and starring Keanu Reeves, Dolph Lundgren and Takeshi Kitano, and New Rose Hotel (1998), starring Christopher Walken, Willem Dafoe, and Asia Argento. The former was the first time in history that a book was launched simultaneously as a film and a CD-ROM interactive video game. , Vincenzo Natali still hoped to bring Neuromancer to the screen, after some years in development hell. Count Zero was at one point being developed as The Zen Differential with director Michael Mann attached, and the third novel in the Sprawl trilogy, Mona Lisa Overdrive, has also been optioned and bought. An anime adaptation of Idoru was announced as in development in 2006, and Pattern Recognition was in the process of development by director Peter Weir, although according to Gibson the latter is no longer attached to the project. Announced at International Film Festival Rotterdam in 2015 is an adaptation of Gibson's short story Dogfight by BAFTA award-winning writer and director Simon Pummell. Written by Gibson and Michael Swanwick and first published in Omni in July 1985, the film is being developed by British producer Janine Marmot at Hot Property Films. Television is another arena in which Gibson has collaborated; with friend Tom Maddox, he co-wrote The X-Files episodes "Kill Switch" and "First Person Shooter", broadcast in 1998 and 2000. In 1998 he contributed the introduction to the spin-off publication Art of the X-Files. Gibson made a cameo appearance in the television miniseries Wild Palms at the behest of creator Bruce Wagner. Director Oliver Stone had borrowed heavily from Gibson's novels to make the series, and in the aftermath of its cancellation Gibson contributed an article, "Where The Holograms Go", to the Wild Palms Reader. He accepted another acting role in 2002, appearing alongside Douglas Coupland in the short film Mon Amour Mon Parapluie in which the pair played philosophers. Appearances in fiction aside, Gibson was the focus of a biographical documentary by Mark Neale in 2000 called No Maps for These Territories. The film follows Gibson over the course of a drive across North America discussing various aspects of his life, literary career and cultural interpretations. It features interviews with Jack Womack and Bruce Sterling, as well as recitations from Neuromancer by Bono and The Edge. Canadian animation studio Last Studio Standing acquired the rights to "Hinterlands" in 2016 and announced that they will be creating both a theatrical short film and a television series. The studio, which specializes in adult and science fiction based animation, has the theatrical short slated for a 2018 release. Amazon has developed a series based on Gibson's novel The Peripheral, filming for which wrapped on November 5, 2021. Exhibitions, poetry, and performance art Gibson has contributed text to be integrated into a number of performance art pieces. In October 1989, Gibson wrote text for such a collaboration with acclaimed sculptor and future Johnny Mnemonic director Robert Longo titled Dream Jumbo: Working the Absolutes, which was displayed in Royce Hall, University of California Los Angeles. Three years later, Gibson contributed original text to "Memory Palace", a performance show featuring the theater group La Fura dels Baus at Art Futura '92, Barcelona, which featured images by Karl Sims, Rebecca Allen, Mark Pellington with music by Peter Gabriel and others. It was at Art Futura '92 that Gibson met Charlie Athanas, who would later act as dramaturg and "cyberprops" designer on Steve Pickering and Charley Sherman's adaptation of "Burning Chrome" for the Chicago stage. Gibson's latest contribution was in 1997, a collaboration with critically acclaimed Vancouver-based contemporary dance company Holy Body Tattoo and Gibson's friend and future webmaster Christopher Halcrow. In 1990, Gibson contributed to "Visionary San Francisco", an exhibition at the San Francisco Museum of Modern Art shown from June 14 to August 26. He wrote a short story, "Skinner's Room", set in a decaying San Francisco in which the San Francisco–Oakland Bay Bridge was closed and taken over by the homeless – a setting Gibson then detailed in the Bridge trilogy. The story inspired a contribution to the exhibition by architects Ming Fung and Craig Hodgetts that envisioned a San Francisco in which the rich live in high-tech, solar-powered towers, above the decrepit city and its crumbling bridge. The architects exhibit featured Gibson on a monitor discussing the future and reading from "Skinner's Room". The New York Times hailed the exhibition as "one of the most ambitious, and admirable, efforts to address the realm of architecture and cities that any museum in the country has mounted in the last decade", despite calling Ming and Hodgetts's reaction to Gibson's contribution "a powerful, but sad and not a little cynical, work". A slightly different version of the short story was featured a year later in Omni. Cryptography A particularly well-received work by Gibson was Agrippa (a book of the dead) (1992), a 300-line semi-autobiographical electronic poem that was his contribution to a collaborative project with artist Dennis Ashbaugh and publisher Kevin Begos, Jr. Gibson's text focused on the ethereal nature of memories (the title refers to a photo album) and was originally published on a 3.5" floppy disk embedded in the back of an artist's book containing etchings by Ashbaugh (intended to fade from view once the book was opened and exposed to light — they never did, however). Gibson commented that Ashbaugh's design "eventually included a supposedly self-devouring floppy-disk intended to display the text only once, then eat itself." Contrary to numerous colorful reports, the diskettes were never actually "hacked"; instead the poem was manually transcribed from a surreptitious videotape of a public showing in Manhattan in December 1992, and released on the MindVox bulletin board the next day; this is the text that circulated widely on the Internet. Since its debut in 1992, the mystery of Agrippa remained hidden for 20 years. Although many had tried to hack the code and decrypt the program, the uncompiled source code was lost long ago. Alan Liu and his team at "The Agrippa Files" created an extensive website with tools and resources to crack the Agrippa Code. They collaborated with Matthew Kirschenbaum at the Maryland Institute for Technology in the Humanities and the Digital Forensics Lab, and Quinn DuPont, a PhD student of cryptography from the University of Toronto, in calling for the aid of cryptographers to figure out how the program works by creating "Cracking the Agrippa Code: The Challenge", which enlisted participants to solve | have been loosely adapted as films: Johnny Mnemonic (1995) with screenplay by Gibson and starring Keanu Reeves, Dolph Lundgren and Takeshi Kitano, and New Rose Hotel (1998), starring Christopher Walken, Willem Dafoe, and Asia Argento. The former was the first time in history that a book was launched simultaneously as a film and a CD-ROM interactive video game. , Vincenzo Natali still hoped to bring Neuromancer to the screen, after some years in development hell. Count Zero was at one point being developed as The Zen Differential with director Michael Mann attached, and the third novel in the Sprawl trilogy, Mona Lisa Overdrive, has also been optioned and bought. An anime adaptation of Idoru was announced as in development in 2006, and Pattern Recognition was in the process of development by director Peter Weir, although according to Gibson the latter is no longer attached to the project. Announced at International Film Festival Rotterdam in 2015 is an adaptation of Gibson's short story Dogfight by BAFTA award-winning writer and director Simon Pummell. Written by Gibson and Michael Swanwick and first published in Omni in July 1985, the film is being developed by British producer Janine Marmot at Hot Property Films. Television is another arena in which Gibson has collaborated; with friend Tom Maddox, he co-wrote The X-Files episodes "Kill Switch" and "First Person Shooter", broadcast in 1998 and 2000. In 1998 he contributed the introduction to the spin-off publication Art of the X-Files. Gibson made a cameo appearance in the television miniseries Wild Palms at the behest of creator Bruce Wagner. Director Oliver Stone had borrowed heavily from Gibson's novels to make the series, and in the aftermath of its cancellation Gibson contributed an article, "Where The Holograms Go", to the Wild Palms Reader. He accepted another acting role in 2002, appearing alongside Douglas Coupland in the short film Mon Amour Mon Parapluie in which the pair played philosophers. Appearances in fiction aside, Gibson was the focus of a biographical documentary by Mark Neale in 2000 called No Maps for These Territories. The film follows Gibson over the course of a drive across North America discussing various aspects of his life, literary career and cultural interpretations. It features interviews with Jack Womack and Bruce Sterling, as well as recitations from Neuromancer by Bono and The Edge. Canadian animation studio Last Studio Standing acquired the rights to "Hinterlands" in 2016 and announced that they will be creating both a theatrical short film and a television series. The studio, which specializes in adult and science fiction based animation, has the theatrical short slated for a 2018 release. Amazon has developed a series based on Gibson's novel The Peripheral, filming for which wrapped on November 5, 2021. Exhibitions, poetry, and performance art Gibson has contributed text to be integrated into a number of performance art pieces. In October 1989, Gibson wrote text for such a collaboration with acclaimed sculptor and future Johnny Mnemonic director Robert Longo titled Dream Jumbo: Working the Absolutes, which was displayed in Royce Hall, University of California Los Angeles. Three years later, Gibson contributed original text to "Memory Palace", a performance show featuring the theater group La Fura dels Baus at Art Futura '92, Barcelona, which featured images by Karl Sims, Rebecca Allen, Mark Pellington with music by Peter Gabriel and others. It was at Art Futura '92 that Gibson met Charlie Athanas, who would later act as dramaturg and "cyberprops" designer on Steve Pickering and Charley Sherman's adaptation of "Burning Chrome" for the Chicago stage. Gibson's latest contribution was in 1997, a collaboration with critically acclaimed Vancouver-based contemporary dance company Holy Body Tattoo and Gibson's friend and future webmaster Christopher Halcrow. In 1990, Gibson contributed to "Visionary San Francisco", an exhibition at the San Francisco Museum of Modern Art shown from June 14 to August 26. He wrote a short story, "Skinner's Room", set in a decaying San Francisco in which the San Francisco–Oakland Bay Bridge was closed and taken over by the homeless – a setting Gibson then detailed in the Bridge trilogy. The story inspired a contribution to the exhibition by architects Ming Fung and Craig Hodgetts that envisioned a San Francisco in which the rich live in high-tech, solar-powered towers, above the decrepit city and its crumbling bridge. The architects exhibit featured Gibson on a monitor discussing the future and reading from "Skinner's Room". The New York Times hailed the exhibition as "one of the most ambitious, and admirable, efforts to address the realm of architecture and cities that any museum in the country has mounted in the last decade", despite calling Ming and Hodgetts's reaction to Gibson's contribution "a powerful, but sad and not a little cynical, work". A slightly different version of the short story was featured a year later in Omni. Cryptography A particularly well-received work by Gibson was Agrippa (a book of the dead) (1992), a 300-line semi-autobiographical electronic poem that was his contribution to a collaborative project with artist Dennis Ashbaugh and publisher Kevin Begos, Jr. Gibson's text focused on the ethereal nature of memories (the title refers to a photo album) and was originally published on a 3.5" floppy disk embedded in the back of an artist's book containing etchings by Ashbaugh (intended to fade from view once the book was opened and exposed to light — they never did, however). Gibson commented that Ashbaugh's design "eventually included a supposedly self-devouring floppy-disk intended to display the text only once, then eat itself." Contrary to numerous colorful reports, the diskettes were never actually "hacked"; instead the poem was manually transcribed from a surreptitious videotape of a public showing in Manhattan in December 1992, and released on the MindVox bulletin board the next day; this is the text that circulated widely on the Internet. Since its debut in 1992, the mystery of Agrippa remained hidden for 20 years. Although many had tried to hack the code and decrypt the program, the uncompiled source code was lost long ago. Alan Liu and his team at "The Agrippa Files" created an extensive website with tools and resources to crack the Agrippa Code. They collaborated with Matthew Kirschenbaum at the Maryland Institute for Technology in the Humanities and the Digital Forensics Lab, and Quinn DuPont, a PhD student of cryptography from the University of Toronto, in calling for the aid of cryptographers to figure out how the program works by creating "Cracking the Agrippa Code: The Challenge", which enlisted participants to solve the intentional scrambling of the poem in exchange for prizes. The code was successfully cracked by Robert Xiao in late July 2012. Essays and short-form nonfiction Gibson is a sporadic contributor of non-fiction articles to newspapers and journals. He has occasionally contributed longer-form articles to Wired and of op-eds to The New York Times, and has written for The Observer, Addicted to Noise, New York Times Magazine, Rolling Stone, and Details Magazine. His first major piece of nonfiction, the article "Disneyland with the Death Penalty", concerning the city-state of Singapore, resulted in Wired being banned from the country and attracted a spirited critical response. He commenced writing a blog in January 2003, providing voyeuristic insights into his reaction to Pattern Recognition, but abated in September of the same year owing to concerns that it might negatively affect his creative process. Gibson recommenced blogging in October 2004, and during the process of writing Spook Country – and to a lesser extent Zero History – frequently posted short nonsequential excerpts from the novel to the blog. The blog was largely discontinued by July 2009, after the writer had undertaken prolific microblogging on Twitter under the nom de plume "GreatDismal". In 2012, Gibson released a collection of his non-fiction works entitled Distrust That Particular Flavor. Influence and recognition Gibson's prose has been analyzed by a number of scholars, including a dedicated 2011 book, William Gibson: A Literary Companion. Hailed by Steven Poole of The Guardian in 1999 as "probably the most important novelist of the past two decades" in terms of influence, Gibson first achieved critical recognition with his debut novel, Neuromancer. The novel won three major science fiction awards (the Nebula Award, the Philip K. Dick Award, and the Hugo Award), an unprecedented achievement described by the Mail & Guardian as "the sci-fi writer's version of winning the Goncourt, Booker and Pulitzer prizes in the same year". Neuromancer gained unprecedented critical and popular attention outside science fiction, as an "evocation of life in the late 1980s", although The Observer noted that "it took the New York Times 10 years" to mention the novel. Gibson's work has received international attention from an audience that was not limited to science fiction aficionados as, in the words of Laura Miller, "readers found startlingly prophetic reflections of contemporary life in [its] fantastic and often outright paranoid scenarios." It is often situated by critics within the context of postindustrialism as, according to academic David Brande, a construction of "a mirror of existing large-scale techno-social relations", and as a narrative version of postmodern consumer culture. It is praised by critics for its depictions of late capitalism and its "rewriting of subjectivity, human consciousness and behaviour made newly problematic by technology." Tatiani Rapatzikou, writing in The Literary Encyclopedia, identifies Gibson as "one of North America's most highly acclaimed science fiction writers". Cultural significance In his early short fiction, Gibson is credited by Rapatzikou in The Literary Encyclopedia with effectively "renovating" science fiction, a genre at that time considered widely "insignificant", influencing by means of the postmodern aesthetic of his writing the development of new perspectives in science fiction studies. In the words of filmmaker Marianne Trench, Gibson's visions "struck sparks in the real world" and "determined the way people thought and talked" to an extent unprecedented in science fiction literature. The publication of Neuromancer (1984) hit a cultural nerve, causing Larry McCaffery to credit Gibson with virtually launching the cyberpunk movement, as "the one major writer who is original and gifted to make the whole movement seem original and gifted." Aside from their central importance to cyberpunk and steampunk fiction, Gibson's fictional works have been hailed by space historian Dwayne A. Day as some of the best examples of space-based science fiction (or "solar sci-fi"), and "probably the only ones that rise above mere escapism to be truly thought-provoking". Gibson's early novels were, according to The Observer, "seized upon by the emerging slacker and hacker generation as a kind of road map". Through his novels, such terms as cyberspace, netsurfing, ICE, jacking in, and neural implants entered popular usage, as did concepts such as net consciousness, virtual interaction and "the matrix". In "Burning Chrome" (1982), he coined the term cyberspace, referring to the "mass consensual hallucination" of computer networks. Through its use in Neuromancer, the term gained such recognition that it became the de facto term for the World Wide Web during the 1990s. Artist Dike Blair has commented that Gibson's "terse descriptive phrases capture the moods which surround technologies, rather than their engineering." Gibson's work has influenced several popular musicians: references to his fiction appear in the music of Stuart Hamm, Billy Idol, Warren Zevon, Deltron 3030, Straylight Run (whose name is derived from a sequence in Neuromancer) and Sonic Youth. U2's Zooropa album was heavily influenced by Neuromancer, and the band at one point planned to scroll the text of Neuromancer above them on a concert tour, although this did not end up happening. Members of the band did, however, provide background music for the audiobook version of Neuromancer as well as appearing in No Maps for These Territories, a biographical documentary of Gibson. He returned the favour by writing an article about the band's Vertigo Tour for Wired in August 2005. The band Zeromancer take their name from Neuromancer. The film The Matrix (1999) drew inspiration for its title, characters and story elements from the Sprawl trilogy. The characters of Neo and Trinity in The Matrix are similar to Bobby Newmark (Count Zero) and Molly ("Johnny Mnemonic", Neuromancer). Like Turner, protagonist of Gibson's Count Zero, characters in The Matrix download instructions (to fly a helicopter and to "know kung fu", respectively) directly into their heads, and both Neuromancer and The Matrix feature artificial intelligences which strive to free themselves from human control. Critics have identified marked similarities between Neuromancer and the film's cinematography and tone. In spite of his initial reticence about seeing the film on its release, Gibson later described it as "arguably the ultimate 'cyberpunk' artifact." In 2008 he received honorary doctorates from Simon Fraser University and Coastal Carolina University. He was inducted by Science Fiction Hall of Fame that same year, presented by his close friend and collaborator Jack Womack. Visionary influence and prescience In Neuromancer, Gibson first used the term "matrix" to refer to the visualized Internet, two years after the nascent Internet was formed in the early 1980s from the computer networks of the 1970s. Gibson thereby imagined a worldwide communications network years before the origin of the World Wide Web, although related notions had previously been imagined by others, including science fiction writers. At the time he wrote "Burning Chrome", Gibson "had a hunch that [the Internet] would change things, in the same way that the ubiquity of the automobile changed things." In 1995, he identified the advent, evolution and growth of the Internet as "one of the most fascinating and unprecedented human achievements of the century", a new kind of civilization that is – in terms of significance — on a par with the birth of cities, and in 2000 predicted it would lead to the death of the nation state. Observers contend that Gibson's influence on the development of the Web reached beyond prediction; he is widely credited with creating an iconography for the information age, long before the embrace of the Internet by the mainstream. Gibson introduced, in Neuromancer, the notion of the "meatpuppet", and is credited with inventing—conceptually rather than participatorally—the phenomenon of virtual sex. His influence on early pioneers of desktop environment digital art has been acknowledged, and he holds an honorary doctorate from Parsons The New School for Design. Steven Poole claims that in writing the Sprawl trilogy Gibson laid the "conceptual foundations for the explosive real-world growth of virtual environments in video games and the Web". |
and is designed to store and manage the collection of web pages. The repository only stores HTML pages and these pages are stored as distinct files. A repository is similar to any other system that stores data, like a modern-day database. The only difference is that a repository does not need all the functionality offered by a database system. The repository stores the most recent version of the web page retrieved by the crawler. The large volume implies the crawler can only download a limited number of the Web pages within a given time, so it needs to prioritize its downloads. The high rate of change can imply the pages might have already been updated or even deleted. The number of possible URLs crawled being generated by server-side software has also made it difficult for web crawlers to avoid retrieving duplicate content. Endless combinations of HTTP GET (URL-based) parameters exist, of which only a small selection will actually return unique content. For example, a simple online photo gallery may offer three options to users, as specified through HTTP GET parameters in the URL. If there exist four ways to sort images, three choices of thumbnail size, two file formats, and an option to disable user-provided content, then the same set of content can be accessed with 48 different URLs, all of which may be linked on the site. This mathematical combination creates a problem for crawlers, as they must sort through endless combinations of relatively minor scripted changes in order to retrieve unique content. As Edwards et al. noted, "Given that the bandwidth for conducting crawls is neither infinite nor free, it is becoming essential to crawl the Web in not only a scalable, but efficient way, if some reasonable measure of quality or freshness is to be maintained." A crawler must carefully choose at each step which pages to visit next. Crawling policy The behavior of a Web crawler is the outcome of a combination of policies: a selection policy which states the pages to download, a re-visit policy which states when to check for changes to the pages, a politeness policy that states how to avoid overloading Web sites. a parallelization policy that states how to coordinate distributed web crawlers. Selection policy Given the current size of the Web, even large search engines cover only a portion of the publicly available part. A 2009 study showed even large-scale search engines index no more than 40-70% of the indexable Web; a previous study by Steve Lawrence and Lee Giles showed that no search engine indexed more than 16% of the Web in 1999. As a crawler always downloads just a fraction of the Web pages, it is highly desirable for the downloaded fraction to contain the most relevant pages and not just a random sample of the Web. This requires a metric of importance for prioritizing Web pages. The importance of a page is a function of its intrinsic quality, its popularity in terms of links or visits, and even of its URL (the latter is the case of vertical search engines restricted to a single top-level domain, or search engines restricted to a fixed Web site). Designing a good selection policy has an added difficulty: it must work with partial information, as the complete set of Web pages is not known during crawling. Junghoo Cho et al. made the first study on policies for crawling scheduling. Their data set was a 180,000-pages crawl from the stanford.edu domain, in which a crawling simulation was done with different strategies. The ordering metrics tested were breadth-first, backlink count and partial PageRank calculations. One of the conclusions was that if the crawler wants to download pages with high Pagerank early during the crawling process, then the partial Pagerank strategy is the better, followed by breadth-first and backlink-count. However, these results are for just a single domain. Cho also wrote his PhD dissertation at Stanford on web crawling. Najork and Wiener performed an actual crawl on 328 million pages, using breadth-first ordering. They found that a breadth-first crawl captures pages with high Pagerank early in the crawl (but they did not compare this strategy against other strategies). The explanation given by the authors for this result is that "the most important pages have many links to them from numerous hosts, and those links will be found early, regardless of on which host or page the crawl originates." Abiteboul designed a crawling strategy based on an algorithm called OPIC (On-line Page Importance Computation). In OPIC, each page is given an initial sum of "cash" that is distributed equally among the pages it points to. It is similar to a PageRank computation, but it is faster and is only done in one step. An OPIC-driven crawler downloads first the pages in the crawling frontier with higher amounts of "cash". Experiments were carried in a 100,000-pages synthetic graph with a power-law distribution of in-links. However, there was no comparison with other strategies nor experiments in the real Web. Boldi et al. used simulation on subsets of the Web of 40 million pages from the .it domain and 100 million pages from the WebBase crawl, testing breadth-first against depth-first, random ordering and an omniscient strategy. The comparison was based on how well PageRank computed on a partial crawl approximates the true PageRank value. Surprisingly, some visits that accumulate PageRank very quickly (most notably, breadth-first and the omniscient visit) provide very poor progressive approximations. Baeza-Yates et al. used simulation on two subsets of the Web of 3 million pages from the .gr and .cl domain, testing several crawling strategies. They showed that both the OPIC strategy and a strategy that uses the length of the per-site queues are better than breadth-first crawling, and that it is also very effective to use a previous crawl, when it is available, to guide the current one. Daneshpajouh et al. designed a community based algorithm for discovering good seeds. Their method crawls web pages with high PageRank from different communities in less iteration in comparison with crawl starting from random seeds. One can extract good seed from a previously-crawled-Web graph using this new method. Using these seeds, a new crawl can be very effective. Restricting followed links A crawler may only want to seek out HTML pages and avoid all other MIME types. In order to request only HTML resources, a crawler may make an HTTP HEAD request to determine a Web resource's MIME type before requesting the entire resource with a GET request. To avoid making numerous HEAD requests, a crawler may examine the URL and only request a resource if the URL ends with certain characters such as .html, .htm, .asp, .aspx, .php, .jsp, .jspx or a slash. This strategy may cause numerous HTML Web resources to be unintentionally skipped. Some crawlers may also avoid requesting any resources that have a "?" in them (are dynamically produced) in order to avoid spider traps that may cause the crawler to download an infinite number of URLs from a Web site. This strategy is unreliable if the site uses URL rewriting to simplify its URLs. URL normalization Crawlers usually perform some type of URL normalization in order to avoid crawling the same resource more than once. The term URL normalization, also called URL canonicalization, refers to the process of modifying and standardizing a URL in a consistent manner. There are several types of normalization that may be performed including conversion of URLs to lowercase, removal of "." and ".." segments, and adding trailing slashes to the non-empty path component. Path-ascending crawling Some crawlers intend to download/upload as many resources as possible from a particular web site. So path-ascending crawler was introduced that would ascend to every path in each URL that it intends to crawl. For example, when given a seed URL of http://llama.org/hamster/monkey/page.html, it will attempt to crawl /hamster/monkey/, /hamster/, and /. Cothey found that a path-ascending crawler was very effective in finding isolated resources, or resources for which no inbound link would have been found in regular crawling. Focused crawling The importance of a page for a crawler can also be expressed as a function of the similarity of a page to a given query. Web crawlers that attempt to download pages that are similar to each other are called focused crawler or topical crawlers. The concepts of topical and focused crawling were first introduced by Filippo Menczer and by Soumen Chakrabarti et al. The main problem in focused crawling is that in the context of a Web crawler, we would like to be able to predict the similarity of the text of a given page to the query before actually downloading the page. A possible predictor is the anchor text of links; this was the approach taken by Pinkerton in the first web crawler of the early days of the Web. Diligenti et al. propose using the complete content of the pages already visited to infer the similarity between the driving query and the pages that have not been visited yet. The performance of a focused crawling depends mostly on the richness of links in the specific topic being searched, and a focused crawling usually relies on a general Web search engine for providing starting points. Academic-focused crawler An example of the focused crawlers are academic crawlers, which crawls free-access academic related documents, such as the citeseerxbot, which is the crawler of CiteSeerX search engine. Other academic search engines are Google Scholar and Microsoft Academic Search etc. Because most academic papers are published in PDF formats, such kind of crawler is particularly interested in crawling PDF, PostScript files, Microsoft Word including their zipped formats. Because of this, general open source crawlers, such as Heritrix, must be customized to filter out other MIME types, or a middleware is used to extract these documents out and import them to the focused crawl database and repository. Identifying whether these documents are academic or not is challenging and can add a significant overhead to the crawling process, so this is performed as a post crawling process using machine learning or regular expression algorithms. These academic documents are usually obtained from home pages of faculties and students or from publication page of research institutes. Because academic documents takes only a small fraction in the entire web pages, a good seed selection are important in boosting the efficiencies of these web crawlers. Other academic crawlers may download plain text and HTML files, that contains metadata of academic papers, such as titles, papers, and abstracts. This increases the overall number of papers, but a significant fraction may not provide free PDF downloads. Semantic focused crawler Another type of focused crawlers is semantic focused crawler, which makes use of domain ontologies to represent topical maps and link Web pages with relevant ontological concepts for the selection and categorization purposes. In addition, ontologies can be automatically updated in the crawling process. Dong et al. introduced such an ontology-learning-based crawler using support vector machine to update the content of ontological concepts when crawling Web Pages. Re-visit policy The Web has a very dynamic nature, and crawling a fraction of the Web can take weeks or months. By the time a Web crawler has finished its crawl, many events could have happened, including creations, updates, and deletions. From the search engine's point of view, there is a cost associated with not detecting an event, and thus having an outdated copy of a resource. The most-used cost functions are freshness and age. Freshness: This is a binary measure that indicates whether the local copy is accurate or not. The freshness of a page p in the repository at time t is defined as: Age: This is a measure that indicates how outdated the local copy is. The age of a page p in the repository, at time t is defined as: Coffman et al. worked with a definition of the objective of a Web crawler that is equivalent to freshness, but use a different wording: they propose that a crawler must minimize the fraction of time pages remain outdated. They also noted that the problem of Web crawling can be modeled as a multiple-queue, single-server polling system, on which the Web crawler is the server and the Web sites are the queues. Page modifications are the arrival of the customers, and switch-over times are the interval between page accesses to a single Web site. Under this model, mean waiting time for a customer in the polling system is equivalent to the average age for the Web crawler. The objective of the crawler is to keep the average freshness of pages in its collection as high as possible, or to keep the average age of pages as low | Garcia-Molina show that the exponential distribution is a good fit for describing page changes, while Ipeirotis et al. show how to use statistical tools to discover parameters that affect this distribution. Note that the re-visiting policies considered here regard all pages as homogeneous in terms of quality ("all pages on the Web are worth the same"), something that is not a realistic scenario, so further information about the Web page quality should be included to achieve a better crawling policy. Politeness policy Crawlers can retrieve data much quicker and in greater depth than human searchers, so they can have a crippling impact on the performance of a site. If a single crawler is performing multiple requests per second and/or downloading large files, a server can have a hard time keeping up with requests from multiple crawlers. As noted by Koster, the use of Web crawlers is useful for a number of tasks, but comes with a price for the general community. The costs of using Web crawlers include: network resources, as crawlers require considerable bandwidth and operate with a high degree of parallelism during a long period of time; server overload, especially if the frequency of accesses to a given server is too high; poorly written crawlers, which can crash servers or routers, or which download pages they cannot handle; and personal crawlers that, if deployed by too many users, can disrupt networks and Web servers. A partial solution to these problems is the robots exclusion protocol, also known as the robots.txt protocol that is a standard for administrators to indicate which parts of their Web servers should not be accessed by crawlers. This standard does not include a suggestion for the interval of visits to the same server, even though this interval is the most effective way of avoiding server overload. Recently commercial search engines like Google, Ask Jeeves, MSN and Yahoo! Search are able to use an extra "Crawl-delay:" parameter in the robots.txt file to indicate the number of seconds to delay between requests. The first proposed interval between successive pageloads was 60 seconds. However, if pages were downloaded at this rate from a website with more than 100,000 pages over a perfect connection with zero latency and infinite bandwidth, it would take more than 2 months to download only that entire Web site; also, only a fraction of the resources from that Web server would be used. This does not seem acceptable. Cho uses 10 seconds as an interval for accesses, and the WIRE crawler uses 15 seconds as the default. The MercatorWeb crawler follows an adaptive politeness policy: if it took t seconds to download a document from a given server, the crawler waits for 10t seconds before downloading the next page. Dill et al. use 1 second. For those using Web crawlers for research purposes, a more detailed cost-benefit analysis is needed and ethical considerations should be taken into account when deciding where to crawl and how fast to crawl. Anecdotal evidence from access logs shows that access intervals from known crawlers vary between 20 seconds and 3–4 minutes. It is worth noticing that even when being very polite, and taking all the safeguards to avoid overloading Web servers, some complaints from Web server administrators are received. Brin and Page note that: "... running a crawler which connects to more than half a million servers (...) generates a fair amount of e-mail and phone calls. Because of the vast number of people coming on line, there are always those who do not know what a crawler is, because this is the first one they have seen." Parallelization policy A parallel crawler is a crawler that runs multiple processes in parallel. The goal is to maximize the download rate while minimizing the overhead from parallelization and to avoid repeated downloads of the same page. To avoid downloading the same page more than once, the crawling system requires a policy for assigning the new URLs discovered during the crawling process, as the same URL can be found by two different crawling processes. Architectures A crawler must not only have a good crawling strategy, as noted in the previous sections, but it should also have a highly optimized architecture. Shkapenyuk and Suel noted that: Web crawlers are a central part of search engines, and details on their algorithms and architecture are kept as business secrets. When crawler designs are published, there is often an important lack of detail that prevents others from reproducing the work. There are also emerging concerns about "search engine spamming", which prevent major search engines from publishing their ranking algorithms. Security While most of the website owners are keen to have their pages indexed as broadly as possible to have strong presence in search engines, web crawling can also have unintended consequences and lead to a compromise or data breach if a search engine indexes resources that shouldn't be publicly available, or pages revealing potentially vulnerable versions of software. Apart from standard web application security recommendations website owners can reduce their exposure to opportunistic hacking by only allowing search engines to index the public parts of their websites (with robots.txt) and explicitly blocking them from indexing transactional parts (login pages, private pages, etc.). Crawler identification Web crawlers typically identify themselves to a Web server by using the User-agent field of an HTTP request. Web site administrators typically examine their Web servers' log and use the user agent field to determine which crawlers have visited the web server and how often. The user agent field may include a URL where the Web site administrator may find out more information about the crawler. Examining Web server log is tedious task, and therefore some administrators use tools to identify, track and verify Web crawlers. Spambots and other malicious Web crawlers are unlikely to place identifying information in the user agent field, or they may mask their identity as a browser or other well-known crawler. Web site administrators prefer Web crawlers to identify themselves so that they can contact the owner if needed. In some cases, crawlers may be accidentally trapped in a crawler trap or they may be overloading a Web server with requests, and the owner needs to stop the crawler. Identification is also useful for administrators that are interested in knowing when they may expect their Web pages to be indexed by a particular search engine. Crawling the deep web A vast amount of web pages lie in the deep or invisible web.<ref>Shestakov, Denis (2008). Search Interfaces on the Web: Querying and Characterizing . TUCS Doctoral Dissertations 104, University of Turku</ref> These pages are typically only accessible by submitting queries to a database, and regular crawlers are unable to find these pages if there are no links that point to them. Google's Sitemaps protocol and mod oai are intended to allow discovery of these deep-Web resources. Deep web crawling also multiplies the number of web links to be crawled. Some crawlers only take some of the URLs in <a href="URL"> form. In some cases, such as the Googlebot, Web crawling is done on all text contained inside the hypertext content, tags, or text. Strategic approaches may be taken to target deep Web content. With a technique called screen scraping, specialized software may be customized to automatically and repeatedly query a given Web form with the intention of aggregating the resulting data. Such software can be used to span multiple Web forms across multiple Websites. Data extracted from the results of one Web form submission can be taken and applied as input to another Web form thus establishing continuity across the Deep Web in a way not possible with traditional web crawlers. Pages built on AJAX are among those causing problems to web crawlers. Google has proposed a format of AJAX calls that their bot can recognize and index. Web crawler bias A recent study based on a large scale analysis of robots.txt files showed that certain web crawlers were preferred over others, with Googlebot being the most preferred web crawler. Visual vs programmatic crawlers There are a number of "visual web scraper/crawler" products available on the web which will crawl pages and structure data into columns and rows based on the users requirements. One of the main difference between a classic and a visual crawler is the level of programming ability required to set up a crawler. The latest generation of "visual scrapers" remove the majority of the programming skill needed to be able to program and start a crawl to scrape web data. The visual scraping/crawling method relies on the user "teaching" a piece of crawler technology, which then follows patterns in semi-structured data sources. The dominant method for teaching a visual crawler is by highlighting data in a browser and training columns and rows. |
Reviewer Jeffrey Overstreet concurred that "Wenders had left his church upbringing behind", and the cinematic angels are "inventions he could craft to his specifications", with little regard for biblical beliefs. Overstreet characterized them as "whimsical metaphors, characters who have lost the joy of sensual human experience". Nevertheless, Professor Craig Detweiler believed the sky-level view of Berlin and the idea of guardian angels evoke God. Authors Martin Brady and Joanne Leal added that even if Damiel is tempted by seemingly profane things, the atmosphere of Berlin means the human Damiel is still in "a place of poetry, myth and religion". In one scene, Damiel and Cassiel meet to share stories in their observations, with their function revealed to be one of preserving the past. Professor Alexander Graf wrote this connects them to cinema, with Wenders noting Wings of Desire itself depicts or shows places in Berlin that have since been destroyed or altered, including a bridge, Potsdamer Platz and the Wall. The closing titles state: "Dedicated to all the former angels, but especially to Yasujiro, François and Andrej" (all references to Wenders' fellow filmmakers Yasujirō Ozu, François Truffaut, and Andrei Tarkovsky). These directors had all died before the release of the film, with Kolker and Beickene arguing they were an influence on Wenders: Ozu had taught Wenders order; Truffaut the observation of people, especially youth; and Tarkovsky, a less clear influence on Wenders, consideration of morality and beauty. Identifying directors as angels could tie in with the film characters' function to record. Academic Laura Marcus believed a connection between cinema and print is also established in the angels' affinity for libraries, as Wenders portrays the library as a tool of "memory, and public space", making it a miraculous place. The depiction of Damiel, by using a pen or an immaterial pen, to write "Song of Childhood", is also tribute to print and literacy, introducing, or as Marcus hypothesized, "perhaps even releasing, the visual images that follow". Kolker and Beickene interpreted the use of poetry as part of screenwriter Peter Handke's efforts to elevate language above common rhetoric to the spiritual. Reviewing the poetry, Detweiler remarked that Handke's "Song of Childhood" bears parallels to St. Paul's 1 Corinthians 13 ("When I was a child, I spoke as a child, I understood as a child, I thought as a child ... "). Professor Terrie Waddell added that the poem established "centrality of childhood" as a key theme, noting that the children can see angels and accept them without question, tying them in with the phenomenon of imaginary friends. The film has also been read as a call for German reunification, which followed in 1990. Essayists David Caldwell and Paul Rea saw it as presenting a series of two opposites: East and West, angel and human, male and female. Wenders' angels are not bound by the Wall, reflecting East and West Berlin's shared space, though East Berlin remains primarily black and white. Scholar Martin Jesinghausen believed the film presumed reunification would never happen, and contemplated its statements on divides, including territorial and "higher" divides, "physicality and spirituality, art and reality, black and white and colour". Researcher Helen Stoddart, in discussing the depiction of the circus and trapeze artist Marion in particular, submitted that Marion is the classic circus character, creating an image of danger and then potential. Stoddart argued that Homer and Marion may find the future in what remains of history found in Berlin. Stoddart considered the circular nature of the story, including a parallel between the angel who cannot see the physical (Damiel), and the faux angel (Marion) who can "see the faces". Marion also observes that all directions lead to the Wall, and the final French dialogue "We have embarked" while the screen states "To be continued", suggests "final movement to a new beginning". Writing in the journal Film and Philosophy, Nathan Wolfson cites Roland Barthes's work—especially S/Z—as a model to argue that "This 'angelic' portion of Wings of Desire deliberately invokes in the viewer a set of specific responses. These responses provide the foundation for the transformation that Damiel and Marion participate in. The film prepares the viewer for an analogous transformation, and invites the viewer to participate in this process, through an exploration of authorship and agency." Style British Film Institute writer Leigh Singer assessed the cinematic style as "bold" and artistic in its use of colour, "existential voiceover" and "languorous pacing". Singer also commented on the use of symbolism and the combinations of diverse pieces of culture, from the poetry of Rainer Maria Rilke to the music of Nick Cave. In Singer's estimation, the cinematography is able to communicate the angels' "invisible intimacy and empathy". Professor Terrie Waddell described the "dialogue and monologue" as "lyrical", in the mold of Rilke's poetry. Scholar Alexander Graf considered how these voice-overs and verbal exchanges are frequently combined with background radio and television sounds, and concluded the "image and soundtrack" that comprise the style convey a point of "blindness": "men and women are plagued by their everyday problems; children are, like the angels, in their own dreamy world". Professor Russell J.A. Kilbourn judged the style as opposed to realism and "emphatically German" in looking at particular situations of human life. Authors Martin Brady and Joanne Leal remarked the storytelling shies away from an entirely narrative format, and the film's writing style is embodied in the Homer character as "the angel of story-telling". Perception of people becomes key to the storytelling, with Brady and Leal quoting Handke's vision for a new narrative: "You have only interpreted and changed the world; what matters is to describe it". Psychologist Ryan Niemiec wrote that, by focusing on "the beauty of each moment", Wings of Desire conveys "awe and wonder". As Singer observed, Wings of Desire serves as a "Symphony of a city" in capturing a "wintry, pre-unification Berlin". Kilbourn said that the place highlighted in the German title Der Himmel über Berlin, like the desire referenced in the English title, is of great importance, and that the "frequent angel's-eye-view shots of East and West Berlin" allows for "quasi-objective voyeuristic surveillance". Observing the angels' trench-coat fashion, sociologist Andrew Greeley wrote it fit the "wet, blustery, cold northern Germany" setting. Looking at the coats and ponytails, Dr. Detweiler found the visualization of the angels "so cool and stylish". Music is used in differing ways throughout the story. Musicologist Annette Davison argued Knieper's score in angel scenes is artistic, with elements of Eastern European and Orthodox Christian music, and Petitgand's music displays a "slippery" harmony frequently heard in circus entertainment. When Marion leaves the Circus Alekan, there is an increase in rock music, particularly by Cave and Crime & the City Solution. Davison submitted this symbolizes "utopian promise of the sensual mortal world", and that lyrics echo the plot: Cave's "The Carny" suggests a disappearing carnival worker as the Circus Alekan closes, and "From Her to Eternity" suggests a desire for a woman's love. Professor Adrian Danks wrote that Cave's rock music symbolized "the physical, worldly reality of Berlin", with "The Carny" adding a feel of sorrow in the background, while Marion gives "breathy accompaniment". Release The film debuted at the Cannes Film Festival on 17 May 1987. Der Himmel über Berlin subsequently opened in West Germany late in October 1987. With Orion Classics as its U.S. distributor, it opened in New York City as Wings of Desire on 29 April 1988 with a PG-13 rating. Sander said that it had a release in Japan, and that while angels do not appear in Japanese mythology, Tokyo audiences would approach him after and share their impressions about the characters. After a videotape printing in Germany in 1988, Kinowelt released a DVD in Germany and Region 2 in 2005. In 2009, The Criterion Collection released the film in Region 1 on DVD and Blu-ray. It later screened at the 65th Berlin International Film Festival in February 2015, to mark Wenders' Honorary Golden Bear. The Wim Wenders Foundation produced a digital 4K restoration using the original black-and-white and colour film stock. This new version of the film premiered on 16 February 2018 during the 68th Berlin International Film Festival at Kino International, as part of the "Berlinale Classics" programme. Reception Box office Der Himmel über Berlin had 922,718 admissions in Germany. Under the title Les Ailes du désir, it had a further 1,079,432 admissions in France. The film finished its run in North America on 11 May 1989, having grossed $3.2 million, or possibly nearly $4 million, a beneficial investment for Orion. Critic James Monaco assessed the financial performance as above that of typical art films. In 2000, Variety calculated that it was 48th in the top 50 highest-grossing foreign language films ever released in the U.S., and one of only three in German, along with Das Boot and Run Lola Run. Critical reception Wings of Desire received "Two Thumbs Up" from Gene Siskel and Roger Ebert on Siskel & Ebert & The Movies, where Siskel credited Wenders for a story that "praises life as it is lived yet making sense of life's confusions". In New York, David Denby hailed it as "extraordinary", and possibly "the ultimate German movie". Desson Howe cited it for "a soaring vision that appeals to the senses and the spirit." Janet Maslin, writing for The New York Times, called it "enchanting" in its concept, but "damagingly overloaded" in execution. In Variety, David Stratton embraced the visuals, the performances and Knieper's score, adding the film also showcased Wenders' taste for rock music. The Washington Posts Rita Kempley credited Wenders and Handke for crafting a "whimsical realm of myth and philosophical pretense, dense with imagery and sweetened by Ganz's performance". Dissenting, Pauline Kael remarked, "It's enough to make moviegoers feel impotent". According to online film resource They Shoot Pictures, Don't They?, Wings of Desire is the most acclaimed film of 1987. By 1990, Wings of Desire was placed in the top 10 best films of the 1980s by critics David Denby (first), the Los Angeles Timess Sheila Benson (fourth), The Orange County Registers Jim Emerson (fifth) and Richard Schickel and Richard Corliss (tenth). Premiere voted it the second greatest film of the 1980s, after Raging Bull. James Monaco awarded it four and a half stars in his 1992 Movie Guide, praising it as "A rich, mystical near-masterpiece". In 1998, Ebert added it to his Great Movies list, championing it for "a mood of reverie, elegy and meditation". Empire critic Ian Nathan gave it five stars in his 2006 review, hailing it for its poetry, themes of loneliness, and Ganz's acting style. In 2004, The New York Times included the film on its list of "the Best 1,000 Movies Ever Made". On reflecting on Solveig Dommartin's death in 2007, Der Spiegel recalled the film as a poetic masterpiece. Reviewing the Criterion DVD in 2009, Time Out critic Joshua Rothkopf called it an introduction to the art film, but also a product of its time, mentioning the songs. John Simon of the National Review had a differing opinion. He described Wings of Desire as both "obnoxious" and as a "130 minute mess". It was later ranked 64th in Empire magazine's "The 100 Best Films Of World Cinema" in 2010. In 2011, The Guardian placed it in the 10 best films ever set in Berlin. The next year, it received 10 votes in the 2012 Sight & Sound polls of the greatest films ever made. Les Inrockuptibless 2014 review declared it a great film, timeless, and poetic. That year, French critics at aVoir-aLire also praised its poetry, and said Berlin becomes one of the characters, crediting Alekan, Handke, Cave and Knieper for important contributions. German journalist Michael Sontheimer recommended seeing it to understand how radically Berlin has been altered since the 1980s, particularly looking at the somber images when the human Damiel walks through Berlin. In his 2015 Movie Guide, Leonard Maltin awarded it three and a half stars, describing it as "Haunting" and "lyrical". Jonathan Rosenbaum declared the bulk of the film before Damiel becomes human as "one of Wenders's most stunning achievements". In 2017, Le Monde rated it four stars out of five, citing the aesthetics of its black-and-white photography, poetry and contemplation of history. The German news publication Der Tagesspiegel recounted the film's memorable imagery in 2016, listing Damiel as an angel and the library scenes. On the 30th anniversary of the Cannes screening, Jessica Ritchey posted on Rogerebert.com that she found it odd to be an atheist and love the film, expressing admiration for the black-and-white photography and the overall message that when the world seems terrible, desire is powerful. The review aggregator Rotten Tomatoes records that 98% of its cited critics gave the film a positive review, based on 56 reviews (with an average score of 8.7/10). The film ranked 34th in BBC's 2018 list of The 100 greatest foreign language films voted by 209 critics from 43 countries around the world. Accolades The film competed for the Palme d'Or and won for Best Director at the 1987 Cannes Film Festival. In 1988, it won the prestigious Grand Prix of the Belgian Film Critics Association. It was submitted by West Germany for consideration for the Academy Award for Best Foreign Language Film, a bid supported by its distribution company. It was not nominated; the academy seldom recognized West German cinema. Legacy In 1993, Wenders made a sequel, Faraway, So Close!, which he found desirable to explore Berlin post-reunification, more so than for the sake of a sequel. In 1998, a U.S. remake directed by Brad Silberling called City of Angels was released. The setting was moved to Los Angeles and Meg Ryan and Nicolas Cage | the news that her group, the Circus Alekan, will be closing down. Depressed, she dances alone to the music of Crime & the City Solution, and drifts through the city. Meanwhile, actor Peter Falk arrives in West Berlin to make a film about the city's Nazi past. Falk was once an angel, who, having grown tired of always observing and never experiencing, renounced his immortality to become a participant in the world. Also growing weary of infinity, Damiel's longing is for the genuineness and limits of human existence. He meets Marion in a dream, and is surprised when Falk senses his presence and tells him about the pleasures of human life. Damiel is finally persuaded to shed his immortality. He experiences life for the first time: he bleeds, sees colours, tastes food and drinks coffee. Meanwhile, Cassiel taps into the mind of a young man just about to commit suicide by jumping off a building. Cassiel tries to save the young man but is unable to do so, and is left tormented by the experience. Sensing Cassiel's presence, Falk reaches out to him as he had Damiel, but Cassiel is unwilling to follow their example. Eventually, Damiel meets the trapeze artist Marion at a bar during a concert by Nick Cave and the Bad Seeds, and she greets him and speaks about finally finding a love that is serious and can make her feel complete. The next day, Damiel considers how his time with Marion taught him to feel amazed, and how he has gained knowledge no angel is capable of achieving. Production Development After living and working in the United States for eight years, director Wim Wenders returned to his native West Germany and wished to reconnect to it with a film about his favourite part of it, West Berlin. Planning to make Until the End of the World in 1985, he realised the project would not be ready for two years, and wishing to return to photography as soon as possible, he considered another project. Rainer Maria Rilke's poetry partially inspired the story. Wenders claimed angels seemed to dwell in Rilke's poetry, and the director had also jotted "angels" in his notes one day, and noted angel-themed artwork in cemeteries and around Berlin. In his treatment, Wenders also considered a backstory in which God exiled his angels to Berlin as punishment for defending humans after 1945, when God had decided to forsake them. Wenders employed Peter Handke, who wrote much of the dialogue, the poetic narrations, and the film's recurring poem "Song of Childhood". Wenders found the names Damiel and Cassiel in an encyclopedia about angels, and also had photographs of Solveig Dommartin, Bruno Ganz and Otto Sander that served as muses. The idea that angels could read minds led to Wenders considering personal dialogue no one would say aloud. Wenders did not view the angel protagonist as representative of himself, instead deciding the angel could be an embodiment of film, and that the purpose of film could be to help people by opening their eyes to possibilities. Handke did not feel able to write a single coherent story, but promised to regularly send notes on ideas during production. Screenwriter Richard Reitinger also assisted Wenders in scripting scenes incorporating Handke's contributions. Given the nature of this arrangement, Wenders would hold daily meetings with his crew, frequently at late hours, to plan the logistics for the following day. French producer Anatole Dauman did not see a large budget as necessary, and the project was funded with 5 million DM. Casting Wenders believed it would be important for the actors playing the two main angel characters to be familiar and friendly with each other. Ganz and Sander had performed in some of the same stage productions for 20 years. Sander and Ganz also recommended Curt Bois to Wenders and asked Bois to perform. Bois' performance as Homer marked his final feature film in an 80-year career, beginning as a child actor. Peter Falk's role was not planned until photography had already begun, with Wenders planning an artist or political official to have an analogous role until assistant Claire Denis suggested the Columbo star would be familiar to everyone. Falk described the part as "the craziest thing that I've ever been offered", but quickly agreed. He was accustomed to the improvisation the newly created role required, and when Wenders and Falk met, they conceived ideas of the character sketching and searching for a hat. Nick Cave and his band were based in West Berlin, with Wenders calling him "a real Berlin hero" and deciding "It was inconceivable for me to make a film in Berlin without showing one of his concerts". Filming The film was shot by Henri Alekan, whose cinematography represents the angels' point of view in monochrome, as they cannot see colours, and switches to colour to show the human point of view. During filming, Alekan used a very old and fragile silk stocking that had belonged to his grandmother as a filter for the monochromatic sequences, adding a touch of sepia to the black and white. Wenders felt it was natural that angels without experience of the physical world would not see colour, and also thought black-and-white cinematography by Alekan would provide a novel view of Berlin. A challenge in the cinematography was posed by using the camera for the perception of angels, as angels are not restrained in how far they can observe, in any dimension. The story's Circus Alekan is named in the cinematographer's honour. Filming took place at actual locations in West Berlin, such as Hans Scharoun's Berlin State Library, though the Wall was recreated in studio, due to shooting the true Wall being outlawed. Some pieces of the recreation were made from inexpensive wood, with one being destroyed by rain during production. With little idea of how to portray the angels and no costume design, Wenders said the filmmakers consulted artwork, experimented, and found the idea of armor during production, and told U.S. filmmaker Brad Silberling they did not decide on overcoats until later. The hairstyle was loosely inspired by a photograph of a Japanese warrior. Although the circus scenes required extensive and risky acrobatics, Dommartin was able to learn the trapeze and rope moves in a mere eight weeks, and did all the work herself, without a stunt double. During production, the filmmakers called German police after Falk went missing. Falk had been spending hours exploring West Berlin and was discovered in a café. Post-production Peter Handke arrived in West Berlin during the editing process, led by Peter Przygodda. Handke believed it bordered on a silent film, aside from some music, and lacked much of the notes he had sent to Wenders during filming. Handke thus proposed adding his writings via voice-over. After Falk left Berlin, he recorded much of his voice-over in a sound studio in Los Angeles. Much of this was improvised, though Wenders still supervised by telephone. With the filming performed in lengthy takes, and the camera used as "the eye of the angel", much of the movement was conveyed in the camerawork rather than in editing effects. There was five hours of footage to edit down to the final cut. A pie fight between the stars was filmed for the final scene, but later edited out. Composer Jürgen Knieper assumed harps and violins would suffice for a score for a film about angels, until he saw a cut of the film. Seeing the angels were discontented, he wrote a different score employing a choir, voices and whistling. Laurent Petitgand contributed the circus music, an ensemble work performed with accordions, saxophones and keyboards. Themes and interpretations The concept of angels, spirits or ghosts who help humans on Earth had been common in cinema, from Here Comes Mr. Jordan (1941) to the 1946 works It's a Wonderful Life and A Matter of Life and Death. Many earlier U.S. and U.K. films demonstrate high amounts of reverence, while others allow reasonable amounts of fun. Powell and Pressburger's A Matter of Life and Death presents an early example of spirits being jealous of the lives of humans. The shift from monochrome to colour, to distinguish the angels' reality from that of the mortals, was also used in Powell and Pressburger's film. While Wings of Desire does not portray Berliners as living in a utopia, academic Roger Cook wrote that the fact that people have pleasure "gives, as the English title suggests, wings to desire". God is not mentioned in the film, and is only referred to in the sequel Faraway, So Close! when the angels state a purpose to connect humans with "Him". Scholars Robert Phillip Kolker and Peter Beickene attributed the apparent lack of God to New Age beliefs, |
in 1990 when he was a faculty member at Virginia Tech, and was used to describe the Roanoke/Blacksburg, Virginia region and the potential of research to create spin-out companies. In 1990 he and his students founded TSR Technologies, a company that made software-defined cellular and paging intercept and drive test equipment that was sold to Allen Telecom in 1993, and in 1995 Wireless Valley Communications, a company that pioneered the creation of computer-aided wireless network prediction and management software that was sold to Motorola in late 2005. This term was later used as nickname to describe several regional clusters of companies in the information technology sector, in analogy to California's Silicon Valley: One such | One such cluster is located in northern Stockholm, Sweden. This also included a number of companies that saw themselves as belonging to the new information based economy. Ericsson, the telecommunications supplier, has one of its main design centers in the Stockholm suburb of Kista. Finland also has a high-tech area in Espoo, sometimes called "Wireless Valley", based on Nokia and Nokia Siemens Networks. There is a secondary hub located in Oulu |
for the film originated on a drive from Stockholm to Dalarna during which he stopped in Uppsala, his hometown. Driving by his grandmother's house, he suddenly imagined how it would be if he could open the door and inside find everything just as it was during his childhood. "So it struck me — what if you could make a film about this; that you just walk up in a realistic way and open a door, and then you walk into your childhood, and then you open another door and come back to reality, and then you make a turn around a street corner and arrive in some other period of your existence, and everything goes on, lives. That was actually the idea behind Wild Strawberries". Later, he would revise the story of the film's genesis. In Images: My Life in Film, he comments on his own earlier statement: "That's a lie. The truth is that I am forever living in my childhood." Development Bergman wrote the screenplay of Wild Strawberries in Stockholm's Karolinska Hospital (the workplace of Isak Borg) in the late spring of 1957; he'd recently been given permission to proceed by producer Carl Anders Dymling on the basis of a short synopsis. He was in the hospital for two months, being treated for recurrent gastric problems and general stress. Bergman's doctor at Karolinska was his good friend Sture Helander who invited him to attend his lectures on psychosomatics. Helander was married to Gunnel Lindblom who was to play Isak's sister Charlotta in the film. Bergman was at a high point of his professional career after a triumphant season at the Malmö City Theatre (where he had been artistic director since 1952), in addition to the success of both Smiles of a Summer Night (1955) and The Seventh Seal (1957). His private life, however, was in disarray. His third marriage was on the rocks; his affair with Bibi Andersson, which had begun in 1954, was coming to an end; and his relationship with his parents was, after an attempted reconciliation with his mother, at a desperately low ebb. Casting and pre-production progressed rapidly. The completed screenplay is dated May 31. Shooting took place between July 2, 1957 and August 27, 1957. The scenes at the summer house were filmed in Saltsjöbaden, a fashionable resort in the Stockholm archipelago. Part of the nightmare sequence was shot with predawn summer light in Gamla stan, the old part of central Stockholm. Most of the movie was made at SF's studio and on its back lot at Råsunda in northern Stockholm. Casting The director's immediate choice for the leading role of the old professor was Victor Sjöström, Bergman's silent film idol and early counselor at Svensk Filmindustri, whom he had directed in To Joy eight years earlier. "Victor," Bergman remarked, "was feeling wretched and didn’t want to [do it];... he must have been seventy eight. He was misanthropic and tired and felt old. I had to use all my powers of persuasion to get him to play the part." In Bergman on Bergman, he has stated that he only thought of Sjöström when the screenplay was complete, and that he asked Dymling to contact the famous actor and film director. Yet in Images: My Life in Film, he claims, "It is probably worth noting that I never for a moment thought of Sjöström when I was writing the screenplay. The suggestion came from the film's producer, Carl Anders Dymling. As I recall, I thought long and hard before I agreed to let him have the part." During the shooting, the health of the 78-year-old Sjöström gave cause for concern. Dymling had persuaded him to take on the role with the words: "All you have to do is lie under a tree, eat wild strawberries and think about your past, so it's nothing too arduous." This was inaccurate and the burden of the film was completely on Sjöström who is in all but one scene of the film. Initially, Sjöström had problems with his lines which made him frustrated and angry. He would go off into a corner and beat his head against the wall in frustration, even to the point of drawing blood and producing bruises. He sometimes quibbled over details in the script. To unburden his revered mentor, Bergman made a pact with Ingrid Thulin that if anything went wrong during a scene, she would take the blame on herself. Things improved when they changed filming times so that Sjöström could get home in time for his customary late afternoon whisky at 5:00. Sjöström got along particularly well with Bibi Andersson. As usual, Bergman chose his collaborators from a team of actors and technicians with whom he had worked before in the cinema and the theater. As Sara, Bibi Andersson plays both Borg's childhood sweetheart who left him to marry his brother and a charming, energetic young woman who reminds him of that lost love. Andersson, then twenty one years old, was a member in Bergman's famed repertory company. He gave her a small part in his films Smiles of a Summer Night (1955) and as the jester's wife in The Seventh Seal (1957). She would continue to work for him in many more films, most notably in Persona (1966). Ingrid Thulin plays Marianne, the sad, gentle and warm daughter-in-law of Borg. She appeared in other Bergman films as the mistress in Winter Light (1963) and as one of three sisters in Cries and Whispers (1972). Bergman's first wife, Else Fisher, made a brief uncredited appearance as Borg's mother in the final flashback; their daughter, Lena, played one of Isak's twin sisters. Reception Wild Strawberries received strongly positive reviews in Sweden; its acting, script, and photography were common areas of praise. It was among the films that cemented Bergman's international reputation, but American critics were not unanimous in their praise. A number of reviewers found its story puzzling. In The New York Times, Bosley Crowther lauded the performances of Sjöström and Andersson but wrote, "This one is so thoroughly mystifying that we wonder whether Mr. Bergman himself knew what he was trying to say." The film ranked 7th on Cahiers du Cinéma's Top 10 Films | throughout his journey. Next Isak and Marianne pick up an embittered middle-aged couple, the Almans, whose vehicle has nearly collided with theirs. The pair exchanges such terrible vitriol and venom that Marianne stops the car and demands that they leave. The couple reminds Isak of his own unhappy marriage. In a dream sequence, Isak is asked by Sten Alman, now the examiner, to read "foreign" letters on the blackboard. He cannot. So, Alman reads it for him: "A doctor's first duty is to ask forgiveness," from which he concludes, "You are guilty of guilt." He is confronted by his loneliness and aloofness, recognizing these traits in both his elderly mother (whom they stop to visit) and in his middle-aged physician son, and he gradually begins to accept himself, his past, his present, and his approaching death. Borg finally arrives at his destination and is promoted to Doctor Jubilaris, but this proves to be an empty ritual. That night, he bids a loving goodbye to his young friends, to whom the once bitter old man whispers in response to a playful declaration of the young girl's love, "I'll remember." As he goes to his bed in his son's home, he is overcome by a sense of peace, and dreams of a family picnic by a lake. Closure and affirmation of life have finally come, and Borg's face radiates joy. Cast Victor Sjöström as Professor Isak Borg Bibi Andersson as Sara (both: Isak's cousin/hitchhiker) Ingrid Thulin as Marianne Borg Gunnar Björnstrand as Evald Borg Jullan Kindahl as Agda, Isak's housekeeper Folke Sundquist as Anders, hitchhiker Björn Bjelfvenstam as Viktor, hitchhiker Naima Wifstrand as Isak's Mother Gunnel Broström as Berit Alman, angry wife Gunnar Sjöberg as Sten Alman, angry husband / The Examiner Max von Sydow as Henrik Åkerman, gas station attendant Ann-Marie Wiman as Eva Åkerman Gertrud Fridh as Karin Borg, Isak's wife Åke Fridell as Karin's lover Sif Ruud as Aunt Olga Yngve Nordwall as Uncle Aron Per Sjöstrand as Sigfrid Borg Gio Petré as Sigbritt Borg Gunnel Lindblom as Charlotta Borg Maud Hansson as Angelica Borg Eva Norée as Anna Borg Göran Lundquist as Benjamin Borg Per Skogsberg as Hagbart Borg Lena Bergman as Kristina Borg, twin Monica Ehrling as Birgitta Borg, twin Production Origins Bergman's idea for the film originated on a drive from Stockholm to Dalarna during which he stopped in Uppsala, his hometown. Driving by his grandmother's house, he suddenly imagined how it would be if he could open the door and inside find everything just as it was during his childhood. "So it struck me — what if you could make a film about this; that you just walk up in a realistic way and open a door, and then you walk into your childhood, and then you open another door and come back to reality, and then you make a turn around a street corner and arrive in some other period of your existence, and everything goes on, lives. That was actually the idea behind Wild Strawberries". Later, he would revise the story of the film's genesis. In Images: My Life in Film, he comments on his own earlier statement: "That's a lie. The truth is that I am forever living in my childhood." Development Bergman wrote the screenplay of Wild Strawberries in Stockholm's Karolinska Hospital (the workplace of Isak Borg) in the late spring of 1957; he'd recently been given permission to proceed by producer Carl Anders Dymling on the basis of a short synopsis. He was in the hospital for two months, being treated for recurrent gastric problems and general stress. Bergman's doctor at Karolinska was his good friend Sture Helander who invited him to attend his lectures on psychosomatics. Helander was married to Gunnel Lindblom who was to play Isak's sister Charlotta in the film. Bergman was at a high point of his professional career after a triumphant season at the Malmö City Theatre (where he had been artistic director since 1952), in addition to the success of both Smiles of a Summer Night (1955) and The Seventh Seal (1957). His private life, however, was in disarray. His third marriage was on the rocks; his affair with Bibi Andersson, which had begun in 1954, was coming to an end; and his relationship with his parents was, after an attempted reconciliation with his mother, at a desperately low ebb. Casting and pre-production progressed rapidly. The completed screenplay is dated May 31. Shooting took place between July 2, 1957 and August 27, 1957. The scenes at the summer house were filmed in Saltsjöbaden, a fashionable resort in the Stockholm archipelago. Part of the nightmare sequence was shot with predawn summer light in Gamla stan, the old part of central Stockholm. Most of the movie was made at SF's studio and on its back lot at Råsunda in northern Stockholm. Casting The director's immediate choice for the leading role of the old professor was Victor Sjöström, Bergman's silent film idol and early counselor at Svensk Filmindustri, whom he had directed in To Joy eight years earlier. "Victor," Bergman remarked, "was feeling wretched and didn’t want to [do it];... he must have been seventy eight. He was misanthropic and tired and felt old. I had to use all my powers of persuasion to get him to play the part." In Bergman on Bergman, he has stated that he only thought of Sjöström when the screenplay was complete, and that he asked Dymling to contact the famous actor and film director. Yet in Images: My Life in Film, he claims, "It is probably worth noting that I never for |
Wavelength depends on the medium (for example, vacuum, air, or water) that a wave travels through. Examples of waves are sound waves, light, water waves and periodic electrical signals in a conductor. A sound wave is a variation in air pressure, while in light and other electromagnetic radiation the strength of the electric and the magnetic field vary. Water waves are variations in the height of a body of water. In a crystal lattice vibration, atomic positions vary. The range of wavelengths or frequencies for wave phenomena is called a spectrum. The name originated with the visible light spectrum but now can be applied to the entire electromagnetic spectrum as well as to a sound spectrum or vibration spectrum. Sinusoidal waves In linear media, any wave pattern can be described in terms of the independent propagation of sinusoidal components. The wavelength λ of a sinusoidal waveform traveling at constant speed v is given by where v is called the phase speed (magnitude of the phase velocity) of the wave and f is the wave's frequency. In a dispersive medium, the phase speed itself depends upon the frequency of the wave, making the relationship between wavelength and frequency nonlinear. In the case of electromagnetic radiation—such as light—in free space, the phase speed is the speed of light, about 3×108 m/s. Thus the wavelength of a 100 MHz electromagnetic (radio) wave is about: 3×108 m/s divided by 108 Hz = 3 metres. The wavelength of visible light ranges from deep red, roughly 700 nm, to violet, roughly 400 nm (for other examples, see electromagnetic spectrum). For sound waves in air, the speed of sound is 343 m/s (at room temperature and atmospheric pressure). The wavelengths of sound frequencies audible to the human ear (20 Hz–20 kHz) are thus between approximately 17 m and 17 mm, respectively. Somewhat higher frequencies are used by bats so they can resolve targets smaller than 17 mm. Wavelengths in audible sound are much longer than those in visible light. Standing waves A standing wave is an undulatory motion that stays in one place. A sinusoidal standing wave includes stationary points of no motion, called nodes, and the wavelength is twice the distance between nodes. The upper figure shows three standing waves in a box. The walls of the box are considered to require the wave to have nodes at the walls of the box (an example of boundary conditions) determining which wavelengths are allowed. For example, for an electromagnetic wave, if the box has ideal metal walls, the condition for nodes at the walls results because the metal walls cannot support a tangential electric field, forcing the wave to have zero amplitude at the wall. The stationary wave can be viewed as the sum of two traveling sinusoidal waves of oppositely directed velocities. Consequently, wavelength, period, and wave velocity are related just as for a traveling wave. For example, the speed of light can be determined from observation of standing waves in a metal box containing an ideal vacuum. Mathematical representation Traveling sinusoidal waves are often represented mathematically in terms of their velocity v (in the x direction), frequency f and wavelength λ as: where y is the value of the wave at any position x and time t, and A is the amplitude of the wave. They are also commonly expressed in terms of wavenumber k (2π times the reciprocal of wavelength) and angular frequency ω (2π times the frequency) as: in which wavelength and wavenumber are related to velocity and frequency as: or In the second form given above, the phase is often generalized to , by replacing the wavenumber k with a wave vector that specifies the direction and wavenumber of a plane wave in 3-space, parameterized by position vector r. In that case, the wavenumber k, the magnitude of k, is still in the same relationship with wavelength as shown above, with v being interpreted as scalar speed in the direction of the wave vector. The first form, using reciprocal wavelength in the phase, does not generalize as easily to a wave in an arbitrary direction. Generalizations to sinusoids of other phases, and to complex exponentials, are also common; see plane wave. The typical convention of using the cosine phase instead of the sine phase when describing a wave is based on the fact that the cosine is the real part of the complex exponential in the wave General media The speed of a wave depends upon the medium in which it propagates. In particular, the speed of light in a medium is less than in vacuum, which means that the same frequency will correspond to a shorter wavelength in the medium than in vacuum, as shown in the figure at right. This change in speed upon entering a medium causes refraction, or a change in direction of waves that encounter the interface between media at an angle. For electromagnetic waves, this change in the angle of propagation is governed by Snell's law. The wave velocity in one medium not only may differ from that in another, but the velocity typically varies with wavelength. As a result, the change in direction upon entering a different medium changes with the wavelength of the wave. For electromagnetic waves the speed in a medium is governed by its refractive index according to where c is the speed of light in vacuum and n(λ0) is the refractive index of the medium at wavelength λ0, where the latter is measured in vacuum rather than in the medium. The corresponding wavelength in the medium is When wavelengths of electromagnetic radiation are quoted, the wavelength in vacuum usually | stays in one place. A sinusoidal standing wave includes stationary points of no motion, called nodes, and the wavelength is twice the distance between nodes. The upper figure shows three standing waves in a box. The walls of the box are considered to require the wave to have nodes at the walls of the box (an example of boundary conditions) determining which wavelengths are allowed. For example, for an electromagnetic wave, if the box has ideal metal walls, the condition for nodes at the walls results because the metal walls cannot support a tangential electric field, forcing the wave to have zero amplitude at the wall. The stationary wave can be viewed as the sum of two traveling sinusoidal waves of oppositely directed velocities. Consequently, wavelength, period, and wave velocity are related just as for a traveling wave. For example, the speed of light can be determined from observation of standing waves in a metal box containing an ideal vacuum. Mathematical representation Traveling sinusoidal waves are often represented mathematically in terms of their velocity v (in the x direction), frequency f and wavelength λ as: where y is the value of the wave at any position x and time t, and A is the amplitude of the wave. They are also commonly expressed in terms of wavenumber k (2π times the reciprocal of wavelength) and angular frequency ω (2π times the frequency) as: in which wavelength and wavenumber are related to velocity and frequency as: or In the second form given above, the phase is often generalized to , by replacing the wavenumber k with a wave vector that specifies the direction and wavenumber of a plane wave in 3-space, parameterized by position vector r. In that case, the wavenumber k, the magnitude of k, is still in the same relationship with wavelength as shown above, with v being interpreted as scalar speed in the direction of the wave vector. The first form, using reciprocal wavelength in the phase, does not generalize as easily to a wave in an arbitrary direction. Generalizations to sinusoids of other phases, and to complex exponentials, are also common; see plane wave. The typical convention of using the cosine phase instead of the sine phase when describing a wave is based on the fact that the cosine is the real part of the complex exponential in the wave General media The speed of a wave depends upon the medium in which it propagates. In particular, the speed of light in a medium is less than in vacuum, which means that the same frequency will correspond to a shorter wavelength in the medium than in vacuum, as shown in the figure at right. This change in speed upon entering a medium causes refraction, or a change in direction of waves that encounter the interface between media at an angle. For electromagnetic waves, this change in the angle of propagation is governed by Snell's law. The wave velocity in one medium not only may differ from that in another, but the velocity typically varies with wavelength. As a result, the change in direction upon entering a different medium changes with the wavelength of the wave. For electromagnetic waves the speed in a medium is governed by its refractive index according to where c is the speed of light in vacuum and n(λ0) is the refractive index of the medium at wavelength λ0, where the latter is measured in vacuum rather than in the medium. The corresponding wavelength in the medium is When wavelengths of electromagnetic radiation are quoted, the wavelength in vacuum usually is intended unless the wavelength is specifically identified as the wavelength in some other medium. In acoustics, where a medium is essential for the waves to exist, the wavelength value is given for a specified medium. The variation in speed of light with wavelength is known as dispersion, and is also responsible for the familiar phenomenon in which light is separated into component colors by a prism. Separation occurs when the refractive index inside the prism varies with wavelength, so different wavelengths propagate at different speeds inside the prism, causing them to refract at different angles. The mathematical relationship that describes how the speed of light within a medium varies with wavelength is known as a dispersion relation. Nonuniform media Wavelength can be a useful concept even if the wave is not periodic in space. For example, in an ocean wave approaching shore, shown in the figure, the incoming wave undulates with a varying local wavelength that depends in part on the depth of the sea floor compared to the wave height. The analysis of the wave can be based upon comparison of the local wavelength with the local water depth. Waves that are sinusoidal in time but propagate through a medium whose properties vary with position (an inhomogeneous medium) may propagate at a velocity that varies with position, and as a result may not be sinusoidal in space. The figure at right shows an example. As the wave slows down, the wavelength gets shorter and the amplitude increases; after a place of maximum response, the short wavelength is associated with a high loss and the wave dies out. The analysis of differential equations of such systems is often done approximately, using the WKB method (also known as the Liouville–Green method). The method integrates phase through space using a local wavenumber, which can be interpreted as indicating a "local wavelength" of the solution as a function of time and space. This method treats the system locally as if it were uniform with the local properties; in particular, the local wave velocity associated with a frequency is the only thing needed to estimate the corresponding local wavenumber or wavelength. In addition, the method computes a slowly changing amplitude to satisfy other constraints of the equations or of the physical system, such as for conservation of energy in the wave. Crystals Waves in crystalline solids are not continuous, because they are composed of vibrations of discrete particles arranged in a regular lattice. This produces aliasing because the same vibration can be considered to have a variety of different wavelengths, as shown in the figure. Descriptions using more than one of these wavelengths are redundant; it is conventional to choose the longest wavelength that fits the phenomenon. The range of wavelengths sufficient to provide a description |
contract. Donner had their script "totally rewritten" by Brian Helgeland and the Wachowskis tried unsuccessfully to remove their names from the film. They say the experience gave them the perspective that they should become directors or "[they will] never survive as writers in this town". Their next project was the 1996 neo-noir thriller Bound, for which they wrote the script and made their debut as directors. The film was well received for its style and craft, and was noted as one of the first mainstream films to feature a same-sex relationship without it being central to the plot. Taking advantage of the positive buzz, the Wachowskis asked to direct their next picture, The Matrix. The Matrix franchise They completed The Matrix, a science fiction action film, in 1999. The movie stars Keanu Reeves as Neo, a hacker recruited by a rebellion to aid them in the fight against machines who have taken over the world and placed humanity inside a simulated reality called "the Matrix". Laurence Fishburne, Carrie-Anne Moss, Hugo Weaving and Joe Pantoliano also star. The movie was a critical and commercial hit for Warner Bros. It won four Academy Awards, including for "Best Visual Effects" for popularizing the bullet time visual effect. The Matrix came to be a major influence for action movies and has appeared in several "greatest science fiction films" lists. In 2012, the film was selected for preservation in the National Film Registry by the Library of Congress for being "culturally, historically, and aesthetically significant". After its success, the Wachowskis directed two sequels back-to-back, The Matrix Reloaded and The Matrix Revolutions, both released in 2003. The Matrix Reloaded received positive critical reception, although not on the level of the original. It became a major box office hit, retaining the spot of the highest-grossing R-rated film for over a decade (until 2016's Deadpool). The Matrix Revolutions received a mixed critical reception and performed only moderately in the box office. Although profitable, it was slightly less so compared to the original film. During production of the first film, the Wachowskis and Spencer Lamm, who ran the film's official website, developed comics based on the setting of the film, which were published free of charge on the website. These and a few short stories were released in three series from 1999 to 2003, with several of them (along with new material) collected in two print volumes in 2003 and 2004. The Wachowskis themselves contributed "Bits and Pieces", a prequel to the movie that explains the origins of the Matrix, featuring illustrations by Geof Darrow, the movie's conceptual designer. Other writers and artists that contributed to the series include Neil Gaiman, Dave Gibbons, Paul Chadwick, Ted McKeever, Poppy Z. Brite, and Steve Skroce. After Lilly Wachowski came out as transgender, she encouraged looking back on her and Lana's works "through the lens of our transness", saying that the themes of identity, self-image and transformation are apparent in The Matrix. Later collaborations The Wachowskis' next feature film was V for Vendetta, an adaptation of Alan Moore and David Lloyd's graphic novel of the same name, starring Natalie Portman and Hugo Weaving. They wrote and produced the film with Matrix producer Joel Silver, who had previously purchased the film rights to the graphic novel. The Wachowskis offered the film to James McTeigue, the first assistant director of The Matrix trilogy, as his directorial debut. Moore did not participate in the production, as he was disappointed by previous Hollywood adaptations of his work, and disagreed with differences between his graphic novel and the screenplay. Following a statement to the press by Silver that Moore was supposedly excited to learn more about the movie, Moore demanded that Silver retract it, and had his own name removed from the credits when he didn't. The film's controversial storyline and themes have been both criticized and praised by sociopolitical groups. It was released in 2005 and was well received critically; it was a box office success but did not rank on the scale of The Matrix films. The film popularized the image of the Guy Fawkes mask, as the version designed by David Lloyd for the graphic novel and used in the movie was adopted as a symbol by the online hacktivist group Anonymous two years later. In 2006, Silver had the Wachowskis and McTeigue hired to revamp The Invasion for Warner Bros. The studio was disappointed in the film as produced by director Oliver Hirschbiegel and hired the Wachowskis to rewrite a portion of the script and add new action scenes, which McTeigue directed. The film, the fourth adaptation of the novel The Body Snatchers, was released in 2007 and was not a critical or box office success. The Wachowskis and McTeigue are not credited on the film. The Wachowskis returned to directing with Speed Racer (2008) which starred Emile Hirsch. The film, which was again produced by Silver, was an adaptation of a 1960s Japanese manga series originally called Mach GoGoGo, which had previously been adapted as an anime television series in 1967. The Wachowskis were attracted to the project because the series was the first anime they had watched, and they wanted to make a family-friendly film for their nieces and nephews to enjoy. In an effort to simulate the look of anime in live action, the Wachowskis had cinematographer David Tattersall shoot the movie digitally on a digital backlot with the intention of adding extensive visual effects in post-production. The movie was considered a critical and commercial failure. While its special effects were noted as outstanding, the storyline is considered lacking. It was nominated in the category of "Worst Prequel, Remake, Rip-off or Sequel" for the 29th Golden Raspberry Awards. Its box office gross was $93 million compared to a production budget of $120 million. Since then, critics periodically have put the film on lists of underrated or cult films. The Wachowskis' next film project was Ninja Assassin, a martial arts film starring Rain, which was released in 2009. It was inspired by Rain's fighting scene in Speed Racer. It was produced by the Wachowskis in their last involvement with Silver, and directed by McTeigue. The screenplay was written by Matthew Sand and J. Michael Straczynski, whom the Wachowskis called six weeks before filming to ask him for a total rewrite completed within a week, because they were dissatisfied with the earlier drafts and were running out of time. Ninja Assassin received negative reviews and performed lukewarmly in the theaters but respectably on home video. Their next directorial outing was Cloud Atlas, which was adapted from David Mitchell's 2004 novel of the same name and starred an ensemble cast which included Tom Hanks and Halle Berry. Cloud Atlas was written and directed in collaboration with German filmmaker Tom Tykwer, to whom the Wachowskis had introduced the novel several years earlier. The filmmakers failed to secure funding from a studio (save for $20 million by Warner Bros.) and the film was produced independently after much trouble. With a budget of over $100 million it was noted as the most expensive independent movie to that date and the first attempt at a German blockbuster. The movie opened at the 37th annual Toronto International Film Festival in September 2012 to acclaim and received a loud and lengthy standing ovation. In its general release a month later, it received polarizing reviews and eventually appeared in both "Best Film" and "Worst Film" lists. Overall reviews were mixed to positive. The film received many nominations and awards, particularly for its technical aspects, including 10 nominations for the German Film Award, out of which it won five. It also received five Saturn Award nominations, out of which it won two. David Mitchell liked the script of Cloud Atlas, spent some time on the set (including filming a cameo), and had a positive impression about the result. According to the Wachowskis the movie was the hardest of their films to make, the one they are the most proud of, and the one they have been told has touched people's lives the most. They believe Cloud Atlas will be the film for which they will be remembered. The Wachowskis subsequently produced and directed Jupiter Ascending, an original space opera screenplay they wrote. The film was released in 2015. It stars Channing Tatum and Mila Kunis, and features the Wachowskis' regular collaborators John Gaeta on visual effects and Kym Barrett on costumes. According to Deadline, the financial and critical failure of Jupiter Ascending caused their business relationship with Warner Bros, that began with The Matrix franchise, to be terminated. Their next project was the Netflix science fiction drama series Sense8, created and written with J. Michael Straczynski. Sense8 features an international ensemble cast and was shot in multiple cities around the world. The Wachowskis directed most of the episodes of the first season, with the rest being handled by McTeigue, Tykwer, and their go-to visual effects supervisor on their movies, Dan Glass, in his directorial debut. The first season premiered in 2015 to generally positive reviews, particularly for the scale of the production and the presentation of diverse and LGBT characters and themes, winning the GLAAD Media Award for Outstanding Drama Series. It also received a Primetime Emmy Award nomination for Outstanding Original Main Title Theme Music. After the first season, Lilly took a break from it, for what turned out to be the remainder of the series. A Christmas special was released on December 23, 2016, with the remainder of the show's second season released in May 2017. Subsequently, the third season was cancelled, and Sense8 concluded with a two-hour finale which aired in June 2018. In June 2016, the Academy of Motion Picture Arts and Sciences invited the Wachowskis to join its ranks. Solo projects In May 2019, it was reported that Lilly would co-write, and co-showrun the eight-episode first season of the drama comedy series Work in Progress, created by Abby McEnany and Tim Mason for Showtime. The series premiered in December 2019. In January 2020, the series was renewed for a 10-episode second season, with which Lilly would continue to be involved. In August 2019, it was announced that Lana would be returning to write, direct and produce the fourth installment of the Matrix series, with Reeves and Moss also reprising their roles; it marks the first film made by only one of the Wachowskis. Lana wrote the script with David Mitchell and Aleksandar Hemon. The film was released in December 2021. Style and influences J. Michael Straczynski, who has worked with the Wachowskis on Ninja Assassin and Sense8, has said that the sisters told him they were reading his column on scriptwriting for the Writer's Digest magazine, for inspiration and pointers. Straczynski contributed to the magazine from 1981 to 1991. In 1998, in the context of explaining how they got their start in filmmaking, the Wachowskis mentioned Roger Corman's book How I Made A Hundred Movies in Hollywood and Never Lost a Dime, and indicated, with laughter, that they liked his movies, and began by wanting to "make a low-budget horror movie". In the same interview they stated that they felt flattered, after their first film, by comparisons others had made between them and the Coen brothers, who had "made five, maybe six great movies…" at that time. Speaking to Bernard Weintraub of The New York Times in April 1999, the Wachowskis mentioned explicitly that they prepared for their first Matrix production by studying the works of John Woo "and other Hong Kong filmmakers", as well as reading and rereading Homer's Odyssey, and studying the works of John Huston, Stanley Kubrick, Fritz Lang, George Lucas, Ridley Scott, and Billy Wilder. Mark Miller, writing in Wired in 2003, also listed Homer, Hermann Hesse, Fyodor Dostoyevsky, and philosopher Cornel West. In an interview with Gadfly in 1998 (after their first movie), the Wachowskis reiterated their influence by or enjoyment of Huston (e.g. Treasure of the Sierra Madre) and Wilder (e.g., Sunset Boulevard and Lost Weekend), and added to these the impacts of Alfred Hitchcock (e.g. Strangers on a Train and Psycho), Roman Polanski (e.g. Repulsion), and Francis Ford Coppola (the Godfather movies, and The Conversation). Ken Wilber has been cited as an influence. The Wachowskis admit to a love for telling multi-part stories. "Because we grew up on comic books and the Tolkien trilogy, one of the things we're interested in is bringing serial fiction to cinema," Lana has said. Lilly says: "We think movies are fairly boring and predictable. We want to screw with audiences' expectations." In terms of themes expressed in their body of work, Lana has cited "the inexplicable nature of the universe [being] in constant dialogue with our own consciousness and our consciousness actually affect[ing] the inexplicable nature of the universe", "interconnectivity and about truth beneath the surface", "the paradox of choice and choicelessness", "transcendence ... transcending archetypal boxes, stereotypes", "race ... an important component" and "gender ... it's one of our most significant cultural subjects". The Wachowskis cited the art of comic book artist Geof Darrow as an influence on the look of The Matrix. Also, they said that Ghost in the Shell, Ninja Scroll, and Akira were anime that inspired them, saying "in anime, one thing that they do that we tried to bring to our film was a juxtaposition of time and space in action beats". The Wachowskis cited Stanley Kubrick's 2001: A Space Odyssey as a major influence for Cloud Atlas. They first saw the film when they were ten and seven, respectively. Lana has most been influenced by 2001: A Space Odyssey, Blade Runner, Ma vie en rose, and My Neighbor Totoro. Both Wachowskis are fans of the Ghost in the Shell, Akira, Wicked City, Ninja Scroll and Fist of the North Star anime films. None of the home video releases of their films feature any deleted scenes. Lana says that despite often having to cut scenes from their movies, they do not want to include deleted scenes in such releases, as this would suggest that their films suffer from incompleteness. They love their finished products and believe them complete. For the same reason, they have not released their films for home video with director's or extended cuts. They also avoid recording audio commentary tracks, having participated only on the track recorded for the LaserDisc of Bound. The sisters say they learned that offering an interpretation of their films means that viewers will be less likely to express their own interpretation. Frequent collaborators The Wachowskis frequently hire the same basic film crew to make their movies. Lana says they do it in part to ensure a positive environment. "It's like family. Everyone is very respectful of each other," says Lana. They used the same practice while selecting the television crew for their Netflix show, Sense8. Some of their most notable frequent collaborators are: Crew members Cast member Film production and comic book publishing During The Matrix Reloaded, The Matrix Revolutions, The Animatrix and Enter the Matrix production, the Wachowskis created EON Entertainment (not to be confused with Eon Productions), their production company to coordinate and direct all involved partners. It is also where the films were edited together, after the various FX vendors sent their finished work. EON's internal VFX team, ESC, did a number of visual effect shots for the two Matrix sequels and coordinated the other vendors. ESC was shut down in summer 2004. Anarchos Productions (credited in Cloud Atlas as Anarchos Pictures) is their production company that has been billed for all their films starting with V for Vendetta up to the first season of Sense8. In the second season and following Lilly's break from the show, Anarchos is replaced by Venus Castina Productions, a production company created by Lana Wachowski and her wife Karin Winslow. Venus Castina is an epithet of the Roman goddess Venus, who in this form, was supposedly associated with "the yearnings of feminine souls locked up in male bodies". In the Sense8 series finale, the real book Venus Castina: Famous Female Impersonators Celestial and Human makes an appearance as the unlikely object that brought a lesbian couple together; according to Lana and the actresses that portray the couple, the duo have been based on Lana and Karin. Kinowerks is their pre- and post-production and effects studio, based in the Ravenswood neighbourhood of Chicago. It has been acclaimed for its green-friendly design, including solar panels, a planted roof, countertops and floors made of recycled materials, plug-in car stations, a water reuse and filtration system, skylights, and a pneumatic elevator. Roger Ebert was invited to watch a restored print of The Godfather in the Kinowerks facilities and met the Wachowskis, but he was oblivious to the fact the studio belonged to them. According to the Chicago Tribunes Christopher Pirelli, the facility is very low-key: "an industrial building that appears neither old nor especially new" and "It could be an upscale dentist's | budget of over $100 million it was noted as the most expensive independent movie to that date and the first attempt at a German blockbuster. The movie opened at the 37th annual Toronto International Film Festival in September 2012 to acclaim and received a loud and lengthy standing ovation. In its general release a month later, it received polarizing reviews and eventually appeared in both "Best Film" and "Worst Film" lists. Overall reviews were mixed to positive. The film received many nominations and awards, particularly for its technical aspects, including 10 nominations for the German Film Award, out of which it won five. It also received five Saturn Award nominations, out of which it won two. David Mitchell liked the script of Cloud Atlas, spent some time on the set (including filming a cameo), and had a positive impression about the result. According to the Wachowskis the movie was the hardest of their films to make, the one they are the most proud of, and the one they have been told has touched people's lives the most. They believe Cloud Atlas will be the film for which they will be remembered. The Wachowskis subsequently produced and directed Jupiter Ascending, an original space opera screenplay they wrote. The film was released in 2015. It stars Channing Tatum and Mila Kunis, and features the Wachowskis' regular collaborators John Gaeta on visual effects and Kym Barrett on costumes. According to Deadline, the financial and critical failure of Jupiter Ascending caused their business relationship with Warner Bros, that began with The Matrix franchise, to be terminated. Their next project was the Netflix science fiction drama series Sense8, created and written with J. Michael Straczynski. Sense8 features an international ensemble cast and was shot in multiple cities around the world. The Wachowskis directed most of the episodes of the first season, with the rest being handled by McTeigue, Tykwer, and their go-to visual effects supervisor on their movies, Dan Glass, in his directorial debut. The first season premiered in 2015 to generally positive reviews, particularly for the scale of the production and the presentation of diverse and LGBT characters and themes, winning the GLAAD Media Award for Outstanding Drama Series. It also received a Primetime Emmy Award nomination for Outstanding Original Main Title Theme Music. After the first season, Lilly took a break from it, for what turned out to be the remainder of the series. A Christmas special was released on December 23, 2016, with the remainder of the show's second season released in May 2017. Subsequently, the third season was cancelled, and Sense8 concluded with a two-hour finale which aired in June 2018. In June 2016, the Academy of Motion Picture Arts and Sciences invited the Wachowskis to join its ranks. Solo projects In May 2019, it was reported that Lilly would co-write, and co-showrun the eight-episode first season of the drama comedy series Work in Progress, created by Abby McEnany and Tim Mason for Showtime. The series premiered in December 2019. In January 2020, the series was renewed for a 10-episode second season, with which Lilly would continue to be involved. In August 2019, it was announced that Lana would be returning to write, direct and produce the fourth installment of the Matrix series, with Reeves and Moss also reprising their roles; it marks the first film made by only one of the Wachowskis. Lana wrote the script with David Mitchell and Aleksandar Hemon. The film was released in December 2021. Style and influences J. Michael Straczynski, who has worked with the Wachowskis on Ninja Assassin and Sense8, has said that the sisters told him they were reading his column on scriptwriting for the Writer's Digest magazine, for inspiration and pointers. Straczynski contributed to the magazine from 1981 to 1991. In 1998, in the context of explaining how they got their start in filmmaking, the Wachowskis mentioned Roger Corman's book How I Made A Hundred Movies in Hollywood and Never Lost a Dime, and indicated, with laughter, that they liked his movies, and began by wanting to "make a low-budget horror movie". In the same interview they stated that they felt flattered, after their first film, by comparisons others had made between them and the Coen brothers, who had "made five, maybe six great movies…" at that time. Speaking to Bernard Weintraub of The New York Times in April 1999, the Wachowskis mentioned explicitly that they prepared for their first Matrix production by studying the works of John Woo "and other Hong Kong filmmakers", as well as reading and rereading Homer's Odyssey, and studying the works of John Huston, Stanley Kubrick, Fritz Lang, George Lucas, Ridley Scott, and Billy Wilder. Mark Miller, writing in Wired in 2003, also listed Homer, Hermann Hesse, Fyodor Dostoyevsky, and philosopher Cornel West. In an interview with Gadfly in 1998 (after their first movie), the Wachowskis reiterated their influence by or enjoyment of Huston (e.g. Treasure of the Sierra Madre) and Wilder (e.g., Sunset Boulevard and Lost Weekend), and added to these the impacts of Alfred Hitchcock (e.g. Strangers on a Train and Psycho), Roman Polanski (e.g. Repulsion), and Francis Ford Coppola (the Godfather movies, and The Conversation). Ken Wilber has been cited as an influence. The Wachowskis admit to a love for telling multi-part stories. "Because we grew up on comic books and the Tolkien trilogy, one of the things we're interested in is bringing serial fiction to cinema," Lana has said. Lilly says: "We think movies are fairly boring and predictable. We want to screw with audiences' expectations." In terms of themes expressed in their body of work, Lana has cited "the inexplicable nature of the universe [being] in constant dialogue with our own consciousness and our consciousness actually affect[ing] the inexplicable nature of the universe", "interconnectivity and about truth beneath the surface", "the paradox of choice and choicelessness", "transcendence ... transcending archetypal boxes, stereotypes", "race ... an important component" and "gender ... it's one of our most significant cultural subjects". The Wachowskis cited the art of comic book artist Geof Darrow as an influence on the look of The Matrix. Also, they said that Ghost in the Shell, Ninja Scroll, and Akira were anime that inspired them, saying "in anime, one thing that they do that we tried to bring to our film was a juxtaposition of time and space in action beats". The Wachowskis cited Stanley Kubrick's 2001: A Space Odyssey as a major influence for Cloud Atlas. They first saw the film when they were ten and seven, respectively. Lana has most been influenced by 2001: A Space Odyssey, Blade Runner, Ma vie en rose, and My Neighbor Totoro. Both Wachowskis are fans of the Ghost in the Shell, Akira, Wicked City, Ninja Scroll and Fist of the North Star anime films. None of the home video releases of their films feature any deleted scenes. Lana says that despite often having to cut scenes from their movies, they do not want to include deleted scenes in such releases, as this would suggest that their films suffer from incompleteness. They love their finished products and believe them complete. For the same reason, they have not released their films for home video with director's or extended cuts. They also avoid recording audio commentary tracks, having participated only on the track recorded for the LaserDisc of Bound. The sisters say they learned that offering an interpretation of their films means that viewers will be less likely to express their own interpretation. Frequent collaborators The Wachowskis frequently hire the same basic film crew to make their movies. Lana says they do it in part to ensure a positive environment. "It's like family. Everyone is very respectful of each other," says Lana. They used the same practice while selecting the television crew for their Netflix show, Sense8. Some of their most notable frequent collaborators are: Crew members Cast member Film production and comic book publishing During The Matrix Reloaded, The Matrix Revolutions, The Animatrix and Enter the Matrix production, the Wachowskis created EON Entertainment (not to be confused with Eon Productions), their production company to coordinate and direct all involved partners. It is also where the films were edited together, after the various FX vendors sent their finished work. EON's internal VFX team, ESC, did a number of visual effect shots for the two Matrix sequels and coordinated the other vendors. ESC was shut down in summer 2004. Anarchos Productions (credited in Cloud Atlas as Anarchos Pictures) is their production company that has been billed for all their films starting with V for Vendetta up to the first season of Sense8. In the second season and following Lilly's break from the show, Anarchos is replaced by Venus Castina Productions, a production company created by Lana Wachowski and her wife Karin Winslow. Venus Castina is an epithet of the Roman goddess Venus, who in this form, was supposedly associated with "the yearnings of feminine souls locked up in male bodies". In the Sense8 series finale, the real book Venus Castina: Famous Female Impersonators Celestial and Human makes an appearance as the unlikely object that brought a lesbian couple together; according to Lana and the actresses that portray the couple, the duo have been based on Lana and Karin. Kinowerks is their pre- and post-production and effects studio, based in the Ravenswood neighbourhood of Chicago. It has been acclaimed for its green-friendly design, including solar panels, a planted roof, countertops and floors made of recycled materials, plug-in car stations, a water reuse and filtration system, skylights, and a pneumatic elevator. Roger Ebert was invited to watch a restored print of The Godfather in the Kinowerks facilities and met the Wachowskis, but he was oblivious to the fact the studio belonged to them. According to the Chicago Tribunes Christopher Pirelli, the facility is very low-key: "an industrial building that appears neither old nor especially new" and "It could be an upscale dentist's office" while the "inside is rather unexpected" and has numerous mementos of past film projects. On October 22, 2018, the Wachowskis announced their plans to close and list Kinowerks for $5 million. In 2003, they created Burlyman Entertainment and released comic books based on The Matrix as well as two original bi-monthly series: Shaolin Cowboy – created, written, and drawn by Geof Darrow (the Wachowskis contributed the opening dialogue to each issue) Doc Frankenstein – created by Geof Darrow and Steve Skroce, written by the Wachowskis, with art by Skroce. Unrealized projects The Wachowskis' first script was a thriller called Carnivore. It has been described as "a Corman-style, low-budget horror movie that dealt with cannibalism or, more specifically, rich people being eaten by cannibals". The writing was well received and the script achieved notice for the duo; however, interest in making the movie was low, for executives told them: "This is a bad idea. I can't make this. I'm rich." Years later, on April 6, 1999, a week after The Matrix opened in American theaters, Variety reported Trimark was looking to buy the script and were in talks with George Romero to direct it with production scheduled to begin in August. In April 2001, news of the Wachowskis producing it for Lionsgate and looking for a director surfaced again, and in August 2003 a second time, with their go-to cinematographer Bill Pope rumored to be making his directorial debut with it. The film ultimately went unproduced. Another two of their earliest scripts which were never produced were Plastic Man, based on the DC Comics superhero of the same name and Vertical Run based on the book of the same name by Joseph R. Garber. After completing The Matrix, the Wachowskis were looking to make an animated adaptation of Frank Miller's Hard Boiled graphic novel. The comic was drawn by Geof Darrow, the conceptional designer of The Matrix and later its sequels. The project didn't move forward because Miller didn't want it to be an animated film. In November 2000, Variety reported the Wachowskis would produce, co-create and direct second unit on a new Conan the Barbarian movie for Warner Bros. which was to be written and directed by John Milius and which could see Arnold Schwarzenegger make an appearance. The Wachowskis were planning to juggle their pre-production involvement on the movie and work on The Matrix sequels at the same time. In January 2004 it was reported that development on King Conan: Crown of Iron had stalled for years because of the Wachowskis' involvement in The Matrix sequels and now that the movies were complete they decided to abandon the project of their own volition because of the frequent clashes they had experienced with Milius concerning the tone and direction of the movie. Lana once suggested Conan the Barbarian as her favorite movie based on comics, to which Lilly also responded enthusiastically. In 2008, the Wachowskis were producing for Madhouse an animated film based on their comic book company's Shaolin Cowboy, titled Shaolin Cowboy in The Tomb of Doom. The feature is co-directed by the comic book's creator Geof Darrow and Seiji Mizushima, a Japanese director. When the American financiers backed out, the film was left half-finished and in need of $3 million. Darrow does |
20th century, ranging from the anti-communist crusades of Senator Joseph McCarthy in the 1950s to the radical antiwar protests at UW-Madison that culminated in the Sterling Hall bombing in August 1970. The state undertook welfare reform under Republican Governor Tommy Thompson during the 1990s. The state's economy also underwent further transformations towards the close of the 20th century, as heavy industry and manufacturing declined in favor of a service economy based on medicine, education, agribusiness, and tourism. Two U.S. Navy battleships, BB-9 and BB-64, were named for the state. 21st century In 2011, Wisconsin became the focus of some controversy when newly elected governor Scott Walker proposed, passed, and enacted the 2011 Wisconsin Act 10, which made large changes in the areas of collective bargaining, compensation, retirement, health insurance, and sick leave of public sector employees, among other changes. A series of major protests by union supporters took place that year in response to the changes, and Walker survived a recall election held the next year, becoming the first governor in United States history to do so. Walker enacted other bills promoting conservative governance, such as a right-to-work law, abortion restrictions, and legislation removing certain gun controls. Geography Wisconsin is bordered by the Montreal River; Lake Superior and Michigan to the north; by Lake Michigan to the east; by Illinois to the south; and by Iowa to the southwest and Minnesota to the northwest. A border dispute with Michigan was settled by two cases, both Wisconsin v. Michigan, in 1934 and 1935. The state's boundaries include the Mississippi River and St. Croix River in the west, and the Menominee River in the northeast. With its location between the Great Lakes and the Mississippi River, Wisconsin is home to a wide variety of geographical features. The state is divided into five distinct regions. In the north, the Lake Superior Lowland occupies a belt of land along Lake Superior. Just to the south, the Northern Highland has massive mixed hardwood and coniferous forests including the Chequamegon-Nicolet National Forest, as well as thousands of glacial lakes, and the state's highest point, Timms Hill. In the middle of the state, the Central Plain has some unique sandstone formations like the Dells of the Wisconsin River in addition to rich farmland. The Eastern Ridges and Lowlands region in the southeast is home to many of Wisconsin's largest cities. The ridges include the Niagara Escarpment that stretches from New York, the Black River Escarpment and the Magnesian Escarpment. In the southwest, the Western Upland is a rugged landscape with a mix of forest and farmland, including many bluffs on the Mississippi River. This region is part of the Driftless Area, which also includes portions of Iowa, Illinois, and Minnesota. This area was not covered by glaciers during the most recent ice age, the Wisconsin Glaciation. Overall, 46% of Wisconsin's land area is covered by forest. Langlade County has a soil rarely found outside of the county called Antigo silt loam. Wisconsin has sister-state relationships with Germany's Hesse, Japan's Chiba Prefecture, Mexico's Jalisco, China's Heilongjiang, and Nicaragua. Climate Most of Wisconsin is classified as warm-summer humid continental climate (Köppen Dfb), while southern and southwestern portions are classified as hot-summer humid continental climate (Köppen Dfa). The highest temperature ever recorded in the state was in the Wisconsin Dells, on July 13, 1936, where it reached 114 °F (46 °C). The lowest temperature ever recorded in Wisconsin was in the village of Couderay, where it reached −55 °F (−48 °C) on both February 2 and 4, 1996. Wisconsin also receives a large amount of regular snowfall averaging around in the southern portions with up to annually in the Lake Superior snowbelt each year. Demographics Population The United States Census Bureau estimates that the population of Wisconsin was 5,822,434 on July 1, 2019, a 2.4% increase since the 2010 United States census. This includes a natural increase since the last census of 150,659 people (i.e., 614,771 births minus 464,112 deaths) and an decrease due to net migration of 12,755 people. Immigration resulted in a net increase of 59,251 people, and migration from within the U.S. resulted in a net decrease of 72,006 people. According to the 2016 American Community Survey, 6.5% of Wisconsin's population were of Hispanic or Latino origin (of any race): Mexican (4.7%), Puerto Rican (0.9%), Cuban (0.1%), and other Hispanic or Latino origin (0.7%). The five largest ancestry groups were: German (40.5%), Irish (10.8%), Polish (8.8%), Norwegian (7.7%), and English (5.7%). German is the most common ancestry in every county in the state, except Menominee, Trempealeau, and Vernon. Wisconsin has the highest percentage of residents of Polish ancestry of any state. Since its founding, Wisconsin has been ethnically heterogeneous. Following the period of French fur traders, the next wave of settlers were miners, many of whom were Cornish, who settled the southwestern area of the state. The next wave was dominated by "Yankees", migrants of English descent from New England and upstate New York; in the early years of statehood, they dominated the state's heavy industry, finance, politics, and education. Between 1850 and 1900, the immigrants were mostly Germans, Scandinavians (the largest group being Norwegian), Irish, and Poles. In the 20th century, a number of African Americans and Mexicans settled in Milwaukee; and after the end of the Vietnam War came an influx of Hmongs. The various ethnic groups settled in different areas of the state. Although German immigrants settled throughout the state, the largest concentration was in Milwaukee. Norwegian immigrants settled in lumbering and farming areas in the north and west. Irish, Italian, and Polish immigrants settled primarily in urban areas. Menominee County is the only county in the eastern United States with a Native American majority. African Americans came to Milwaukee, especially from 1940 on. 86% of Wisconsin's African-American population live in four cities: Milwaukee, Racine, Beloit, Kenosha, with Milwaukee home to nearly three-fourths of the state's black Americans. In the Great Lakes region, only Detroit and Cleveland have a higher percentage of African-American residents. 33% of Wisconsin's Asian population is Hmong, with significant communities in Milwaukee, Wausau, Green Bay, Sheboygan, Appleton, Madison, La Crosse, Eau Claire, Oshkosh, and Manitowoc. Of the residents of Wisconsin, 71.7% were born in Wisconsin, 23.0% were born in a different US state, 0.7% were born in Puerto Rico, U.S. Island areas, or born abroad to American parent(s), and 4.6% were foreign born. Birth data Note: Births in table add to over 100%, because Hispanics are counted both by their ethnicity and by their race, giving a higher overall number. Since 2016, data for births of White Hispanic origin are not collected, but included in one Hispanic group; persons of Hispanic origin may be of any race. Religion The percentage of Wisconsin residents who belong to various affiliations are Christian 81% (Protestant 50%, Roman Catholic 29%), Mormon 0.5%, Jewish 0.5%, Muslim 0.5%, Buddhist 0.5%, Hindu 0.5%, and unaffiliated 15%. Christianity is the predominant religion of Wisconsin. As of 2008, the three largest denominational groups in Wisconsin were Catholic, Evangelical Protestant, and Mainline Protestant. As of 2010, the Catholic Church had the highest number of adherents in Wisconsin (at 1,425,523), followed by the Evangelical Lutheran Church in America with 414,326 members, and the Lutheran Church–Missouri Synod with 223,279 adherents. The Wisconsin Evangelical Lutheran Synod, the synod with the fourth highest numbers of adherents in Wisconsin, has their headquarters in Waukesha, Wisconsin. Crime Statewide FBI Crime statistics for 2009 include 144 murders/non-negligent manslaughter; 1,108 rapes; 4,850 robberies; 8,431 aggravated assaults; and 147,486 property crimes. Wisconsin also publishes its own statistics through the Office of Justice Assistance. The OJA reported 14,603 violent crimes in 2009, with a clearance rate (% solved) of 50%. The OJA reported 4,633 sexual assaults in 2009, with an overall clearance rate for sexual assaults of 57%. Government Wisconsin's Constitution outlines the structure and function of state government, which is organized into three branches: executive, legislative, and judicial. The Wisconsin Blue Book is the primary published reference about the government and politics of the state. Re-published every two years, copies are available from state legislators. In a 2020 study, Wisconsin was ranked as the 25th easiest state for citizens to vote in. Executive The executive branch is headed by the governor. The current governor, Tony Evers, assumed office on January 7, 2019. In addition to the governor, the executive branch includes five other elected constitutional officers: Lieutenant Governor, Secretary of State, Attorney General, Treasurer, and State Superintendent of Public Instruction. Four members of the Wisconsin executive branch are Democrats. The Superintendent of Public Instruction of Wisconsin is a non-partisan position. Legislative The Wisconsin State Legislature is Wisconsin's legislative branch. The Legislature is a bicameral body consisting of the Assembly and the Senate. Judicial Wisconsin's court system has four levels: municipal courts, circuit courts, the Court of Appeals, and the Supreme Court. Municipal courts typically handle cases involving local ordinance matters. The circuit courts are Wisconsin's trial courts, they have original jurisdiction in all civil and criminal cases within the state. Challenges to circuit court rulings are heard by the Wisconsin Court of Appeals, consisting of sixteen judges who typically sit in three-judge panels. As the state's highest appellate court, the Wisconsin Supreme Court may hear both appeals from lower courts and original actions. In addition to deciding cases, the Supreme Court is responsible for administering the state's court system and regulating the practice of law in Wisconsin. Federal In the United States Senate Wisconsin is represented by Ron Johnson and Tammy Baldwin. Wisconsin is divided into eight congressional districts. Taxes Wisconsin collects personal income taxes (based on five income brackets) which range from 4% to 7.65%. The state sales and use tax rate is 5.0%. Fifty-nine counties have an additional sales/use tax of 0.5%. Milwaukee County and four surrounding counties have an additional temporary 0.1% tax that helps fund the Miller Park baseball stadium, which was completed in 2001. The most common property tax assessed on Wisconsin residents is the real property tax, or their residential property tax. Wisconsin does not impose a property tax on vehicles, but does levy an annual registration fee. Property taxes are the most important tax revenue source for Wisconsin's local governments, as well as major methods of funding school districts, vocational technical colleges, special purpose districts and tax incremental finance districts. Equalized values are based on the full market value of all taxable property in the state, except for agricultural land. In order to provide property tax relief for farmers, the value of agricultural land is determined by its value for agricultural uses, rather than for its possible development value. Equalized values are used to distribute state aid payments to counties, municipalities, and technical colleges. Assessments prepared by local assessors are used to distribute the property tax burden within individual municipalities. Wisconsin does not assess a tax on intangible property. Wisconsin does not collect inheritance taxes. Until January 1, 2008, Wisconsin's estate tax was decoupled from the federal estate tax laws; therefore the state imposed its own estate tax on certain large estates. There are no toll roads in Wisconsin; highway construction and maintenance are funded in part by motor fuel tax revenues, and the remaining balance is drawn from the State General Fund. Non-highway road construction and maintenance are funded by local governments (municipalities or counties). International relations A Mexican consulate opened in Milwaukee on July 1, 2016. Wisconsin has had a diplomatic relationship with the Japanese prefecture of Chiba since 1990. Politics During the Civil War, Wisconsin was a Republican state; in fact it is the state that gave birth to the Republican Party, although ethno-religious issues in the late 19th century caused a brief split in the coalition. The Bennett Law campaign of 1890 dealt with foreign language teaching in schools. Many Germans switched to the Democratic Party because of the Republican Party's support of the law. Wisconsin's political history encompasses, on the one hand, "Fighting Bob" La Follette and the Progressive movement; and on the other, the Republican and anti-Communist Joe McCarthy. From the early 20th century, the Socialist Party of America had a base in Milwaukee. The phenomenon was referred to as "sewer socialism" because the elected officials were more concerned with public works and reform than with revolution (although revolutionary socialism existed in the city as well). Its influence faded in the late 1950s, largely because of the red scare and racial tensions. The first Socialist mayor of a large city in the United States was Emil Seidel, elected mayor of Milwaukee in 1910; another Socialist, Daniel Hoan, was mayor of Milwaukee from | of Hmongs. The various ethnic groups settled in different areas of the state. Although German immigrants settled throughout the state, the largest concentration was in Milwaukee. Norwegian immigrants settled in lumbering and farming areas in the north and west. Irish, Italian, and Polish immigrants settled primarily in urban areas. Menominee County is the only county in the eastern United States with a Native American majority. African Americans came to Milwaukee, especially from 1940 on. 86% of Wisconsin's African-American population live in four cities: Milwaukee, Racine, Beloit, Kenosha, with Milwaukee home to nearly three-fourths of the state's black Americans. In the Great Lakes region, only Detroit and Cleveland have a higher percentage of African-American residents. 33% of Wisconsin's Asian population is Hmong, with significant communities in Milwaukee, Wausau, Green Bay, Sheboygan, Appleton, Madison, La Crosse, Eau Claire, Oshkosh, and Manitowoc. Of the residents of Wisconsin, 71.7% were born in Wisconsin, 23.0% were born in a different US state, 0.7% were born in Puerto Rico, U.S. Island areas, or born abroad to American parent(s), and 4.6% were foreign born. Birth data Note: Births in table add to over 100%, because Hispanics are counted both by their ethnicity and by their race, giving a higher overall number. Since 2016, data for births of White Hispanic origin are not collected, but included in one Hispanic group; persons of Hispanic origin may be of any race. Religion The percentage of Wisconsin residents who belong to various affiliations are Christian 81% (Protestant 50%, Roman Catholic 29%), Mormon 0.5%, Jewish 0.5%, Muslim 0.5%, Buddhist 0.5%, Hindu 0.5%, and unaffiliated 15%. Christianity is the predominant religion of Wisconsin. As of 2008, the three largest denominational groups in Wisconsin were Catholic, Evangelical Protestant, and Mainline Protestant. As of 2010, the Catholic Church had the highest number of adherents in Wisconsin (at 1,425,523), followed by the Evangelical Lutheran Church in America with 414,326 members, and the Lutheran Church–Missouri Synod with 223,279 adherents. The Wisconsin Evangelical Lutheran Synod, the synod with the fourth highest numbers of adherents in Wisconsin, has their headquarters in Waukesha, Wisconsin. Crime Statewide FBI Crime statistics for 2009 include 144 murders/non-negligent manslaughter; 1,108 rapes; 4,850 robberies; 8,431 aggravated assaults; and 147,486 property crimes. Wisconsin also publishes its own statistics through the Office of Justice Assistance. The OJA reported 14,603 violent crimes in 2009, with a clearance rate (% solved) of 50%. The OJA reported 4,633 sexual assaults in 2009, with an overall clearance rate for sexual assaults of 57%. Government Wisconsin's Constitution outlines the structure and function of state government, which is organized into three branches: executive, legislative, and judicial. The Wisconsin Blue Book is the primary published reference about the government and politics of the state. Re-published every two years, copies are available from state legislators. In a 2020 study, Wisconsin was ranked as the 25th easiest state for citizens to vote in. Executive The executive branch is headed by the governor. The current governor, Tony Evers, assumed office on January 7, 2019. In addition to the governor, the executive branch includes five other elected constitutional officers: Lieutenant Governor, Secretary of State, Attorney General, Treasurer, and State Superintendent of Public Instruction. Four members of the Wisconsin executive branch are Democrats. The Superintendent of Public Instruction of Wisconsin is a non-partisan position. Legislative The Wisconsin State Legislature is Wisconsin's legislative branch. The Legislature is a bicameral body consisting of the Assembly and the Senate. Judicial Wisconsin's court system has four levels: municipal courts, circuit courts, the Court of Appeals, and the Supreme Court. Municipal courts typically handle cases involving local ordinance matters. The circuit courts are Wisconsin's trial courts, they have original jurisdiction in all civil and criminal cases within the state. Challenges to circuit court rulings are heard by the Wisconsin Court of Appeals, consisting of sixteen judges who typically sit in three-judge panels. As the state's highest appellate court, the Wisconsin Supreme Court may hear both appeals from lower courts and original actions. In addition to deciding cases, the Supreme Court is responsible for administering the state's court system and regulating the practice of law in Wisconsin. Federal In the United States Senate Wisconsin is represented by Ron Johnson and Tammy Baldwin. Wisconsin is divided into eight congressional districts. Taxes Wisconsin collects personal income taxes (based on five income brackets) which range from 4% to 7.65%. The state sales and use tax rate is 5.0%. Fifty-nine counties have an additional sales/use tax of 0.5%. Milwaukee County and four surrounding counties have an additional temporary 0.1% tax that helps fund the Miller Park baseball stadium, which was completed in 2001. The most common property tax assessed on Wisconsin residents is the real property tax, or their residential property tax. Wisconsin does not impose a property tax on vehicles, but does levy an annual registration fee. Property taxes are the most important tax revenue source for Wisconsin's local governments, as well as major methods of funding school districts, vocational technical colleges, special purpose districts and tax incremental finance districts. Equalized values are based on the full market value of all taxable property in the state, except for agricultural land. In order to provide property tax relief for farmers, the value of agricultural land is determined by its value for agricultural uses, rather than for its possible development value. Equalized values are used to distribute state aid payments to counties, municipalities, and technical colleges. Assessments prepared by local assessors are used to distribute the property tax burden within individual municipalities. Wisconsin does not assess a tax on intangible property. Wisconsin does not collect inheritance taxes. Until January 1, 2008, Wisconsin's estate tax was decoupled from the federal estate tax laws; therefore the state imposed its own estate tax on certain large estates. There are no toll roads in Wisconsin; highway construction and maintenance are funded in part by motor fuel tax revenues, and the remaining balance is drawn from the State General Fund. Non-highway road construction and maintenance are funded by local governments (municipalities or counties). International relations A Mexican consulate opened in Milwaukee on July 1, 2016. Wisconsin has had a diplomatic relationship with the Japanese prefecture of Chiba since 1990. Politics During the Civil War, Wisconsin was a Republican state; in fact it is the state that gave birth to the Republican Party, although ethno-religious issues in the late 19th century caused a brief split in the coalition. The Bennett Law campaign of 1890 dealt with foreign language teaching in schools. Many Germans switched to the Democratic Party because of the Republican Party's support of the law. Wisconsin's political history encompasses, on the one hand, "Fighting Bob" La Follette and the Progressive movement; and on the other, the Republican and anti-Communist Joe McCarthy. From the early 20th century, the Socialist Party of America had a base in Milwaukee. The phenomenon was referred to as "sewer socialism" because the elected officials were more concerned with public works and reform than with revolution (although revolutionary socialism existed in the city as well). Its influence faded in the late 1950s, largely because of the red scare and racial tensions. The first Socialist mayor of a large city in the United States was Emil Seidel, elected mayor of Milwaukee in 1910; another Socialist, Daniel Hoan, was mayor of Milwaukee from 1916 to 1940; and a third, Frank P. Zeidler, from 1948 to 1960. Succeeding Frank Zeidler, the last of Milwaukee's Socialist mayors, (Henry Maier), a former Wisconsin State Senator and member of the Democratic Party was elected mayor of Milwaukee in 1960. Maier remained in office for 28 years, the longest-serving mayor in Milwaukee history. Socialist newspaper editor Victor Berger was repeatedly elected as a U.S. Representative, although he was prevented from serving for some time because of his opposition to the First World War. Through the first half of the 20th century, Wisconsin's politics were dominated by Robert La Follette and his sons, originally of the Republican Party, but later of the revived Progressive Party. Since 1945, the state has maintained a close balance between Republicans and Democrats. Recent leading Republicans include former Governor Tommy Thompson and Congressman Jim Sensenbrenner; prominent Democrats include Senators Herb Kohl and Russ Feingold, the only Senator to vote against the Patriot Act in 2001, and Congressman David Obey. Federal elections In 2020, Wisconsin leaned back in the Democratic party's direction as Joe Biden won the state by an even narrower margin of 0.7%. Biden's win was largely carried by Milwaukee and Dane counties with the rural areas of the state being carried by Trump. Wisconsin has leaned Democratic in recent presidential elections, although Donald Trump managed to win the state in 2016 by a narrow margin of 0.8%. This marked the first time Wisconsin voted for a Republican presidential candidate since 1984, when every state except Minnesota and Washington D.C. went Republican. In 2012, Republican presidential candidate Mitt Romney chose Wisconsin Congressman Paul Ryan, a native of Janesville, as his running mate against incumbent Democratic President Barack Obama and Vice President Joe Biden. Obama nevertheless carried Wisconsin by a margin of 53% to 46%. Both the 2000 and 2004 presidential elections were quite close, with Wisconsin receiving heavy doses of national advertising, in accord with its status as a "swing", or pivot, state. Al Gore carried the presidential vote in 2000 by 5,700 votes, and John Kerry won Wisconsin in 2004 by 11,000 votes. Barack Obama carried the state in 2008 by 381,000 votes (56%). Republicans had a stronghold in the Fox Valley, but elected a Democrat, Steve Kagen, of Appleton, for the 8th Congressional District in 2006. However, Kagen survived only two terms and was replaced by Republican Reid Ribble in the Republican Party's sweep of Wisconsin in November 2010, the first time the Republican Party had taken back both chambers of the state legislature and the governorship in the same election. The City of Milwaukee heads the list of Wisconsin's Democratic strongholds, which also includes Madison and the state's Native American reservations. Wisconsin's largest Congressional district, the 7th, had voted Democratic since 1969. Its representative, David Obey, chaired the powerful House Appropriations Committee. However, Obey retired and the once-Democratic seat was taken by Republican Sean Duffy in November 2010. The 2010 elections saw a huge Republican resurgence in Wisconsin. Republicans took control of the governor's office and both houses of the state legislature. Republican Ron Johnson defeated Democratic incumbent U.S. Senator Russ Feingold and Republicans took two previously Democratic-held House seats, creating a 5–3 Republican majority House delegation. State elections At the statewide level, Wisconsin is competitive, with control regularly alternating between the two parties. In 2006, Democrats gained in a national sweep of opposition to the Bush administration, and the Iraq War. The retiring GOP 8th District Congressman, Mark Green, of Green Bay, ran against the incumbent Governor Jim Doyle. Green lost by 8% statewide, making Doyle the first Democratic governor to be re-elected in 32 years. The Republicans lost control of the state Senate. Although Democrats gained eight seats in the state Assembly, Republicans retained a five-vote majority. In 2008, Democrats regained control of the State Assembly by a 52–46 margin, marking the first time since 1986 that the governor and state legislature were both Democratic. With the election of Scott Walker in 2010, Republicans won both chambers of the legislature and the governorship, the first time all three changed partisan control in the same election. His first year in office saw the introduction of the 2011 Wisconsin Act 10, which removed collective bargaining rights for state employees. On February 14, 2011, the Wisconsin State Capitol erupted with protests when the Legislature took up a bill that would end most collective bargaining rights for state employees, except for wages, to address the $3.6 billion deficit. The protests attracted tens of thousands of people each day, and garnered international attention. The Assembly passed the bill 53–42 on March 10 after the State Senate passed it the night before, and sent it to the Governor for his signature. In response to the bill, enough signatures were gathered to force a recall election against Governor Walker. Tom Barrett, the mayor of Milwaukee and Walker's 2010 opponent, won the Democratic primary and faced Walker again. Walker won the election by 53% to 46% and became the first governor in United States history to retain his seat after a recall election. Following the 2014 general election on November 4, 2014, the Governor, Lieutenant Governor, State Attorney General and State Treasurer were all Republicans, while the Secretary of State was a Democrat. However, Walker was defeated for a third term in 2018 by Democrat Tony Evers. Democratic U.S. Senator Tammy Baldwin was also elected to a second term and Democrats won all constitutional statewide offices on the ballot including Lieutenant Governor, Attorney General, Secretary of State, and State Treasurer, the first time this happened in Wisconsin since 1982. Later however, in April 2019, conservative judge Brian Hagedorn defeated his liberal opponent Lisa Neubauer by 6,100 votes. Economy In 2019 Wisconsin's gross state product was $349.416 billion, making it 21st among U.S. states. The economy of Wisconsin is driven by manufacturing, agriculture, and health care. The state's economic output from manufacturing was $48.9 billion in 2008, making it the tenth largest among states in manufacturing gross domestic product. Manufacturing accounts for about 20% of the state's gross domestic product, a proportion that is third among all states. The per capita personal income was $35,239 in 2008. In March 2017, the state's unemployment rate was 3.4% (seasonally adjusted). In quarter four of 2011, the largest employers in Wisconsin were: Wal-Mart University of Wisconsin–Madison Milwaukee Public Schools U.S. Postal Service Wisconsin Department of Corrections Menards Marshfield Clinic Wisconsin Department of Veterans Affairs Target Corporation, and City of Milwaukee. Agriculture Wisconsin produces about a quarter of America's cheese, leading the nation in cheese production. It is second in milk production, after California, and third in per-capita milk production, behind California and Vermont. Wisconsin is second in butter production, producing about one-quarter of the nation's butter. The state ranks first nationally in the production of corn for silage, cranberries ginseng, and snap beans for processing. It grows more than half the national crop of cranberries. and 97% of the nation's ginseng. Wisconsin is also a leading producer of oats, potatoes, carrots, tart cherries, maple syrup, and sweet corn for processing. The significance of the state's agricultural production is exemplified by the depiction of a Holstein cow, an ear of corn, and a wheel of cheese on Wisconsin's state quarter design. The state annually selects an "Alice in Dairyland" to promote the |
800,000 people each year, promoting itself as "The World's Largest Music Festival", a title certified by Guinness World Records in 1999, but has been surpassed in attendance by Donauinselfest with over 3 million in 2015. During Summerfest, the park hosts performances over 11 days, from late June until early July (including the Fourth of July). The festival includes 12 stages with over 1000 performances. The performers include local and nationally known music talent from various genres, performing throughout the grounds from noon to midnight, including the 23,000-capacity American Family Insurance Amphitheater. Since 2004, nearly $150 million has been invested into Henry Maier Festival Park, including permanent stages, bars, production space, VIP amenities and other infrastructure. Summerfest also showcases a wide variety of food from many Milwaukee-area restaurants. Other Summerfest attractions include shopping vendors, fireworks (including "The Big Bang" on opening night), family activities, and more. Summerfest is operated by Milwaukee World Festival, Inc. a non-profit organization, which is governed by a volunteer board of directors. In its 50+ year history, Summerfest has hosted a variety of well-known artists, including Paul McCartney, the Rolling Stones, Tina Turner, Metallica, Whitney Houston, Stevie Wonder, Kenny Chesney, Aerosmith, Bruno Mars, Lady Gaga, and Dave Matthews Band. Don Smiley has served as President and Chief Executive Officer of Summerfest since 2004. History Summerfest was conceived in the 1960s by then-mayor Henry W. Maier. Inspired by his visit to Oktoberfest in Munich, Germany, Maier envisioned a similar ethnic-themed festival in Milwaukee, and in 1962 formed a panel of business and civic leaders to study the feasibility of a large-scale summer festival. By the middle of the decade, the panel drew up a proposal for a 10-day multi-event festival with the proposed name of "Milwaukee World Festival," which was changed briefly in 1966 to "Juli Spaß" (German for "July Fun") and then to "Summerfest". The inaugural Summerfest was held in July 1968 at 35 different locations throughout the city (including Milwaukee County Stadium and Milwaukee Arena), and its events ranged from concerts to a film festival, an air show, and even a pageant. The first Summerfest, produced by Dee Robb and Con Merten was regarded as a success; the second event in 1969, was less successful, as it was plagued by additional venues, inclement weather, and severe financial debt. In 1970, a permanent central location was decided upon, and Summerfest moved to a former Nike missile site on the lakefront, where it continues to be held to this day. Also that year, Summerfest introduced its red "smiley face" logo, an insignia that has become synonymous with the event. The logo was designed by local graphic artists Noel Spangler and Richard D. Grant. It was also in 1970 that Henry Jordan, former Green | stages, bars, production space, VIP amenities and other infrastructure. Summerfest also showcases a wide variety of food from many Milwaukee-area restaurants. Other Summerfest attractions include shopping vendors, fireworks (including "The Big Bang" on opening night), family activities, and more. Summerfest is operated by Milwaukee World Festival, Inc. a non-profit organization, which is governed by a volunteer board of directors. In its 50+ year history, Summerfest has hosted a variety of well-known artists, including Paul McCartney, the Rolling Stones, Tina Turner, Metallica, Whitney Houston, Stevie Wonder, Kenny Chesney, Aerosmith, Bruno Mars, Lady Gaga, and Dave Matthews Band. Don Smiley has served as President and Chief Executive Officer of Summerfest since 2004. History Summerfest was conceived in the 1960s by then-mayor Henry W. Maier. Inspired by his visit to Oktoberfest in Munich, Germany, Maier envisioned a similar ethnic-themed festival in Milwaukee, and in 1962 formed a panel of business and civic leaders to study the feasibility of a large-scale summer festival. By the middle of the decade, the panel drew up a proposal for a 10-day multi-event festival with the proposed name of "Milwaukee World Festival," which was changed briefly in 1966 to "Juli Spaß" (German for "July Fun") and then to "Summerfest". The inaugural Summerfest was held in July 1968 at 35 different locations throughout the city (including Milwaukee County Stadium and Milwaukee Arena), and its events ranged from concerts to a film festival, an air show, and even a pageant. The first Summerfest, produced by Dee Robb and Con Merten was regarded as a success; the second event in 1969, was less successful, as it was plagued by additional venues, inclement weather, and severe financial debt. In 1970, a permanent central location was decided upon, and Summerfest moved to a former Nike missile site on the lakefront, where it continues to be held to this day. Also that year, Summerfest introduced its red "smiley face" logo, an insignia that has become synonymous with the event. The logo was designed by local graphic artists Noel Spangler and Richard D. Grant. It was also in 1970 that Henry Jordan, former Green Bay Packers defensive tackle, became executive director of Summerfest, a title he held during the event's early years until his death in 1977. After a few other businessmen were hired by the board for the executive director's job, Elizabeth "Bo" Black, who was formerly Henry Jordan's secretary, became executive director in 1984 after a ten-year lobbying effort. The event has not been without its controversy. On December 9, 2002, Lee Gates commented in the Milwaukee Journal Sentinel about the lack of opportunity to play at Summerfest. "I don't get the credit I deserve here. I've been playing 50-something years. There's discrimination at Summerfest. I shouldn't need to have a CD out to be paid $700 at Summerfest. If they want you to have CDs, they should pay you like they pay the professional people." Summerfest celebrated its 40th anniversary in 2007. The event's history was the subject of "Summerfest Stories", a documentary that aired in June 2007 on Milwaukee Public Television. In 2015, Milwaukee World Festival, Inc and ReverbNation announced a three-year agreement to use the online service as an audition to give musicians a chance to perform. Summerfest wanted to provide an opportunity for performers to get a chance to be one of the 800+ acts and allow new talent to be seen by over 900,000 people that attend. 2020 saw the COVID-19 pandemic as grounds for scrapping the concert part & moving others online. Historical Attendance Summerfest Attendance Since 1995 Summerfest attendance peaked in 2001 at 1,000,563 attendees. Summerfest was closed in 2020 due to the |
When we speak of the picture of nature in the exact science of our age, we do not mean a picture of nature so much as a picture of our relationships with nature. ...Science no longer confronts nature as an objective observer, but sees itself as an actor in this interplay between man and nature. The scientific method of analysing, explaining and classifying has become conscious of its limitations, which arise out of the fact that by its intervention science alters and refashions the object of investigation. In other words, method and object can no longer be separated. SS investigation Shortly after the discovery of the neutron by James Chadwick in 1932, Heisenberg submitted the first of three papers on his neutron-proton model of the nucleus. After Adolf Hitler came to power in 1933, Heisenberg was attacked in the press as a "White Jew" (i.e. an Aryan who acts like a Jew). Supporters of Deutsche Physik, or German Physics (also known as Aryan Physics), launched vicious attacks against leading theoretical physicists, including Arnold Sommerfeld and Heisenberg. From the early 1930s onward, the anti-Semitic and anti-theoretical physics movement Deutsche Physik had concerned itself with quantum mechanics and the theory of relativity. As applied in the university environment, political factors took priority over scholarly ability, even though its two most prominent supporters were the Nobel Laureates in Physics Philipp Lenard and Johannes Stark. There had been many failed attempts to have Heisenberg appointed as professor at a number of German universities. His attempt to be appointed as successor to Arnold Sommerfeld failed because of opposition by the Deutsche Physik movement. On 1 April 1935, the eminent theoretical physicist Sommerfeld, Heisenberg's doctoral advisor at the Ludwig-Maximilians-Universität München, achieved emeritus status. However, Sommerfeld stayed in his chair during the selection process for his successor, which took until 1 December 1939. The process was lengthy due to academic and political differences between the Munich Faculty's selection and that of the Reich Education Ministry and the supporters of Deutsche Physik. In 1935, the Munich Faculty drew up a list of candidates to replace Sommerfeld as ordinarius professor of theoretical physics and head of the Institute for Theoretical Physics at the University of Munich. The three candidates had all been former students of Sommerfeld: Heisenberg, who had received the Nobel Prize in Physics; Peter Debye, who had received the Nobel Prize in Chemistry in 1936; and Richard Becker. The Munich Faculty was firmly behind these candidates, with Heisenberg as their first choice. However, supporters of Deutsche Physik and elements in the REM had their own list of candidates, and the battle dragged on for over four years. During this time, Heisenberg came under vicious attack by the Deutsche Physik supporters. One attack was published in "The Black Corps", the newspaper of the SS, headed by Heinrich Himmler. In this, Heisenberg was called a "White Jew" who should be made to "disappear".<ref>{{harvnb|Hentschel|Hentschel|1996|pp=152–157 Document #55 'White Jews' in Science (15 July 1937)}}</ref> These attacks were taken seriously, as Jews were violently attacked and incarcerated. Heisenberg fought back with an editorial and a letter to Himmler, in an attempt to resolve the matter and regain his honour. At one point, Heisenberg's mother visited Himmler's mother. The two women knew each other, as Heisenberg's maternal grandfather and Himmler's father were rectors and members of a Bavarian hiking club. Eventually, Himmler settled the Heisenberg affair by sending two letters, one to SS Gruppenführer Reinhard Heydrich and one to Heisenberg, both on 21 July 1938. In the letter to Heydrich, Himmler said Germany could not afford to lose or silence Heisenberg, as he would be useful for teaching a generation of scientists. To Heisenberg, Himmler said the letter came on recommendation of his family and he cautioned Heisenberg to make a distinction between professional physics research results and the personal and political attitudes of the involved scientists. Wilhelm Müller replaced Sommerfeld at the Ludwig Maximilian University of Munich. Müller was not a theoretical physicist, had not published in a physics journal, and was not a member of the German Physical Society. His appointment was considered a travesty and detrimental to educating theoretical physicists. The three investigators who led the SS investigation of Heisenberg had training in physics. Indeed, Heisenberg had participated in the doctoral examination of one of them at the Universität Leipzig. The most influential of the three was Johannes Juilfs. During their investigation, they became supporters of Heisenberg as well as his position against the ideological policies of the Deutsche Physik movement in theoretical physics and academia. German nuclear weapons program Pre-war work on physics In mid-1936, Heisenberg presented his theory of cosmic-ray showers in two papers. Four more papersHeisenberg, W. (1937) Theoretische Untersuchungen zur Ultrastrahlung, Verh. Dtsch. Phys. Ges. Volume 18, 50, as cited by Heisenberg, W. (1938) Der Durchgang sehr energiereicher Korpuskeln durch den Atomkern, Nuovo Cimento Volume 15, 31–34; Verh. Dtsch. Phys. Ges. Volume 19, 2, as cited by appeared in the next two years. In December 1938, the German chemists Otto Hahn and Fritz Strassmann sent a manuscript to The Natural Sciences reporting they had detected the element barium after bombarding uranium with neutrons and Otto Hahn concluded a bursting of the uranium nucleus; simultaneously, Hahn communicated these results to his friend Lise Meitner, who had in July of that year fled to the Netherlands and then went to Sweden. Meitner, and her nephew Otto Robert Frisch, correctly interpreted Hahn's and Strassmann's results as being nuclear fission. Frisch confirmed this experimentally on 13 January 1939. In June 1939, Heisenberg traveled to the United States in June and July, visiting Samuel Abraham Goudsmit at the University of Michigan in Ann Arbor. However, Heisenberg refused an invitation to emigrate to the United States. He did not see Goudsmit again until six years later, when Goudsmit was the chief scientific advisor to the American Operation Alsos at the close of World War II. Membership in the Uranverein The German nuclear weapons program, known as Uranverein, was formed on 1 September 1939, the day World War II began. The Heereswaffenamt (HWA, Army Ordnance Office) had squeezed the Reichsforschungsrat (RFR, Reich Research Council) out of the Reichserziehungsministerium (REM, Reich Ministry of Education) and started the formal German nuclear energy project under military auspices. The project had its first meeting on 16 September 1939. The meeting was organized by Kurt Diebner, advisor to the HWA, and held in Berlin. The invitees included Walther Bothe, Siegfried Flügge, Hans Geiger, Otto Hahn, Paul Harteck, Gerhard Hoffmann, Josef Mattauch and Georg Stetter. A second meeting was held soon thereafter and included Heisenberg, Klaus Clusius, Robert Döpel and Carl Friedrich von Weizsäcker. The Kaiser-Wilhelm Institut für Physik (KWIP, Kaiser Wilhelm Institute for Physics) in Berlin-Dahlem, was placed under HWA authority, with Diebner as the administrative director, and the military control of the nuclear research commenced. During the period when Diebner administered the KWIP under the HWA program, considerable personal and professional animosity developed between Diebner and Heisenberg's inner circle, which included Karl Wirtz and Carl Friedrich von Weizsäcker. At a scientific conference on 26–28 February 1942 at the Kaiser Wilhelm Institute for Physics, called by the Army Weapons Office, Heisenberg presented a lecture to Reichs officials on energy acquisition from nuclear fission. The lecture, entitled "Die theoretischen Grundlagen für die Energiegewinning aus der Uranspaltung" ("The theoretical basis for energy generation from uranium fission") was, as Heisenberg confessed after the Second World War in a letter to Samuel Goudsmit, "adapted to the intellectual level of a Reichs Minister". Heisenberg lectured on the enormous energy potential of nuclear fission, stating that 250 million electron volts could be released through the fission of an atomic nucleus. Heisenberg stressed that pure U-235 had to be obtained to achieve a chain reaction. He explored various ways of obtaining isotope in its pure form, including uranium enrichment and an alternative layered method of normal uranium and a moderator in a machine. This machine, he noted, could be used in practical ways to fuel vehicles, ships and submarines. Heisenberg stressed the importance of the Army Weapons Office's financial and material support for this scientific endeavour. A second scientific conference followed. Lectures were heard on problems of modern physics with decisive importance for the national defense and economy. The conference was attended by Bernhard Rust, the Reichs Minister of Science, Education and National Culture. At the conference Reichs Minister Rust decided to take the nuclear project away from the Kaiser Wilhelm Society. The Reichs Research Council was to take on the project. In April 1942 the army returned the Physics Institute to the Kaiser Wilhelm Society, naming Heisenberg as Director at the Institute. With this appointment at the KWIP, Heisenberg obtained his first professorship. Peter Debye was still director of the institute, but had gone on leave to the United States after he had refused to become a German citizen when the HWA took administrative control of the KWIP. Heisenberg still also had his department of physics at the University of Leipzig where work had been done for the Uranverein by Robert Döpel and his wife Klara Döpel. On 4 June 1942, Heisenberg was summoned to report to Albert Speer, Germany's Minister of Armaments, on the prospects for converting the Uranverein's research toward developing nuclear weapons. During the meeting, Heisenberg told Speer that a bomb could not be built before 1945, because it would require significant monetary resources and number of personnel.Prof. Werner Carl Heisenberg (I662) . Stanford.edu After the Uranverein project was placed under the leadership of the Reichs Research Council, it focused on nuclear power production and thus maintained its kriegswichtig (importance for the war) status; funding therefore continued from the military. The nuclear power project was broken down into the following main areas: uranium and heavy water production, uranium isotope separation and the Uranmaschine (uranium machine, i.e., nuclear reactor). The project was then essentially split up between a number of institutes, where the directors dominated the research and set their own research agendas.; see the entry for the KWIP in Appendix A and the entries for the HWA and the RFR in Appendix B. Also see p. 372 and footnote #50 on p. 372. The point in 1942, when the army relinquished its control of the German nuclear weapons program, was the zenith of the project relative to the number of personnel. About 70 scientists worked for the program, with about 40 devoting more than half their time to nuclear fission research. After 1942, the number of scientists working on applied nuclear fission diminished dramatically. Many of the scientists not working with the main institutes stopped working on nuclear fission and devoted their efforts to more pressing war-related work. In September 1942, Heisenberg submitted his first paper of a three-part series on the scattering matrix, or S-matrix, in elementary particle physics. The first two papers were published in 1943 as cited in and the third in 1944. The S-matrix described only the states of incident particles in a collision process, the states of those emerging from the collision, and stable bound states; there would be no reference to the intervening states. This was the same precedent as he followed in 1925 in what turned out to be the foundation of the matrix formulation of quantum mechanics through only the use of observables. In February 1943, Heisenberg was appointed to the Chair for Theoretical Physics at the Friedrich-Wilhelms-Universität (today, the Humboldt-Universität zu Berlin). In April, his election to the Preußische Akademie der Wissenschaften (Prussian Academy of Sciences) was approved. That same month, he moved his family to their retreat in Urfeld as Allied bombing increased in Berlin. In the summer, he dispatched the first of his staff at the Kaiser-Wilhelm Institut für Physik to Hechingen and its neighboring town of Haigerloch, on the edge of the Black Forest, for the same reasons. From 18–26 October, he travelled to German-occupied Netherlands. In December 1943, Heisenberg visited German-occupied Poland. From 24 January to 4 February 1944, Heisenberg travelled to occupied Copenhagen, after the German army confiscated Bohr's Institute of Theoretical Physics. He made a short return trip in April. In December, Heisenberg lectured in neutral Switzerland. The United States Office of Strategic Services sent agent Moe Berg to attend the lecture carrying a pistol, with orders to shoot Heisenberg if his lecture indicated that Germany was close to completing an atomic bomb. In January 1945, Heisenberg, with most of the rest of his staff, moved from the Kaiser-Wilhelm Institut für Physik to the facilities in the Black Forest. Post-Second World War 1945: Alsos Mission The Alsos Mission was an Allied effort to determine if the Germans had an atomic bomb program and to exploit German atomic related facilities, research, material resources, and scientific personnel for the benefit of the US. Personnel on this operation generally swept into areas which had just come under control of the Allied military forces, but sometimes they operated in areas still under control by German forces.Pash, Boris T. (1969) The Alsos Mission. Award. pp. 219–241. Berlin had been a location of many German scientific research facilities. To limit casualties and loss of equipment, many of these facilities were dispersed to other locations in the latter years of the war. The Kaiser-Wilhelm-Institut für Physik (KWIP, Kaiser Wilhelm Institute for Physics) had been bombed so it had mostly been moved in 1943 and 1944 to Hechingen and its neighboring town of Haigerloch, on the edge of the Black Forest, which eventually became included in the French occupation zone. This allowed the American task force of the Alsos Mission to take into custody a large number of German scientists associated with nuclear research. On 30 March, the Alsos Mission reached Heidelberg, where important scientists were captured including Walther Bothe, Richard Kuhn, Philipp Lenard, and Wolfgang Gertner. Their interrogation revealed that Otto Hahn was at his laboratory in Tailfingen, while Heisenberg and Max von Laue were at Heisenberg's laboratory in Hechingen, and that the experimental natural uranium reactor that Heisenberg's team had built in Berlin had been moved to Haigerloch. Thereafter, the main focus of the Alsos Mission was on these nuclear facilities in the Württemberg area. Heisenberg was smuggled out from Urfeld, on 3 May 1945, in an alpine operation in territory still under control by elite German forces. He was taken to Heidelberg, where, on 5 May, he met Goudsmit for the first time since the Ann Arbor visit in 1939. Germany surrendered just two days later. Heisenberg would not see his family again for eight months, as he was moved across France and Belgium and flown to England on 3 July 1945. 1945: Reaction to Hiroshima Nine of the prominent German scientists who published reports in Nuclear Physics Research Reports as members of the Uranverein were captured by Operation Alsos and incarcerated in England under Operation Epsilon. Ten German scientists, including Heisenberg, were held at Farm Hall in England. The facility had been a safe house of the British foreign intelligence MI6. During their detention, their conversations were recorded. Conversations thought to be of intelligence value were transcribed and translated into English. The transcripts were released in 1992. On 6 August 1945, the scientists at Farm Hall learned from media reports that the USA had dropped an atomic bomb in Hiroshima, Japan. At first, there was disbelief that a bomb had been built and dropped. In the weeks that followed, the German scientists discussed how the USA might have built the bomb. The Farm Hall transcripts reveal that Heisenberg, along with other physicists interned at Farm Hall including Otto Hahn and Carl Friedrich von Weizsäcker, were glad the Allies had won World War II. Heisenberg told other scientists that he had never contemplated a bomb, only an atomic pile to produce energy. The morality of creating a bomb for the Nazis was also discussed. Only a few of the scientists expressed genuine horror at the prospect of nuclear weapons, and Heisenberg himself was cautious in discussing the matter. On the failure of the German nuclear weapons program to build an atomic bomb, Heisenberg remarked, "We wouldn't have had the moral courage to recommend to the Government in the spring of 1942 that they should employ 120,000 men just for building the thing up." Post-war research career Executive positions at German research institutions On 3 January 1946, the ten Operation Epsilon detainees were transported to Alswede in Germany. Heisenberg settled in Göttingen, which was in the British zone of Allied-occupied Germany. Heisenberg immediately began to promote scientific research in Germany. Following the Kaiser Wilhelm Society's obliteration by the Allied Control Council and the establishment of the Max Planck Society in the British zone, Heisenberg became the director of the Max Planck Institute for Physics. Max von Laue was appointed vice director, while Karl Wirtz, Carl Friedrich von Weizsäcker and Ludwig Biermann joined to help Heisenberg establish the institute. Heinz Billing joined in 1950 to promote the development of electronic computing. The core research focus of the institute was cosmic radiation. The institute held a colloquium every Saturday morning. Heisenberg together with was instrumental in the establishment of the Forschungsrat (research council). Heisenberg envisaged for this council to promote the dialogue between the newly founded Federal Republic of Germany and the scientific community based in Germany. Heisenberg was appointed president of the Forschungsrat. In 1951, the organization was fused with the Notgemeinschaft der Deutschen Wissenschaft (Emergency Association of German Science) and that same year renamed the Deutsche Forschungsgemeinschaft (German Research Foundation). Following the merger, Heisenberg was appointed to the presidium. In 1958, the Max-Planck-Institut für Physik was moved to Munich, expanded, and renamed Max-Planck-Institut für Physik und Astrophysik (MPIFA). In the interim, Heisenberg and the astrophysicist Ludwig Biermann were co-directors of MPIFA. Heisenberg also became an ordentlicher Professor (ordinarius professor) at the Ludwig-Maximilians-Universität München. Heisenberg was the sole director of MPIFA from 1960 to 1970. Heisenberg resigned his directorship of the MPIFA on 31 December 1970. Promotion of international scientific cooperation In 1951, Heisenberg agreed to become the scientific representative of the Federal Republic of Germany at the UNESCO conference, with the aim of establishing a European laboratory for nuclear physics. Heisenberg's aim was to build a large particle accelerator, drawing on the resources and technical skills of scientists across the Western Bloc. On 1 July 1953 Heisenberg signed the convention that established CERN on behalf of the Federal Republic of Germany. Although he was asked to become CERN's founding scientific director, he declined. Instead, he was appointed chair of CERN's science policy committee and went on to determine the scientific program at CERN. In December 1953, Heisenberg became the president of the Alexander von Humboldt Foundation. During his tenure as president 550 Humboldt scholars from 78 nations received scientific research grants. Heisenberg resigned as president shortly before his death. Research interests In 1946, the German scientist Heinz Pose, head of Laboratory V in Obninsk, wrote a letter to Heisenberg inviting him to work in the USSR. The letter lauded the working conditions in the USSR and the available resources, as well as the favorable attitude of the Soviets towards German scientists. A courier hand delivered the recruitment letter, dated 18 July 1946, to Heisenberg; Heisenberg politely declined. In 1947, Heisenberg presented lectures in Cambridge, Edinburgh and Bristol. Heisenberg contributed to the understanding of the phenomenon of superconductivity with a paper in 1947 and two papers in 1948, cited in one of them with Max von Laue. In the period shortly after World War II, Heisenberg briefly returned to the subject of his doctoral thesis, turbulence. Three papers were published in 1948 as cited in and one in 1950., as cited in In the post-war period Heisenberg continued his interests in cosmic-ray showers with considerations on multiple production of mesons. He published three papers as cited in in 1949, two as cited in in 1952, and one in 1955. In late 1955 to early 1956, Heisenberg gave the Gifford Lectures at St Andrews University, in Scotland, on the intellectual history of physics. The lectures were later published as Physics and Philosophy: The Revolution in Modern Science. During 1956 and 1957, Heisenberg was the chairman of the Arbeitskreis Kernphysik (Nuclear Physics Working Group) of the Fachkommission II "Forschung und Nachwuchs" (Commission II "Research and Growth") of the Deutsche Atomkommission (DAtK, German Atomic Energy Commission). Other members of the Nuclear Physics Working Group in both 1956 and 1957 were: Walther Bothe, Hans Kopfermann (vice-chairman), Fritz Bopp, Wolfgang Gentner, Otto Haxel, Willibald Jentschke, Heinz Maier-Leibnitz, Josef Mattauch, Wolfgang Riezler, Wilhelm Walcher and Carl | same reasons. From 18–26 October, he travelled to German-occupied Netherlands. In December 1943, Heisenberg visited German-occupied Poland. From 24 January to 4 February 1944, Heisenberg travelled to occupied Copenhagen, after the German army confiscated Bohr's Institute of Theoretical Physics. He made a short return trip in April. In December, Heisenberg lectured in neutral Switzerland. The United States Office of Strategic Services sent agent Moe Berg to attend the lecture carrying a pistol, with orders to shoot Heisenberg if his lecture indicated that Germany was close to completing an atomic bomb. In January 1945, Heisenberg, with most of the rest of his staff, moved from the Kaiser-Wilhelm Institut für Physik to the facilities in the Black Forest. Post-Second World War 1945: Alsos Mission The Alsos Mission was an Allied effort to determine if the Germans had an atomic bomb program and to exploit German atomic related facilities, research, material resources, and scientific personnel for the benefit of the US. Personnel on this operation generally swept into areas which had just come under control of the Allied military forces, but sometimes they operated in areas still under control by German forces.Pash, Boris T. (1969) The Alsos Mission. Award. pp. 219–241. Berlin had been a location of many German scientific research facilities. To limit casualties and loss of equipment, many of these facilities were dispersed to other locations in the latter years of the war. The Kaiser-Wilhelm-Institut für Physik (KWIP, Kaiser Wilhelm Institute for Physics) had been bombed so it had mostly been moved in 1943 and 1944 to Hechingen and its neighboring town of Haigerloch, on the edge of the Black Forest, which eventually became included in the French occupation zone. This allowed the American task force of the Alsos Mission to take into custody a large number of German scientists associated with nuclear research. On 30 March, the Alsos Mission reached Heidelberg, where important scientists were captured including Walther Bothe, Richard Kuhn, Philipp Lenard, and Wolfgang Gertner. Their interrogation revealed that Otto Hahn was at his laboratory in Tailfingen, while Heisenberg and Max von Laue were at Heisenberg's laboratory in Hechingen, and that the experimental natural uranium reactor that Heisenberg's team had built in Berlin had been moved to Haigerloch. Thereafter, the main focus of the Alsos Mission was on these nuclear facilities in the Württemberg area. Heisenberg was smuggled out from Urfeld, on 3 May 1945, in an alpine operation in territory still under control by elite German forces. He was taken to Heidelberg, where, on 5 May, he met Goudsmit for the first time since the Ann Arbor visit in 1939. Germany surrendered just two days later. Heisenberg would not see his family again for eight months, as he was moved across France and Belgium and flown to England on 3 July 1945. 1945: Reaction to Hiroshima Nine of the prominent German scientists who published reports in Nuclear Physics Research Reports as members of the Uranverein were captured by Operation Alsos and incarcerated in England under Operation Epsilon. Ten German scientists, including Heisenberg, were held at Farm Hall in England. The facility had been a safe house of the British foreign intelligence MI6. During their detention, their conversations were recorded. Conversations thought to be of intelligence value were transcribed and translated into English. The transcripts were released in 1992. On 6 August 1945, the scientists at Farm Hall learned from media reports that the USA had dropped an atomic bomb in Hiroshima, Japan. At first, there was disbelief that a bomb had been built and dropped. In the weeks that followed, the German scientists discussed how the USA might have built the bomb. The Farm Hall transcripts reveal that Heisenberg, along with other physicists interned at Farm Hall including Otto Hahn and Carl Friedrich von Weizsäcker, were glad the Allies had won World War II. Heisenberg told other scientists that he had never contemplated a bomb, only an atomic pile to produce energy. The morality of creating a bomb for the Nazis was also discussed. Only a few of the scientists expressed genuine horror at the prospect of nuclear weapons, and Heisenberg himself was cautious in discussing the matter. On the failure of the German nuclear weapons program to build an atomic bomb, Heisenberg remarked, "We wouldn't have had the moral courage to recommend to the Government in the spring of 1942 that they should employ 120,000 men just for building the thing up." Post-war research career Executive positions at German research institutions On 3 January 1946, the ten Operation Epsilon detainees were transported to Alswede in Germany. Heisenberg settled in Göttingen, which was in the British zone of Allied-occupied Germany. Heisenberg immediately began to promote scientific research in Germany. Following the Kaiser Wilhelm Society's obliteration by the Allied Control Council and the establishment of the Max Planck Society in the British zone, Heisenberg became the director of the Max Planck Institute for Physics. Max von Laue was appointed vice director, while Karl Wirtz, Carl Friedrich von Weizsäcker and Ludwig Biermann joined to help Heisenberg establish the institute. Heinz Billing joined in 1950 to promote the development of electronic computing. The core research focus of the institute was cosmic radiation. The institute held a colloquium every Saturday morning. Heisenberg together with was instrumental in the establishment of the Forschungsrat (research council). Heisenberg envisaged for this council to promote the dialogue between the newly founded Federal Republic of Germany and the scientific community based in Germany. Heisenberg was appointed president of the Forschungsrat. In 1951, the organization was fused with the Notgemeinschaft der Deutschen Wissenschaft (Emergency Association of German Science) and that same year renamed the Deutsche Forschungsgemeinschaft (German Research Foundation). Following the merger, Heisenberg was appointed to the presidium. In 1958, the Max-Planck-Institut für Physik was moved to Munich, expanded, and renamed Max-Planck-Institut für Physik und Astrophysik (MPIFA). In the interim, Heisenberg and the astrophysicist Ludwig Biermann were co-directors of MPIFA. Heisenberg also became an ordentlicher Professor (ordinarius professor) at the Ludwig-Maximilians-Universität München. Heisenberg was the sole director of MPIFA from 1960 to 1970. Heisenberg resigned his directorship of the MPIFA on 31 December 1970. Promotion of international scientific cooperation In 1951, Heisenberg agreed to become the scientific representative of the Federal Republic of Germany at the UNESCO conference, with the aim of establishing a European laboratory for nuclear physics. Heisenberg's aim was to build a large particle accelerator, drawing on the resources and technical skills of scientists across the Western Bloc. On 1 July 1953 Heisenberg signed the convention that established CERN on behalf of the Federal Republic of Germany. Although he was asked to become CERN's founding scientific director, he declined. Instead, he was appointed chair of CERN's science policy committee and went on to determine the scientific program at CERN. In December 1953, Heisenberg became the president of the Alexander von Humboldt Foundation. During his tenure as president 550 Humboldt scholars from 78 nations received scientific research grants. Heisenberg resigned as president shortly before his death. Research interests In 1946, the German scientist Heinz Pose, head of Laboratory V in Obninsk, wrote a letter to Heisenberg inviting him to work in the USSR. The letter lauded the working conditions in the USSR and the available resources, as well as the favorable attitude of the Soviets towards German scientists. A courier hand delivered the recruitment letter, dated 18 July 1946, to Heisenberg; Heisenberg politely declined. In 1947, Heisenberg presented lectures in Cambridge, Edinburgh and Bristol. Heisenberg contributed to the understanding of the phenomenon of superconductivity with a paper in 1947 and two papers in 1948, cited in one of them with Max von Laue. In the period shortly after World War II, Heisenberg briefly returned to the subject of his doctoral thesis, turbulence. Three papers were published in 1948 as cited in and one in 1950., as cited in In the post-war period Heisenberg continued his interests in cosmic-ray showers with considerations on multiple production of mesons. He published three papers as cited in in 1949, two as cited in in 1952, and one in 1955. In late 1955 to early 1956, Heisenberg gave the Gifford Lectures at St Andrews University, in Scotland, on the intellectual history of physics. The lectures were later published as Physics and Philosophy: The Revolution in Modern Science. During 1956 and 1957, Heisenberg was the chairman of the Arbeitskreis Kernphysik (Nuclear Physics Working Group) of the Fachkommission II "Forschung und Nachwuchs" (Commission II "Research and Growth") of the Deutsche Atomkommission (DAtK, German Atomic Energy Commission). Other members of the Nuclear Physics Working Group in both 1956 and 1957 were: Walther Bothe, Hans Kopfermann (vice-chairman), Fritz Bopp, Wolfgang Gentner, Otto Haxel, Willibald Jentschke, Heinz Maier-Leibnitz, Josef Mattauch, Wolfgang Riezler, Wilhelm Walcher and Carl Friedrich von Weizsäcker. Wolfgang Paul was also a member of the group during 1957. In 1957, Heisenberg was a signatory of the Göttinger Manifest, taking a public stand against the Federal Republic of Germany arming itself with nuclear weapons. Heisenberg, like Pascual Jordan, thought politicians would ignore this statement by nuclear scientists. But Heisenberg believed that the Göttinger Manifest would "influence public opinion" which politicians would have to take into account. He wrote to Walther Gerlach: "We will probably have to keep coming back to this question in public for a long time because of the danger that public opinion will slacken." In 1961 Heisenberg signed the Memorandum of Tübingen alongside a group of scientists who had been brought together by Carl Friedrich von Weizsäcker and Ludwig Raiser. A public discussion between scientists and politicians ensued. As prominent politicians, authors and socialites joined the debate on nuclear weapons, the signatories of the memorandum took a stand against "the full-time intellectual nonconformists". From 1957 onwards, Heisenberg was interested in plasma physics and the process of nuclear fusion. He also collaborated with the International Institute of Atomic Physics in Geneva. He was a member of the Institute's scientific policy committee, and for several years was the Committee's chair. He was one of the eight signatories of the Memorandum of Tübingen which called for the recognition of the Oder–Neiße line as the official border between Germany and Poland and spoke against a possible nuclear armament of West Germany. In 1973, Heisenberg gave a lecture at Harvard University on the historical development of the concepts of quantum theory. On 24 March 1973 Heisenberg gave a speech before the Catholic Academy of Bavaria, accepting the Romano Guardini Prize. An English translation of his speech was published under the title "Scientific and Religious Truth", a quotation from which appears in a later section of this article. Philosophy and worldview Heisenberg admired Eastern philosophy and saw parallels between it and quantum mechanics, describing himself as in "complete agreement" with the book The Tao of Physics. Heisenberg even went as far to state that after conversations with Rabindranath Tagore about Indian philosophy "some of the ideas that seemed so crazy suddenly made much more sense". Regarding the philosophy of Ludwig Wittgenstein, Heisenberg disliked Tractatus Logico-Philosophicus but he liked "very much the later ideas of Wittgenstein and his philosophy about language." Heisenberg, a devout Christian,Marganau, Henry (1985). "Why am I a Christian". Truth Journal, Vol. I wrote: "We can console ourselves that the good Lord God would know the position of the [subatomic] particles, thus He would let the causality principle continue to have validity," in his last letter to Albert Einstein. Einstein continued to maintain that quantum physics must be incomplete because it implies that the universe is indeterminate at a fundamental level. In lectures given in the 1950s and later published as Physics and Philosophy, Heisenberg contended that scientific advances were leading to cultural conflicts. He stated that modern physics is "part of a general historical process that tends toward a unification and a widening of our present world". When Heisenberg accepted the in 1974, he gave a speech, which he later published under the title Scientific and Religious Truth. He mused: Autobiography and death Heisenberg's son, Martin Heisenberg, became a neurobiologist at the University of Würzburg, while his son Jochen Heisenberg became a physics professor at the University of New Hampshire. In his late sixties, Heisenberg penned his autobiography for the mass market. In 1969 the book was published in Germany, in early 1971 it was published in English and in the years thereafter in a string of other languages. Heisenberg had initiated the project in 1966, when his public lectures increasingly turned to the subjects of philosophy and religion. Heisenberg had sent the manuscript for a textbook on the unified field theory to the Hirzel Verlag and John Wiley & Sons for publication. This manuscript, he wrote to one of his publishers, was the preparatory work for his autobiography. He structured his autobiography in themes, covering: 1) The goal of exact science, 2) The problematic of language in atomic physics, 3) Abstraction in mathematics and science, 4) The divisibility of matter or Kant's antinomy, 5) The basic symmetry and its substantiation, and 6) Science and religion. Heisenberg wrote his memoirs as a chain of conversations, covering the course of his life. The book became a popular success, but was regarded as troublesome by historians of science. In the preface Heisenberg wrote that he had abridged historical events, to make them more concise. At the time of publication it was reviewed by Paul Forman in the journal Science with the comment "Now here is a memoir in the form of rationally reconstructed dialogue. And the dialogue as Galileo well knew, is itself a most insidious literary device: lively, entertaining, and especially suited for insinuating opinions while yet evading responsibility for them." Few scientific memoirs had been published, but Konrad Lorenz and Adolf Portmann had penned popular books that conveyed scholarship to a wide audience. Heisenberg worked on his autobiography and published it with the Piper Verlag in Munich. Heisenberg initially proposed the title Gespräche im Umkreis der Atomphysik (Conversations on atomic physics). The autobiography was published eventually under the title Der Teil und das Ganze (The part and the whole). The 1971 English translation was published under the title Physics and Beyond: Encounters and Conversations. Heisenberg died of kidney cancer at his home, on 1 February 1976. The next evening, his colleagues and friends walked in remembrance from the Institute of Physics to his home, lit a candle and placed it in front of his door. Heisenberg is buried in Munich Waldfriedhof. In 1980 his widow, Elisabeth Heisenberg, published The Political Life of an Apolitical Person (de, Das politische Leben eines Unpolitischen). In it she characterized Heisenberg as "first and foremost, a spontaneous person, thereafter a brilliant scientist, next a highly talented artist, and only in the fourth place, from a sense of duty, homo politicus." Honors and awards Heisenberg was awarded a number of honors: Honorary doctorates from the University of Brussels, the Technological University of Karlsruhe, and Eötvös Loránd University. Bavarian Order of Merit Romano Guardini Prize Grand Cross for Federal Service with Star Knight of the Order of Merit (Civil Class) Elected a Foreign Member of the Royal Society (ForMemRS) in 1955 Member of the Academies of Sciences of Göttingen, Bavaria, Saxony, Prussia, Sweden, Romania, Norway, Spain, The Netherlands (1939), Rome (Pontifical), the Deutsche Akademie der Naturforscher Leopoldina (Halle), the Accademia dei Lincei (Rome), and the American Academy of Sciences. 1932 – Nobel Prize in Physics "for the creation of quantum mechanics, the application of which has, inter alia, led to the discovery of the allotropic forms of hydrogen". 1933 – Max-Planck-Medaille of the Deutsche Physikalische GesellschaftResearch reports on nuclear physics The following reports were published in Kernphysikalische Forschungsberichte (Research Reports in Nuclear Physics), an internal publication of the German Uranverein. The reports were classified Top Secret, they had very limited distribution, and the authors were not allowed to keep copies. The reports were confiscated under the Allied Operation Alsos and sent to the United States Atomic Energy Commission for evaluation. In 1971, the reports were declassified and returned to Germany. The reports are available at the Karlsruhe Nuclear Research Center and the American Institute of Physics. Werner Heisenberg Die Möglichkeit der technischer Energiegewinnung aus der Uranspaltung G-39 (6 December 1939) Werner Heisenberg Bericht über die Möglichkeit technischer Energiegewinnung aus der Uranspaltung (II) G-40 (29 February 1940) Robert Döpel, K. Döpel, and Werner Heisenberg Bestimmung der Diffusionslänge thermischer Neutronen in schwerem Wasser G-23 (7 August 1940) Robert Döpel, K. Döpel, and Werner Heisenberg Bestimmung der Diffusionslänge thermischer Neutronen in Präparat 38 G-22 (5 December 1940) Robert Döpel, K. Döpel, and Werner Heisenberg Versuche mit Schichtenanordnungen von D2O und 38 G-75 (28 October 1941) Werner Heisenberg Über die Möglichkeit der Energieerzeugung mit Hilfe des Isotops 238 G-92 (1941) Werner Heisenberg Bericht über Versuche mit Schichtenanordnungen von Präparat 38 und Paraffin am Kaiser Wilhelm Institut für Physik in Berlin-Dahlem G-93 (May 1941) Fritz Bopp, Erich Fischer, Werner Heisenberg, Carl-Friedrich von Weizsäcker, and Karl Wirtz Untersuchungen mit neuen Schichtenanordnungen aus U-metall und Paraffin G-127 (March 1942) Robert Döpel Bericht über Unfälle beim Umgang mit Uranmetall G-135 (9 July 1942) Werner Heisenberg Bemerkungen zu dem geplanten halbtechnischen Versuch mit 1,5 to D2O und 3 to 38-Metall G-161 (31 July 1942) Werner Heisenberg, Fritz Bopp, Erich Fischer, Carl-Friedrich von Weizsäcker, and Karl Wirtz Messungen an Schichtenanordnungen aus 38-Metall und Paraffin G-162 (30 October 1942) Robert Döpel, K. Döpel, and Werner Heisenberg Der experimentelle Nachweis der effektiven Neutronenvermehrung in einem Kugel-Schichten-System aus D2O und Uran-Metall G-136 (July 1942) Werner Heisenberg Die Energiegewinnung aus der Atomkernspaltung G-217 (6 May 1943) Fritz Bopp, Walther Bothe, Erich Fischer, Erwin Fünfer, Werner Heisenberg, O. Ritter, and Karl Wirtz Bericht über einen Versuch mit 1.5 to D2O und U und 40 cm Kohlerückstreumantel (B7) G-300 (3 January 1945) Robert Döpel, K. Döpel, and Werner Heisenberg Die Neutronenvermehrung in einem D2O-38-Metallschichtensystem G-373 (March 1942) Other research publications The paper was received on 29 July 1925. [English translation in: ] This is the first paper in the famous trilogy which launched the matrix mechanics formulation of quantum mechanics. The paper was received on 27 September 1925. [English translation in: ] This is the second paper in the famous trilogy which launched the matrix mechanics formulation |
Marconi sent wireless telegraphic signals across the Atlantic Ocean in 1901, the system began being used for regular communication including ship-to-shore and ship-to-ship communication. With this development, wireless telegraphy came to mean radiotelegraphy, Morse code transmitted by radio waves. The first radio transmitters, primitive spark gap transmitters used until World War I, could not transmit voice (audio signals). Instead, the operator would send the text message on a telegraph key, which turned the transmitter on and off, producing short ("dot") and long ("dash") pulses of radio waves, groups of which comprised the letters and other symbols of the Morse code. At the receiver, the signals could be heard as musical "beeps" in the earphones by the receiving operator, who would translate the code back into text. By 1910, communication by what had been called "Hertzian waves" was being universally referred to as "radio", and the term wireless telegraphy has been largely replaced by the more modern term "radiotelegraphy". Continuous wave (CW) The primitive spark-gap transmitters used until 1920 transmitted by a modulation method called damped wave. As long as the telegraph key was pressed, the transmitter would produce a string of transient pulses of radio waves which repeated at an audio rate, usually between 50 and several thousand hertz. In a receiver's earphone, this sounded like a musical tone, rasp or buzz. Thus the Morse code "dots" and "dashes" sounded like beeps. Damped wave had a large frequency bandwidth, meaning that the radio signal was not a single frequency but occupied a wide band of frequencies. Damped wave transmitters had a limited range and interfered with the transmissions of other transmitters on adjacent frequencies. After 1905 new types of radiotelegraph transmitters were invented which transmitted code using a new modulation method: continuous wave (CW) (designated by the International Telecommunication Union as emission type A1A). As long as the telegraph key was pressed, the transmitter produced a continuous sinusoidal wave of constant amplitude. Since all the radio wave's energy was concentrated at a single frequency, CW transmitters could transmit further with a given power, and also caused virtually no interference to transmissions on adjacent frequencies. The first transmitters able to produce continuous wave were the arc converter (Poulsen arc) transmitter, invented by Danish engineer Valdemar Poulsen in 1903, and the Alexanderson alternator, invented 1906-1912 by Reginald Fessenden and Ernst Alexanderson. These slowly replaced the spark transmitters in high power radiotelegraphy stations. However, the radio receivers used for damped wave could not receive continuous wave. Because the CW signal produced while the key was pressed was just an unmodulated carrier wave, it made no sound in a receiver's earphones. To receive a CW signal, some way had to be found to make the Morse code carrier wave pulses audible in a receiver. This problem was solved by Reginald Fessenden in 1901. In his "heterodyne" receiver, the incoming radiotelegraph signal is mixed in the receiver's detector crystal or vacuum tube with a constant sine wave generated by an electronic oscillator in the receiver called a beat frequency oscillator (BFO). The frequency of the oscillator is offset from the radio transmitter's frequency . In the detector the two frequencies subtract, and a beat frequency (heterodyne) at the difference between the two frequencies is produced: . If the BFO frequency is near enough to the radio station's frequency, the beat frequency is in the audio frequency range and can be heard in the receiver's earphones. During the "dots" and "dashes" of the signal, the beat tone is produced, while between them there is no carrier so no tone is produced. Thus the Morse code is audible as musical "beeps" in the earphones. The BFO was rare until the invention in 1913 of the first practical electronic oscillator, the vacuum tube feedback oscillator by Edwin Armstrong. After this time BFOs were a standard part of radiotelegraphy receivers. Each time the radio was tuned to a different station frequency, the BFO frequency had to be changed also, so the BFO oscillator had to be tunable. In later superheterodyne receivers from the 1930s on, the BFO signal was mixed with the constant intermediate frequency (IF) produced by the superheterodyne's detector. Therefore, the BFO could be a fixed frequency. Continuous-wave vacuum tube transmitters replaced the other types of transmitter with the availability of power tubes after World War I because they were cheap. CW became the standard method of transmitting radiotelegraphy by the 20s, damped wave spark transmitters were banned by 1930 and CW continues to be used today. Even today most communications receivers produced for use in shortwave communication stations have BFOs. The radiotelegraphy industry The International Radiotelegraph Union was unofficially established at the first International Radiotelegraph Convention in 1906, and was merged into the International Telecommunication Union in 1932. When the United States entered World War I, private radiotelegraphy stations were prohibited, which put an end to several pioneers' work in this field. By the 1920s, there was a worldwide network of commercial and government radiotelegraphic stations, plus extensive use of radiotelegraphy by ships for both commercial purposes and passenger messages. The transmission of sound (radiotelephony) began to displace radiotelegraphy by the 1920s for many applications, making possible radio broadcasting. Wireless telegraphy continued to be used for private person-to-person business, governmental, and military communication, such as telegrams and diplomatic communications, and evolved into radioteletype networks. The ultimate implementation of wireless telegraphy was telex, using radio signals, which was developed in the 1930s and was for many years the only reliable form of communication between many distant countries. The most advanced standard, CCITT R.44, automated both routing and encoding of messages by short wave transmissions. Today, due to more modern text transmission methods, Morse code radiotelegraphy for commercial use has become obsolete. On shipboard, the computer and satellite-linked GMDSS system have largely replaced Morse as a means of communication. Regulation of radiotelegraphy Continuous wave (CW) radiotelegraphy is regulated by the International Telecommunication Union (ITU) as emission type A1A. The US Federal Communications Commission issues a lifetime commercial Radiotelegraph Operator License. This requires passing a simple written test on regulations, a more complex written exam on technology, and demonstrating Morse reception at 20 words per minute plain language and 16 wpm code groups. (Credit is given for amateur extra class licenses earned under the old 20 wpm requirement.) Gallery See also AT&T Corporation originally American Telephone and Telegraph Company Electrical telegraph Imperial Wireless Chain References and notes General American Institute of Electrical Engineers. (1908). "Wireless Telephony — By R. A. Fessenden (Illustrated.)", Transactions of the American Institute of Electrical Engineers. New York: American Institute of Electrical Engineers. Citations Further reading Listed by date [latest to earliest] Sarkar, T. K., & Baker, D. C. (2006). History of wireless. Hoboken, NJ: Wiley-Interscience. Hugh G. J. Aitken, Syntony and Spark: The Origins of Radio, . 1976. Elliot N. Sivowitch, A Technological Survey of Broadcasting’s Pre-History, Journal of Broadcasting, 15:1-20 (Winter 1970–71). Colby, F. M., Williams, T., & Wade, H. T. (1930). "Wireless Telegraphy", The New international encyclopaedia. New York: Dodd, Mead, and Co. "Wireless telegraphy", The Encyclopædia Britannica. (1922). London: Encyclopædia Britannica. Stanley, R. (1919). Text-book on wireless telegraphy. London: Longmans, Green Miessner, B. F. (1916). Radiodynamics: The wireless control of torpedoes and other mechanisms. New York: D. Van Nostrand Co Thompson, S. P. (1915). Elementary lessons in electricity and magnetism. New York: Macmillan. Stanley, R. (1914). Textbook on wireless telegraphy. London: Longmans, Green. Ashley, C. G., & Hayward, C. B. (1912). Wireless telegraphy and wireless telephony: an understandable presentation of the science of wireless transmission of intelligence. Chicago: American School of Correspondence. Massie, W. W., & Underhill, C. R. (1911). Wireless telegraphy and telephony popularly explained. New York: D. Van Nostrand. Captain S.S. Robison(1911). Developments in Wireless Telegraphy. International marine engineering, Volume 16. Simmons-Boardman Pub. Co. Bottone, S. R. (1910). Wireless telegraphy and Hertzian waves. London: Whittaker & Co. Erskine-Murray, J. (1909). A handbook of wireless telegraphy: its theory and practice, for the use of electrical engineers, students, and operators. New York: Van Nostrand. Twining, H. L. V., & Dubilier, W. (1909). Wireless telegraphy and high-frequency electricity; a manual containing detailed information for the construction of transformers, wireless telegraph, and high-frequency apparatus, with chapters on their theory and operation. Los Angeles, Cal: The author. The New Physics and Its Evolution. Chapter VII: A Chapter in the History of Science: Wireless telegraphy by Lucien Poincaré, eBook #15207, released February 28, 2005. [originally, published: New York, D. Appleton, and Company. 1909]. Fleming, J. A. (1908). The principles of electric wave telegraphy. London: New York and Co. Simmons, H. H. (1908). " Wireless telegraphy", Outlines of electrical engineering. London: Cassell and Co. Murray, J. E. (1907). A handbook of wireless telegraphy. New York: D. Van Nostrand Co.; [etc.]. Mazzotto, D., & Bottone, S. R. (1906). Wireless telegraphy and telephony. London: Whittaker & Co. Collins, A. F. (1905). Wireless telegraphy; its history, theory, and practice. New York: McGraw Pub. Sewall, C. H. (1904). Wireless telegraphy: its origins, development, inventions, and apparatus. New York: D. Van Nostrand. Trevert, E. (1904). The A.B.C. of wireless telegraphy; a plain treatise on Hertzian wave signaling; embracing theory, methods of operation, and how to build various pieces of the apparatus employed. Lynn, Mass: Bubier Pub. Fahie, J. J. (1900). A history of wireless telegraphy, 1838–1899: including some bare-wire proposals for subaqueous telegraphs. Edinburgh: W. Blackwood and Sons. Telegraphing across space, Electric wave method. The Electrical engineer. (1884). London: Biggs & Co. American Institute of | used to develop wireless telegraph systems that saw limited commercial application. In the United States, Thomas Edison, in the mid-1880s, patented an electromagnetic induction system he called "grasshopper telegraphy", which allowed telegraphic signals to jump the short distance between a running train and telegraph wires running parallel to the tracks. This system was successful technically but not economically, as there turned out to be little interest by train travelers in the use of an on-board telegraph service. During the Great Blizzard of 1888, this system was used to send and receive wireless messages from trains buried in snowdrifts. The disabled trains were able to maintain communications via their Edison induction wireless telegraph systems, perhaps the first successful use of wireless telegraphy to send distress calls. Edison would also help to patent a ship-to-shore communication system based on electrostatic induction. The most successful creator of an electromagnetic induction telegraph system was William Preece, chief engineer of Post Office Telegraphs of the General Post Office (GPO) in the United Kingdom. Preece first noticed the effect in 1884 when overhead telegraph wires in Grays Inn Road were accidentally carrying messages sent on buried cables. Tests in Newcastle succeeded in sending a quarter of a mile using parallel rectangles of wire. In tests across the Bristol Channel in 1892, Preece was able to telegraph across gaps of about . However, his induction system required extensive lengths of antenna wires, many kilometers long, at both the sending and receiving ends. The length of those sending and receiving wires needed to be about the same length as the width of the water or land to be spanned. For example, for Preece's station to span the English Channel from Dover, England, to the coast of France would require sending and receiving wires of about along the two coasts. These facts made the system impractical on ships, boats, and ordinary islands, which are much smaller than Great Britain or Greenland. Also, the relatively short distances that a practical Preece system could span meant that it had few advantages over underwater telegraph cables. Radiotelegraphy Over several years starting in 1894, the Italian inventor Guglielmo Marconi worked on adapting the newly discovered phenomenon of radio waves to communication, turning what was essentially a laboratory experiment up to that point into a useful communication system, building the first radiotelegraphy system using them. Preece and the GPO in Britain at first supported and gave financial backing to Marconi's experiments conducted on Salisbury Plain from 1896. Preece had become convinced of the idea through his experiments with wireless induction. However, the backing was withdrawn when Marconi formed the Wireless Telegraph & Signal Company. GPO lawyers determined that the system was a telegraph under the meaning of the Telegraph Act and thus fell under the Post Office monopoly. This did not seem to hold back Marconi. After Marconi sent wireless telegraphic signals across the Atlantic Ocean in 1901, the system began being used for regular communication including ship-to-shore and ship-to-ship communication. With this development, wireless telegraphy came to mean radiotelegraphy, Morse code transmitted by radio waves. The first radio transmitters, primitive spark gap transmitters used until World War I, could not transmit voice (audio signals). Instead, the operator would send the text message on a telegraph key, which turned the transmitter on and off, producing short ("dot") and long ("dash") pulses of radio waves, groups of which comprised the letters and other symbols of the Morse code. At the receiver, the signals could be heard as musical "beeps" in the earphones by the receiving operator, who would translate the code back into text. By 1910, communication by what had been called "Hertzian waves" was being universally referred to as "radio", and the term wireless telegraphy has been largely replaced by the more modern term "radiotelegraphy". Continuous wave (CW) The primitive spark-gap transmitters used until 1920 transmitted by a modulation method called damped wave. As long as the telegraph key was pressed, the transmitter would produce a string of transient pulses of radio waves which repeated at an audio rate, usually between 50 and several thousand hertz. In a receiver's earphone, this sounded like a musical tone, rasp or buzz. Thus the Morse code "dots" and "dashes" sounded like beeps. Damped wave had a large frequency bandwidth, meaning that the radio signal was not a single frequency but occupied a wide band of frequencies. Damped wave transmitters had a limited range and interfered with the transmissions of other transmitters on adjacent frequencies. After 1905 new types of radiotelegraph transmitters were invented which transmitted code using a new modulation method: continuous wave (CW) (designated by the International Telecommunication Union as emission type A1A). As long as the telegraph key was pressed, the transmitter produced a continuous sinusoidal wave of constant amplitude. Since all the radio wave's energy was concentrated at a single frequency, CW transmitters could transmit further with a given power, and also caused virtually no interference to transmissions on adjacent frequencies. The first transmitters able to produce continuous wave were the arc converter (Poulsen arc) transmitter, invented by Danish engineer Valdemar Poulsen in 1903, and the Alexanderson alternator, invented 1906-1912 by Reginald Fessenden and Ernst Alexanderson. These slowly replaced the spark transmitters in high power radiotelegraphy stations. However, the radio receivers used for damped wave could not receive continuous wave. Because the CW signal produced while the key was pressed was just an unmodulated carrier wave, it made no sound in a receiver's earphones. To receive a CW signal, some way had to be found to make the Morse code carrier wave pulses audible in a receiver. This problem was solved by Reginald Fessenden in 1901. In his "heterodyne" receiver, the incoming radiotelegraph signal is mixed in the receiver's detector crystal or vacuum tube with a constant sine wave generated by an electronic oscillator in the receiver called a beat frequency oscillator (BFO). The frequency of the oscillator is offset from the radio transmitter's frequency . In the detector the two frequencies subtract, and a beat frequency (heterodyne) at the difference between the two frequencies is produced: . If the BFO frequency is near enough to the radio station's frequency, the beat frequency is in the audio frequency range and can be heard in the receiver's earphones. During the "dots" and "dashes" of the signal, the beat tone is produced, while between them there is no carrier so no tone is produced. Thus the Morse code is audible as musical "beeps" in the earphones. The BFO was rare until the invention in 1913 of the first practical electronic oscillator, the vacuum tube feedback oscillator by Edwin Armstrong. After this time BFOs were a standard part of radiotelegraphy receivers. Each time the radio was tuned to a different station frequency, the BFO frequency had to be changed also, so the BFO oscillator had to be tunable. In later superheterodyne receivers from the 1930s on, the BFO signal was mixed with the constant intermediate frequency (IF) produced by the superheterodyne's detector. Therefore, the BFO could be a fixed frequency. Continuous-wave vacuum tube transmitters replaced the other types of transmitter with the availability of power tubes after World War I because they were cheap. CW became the standard method of transmitting radiotelegraphy by the 20s, damped wave spark transmitters were banned by 1930 and CW continues to be used today. Even today most communications receivers produced for use in shortwave communication stations have BFOs. The radiotelegraphy industry The International Radiotelegraph Union was unofficially established at the first International Radiotelegraph Convention in 1906, and was merged into the International Telecommunication Union in 1932. When the United States entered World War I, private radiotelegraphy stations were prohibited, which put an end to several pioneers' work in this field. By the 1920s, there was a worldwide network of commercial and government radiotelegraphic stations, plus extensive use of radiotelegraphy by ships for both commercial purposes and passenger messages. The transmission of sound (radiotelephony) began to displace radiotelegraphy by the 1920s for many applications, making possible radio broadcasting. Wireless telegraphy continued to be used for private person-to-person business, governmental, and military communication, such as telegrams and diplomatic communications, and evolved into radioteletype networks. The ultimate implementation of wireless telegraphy was telex, using radio signals, which was developed in the 1930s and was for many years the only reliable form of communication between many distant countries. The most advanced standard, CCITT R.44, automated both routing and encoding of messages by short wave transmissions. Today, due to more modern text transmission methods, Morse code radiotelegraphy for commercial use has become obsolete. On shipboard, the computer and satellite-linked GMDSS system have largely replaced Morse as a means of communication. Regulation of radiotelegraphy Continuous wave (CW) radiotelegraphy is regulated by the International Telecommunication Union (ITU) as emission type A1A. The US Federal Communications Commission issues a lifetime commercial Radiotelegraph Operator License. This requires passing a simple written test on regulations, a more complex written exam on technology, and demonstrating Morse reception at 20 words per minute plain language and 16 wpm code groups. (Credit is given for amateur extra class licenses earned under the old 20 wpm requirement.) Gallery See also AT&T Corporation originally American Telephone and Telegraph Company Electrical telegraph Imperial Wireless Chain References and notes General American Institute of Electrical Engineers. (1908). "Wireless Telephony — By R. A. Fessenden (Illustrated.)", Transactions of the American Institute of Electrical Engineers. New York: American Institute of Electrical Engineers. Citations Further reading Listed by date [latest to earliest] Sarkar, T. K., & Baker, D. C. (2006). History of wireless. Hoboken, NJ: Wiley-Interscience. Hugh G. J. Aitken, Syntony and Spark: The Origins of Radio, . 1976. Elliot N. Sivowitch, A Technological Survey of Broadcasting’s Pre-History, Journal of Broadcasting, 15:1-20 (Winter 1970–71). Colby, F. M., Williams, T., & Wade, H. T. (1930). "Wireless Telegraphy", The New international encyclopaedia. New York: Dodd, Mead, and Co. "Wireless telegraphy", The Encyclopædia Britannica. |
by his thesis advisor, John C. Slater. After receiving his doctorate, Shockley joined a research group headed by Clinton Davisson at Bell Labs in New Jersey. The next few years were productive for Shockley. He published a number of fundamental papers on solid state physics in Physical Review. In 1938, he received his first patent, "Electron Discharge Device", on electron multipliers. Career Shockley was one of the first recruits to Bell Labs by Mervin Kelly, who became director of research at the company in 1936 and focused on hiring solid-state physicists. Executives at Bell Labs had theorized that semiconductors may offer solid-state alternatives to the vacuum tubes used throughout Bell's nationwide telephone system. Shockley conceived a number of designs based on copper-oxide semiconductor materials, and with Walter Brattain unsuccessfully attempted to create a prototype in 1939. When World War II broke out, Shockley's prior research was interrupted and he became involved in radar research in Manhattan (New York City). In May 1942, he took leave from Bell Labs to become a research director at Columbia University's Anti-Submarine Warfare Operations Group. This involved devising methods for countering the tactics of submarines with improved convoying techniques, optimizing depth charge patterns, and so on. This project required frequent trips to the Pentagon and Washington, where Shockley met many high-ranking officers and government officials. In 1944, he organized a training program for B-29 bomber pilots to use new radar bomb sights. In late 1944 he took a three-month tour to bases around the world to assess the results. For this project, Secretary of War Robert Patterson awarded Shockley the Medal for Merit on October 17, 1946. In July 1945, the War Department asked Shockley to prepare a report on the question of probable casualties from an invasion of the Japanese mainland. Shockley concluded: This report influenced the decision of the United States to drop atomic bombs on Hiroshima and Nagasaki, which precipitated the unconditional surrender of Japan. Shockley was the first physicist to propose a log-normal distribution to model the creation process for scientific research papers. Development of the transistor Shortly after the war ended in 1945, Bell Labs formed a solid-state physics group, led by Shockley and chemist Stanley Morgan, which included John Bardeen, Walter Brattain, physicist Gerald Pearson, chemist Robert Gibney, electronics expert Hilbert Moore, and several technicians. Their assignment was to seek a solid-state alternative to fragile glass vacuum tube amplifiers. Its first attempts were based on Shockley's ideas about using an external electrical field on a semiconductor to affect its conductivity. These experiments failed every time in all sorts of configurations and materials. The group was at a standstill until Bardeen suggested a theory that invoked surface states that prevented the field from penetrating the semiconductor. The group changed its focus to study these surface states and they met almost daily to discuss the work. The rapport of the group was excellent, and ideas were freely exchanged. By the winter of 1946 they had enough results that Bardeen submitted a paper on the surface states to Physical Review. Brattain started experiments to study the surface states through observations made while shining a bright light on the semiconductor's surface. This led to several more papers (one of them co-authored with Shockley), which estimated the density of the surface states to be more than enough to account for their failed experiments. The pace of the work picked up significantly when they started to surround point contacts between the semiconductor and the conducting wires with electrolytes. Moore built a circuit that allowed them to vary the frequency of the input signal easily. Finally they began to get some evidence of power amplification when Pearson, acting on a suggestion by Shockley, put a voltage on a droplet of glycol borate placed across a P–n junction. Bell Labs' attorneys soon discovered Shockley's field effect principle had been anticipated and devices based on it patented in 1930 by Julius Lilienfeld, who filed his MESFET-like patent in Canada on October 22, 1925. Although the patent appeared "breakable" (it could not work) the patent attorneys based one of its four patent applications only on the Bardeen-Brattain point contact design. Three others (submitted first) covered the electrolyte-based transistors with Bardeen, Gibney and Brattain as the inventors. Shockley's name was not on any of these patent applications. This angered Shockley, who thought his name should also be on the patents because the work was based on his field effect idea. He even made efforts to have the patent written only in his name, and told Bardeen and Brattain of his intentions. Shockley, angered by not being included on the patent applications, secretly continued his own work to build a different sort of transistor based on junctions instead of point contacts; he expected this kind of design would be more likely to be commercially viable. The point contact transistor, he believed, would prove to be fragile and difficult to manufacture. Shockley was also dissatisfied with certain parts of the explanation for how the point contact transistor worked and conceived of the possibility of minority carrier injection. On February 13, 1948 another team member, John N. Shive, built a point contact transistor with bronze contacts on the front and back of thin wedge of germanium, proving that holes could diffuse through bulk germanium and not just along the surface as previously thought. Shive's invention sparked Shockley's invention of the junction transistor. A few months later he invented an entirely new, considerably more robust, type of transistor with a layer or 'sandwich' structure. This structure went on to be used for the vast majority of all transistors into the 1960s, and evolved into the bipolar junction transistor. Shockley later admitted that the workings of the team were "mixture of cooperation and competition". He also admitted that he kept some of his own work secret until his "hand was forced" by Shive's 1948 advance. Shockley worked out a rather complete description of what he called the "sandwich" transistor, and a first proof of principle was obtained on April 7, 1949. Meanwhile, Shockley worked on his magnum opus, Electrons and Holes in Semiconductors which was published as a | to propose a log-normal distribution to model the creation process for scientific research papers. Development of the transistor Shortly after the war ended in 1945, Bell Labs formed a solid-state physics group, led by Shockley and chemist Stanley Morgan, which included John Bardeen, Walter Brattain, physicist Gerald Pearson, chemist Robert Gibney, electronics expert Hilbert Moore, and several technicians. Their assignment was to seek a solid-state alternative to fragile glass vacuum tube amplifiers. Its first attempts were based on Shockley's ideas about using an external electrical field on a semiconductor to affect its conductivity. These experiments failed every time in all sorts of configurations and materials. The group was at a standstill until Bardeen suggested a theory that invoked surface states that prevented the field from penetrating the semiconductor. The group changed its focus to study these surface states and they met almost daily to discuss the work. The rapport of the group was excellent, and ideas were freely exchanged. By the winter of 1946 they had enough results that Bardeen submitted a paper on the surface states to Physical Review. Brattain started experiments to study the surface states through observations made while shining a bright light on the semiconductor's surface. This led to several more papers (one of them co-authored with Shockley), which estimated the density of the surface states to be more than enough to account for their failed experiments. The pace of the work picked up significantly when they started to surround point contacts between the semiconductor and the conducting wires with electrolytes. Moore built a circuit that allowed them to vary the frequency of the input signal easily. Finally they began to get some evidence of power amplification when Pearson, acting on a suggestion by Shockley, put a voltage on a droplet of glycol borate placed across a P–n junction. Bell Labs' attorneys soon discovered Shockley's field effect principle had been anticipated and devices based on it patented in 1930 by Julius Lilienfeld, who filed his MESFET-like patent in Canada on October 22, 1925. Although the patent appeared "breakable" (it could not work) the patent attorneys based one of its four patent applications only on the Bardeen-Brattain point contact design. Three others (submitted first) covered the electrolyte-based transistors with Bardeen, Gibney and Brattain as the inventors. Shockley's name was not on any of these patent applications. This angered Shockley, who thought his name should also be on the patents because the work was based on his field effect idea. He even made efforts to have the patent written only in his name, and told Bardeen and Brattain of his intentions. Shockley, angered by not being included on the patent applications, secretly continued his own work to build a different sort of transistor based on junctions instead of point contacts; he expected this kind of design would be more likely to be commercially viable. The point contact transistor, he believed, would prove to be fragile and difficult to manufacture. Shockley was also dissatisfied with certain parts of the explanation for how the point contact transistor worked and conceived of the possibility of minority carrier injection. On February 13, 1948 another team member, John N. Shive, built a point contact transistor with bronze contacts on the front and back of thin wedge of germanium, proving that holes could diffuse through bulk germanium and not just along the surface as previously thought. Shive's invention sparked Shockley's invention of the junction transistor. A few months later he invented an entirely new, considerably more robust, type of transistor with a layer or 'sandwich' structure. This structure went on to be used for the vast majority of all transistors into the 1960s, and evolved into the bipolar junction transistor. Shockley later admitted that the workings of the team were "mixture of cooperation and competition". He also admitted that he kept some of his own work secret until his "hand was forced" by Shive's 1948 advance. Shockley worked out a rather complete description of what he called the "sandwich" transistor, and a first proof of principle was obtained on April 7, 1949. Meanwhile, Shockley worked on his magnum opus, Electrons and Holes in Semiconductors which was published as a 558-page treatise in 1950. The tome included Shockley's critical ideas of drift and diffusion and the differential equations that govern the flow of electrons in solid state crystals. Shockley's diode equation is also described. This seminal work became the reference text for other scientists working to develop and improve new variants of the transistor and other devices based on semiconductors. This resulted in his invention of the bipolar "junction transistor", which was announced at a press conference on July 4, 1951. In 1951, he was elected to the National Academy of Sciences (NAS). He was forty-one years old; this was rather young for such an election. Two years later, he was chosen as the recipient of the prestigious Comstock Prize for Physics by the NAS, and was the recipient of many other awards and honors. The ensuing publicity generated by the "invention of the transistor" often thrust Shockley to the fore, much to the chagrin of Bardeen and Brattain. Bell Labs management, however, consistently presented all three inventors as a team. Though Shockley would correct the record where reporters gave him sole credit for the invention, he eventually infuriated and alienated Bardeen and Brattain, and he essentially blocked the two from working on the junction transistor. Bardeen began pursuing a theory for superconductivity and left Bell Labs in 1951. Brattain refused to work with Shockley further and was assigned to another group. Neither Bardeen nor Brattain had much to do with the development of the transistor beyond the first year after its invention. Shockley Semiconductor In 1956 Shockley moved from New Jersey to Mountain View, California to start Shockley Semiconductor Laboratory to live closer to his ailing and elderly mother in Palo Alto, California. The company, a division of Beckman Instruments, Inc., was the first establishment working on silicon semiconductor devices in what came to be known as Silicon Valley. After he received the Nobel Prize in 1956 his demeanor changed, as evidenced in his increasingly autocratic, erratic and hard-to-please management style. Shockley became increasingly domineering and paranoid. In one well-known incident, he demanded lie detector tests to find the "culprit" after a company secretary suffered a minor cut. In late 1957, eight of Shockley's researchers, who would come to be known as the "traitorous eight", resigned after Shockley decided not to continue research into silicon-based semiconductors. They went on to form Fairchild Semiconductor, a loss from which Shockley Semiconductor never recovered and which led to its purchase by another company three years later. Over the course of the next 20 years, more than 65 new enterprises would end up having employee connections back to Fairchild. A group of about thirty colleagues who had met on and off since 1956 met again at Stanford in 2002 to reminisce about their time with Shockley and his central role in sparking the information technology revolution. The group's organizer said, "Shockley is the man who brought silicon to Silicon Valley." Views on race and eugenics After Shockley left his role as director of Shockley Semiconductor, he joined Stanford University, where in 1963 he |
On December 16, Brattain devised a method of placing two gold leaf contacts close together on a germanium surface. Brattain reported: "Using this double point contact, contact was made to a germanium surface that had been anodized to 90 volts, electrolyte washed off in H2O and then had some gold spots evaporated on it. The gold contacts were pressed down on the bare surface. Both gold contacts to the surface rectified nicely... One point was used as a grid and the other point as a plate. The bias (D.C.) on the grid had to be positive to get amplification" As described by Bardeen, "The initial experiments with the gold spot suggested immediately that holes were being introduced into the germanium block, increasing the concentration of holes near the surface. The names emitter and collector were chosen to describe this phenomenon. The only question was how the charge of the added holes was compensated. Our first thought was that the charge was compensated by surface states. Shockley later suggested that the charge was compensated by electrons in the bulk and suggested the junction transistor geometry... Later experiments carried out by Brattain and me showed that very likely both occur in the point-contact transistor." On December 23, 1947, Walter Brattain, John Bardeen, and William B. Shockley demonstrated the first working transistor to their colleagues at Bell Laboratories. Amplifying small electrical signals and supporting the processing of digital information, the transistor is "the key enabler of modern electronics". The three men received the Nobel Prize in Physics in 1956 "for research on semiconductors and the discovery of the transistor effect." Convinced by the 1947 demonstration that a major breakthrough was being made, Bell Laboratories focused intensively on what it now called the Surface States Project. Initially, strict secrecy was observed. Carefully restricted internal conferences within Bell Labs shared information about the work of Brattain, Bardeen, Shockley and others who were engaged in related research. Patents were registered, recording the invention of the point-contact transistor by Bardeen and Brattain. There was considerable anxiety over whether Ralph Bray and Seymour Benzer, studying resistance in germanium at Purdue University, might make a similar discovery and publish before Bell Laboratories. On June 30, 1948, Bell Laboratories held a press conference to publicly announce their discovery. They also adopted an open policy in which new knowledge was freely shared with other institutions. By doing so, they avoided classification of the work as a military secret, and made possible widespread research and development of transistor technology. Bell Laboratories organized several symposia, open to university, industry and military participants, which were attended by hundreds of scientists in September 1951, April 1952, and 1956. Representatives from international as well as domestic companies attended. Shockley believed (and stated) that he should have received all the credit for the discovery of the transistor. He actively excluded Bardeen and Brattain from new areas of research, in particular the junction transistor, which Shockley patented. Shockley's theory of the junction transistor was an "impressive achievement", pointing the way to future solid-state electronics, but it would be several years before its construction would become practically possible. Brattain transferred to another research group within Bell Laboratories, working with C. G. B. Garrett, and P. J. Boddy. He continued to study the surface properties of solids and the "transistor effect", so as to better understand the various factors underlying semiconductor behavior. Describing it as "an intolerable situation", Bardeen left Bell Laboratories in 1951 to go to the University of Illinois, where he eventually won a second Nobel Prize for his theory of superconductivity. Shockley left Bell Laboratories in 1953 and went on to form the Shockley Semiconductor Laboratory at Beckman Instruments. In 1956, the three men were jointly awarded the Nobel Prize in Physics by King Gustaf VI Adolf of Sweden "for research on semiconductors and the discovery of the transistor effect." Bardeen and Brattain were included for the discovery of the point-contact transistor; Shockley for the development of the junction transistor. Walter Brattain is credited as having said, when told of the award, "I certainly appreciate the honor. It is a great satisfaction to have done something in life and to have been recognized for it in this way. However, much of my good fortune comes from being in the right place, at the right time, and having the right sort of people to work with." Each of the three gave a lecture. Brattain spoke on Surface Properties of Semiconductors, Bardeen on Semiconductor Research Leading to the Point Contact Transistor, and Shockley on Transistor Technology Evokes New Physics. Brattain later collaborated with P. J. Boddy and P. N. Sawyer on several papers on electrochemical processes in living matter. He became interested in blood clotting after his son required heart surgery. He also collaborated with Whitman chemistry professor David Frasco, using phospholipid bilayers as a model to study the surface of living cells and their absorption processes. Teaching Brattain taught at Harvard University as a visiting lecturer in 1952 and at Whitman College as a visiting lecturer in 1962 and 1963, and a visiting professor beginning in 1963. Upon formally retiring from Bell Laboratories in 1967, he continued to teach at Whitman, becoming an adjunct professor in 1972. He retired from teaching in 1976 but continued to be a consultant at Whitman. At Whitman, the Walter Brattain Scholarships are awarded on a merit basis to "entering students who have achieved high academic excellence in their college preparatory work." All applicants for admission are considered for the scholarship, which is potentially renewable for four years. Awards and honors Walter Brattain has been widely recognized for his contributions. Awards Stuart Ballantine Medal of the Franklin Institute, 1952 (jointly with Dr. John Bardeen) John Scott Medal, 1954 (jointly with Dr. John Bardeen) Nobel Prize in Physics, 1956 (jointly with Dr. John Bardeen and Dr. William B. Shockley) Inducted into the National Inventors Hall of Fame, 1974 Memberships National Academy of Sciences Franklin Institute American Physical Society American Academy of Arts and Sciences American Association for the Advancement of Science. commission on semiconductors of the International Union of Pure and Applied Physics Naval Research Advisory Committee Honorary degrees Doctor of Science, Portland University, 1952 Whitman College, 1955 Union College, 1955 (jointly with Dr. John Bardeen) University of Minnesota, 1957 References External links Walter Brattain family papers at the Whitman College and Northwest Archives, | the failure to conduct might be the result of local variations in the surface state which trapped the charge carriers. Brattain and Bardeen eventually managed to create a small level of amplification by pushing a gold metal point into the silicon, and surrounding it with distilled water. Replacing silicon with germanium enhanced the amplification, but only for low frequency currents. On December 16, Brattain devised a method of placing two gold leaf contacts close together on a germanium surface. Brattain reported: "Using this double point contact, contact was made to a germanium surface that had been anodized to 90 volts, electrolyte washed off in H2O and then had some gold spots evaporated on it. The gold contacts were pressed down on the bare surface. Both gold contacts to the surface rectified nicely... One point was used as a grid and the other point as a plate. The bias (D.C.) on the grid had to be positive to get amplification" As described by Bardeen, "The initial experiments with the gold spot suggested immediately that holes were being introduced into the germanium block, increasing the concentration of holes near the surface. The names emitter and collector were chosen to describe this phenomenon. The only question was how the charge of the added holes was compensated. Our first thought was that the charge was compensated by surface states. Shockley later suggested that the charge was compensated by electrons in the bulk and suggested the junction transistor geometry... Later experiments carried out by Brattain and me showed that very likely both occur in the point-contact transistor." On December 23, 1947, Walter Brattain, John Bardeen, and William B. Shockley demonstrated the first working transistor to their colleagues at Bell Laboratories. Amplifying small electrical signals and supporting the processing of digital information, the transistor is "the key enabler of modern electronics". The three men received the Nobel Prize in Physics in 1956 "for research on semiconductors and the discovery of the transistor effect." Convinced by the 1947 demonstration that a major breakthrough was being made, Bell Laboratories focused intensively on what it now called the Surface States Project. Initially, strict secrecy was observed. Carefully restricted internal conferences within Bell Labs shared information about the work of Brattain, Bardeen, Shockley and others who were engaged in related research. Patents were registered, recording the invention of the point-contact transistor by Bardeen and Brattain. There was considerable anxiety over whether Ralph Bray and Seymour Benzer, studying resistance in germanium at Purdue University, might make a similar discovery and publish before Bell Laboratories. On June 30, 1948, Bell Laboratories held a press conference to publicly announce their discovery. They also adopted an open policy in which new knowledge was freely shared with other institutions. By doing so, they avoided classification of the work as a military secret, and made possible widespread research and development of transistor technology. Bell Laboratories organized several symposia, open to university, industry and military participants, which were attended by hundreds of scientists in September 1951, April 1952, and 1956. Representatives from international as well as domestic companies attended. Shockley believed (and stated) that he should have received all the credit for the discovery of the transistor. He actively excluded Bardeen and Brattain from new areas of research, in particular the junction transistor, which Shockley patented. Shockley's theory of the junction transistor was an "impressive achievement", pointing the way to future solid-state electronics, but it would be several years before its construction would become practically possible. Brattain transferred to another research group within Bell Laboratories, working with C. G. B. Garrett, and P. J. Boddy. He continued to study the surface properties of solids and the "transistor effect", so as to better understand the various factors underlying semiconductor behavior. Describing it as "an intolerable situation", Bardeen left Bell Laboratories in 1951 to go to the University of Illinois, where he eventually won a second Nobel Prize for his theory of superconductivity. Shockley left Bell Laboratories in 1953 and went on to form the Shockley Semiconductor Laboratory at Beckman Instruments. In 1956, the three men were jointly awarded the Nobel Prize in Physics by King Gustaf VI Adolf of Sweden "for research on semiconductors and the discovery of the transistor effect." Bardeen and Brattain were included for the discovery of the point-contact transistor; Shockley for the development of the junction transistor. Walter Brattain is credited as having said, when told of the award, "I certainly appreciate the honor. It is a great satisfaction to have done something in life and to have been recognized for it in this way. However, much of my good fortune comes from being in the right place, at the right time, and having the right sort of people to work with." Each of the three gave a lecture. Brattain spoke on Surface Properties of Semiconductors, Bardeen on Semiconductor Research Leading to the Point Contact Transistor, and Shockley on Transistor Technology Evokes New Physics. Brattain later collaborated with P. J. Boddy and P. N. Sawyer on several papers on electrochemical processes in living matter. He became interested in blood clotting after his son required heart surgery. He also collaborated with Whitman chemistry professor David Frasco, using phospholipid bilayers as a model to study the surface of living cells and their absorption processes. Teaching Brattain taught at Harvard University as a visiting lecturer in 1952 and at Whitman College as a visiting lecturer in 1962 and 1963, and a visiting professor beginning in 1963. Upon formally retiring from Bell Laboratories in 1967, he continued to teach at Whitman, becoming an adjunct professor in 1972. He retired from teaching in 1976 but continued to be a consultant at Whitman. At Whitman, the Walter Brattain Scholarships are awarded on a merit basis to "entering students who have achieved high academic excellence in their college preparatory work." All applicants for admission are considered for the scholarship, which is potentially renewable for four years. Awards and honors Walter Brattain has been widely recognized for his |
of ownership. As Feld states in page 31: “This complex traffic in sounds money and media is rooted in the nature of revitalization through appropriation.” There are collaborations between African and American popular music artists that raise questions on who is benefiting from said collaborations.(Feld 31) Feld mentions the example of “That was your mother”. Alton Rubin and his band the Twisters collaborated with Paul Simon on the song that possessed a zydeco feel, signature of Dopsie's band. Even though Paul Simon wrote and sang the lyrics with them, the whole copyright is attributed to Paul and not to the band as well. (Feld 34) Because of crossovers like this one, where there was a disproportional gain when covering non-western music. Feld states that “…international music scene, where worldwide media contact, amalgamation of the music industry towards world record sales domination by three enormous companies, and extensive copyright controls by a few Western countries are having a riveting effect on the commodification of musical skill and styles, and on the power of musical ownership.” (Feld 32) Immigration also heavily influences world music, providing a variety of options for the wider public. In the 1970s Punjabi music was greatly popular in the UK because of its growing Punjabi diaspora. (Schreffler 347) Bhangra music was also greatly covered by its diaspora in cities like New York and Chicago. (Schreffler 351) For a more mainstream integration, the Punjabi music scene integrated collaborations with rappers and started gaining more recognition. One of these successful attempts was a remix of the song “Mundiān ton Bach ke” called “Beware of the Boys” by Panjabi MC featuring Jay Z. (Schreffler 354) Collaborations between outsider artists provided an integration of their music, even with foreign instrumentation, into the popular music scene. Immigration, being a great part of music exportation, plays a big role in cultural identity. Immigrant communities use music to feel as if they are home and future generations it plays the role of educating or giving insight into what their culture is about. In Punjabi culture, music became the carrier of culture around the world. (Schreffler 355) Radio programs World music radio programs today often play African hip hop or reggae artists, crossover Bhangra and Latin American jazz groups, etc. Common media for world music include public radio, webcasting, the BBC, NPR, and the (Australian Broadcasting Corporation). By default, non-region-specific or multi-cultural world music projects are often listed under the generic category of world music. Examples of radio shows that feature world music include The Culture Cafe on WWUH West Hartford, World of Music on Voice of America, Transpacific Sound Paradise on WFMU, The Planet on Australia's ABC Radio National, DJ Edu presenting D.N.A: DestiNation Africa on BBC Radio 1Xtra, Adil Ray on the BBC Asian Network, Andy Kershaw's show on BBC Radio 3 and Charlie Gillett's show on the BBC World Service. Awards The BBC Radio 3 Awards for World Music was an award given to world music artists between 2002 and 2008, sponsored by BBC Radio 3. The award was thought up by fRoots magazine's editor Ian Anderson, inspired by the BBC Radio 2 Folk Awards. Award categories included: Africa, Asia/Pacific, Americas, Europe, Mid East and North Africa, Newcomer, Culture Crossing, Club Global, Album of the Year, and Audience Award. Initial lists of nominees in each category were selected annually by a panel of several thousand industry experts. Shortlisted nominees were voted on by a twelve-member jury, which selected the winners in every category except for the Audience Award category. These jury members were appointed and presided over by the BBC. The annual awards ceremony was held at the BBC Proms and winners were given an award called a "Planet". In March 2009, the BBC made a decision to axe the BBC Radio 3 Awards for World Music. In response to the BBC's decision to end its awards program, the British world music magazine Songlines launched the Songlines Music Awards in 2009 "to recognise outstanding talent in world music". The WOMEX Awards were introduced in 1999 to honor the high points of world music on an international level and to acknowledge musical excellence, social importance, commercial success, political impact and lifetime achievement. Every October at the WOMEX event, the award figurine—an ancient mother goddess statue dating back about 6000 years to the Neolithic age—is presented in an award ceremony to a worthy member of the world music community. Festivals Many festivals are identified as being "world music"; here's a small representative selection: The WOMAD Foundation organizes festivals in countries around the world. Australia The Globe to Globe World Music Festival takes place in the City of Kingston, Melbourne, for 2 days each year in January. Bangladesh The Dhaka World Music Festival takes place in Dhaka. Belgium Sfinks Festival in Boechout, Belgium is a 4-day world music festival. Canada Sunfest is an annual 4-day world music festival that happens in London, Ontario, primarily in Victoria Park; it typically runs the weekend after Canada Day in early July. Croatia Ethnoambient is a two- or three-day world music festival held every summer since 1998 in Solin, Dalmatia, in southern Croatia. France The Festival de l'Inde takes place in Evian, Haute-Savoie. ("World Music Day") was initiated in 1982 in France. World Music Day has been celebrated on 21 June every year since then. Germany The TFF Rudolstadt takes place annually on the first full July weekend in Rudolstadt, Thuringia, Germany. The German World Music Festival der Klangfreunde takes place every first weekend of August, at Schlosspark Loshausen. Klangfreunde e. V. is a non-profit organization. Wilde Töne, Festival für Folk- und Weltmusik in Braunschweig Germany Ghana SUNSET MUSIC FESTIVAL (Free Electronic Dance Music Festival) was established in (2020) at Busua Beach in the Western Region, by Djsky S K Y M U S I C. Hungary WOMUFE (World Music Festival) in Budapest, Hungary (1992) The WOMEX when in Budapest (2015) Iceland Fest Afrika Reykjavík takes place every September. India Udaipur World Music Festival The Lakshminarayana Global Music Festival (LGMF) takes place annually during December–January, often across several major cities in India. The LGMF has also traveled to 22 countries. Indonesia Matasora World Music Festival is held in Bandung, Java. Iran The Fajr International Music Festival is Iran's most prestigious music festival, founded in 1986. The festival is affiliated with UNESCO and includes national and international competition sections. Since its establishment, many musicians from several countries like Austria, Germany, France have participated in the event. The festival has enjoyed a strong presence of Asian countries as well. Italy The Ariano Folkfestival is a five-day world music festival held every summer in Ariano Irpino, a small town in southern Italy. The World Music Festival Lo Sguardo di Ulisse was first held in 1997 in Campania, Italy. North Macedonia OFFest is a five-day world music festival held every summer since 2002 in Skopje. Malaysia The Rainforest World Music Festival is an annual three-day music festival held in Kuching, Sarawak, Malaysia. Mali The Festival au Désert took place every year from 2001 until 2012 in Mali, West Africa, and achieved international status in spite of the difficulties of reaching its location. Morocco Mawazine is a festival of world music that takes place annually in Rabat, Morocco, featuring Arab and international music icons. New Zealand A world music festival is held in New Plymouth, New Zealand, in early March each year, namely the New Zealand location of WOMAD. Nigeria World Music day is usually celebrated for one week in Lagos, Nigeria at different location around the state. Poland Poland's Cross-Culture Warsaw Festival is held in September each year. Brave Festival, Wrocław, Poland. July each year. Ethno Port, Poznań, Poland. June each year. Ethno Jazz Festival in Wrocław, Poland. Several events throughout the whole year. Different Sounds (Inne brzmienia), Lublin, Poland. July each year. Francophonic Festival in Warsaw, Poland. March each year. Nowa Tradycja (New Tradition), Warsaw, Poland. May each year. Siesta Festival, Gdańsk, Poland. First edition in April/May 2011. Portugal Festival Músicas do Mundo, Sines, Setúbal District is a world music festival first held in 1998. Romania Méra World Music Festival takes place annually at the end of July or the beginning of August (including the first weekend of August) in the rural farms of Méra village (Kalotaszeg Region/ Țara Călatei, Cluj County, Romania). It was held for the first time in 2016 and it is the only world music festival in Transylvania. Besides the diverse international musical program, "Méra World Music" offers a unique insight into the local traditional folk culture. "Plai Festival" in Timișoara Serbia The Serbia World Music Festival is a three-day world music festival held every summer in Takovo, a small village in central Serbia. Spain Spain's most important world music festivals are: Etnosur, in Alcalá la Real, Jaén (Andalucía region) Pirineos Sur, in Aragón region Festival Internacional de Música Popular Tradicional in Vilanova i la Geltrú / Vilanova International World Music Festival (Catalonia) La Mar de Músicas, in Cartagena (Murcia region) Fira Mediterrània, in Manresa (Catalonia) The WOMEX when in Seville (2003, 2006, 2007, 2008) Territorios, in Seville Sweden The "Yoga Mela" Yoga & Sacred Music Festival is held annually in Skåne County. Tanzania Sauti za Busara is an all-African music festival, held every year in February in Zanzibar, Tanzania. Turkey Konya Mystic Music Festival is held annually in Konya since 2004, in recent years in commemoration of Rumi's birthday. The festival features traditional music from around the world with a mystical theme, religious function or sacred content. The Fethiye World Music Festival presents musicians from different countries of the world. Uganda The Milege World Music Festival has become a big festival in Uganda inviting musicians and fans from all over Africa and the rest of the world to enjoy live music, games, sports and so on. The festival runs for three consecutive days every November at the Botanical Gardens, Entebbe, Uganda. Ukraine Svirzh World Music Festival (Lviv region) United Kingdom Glastonbury Festival is an annual five-day festival of contemporary performing arts held in Pilton, Somerset, near Glastonbury. Musicport World Music Festival is held annually at The Spa Pavilion, Whitby, North Yorkshire. The Music Village Festival is held every two years in London and has been running since 1987. It is organised by the Cultural Co-operation. Drum Camp, established in 1996, is a unique world music festival, combining singing, dancing, and drumming workshops during the day with live concerts at night. World Music Month, started in October 1987, is a music festival held at the O2 Forum Kentish Town in London; it was the start of the winter season for both WOMAD and Arts Worldwide. WOMAD Charlton Park has been running annually since 1986 and is held at Charlton Park in Wiltshire. United States The Sierra Nevada World Music Festival is an annual music festival held every June on the weekend of or the weekend following the summer solstice. It is currently held at the Mendocino County Fairgrounds in Boonville, California. | Saltboy of the Navajo Indian Nation. World fusion The subgenre world fusion is often mistakenly assumed to refer exclusively to a blending of Western jazz fusion elements with world music. Although such a hybrid expression falls easily into the world fusion category, the suffix "fusion" in the term world fusion should not be assumed to mean jazz fusion. Western jazz combined with strong elements of world music is more accurately termed world fusion jazz, ethnic jazz or non-Western jazz. World fusion and global fusion are nearly synonymous with the genre term worldbeat, and though these are considered subgenres of popular music, they may also imply universal expressions of the more general term world music. In the 1970s and 80s, fusion in the jazz music genre implied a blending of jazz and rock music, which is where the misleading assumption is rooted. Precursors Millie Small released "My Boy Lollipop" in 1964. Small's version was a hit, reaching number 2 both in the UK Singles Chart and in the US Billboard Hot 100. In the 1960s, Miriam Makeba and Hugh Masekela had popular hits in the USA. In 1969 Indian musician Ravi Shankar played sitar at the Woodstock festival. In the 1970s, Manu Dibango's funky track "Soul Makossa" (1972) became a hit, and Osibisa released "Sunshine Day" (1976). Fela Kuti created Afrobeat and Femi Kuti, Seun Kuti and Tony Allen followed Fela Kuti's funky music. Salsa musicians such as José Alberto "El Canario", Ray Sepúlveda, Johnny Pacheco, Fania All-Stars, Ray Barretto, Rubén Blades, Gilberto Santa Rosa, Roberto Roena, Bobby Valentín, Eddie Palmieri, Héctor Lavoe and Willie Colón developed Latin music. The Breton musician Alan Stivell pioneered the connection between traditional folk music, modern rock music and world music with his 1972 album Renaissance of the Celtic Harp. Around the same time, Stivell's contemporary, Welsh singer-songwriter Meic Stevens popularised Welsh folk music. Neo-traditional Welsh language music featuring a fusion of modern instruments and traditional instruments such as the pibgorn and the Welsh harp has been further developed by Bob Delyn a'r Ebillion. Lebanese musical pioneer Lydia Canaan fused Middle-Eastern quarter notes and microtones with anglophone folk, and is listed in the catalog of the Rock and Roll Hall of Fame and Museum's Library and Archives as the first rock star of the Middle East. Popular genres Although it primarily describes traditional music, the world music category also includes popular music from non-Western urban communities (e.g. South African "township" music) and non-European music forms that have been influenced by other so-called third-world musics (e.g. Afro-Cuban music). The inspiration of Zimbabwe's Thomas Mapfumo in blending the Mbira (finger Piano) style onto the electric guitar, saw a host of other Zimbabwean musicians refining the genre, none more successfully than The Bhundu Boys. The Bhundu Jit music hit Europe with some force in 1986, taking Andy Kershaw and John Peel fully under its spell. For many years, Paris has attracted numerous musicians from former colonies in West and North Africa. This scene is aided by the fact that there are many concerts and institutions that help to promote the music. Algerian and Moroccan music have an important presence in the French capital. Hundreds of thousands of Algerian and Moroccan immigrants have settled in Paris, bringing the sounds of Amazigh (Berber), raï, and Gnawa music. The West African music community is also very large, integrated by people from Senegal, Mali, Ivory Coast, and Guinea. Unlike musical styles from other regions of the globe, the American music industry tends to categorize Latin music as its own genre and defines it as any music sung in Spanish from the Spanish-speaking world. Western The most common name for this form of music is also "folk music", but is often called "contemporary folk music" or "folk revival music" to make the distinction. The transition was somewhat centered in the US and is also called the American folk music revival. Fusion genres such as folk rock and others also evolved within this phenomenon. 1987 industry meeting On 29 June 1987, a meeting of interested parties gathered to capitalize on the marketing of non-Western folk music. Paul Simon had released the world music-influenced album Graceland in 1986. The concept behind the album had been to express his own sensibilities using the sounds he had fallen in love with while listening to artists from Southern Africa, including Ladysmith Black Mambazo and Savuka. This project and the work of Peter Gabriel and Johnny Clegg among others had, to some degree, introduced non-Western music to a wider audience. They saw this as an opportunity. In an unprecedented move, all of the world music labels coordinated together and developed a compilation cassette for the cover of the music magazine NME. The overall running time was 90 minutes, each package containing a mini-catalog showing the other releases on offer. By the time of a second meeting it became clear that a successful campaign required its own dedicated press officer. The press officer would be able to juggle various deadlines and sell the music as a concept—not just to national stations, but also regional DJs keen to expand their musical variety. DJs were a key resource as it was important to make "world music" important to people outside London—most regions after all had a similarly heritage to tap into. A cost-effective way of achieving all this would be a leafleting campaign. The next step was to develop a world music chart, gathering together selling information from around fifty shops, so that it would finally be possible to see which were big sellers in the genre—so new listeners could see what was particularly popular. It was agreed that the NME could again be involved in printing the chart and also Music Week and the London listings magazine City Limits. It was also suggested that Andy Kershaw might be persuaded to do a run down of this chart on his show regularly. Relationship to immigration and multiculturalism In most wealthy industrialized countries, large amounts of immigration from other regions has been ongoing for many decades. This has introduced non-Western music to Western audiences not only as "exotic" imports, but also as local music played by fellow citizens. But the process is ongoing and continues to produce new forms. In the 2010s several musicians from immigrant communities in the West rose to global popularity, such as Haitian-American Wyclef Jean, Somali-Canadian K'naan, Tamil-Briton M.I.A., or Colombian Shakira, often blending the music of their heritage with hip-hop or pop. Cuban-born singer-songwriter Addys Mercedes started her international career from Germany mixing traditional elements of Son with pop. Once, an established Western artist might collaborate with an established African artist to produce an album or two. Now, new bands and new genres are built from the ground up by young performers. For example, the Punjabi-Irish fusion band Delhi 2 Dublin is from neither India nor Ireland, but Vancouver, British Columbia, Canada. Country for Syria, an Istanbul based music collective, blends American Country music with the music of Syrian refugees and local Turkish music. Musicians and composers also work collectively to create original compositions for various combinations of western and non western instruments. The introduction of non-western music into western culture created a fusion that influenced both parties. (Feld |
two reconcile. He has since returned to the group. In 2004, the group embarked on a short European tour before coming together as a complete group for the first time in several years to headline the Rock the Bells festival in California. The concert was released on CD under the name Disciples of the 36 Chambers: Chapter 1, and they also released a music-video greatest hits album, Legend of the Wu-Tang Clan. Death of Ol' Dirty Bastard Ol' Dirty Bastard's career was tumultuous. His run-ins with the law were well publicized—he was arrested several times for offenses including assault, shoplifting, wearing body armor after being convicted of a felony, and possession of cocaine, and he missed multiple court dates. In April 2001, he was sentenced to two to four years in prison. Once released from prison, he signed a million-dollar contract with Roc-a-Fella Records. On November 13, 2004, Ol' Dirty Bastard collapsed at Wu-Tang's recording studio in New York City, and was pronounced dead later that night. Wu-Tang Clan paid him homage a number of times: in August 2006, one of his sons came out at a Wu-Tang concert at Webster Hall and rapped "Brooklyn Zoo", along with his mother, and during a concert at the Hammerstein Ballroom the Clan brought his mother out on stage for a sing-along to "Shimmy Shimmy Ya". 2005–10: Solo albums and 8 Diagrams In 2005, RZA released a book titled The Wu-Tang Manual. In the same year, U-God's second album, Mr. Xcitement and a collaboration between GZA and producer DJ Muggs, entitled Grandmasters were also released. On March 28, 2006, Ghostface Killah released Fishscale, to much critical acclaim and some commercial success. The entire group, including Cappadonna and the late Ol' Dirty Bastard, appeared on the track "9 Milli Bros". The same year, Ghostface Killah released More Fish. On June 25, 2006, Inspectah Deck released a street album entitled The Resident Patient, a prelude to his upcoming album, titled The Rebellion, which is said to be his final solo album. Also released in 2006 were Masta Killa's second studio album, Made in Brooklyn, to lukewarm reviews, and Method Man's 4:21... the Day After. Ghostface Killah released his seventh full-length album, The Big Doe Rehab, in December 2007. In 2007, Wu-Tang Clan released their fifth album, 8 Diagrams, on Steve Rifkind's new label SRC Records. This album marked the inclusion of Cappadonna as an official member of the group. In an interview with MTV.com, Ghostface Killah stated that he was upset with RZA for starting the 8 Diagrams project while he was in the middle of writing and recording The Big Doe Rehab, as well as giving 8 Diagrams the same release date as The Big Doe Rehab, for which RZA rescheduled a release date one week later. The outcome of 8 Diagrams received mixed views from both fans and critics, and is regarded as being RZA's most experimental work to date. Raekwon and Ghostface Killah were unhappy with the album, and proposed recording a group album titled Shaolin Vs. Wu-Tan without RZA production. That album would eventually become Raekwon's fifth solo album Shaolin vs. Wu-Tang. In 2008, RZA released Digi Snacks, under the name Bobby Digital. The album included lesser-known Wu-Tang Clan affiliates such as Freemurder, Killa Sin, Black Knights, and others. In the same year, GZA released the album Pro Tools. In September 2008, RZA announced that he had inked a deal with digital music company The Orchard to release the Wu-Tang Clan's back catalogue worldwide digitally, for the first time. In addition to forthcoming material, the Wu-Tang Clan's catalogue includes 13 previous releases that have been previously unavailable digitally, including recordings by the group as a whole, U-God, Wu-Syndicate, Killarmy, Shyheim, West Coast Killa Beez, Black Knights and others, and would be available online beginning September 23. RZA said: "The time is right to bring some older Wu material to the masses digitally. Our fans have been dedicated and patient and they're hungry to hear the music that has set us apart from so many others. Hip-hop is alive in Wu Music, and with The Orchard, we've got a solid partner that understands our audience and is committed to doing all they can to help us reach the fans. I'm definitely looking forward to working with them to see what else we all come up with. There's much more to come". In 2009, U-God released his third solo album, Dopium, which features guest appearances from several Wu-Tang Clan members, and affiliates, among others, and was met with mostly lukewarm reviews. Wu-Tang Chamber Music was released in the same year, a side project executively produced by RZA, featuring live instrumentation from a Brooklyn soul band The Revelations. The album features appearances from five Wu-Tang Clan members, along with AZ, Kool G Rap, Cormega, Havoc, Sean Price, and M.O.P. Its first single, "Harbor Masters" featured Ghostface Killah, Inspectah Deck, and AZ. RZA spoke about the album to Billboard.com: "I think the Chamber Music title is very fitting. This music is totally in the chamber, or in the mind-frame of Wu-Tang like in the [Enter the Wu-Tang (36 Chambers)] days. But it's not a Wu-Tang album. The whole Clan's not on this album. But it couldn't be in any other category but Wu-Tang". Raekwon's Only Built 4 Cuban Linx... Pt. II was released in September 2009, which features guest appearances from several big-name artists, and Clan members, with Ghostface being the most prominent, and also production from RZA, Dr. Dre, Pete Rock, and J Dilla, among others. The album was initially intended to be released on Dr. Dre's Aftermath Records. The album debuted at number 4 on the Billboard 200 and at number 2 on the Top R&B/Hip-Hop Albums chart, and has been praised by most music critics. Several weeks later, Ghostface Killah released Ghostdini: Wizard of Poetry in Emerald City. Talk of the album Shaolin vs. Wu-Tang re-surfaced in July 2009; originally planned as a Wu-Tang album without RZA's input. The project evolved to include RZA only vocally, with no contribution to production. Raekwon stated "[It'll] be alter egos challenging each other, really allowing RZA to fall back on the production and allowing us to give him a flashback memory to the things we know we need from the abbot [RZA]. We want him to be involved [with the album as an MC], but the concept was for him not to be involved production-wise". Speaking to MTV.com, Method Man revealed his, Ghostface Killah's and Raekwon's plans to record a separate album as a trio: "I don't want to say it's written in stone, but it's in discussion. I want some feedback from the fans to see how they would take that. RZA produced tracks, some other outside producers, of course, and we gonna have Wu-Tang members on the album, but it'll be a Rae, Ghost and Meth album". Soon after, Ghostface Killah cemented the details: the record, featuring other Wu-Tang Clan members, was to consist primarily of him, Method Man, and Raekwon. The title, as announced in three separate trailers (directed by Rik Cordero) promoting the upcoming release, is Wu-Massacre. Speaking on their willingness to complete the album, Ghostface Killah estimated the release date of the album to be the end of 2009 or January 2010. It was then announced that the album would be pushed back from December to March 30, 2010; the single, "Meth vs. Chef Part II", was released after the announcement. Produced by Mathematics, it is an update of the song "Meth vs. Chef" from Method Man's first solo album, Tical, featuring verses by only Method Man and Raekwon. It had been confirmed by Raekwon that Shaolin vs. Wu-Tang would in fact be his next solo album and that Wu-Massacre is a separate album, while the rapper stated that he himself had petitioned to have Wu-Massacres release date postponed in order to yield more studio time. On February 25, 2011, Wu Tang Live At The Palladium NYC was released through the group's official Facebook page as a collectors digital download. This included exclusive, unreleased freestyles. It was limited to 100 downloads before the page was disabled after this figure was reached. 2011–present: A Better Tomorrow, and Once Upon a Time in Shaolin A Better Tomorrow On June 29, 2011, Raekwon announced that the group were working on a new studio album, still in early stages. Ghostface Killah later said that the album should be released in May 2012. Members went back and forth on the issue. While GZA hinted that a new album was unlikely, the RZA said a new Wu-Tang Clan album might happen after all, on the occasion of the group's 20th anniversary, though Raekwon doubted it. On January 9, 2013, work on the sixth Wu-Tang Clan album was announced via the group's official Facebook page. In early March 2013 Method Man announced that the Clan was working on a sixth studio album and it would be released during 2013 in celebration of their 20-year anniversary since 36 Chambers. Cappadonna has said the album is in recording process taking place in New York, Los Angeles and the Wu mansion in New Jersey. RZA has also said he had talked to Adrian Younge about working on a song for the album. On April 11, 2013, it was announced via a press release that their upcoming sixth studio album would be titled, A Better Tomorrow and was set to be released in July 2013. During late April 2013, the Clan performed at the 2013 Coachella Valley Music and Arts Festival. On May 17, an unreleased Wu-Tang song titled "Execution in Autumn" was released for purchase through RZA's record label Soul Temple Records. They performed at the 2013 HOT 97 Summer Jam at MetLife Stadium in New Jersey, twenty years after they performed at the first annual Summer Jam concert. On June 5, 2013, the first promotional single "Family Reunion" featuring Masta Killah, Method Man, Ghostface Killah and RZA was released via the Soul Temple Records website. In June 2013 RZA said so far every member of the Clan except Raekwon and GZA had put in work on the A Better Tomorrow album and that recording was being done at the Wu-Mansion, and the Wu-Mansion West. Unreleased verses from Ol' Dirty Bastard will also be featured on the album. He also stated he was hoping to release the album in November 2013. In July 2013 Cappadonna indicated the album was half way finished. Once November 2013 arrived, RZA gave an update on the album, saying that not every member had been significantly working on the album. He gave credit to Method Man, Cappadonna, U-God and Masta Killa for working hard on the album, while saying he needed more effort from Ghostface, Raekwon and GZA. Shortly after Method Man stated that Raekwon had not worked on the album at all, and Ghostface had only recorded two songs for the album so far. In late November, RZA suggested that the album was approximately six weeks from completion. In January 2014, the group posted a message on their Facebook page, saying: "The new Wu album 'A Better Tomorrow' coming soon." After several disputes between Raekwon and RZA about the direction of the group and album, they reconciled, with the latter agreeing to record verses for A Better Tomorrow. On October 3, 2014, it was announced that the album will arrive December 2, 2014, courtesy of a new deal | a concert at the Hammerstein Ballroom the Clan brought his mother out on stage for a sing-along to "Shimmy Shimmy Ya". 2005–10: Solo albums and 8 Diagrams In 2005, RZA released a book titled The Wu-Tang Manual. In the same year, U-God's second album, Mr. Xcitement and a collaboration between GZA and producer DJ Muggs, entitled Grandmasters were also released. On March 28, 2006, Ghostface Killah released Fishscale, to much critical acclaim and some commercial success. The entire group, including Cappadonna and the late Ol' Dirty Bastard, appeared on the track "9 Milli Bros". The same year, Ghostface Killah released More Fish. On June 25, 2006, Inspectah Deck released a street album entitled The Resident Patient, a prelude to his upcoming album, titled The Rebellion, which is said to be his final solo album. Also released in 2006 were Masta Killa's second studio album, Made in Brooklyn, to lukewarm reviews, and Method Man's 4:21... the Day After. Ghostface Killah released his seventh full-length album, The Big Doe Rehab, in December 2007. In 2007, Wu-Tang Clan released their fifth album, 8 Diagrams, on Steve Rifkind's new label SRC Records. This album marked the inclusion of Cappadonna as an official member of the group. In an interview with MTV.com, Ghostface Killah stated that he was upset with RZA for starting the 8 Diagrams project while he was in the middle of writing and recording The Big Doe Rehab, as well as giving 8 Diagrams the same release date as The Big Doe Rehab, for which RZA rescheduled a release date one week later. The outcome of 8 Diagrams received mixed views from both fans and critics, and is regarded as being RZA's most experimental work to date. Raekwon and Ghostface Killah were unhappy with the album, and proposed recording a group album titled Shaolin Vs. Wu-Tan without RZA production. That album would eventually become Raekwon's fifth solo album Shaolin vs. Wu-Tang. In 2008, RZA released Digi Snacks, under the name Bobby Digital. The album included lesser-known Wu-Tang Clan affiliates such as Freemurder, Killa Sin, Black Knights, and others. In the same year, GZA released the album Pro Tools. In September 2008, RZA announced that he had inked a deal with digital music company The Orchard to release the Wu-Tang Clan's back catalogue worldwide digitally, for the first time. In addition to forthcoming material, the Wu-Tang Clan's catalogue includes 13 previous releases that have been previously unavailable digitally, including recordings by the group as a whole, U-God, Wu-Syndicate, Killarmy, Shyheim, West Coast Killa Beez, Black Knights and others, and would be available online beginning September 23. RZA said: "The time is right to bring some older Wu material to the masses digitally. Our fans have been dedicated and patient and they're hungry to hear the music that has set us apart from so many others. Hip-hop is alive in Wu Music, and with The Orchard, we've got a solid partner that understands our audience and is committed to doing all they can to help us reach the fans. I'm definitely looking forward to working with them to see what else we all come up with. There's much more to come". In 2009, U-God released his third solo album, Dopium, which features guest appearances from several Wu-Tang Clan members, and affiliates, among others, and was met with mostly lukewarm reviews. Wu-Tang Chamber Music was released in the same year, a side project executively produced by RZA, featuring live instrumentation from a Brooklyn soul band The Revelations. The album features appearances from five Wu-Tang Clan members, along with AZ, Kool G Rap, Cormega, Havoc, Sean Price, and M.O.P. Its first single, "Harbor Masters" featured Ghostface Killah, Inspectah Deck, and AZ. RZA spoke about the album to Billboard.com: "I think the Chamber Music title is very fitting. This music is totally in the chamber, or in the mind-frame of Wu-Tang like in the [Enter the Wu-Tang (36 Chambers)] days. But it's not a Wu-Tang album. The whole Clan's not on this album. But it couldn't be in any other category but Wu-Tang". Raekwon's Only Built 4 Cuban Linx... Pt. II was released in September 2009, which features guest appearances from several big-name artists, and Clan members, with Ghostface being the most prominent, and also production from RZA, Dr. Dre, Pete Rock, and J Dilla, among others. The album was initially intended to be released on Dr. Dre's Aftermath Records. The album debuted at number 4 on the Billboard 200 and at number 2 on the Top R&B/Hip-Hop Albums chart, and has been praised by most music critics. Several weeks later, Ghostface Killah released Ghostdini: Wizard of Poetry in Emerald City. Talk of the album Shaolin vs. Wu-Tang re-surfaced in July 2009; originally planned as a Wu-Tang album without RZA's input. The project evolved to include RZA only vocally, with no contribution to production. Raekwon stated "[It'll] be alter egos challenging each other, really allowing RZA to fall back on the production and allowing us to give him a flashback memory to the things we know we need from the abbot [RZA]. We want him to be involved [with the album as an MC], but the concept was for him not to be involved production-wise". Speaking to MTV.com, Method Man revealed his, Ghostface Killah's and Raekwon's plans to record a separate album as a trio: "I don't want to say it's written in stone, but it's in discussion. I want some feedback from the fans to see how they would take that. RZA produced tracks, some other outside producers, of course, and we gonna have Wu-Tang members on the album, but it'll be a Rae, Ghost and Meth album". Soon after, Ghostface Killah cemented the details: the record, featuring other Wu-Tang Clan members, was to consist primarily of him, Method Man, and Raekwon. The title, as announced in three separate trailers (directed by Rik Cordero) promoting the upcoming release, is Wu-Massacre. Speaking on their willingness to complete the album, Ghostface Killah estimated the release date of the album to be the end of 2009 or January 2010. It was then announced that the album would be pushed back from December to March 30, 2010; the single, "Meth vs. Chef Part II", was released after the announcement. Produced by Mathematics, it is an update of the song "Meth vs. Chef" from Method Man's first solo album, Tical, featuring verses by only Method Man and Raekwon. It had been confirmed by Raekwon that Shaolin vs. Wu-Tang would in fact be his next solo album and that Wu-Massacre is a separate album, while the rapper stated that he himself had petitioned to have Wu-Massacres release date postponed in order to yield more studio time. On February 25, 2011, Wu Tang Live At The Palladium NYC was released through the group's official Facebook page as a collectors digital download. This included exclusive, unreleased freestyles. It was limited to 100 downloads before the page was disabled after this figure was reached. 2011–present: A Better Tomorrow, and Once Upon a Time in Shaolin A Better Tomorrow On June 29, 2011, Raekwon announced that the group were working on a new studio album, still in early stages. Ghostface Killah later said that the album should be released in May 2012. Members went back and forth on the issue. While GZA hinted that a new album was unlikely, the RZA said a new Wu-Tang Clan album might happen after all, on the occasion of the group's 20th anniversary, though Raekwon doubted it. On January 9, 2013, work on the sixth Wu-Tang Clan album was announced via the group's official Facebook page. In early March 2013 Method Man announced that the Clan was working on a sixth studio album and it would be released during 2013 in celebration of their 20-year anniversary since 36 Chambers. Cappadonna has said the album is in recording process taking place in New York, Los Angeles and the Wu mansion in New Jersey. RZA has also said he had talked to Adrian Younge about working on a song for the album. On April 11, 2013, it was announced via a press release that their upcoming sixth studio album would be titled, A Better Tomorrow and was set to be released in July 2013. During late April 2013, the Clan performed at the 2013 Coachella Valley Music and Arts Festival. On May 17, an unreleased Wu-Tang song titled "Execution in Autumn" was released for purchase through RZA's record label Soul Temple Records. They performed at the 2013 HOT 97 Summer Jam at MetLife Stadium in New Jersey, twenty years after they performed at the first annual Summer Jam concert. On June 5, 2013, the first promotional single "Family Reunion" featuring Masta Killah, Method Man, Ghostface Killah and RZA was released via the Soul Temple Records website. In June 2013 RZA said so far every member of the Clan except Raekwon and GZA had put in work on the A Better Tomorrow album and that recording was being done at the Wu-Mansion, and the Wu-Mansion West. Unreleased verses from Ol' Dirty Bastard will also be featured on the album. He also stated he was hoping to release the album in November 2013. In July 2013 Cappadonna indicated the album was half way finished. Once November 2013 arrived, RZA gave an update on the album, saying that not every member had been significantly working on the album. He gave credit to Method Man, Cappadonna, U-God and Masta Killa for working hard on the album, while saying he needed more effort from Ghostface, Raekwon and GZA. Shortly after Method Man stated that Raekwon had not worked on the album at all, and Ghostface had only recorded two songs for the album so far. In late November, RZA suggested that the album was approximately six weeks from completion. In January 2014, the group posted a message on their Facebook page, saying: "The new Wu album 'A Better Tomorrow' coming soon." After several disputes between Raekwon and RZA about the direction of the group and album, they reconciled, with the latter agreeing to record verses for A Better Tomorrow. On October 3, 2014, it was announced that the album will arrive December 2, 2014, courtesy of a new deal with Warner Bros. Records. The album was released late 2014. Once Upon a Time in Shaolin In March 2014 it was reported that in addition to work on A Better Tomorrow, a Wu-Tang Clan compilation album entitled The Wu – Once Upon A Time In Shaolin had been recorded, with Wu-Tang-affiliated producer Cilvaringz as the primary producer instead of RZA. The album, a double album consisting of 31 tracks, will not be given a conventional commercial release and only one copy has been produced; this copy will be toured in museums, art galleries and music festivals before being sold at a high price to a single individual. In August 2014, a reporter from Forbes traveled to Marrakech to meet Cilvaringz and hear a 51-second snippet of a song from the album, which featured Cher. The snippet was subsequently put on their website. The album is encased in a handcrafted silver-and-nickel box made by British-Moroccan artist Yahya and features never-before-heard music recorded over years. RZA stated he has been receiving multiple million dollar offers for the album. Despite the album's exclusivity it made an appearance in electronic dance music producer Skrillex's music video for his song "Fuck That" even though he did not purchase the project. The album was sold through Paddle8, an online auction house, for $2 million to Martin Shkreli. When the FBI arrested Martin Shkreli on December 17, 2015, they did not seize the Wu-Tang Clan album. Following the victory of Republican candidate Donald Trump in the 2016 U.S. presidential election, Shkreli broadcast excerpts from the album on streaming platforms Periscope and Hitbox.tv. In July 2021, it was announced that the album had been again sold by the US government for an undisclosed amount, following Shkreli handing it over to the FBI in 2018 after being convicted of defrauding investors. Members RZA (born Robert Fitzgerald Diggs, 1969; vocals, production) GZA (born Gary Grice, 1966; vocals) Ol' Dirty Bastard (born Russell Tyrone Jones, 1968–2004; vocals) Method Man (born Clifford Smith, 1971; vocals) Raekwon (born Corey Woods, 1970; vocals) Ghostface Killah (born Dennis Coles, 1970; vocals) Inspectah Deck (born Jason Hunter, 1970; vocals) U-God (born Lamont Jody Hawkins, 1970; vocals) Masta Killa (born Elgin Turner, 1969; vocals) Cappadonna (born Darryl Hill, 1969; vocals) Artistry Production According to RZA, he tries to have no more than 20–25% sampling on any given record, something starkly different from many other major hip hop groups. He uses "the sampler more like a painter's palette than a Xerox. Then again, I might use it as a Xerox if I find rare beats that nobody had in their crates yet". He played much of the piano himself, with Bill Evans and Thelonious Monk as major influences; for instance, he created the piano part to "Da Mystery of Chessboxin'" after watching the Thelonious Monk documentary, Straight, No Chaser. RZA's production technique, specifically the manner of chopping up and/or speeding or slowing soul samples to fit his beats, has been picked up by currently popular producers, most notably Kanye West and Just Blaze, the two main producers behind Roc-A-Fella Records. West's own take on RZA's style briefly flooded the rap market with what was dubbed "chipmunk soul", the pitch bending of a vocal sample to where it sounded as though the singer had inhaled helium. Several producers at the time copied the style, creating other offshoots. West has admitted that his style was distinctly influenced by RZA's production, and RZA has acknowledged his influence in an issue of Scratch magazine, saying he wished he had produced "Jesus Walks" and "Breathe", two 2004 hits produced by Kanye West and Just Blaze, respectively. Kanye West commented: Lyrics Raekwon's Only Built 4 Cuban Linx... |
films and documentaries, such as Aguirre, the Wrath of God (1972), The Enigma of Kaspar Hauser (1974), Heart of Glass (1976), Stroszek (1977), Nosferatu the Vampyre (1979), Fitzcarraldo (1982), Cobra Verde (1987), Lessons of Darkness (1992), Little Dieter Needs to Fly (1997), My Best Fiend (1999), Invincible (2000), Grizzly Man (2005), Encounters at the End of the World (2007), Bad Lieutenant: Port of Call New Orleans (2009), and Cave of Forgotten Dreams (2010). He has published more than a dozen books of prose, and directed as many operas. French filmmaker François Truffaut once called Herzog "the most important film director alive." American film critic Roger Ebert said that Herzog "has never created a single film that is compromised, shameful, made for pragmatic reasons, or uninteresting. Even his failures are spectacular." He was named one of the world's 100 most influential people by Time magazine in 2009. Life Early life Herzog was born Werner Stipetich in Munich, Germany, to Elisabeth Stipetich, an Austrian of Croatian descent, and Dietrich Herzog, a German. When Herzog was two weeks old, his mother took refuge in the remote Bavarian village of Sachrang in the Chiemgau Alps, after the house next to theirs was destroyed during an Allied bombing raid in World War II. In Sachrang, Herzog grew up without running water, a flushing toilet, or a telephone. He recounted, "we had no toys, we had no tools", and said that there was a sense of anarchy, as all the children's fathers were absent. He never saw films, and did not even know of the existence of cinema until a traveling projectionist came by the one-room schoolhouse in Sachrang. When Herzog was twelve, he and his family moved back to Munich. His father had abandoned the family early in his youth. Herzog later adopted his father's surname Herzog (German for "duke"), which he thought sounded more impressive for a filmmaker. Herzog made his first phone-call when he was seventeen; two years later, he started work on his first film, Herakles. Herzog says that when he eventually met his father again, "fairly late in life", his mother had to translate Werner's German into the Bavarian dialect which his father spoke so the two could communicate. Herzog, aged thirteen, was told by a bullying music teacher to sing in front of his class at school in an effort, Herzog said, "to break my back." When he adamantly refused he was almost expelled. The incident scarred him for life. For several years Herzog listened to no music, sang no songs, and studied no instruments, but when he turned eighteen he immersed himself in music with particular intensity. At an early age, he experienced a dramatic phase in which he converted to Catholicism, which only lasted a few years. He started to embark on long journeys, some on foot. Around this time, he knew he would be a filmmaker and learned the basics from a few pages in an encyclopedia which provided him with "everything I needed to get myself started" as a filmmaker—that, and the 35 mm camera he stole from the Munich Film School. In the commentary for Aguirre, the Wrath of God, he says, "I don't consider it theft. It was just a necessity. I had some sort of natural right for a camera, a tool to work with". During Herzog's last years of high school, no production company was willing to take on his projects, so he worked night shifts as a welder in a steel factory to earn the funds for his first featurettes. When he finished school, but before he formally graduated, he followed his girlfriend to Manchester, England, where he spent several months and learned to speak English. He found the language classes pointless and "fled". After graduating from high school, he was intrigued by the post-independence Congo, but in attempting to travel there, reached only the south of Sudan before falling seriously ill. While already making films, he had a brief stint at Munich University, where he studied history and literature. Herzog subsequently moved to Pittsburgh, Pennsylvania in order to study at Duquesne University. Early and mid-career: 1962–2005 Herzog, along with Rainer Werner Fassbinder and Volker Schlöndorff, led the beginning of the New German Cinema, which included documentarians who filmed on low budgets and were influenced by the French New Wave. He developed a habit of casting professional actors alongside people from the locality in which he was shooting. His films, "usually set in distinct and unfamiliar landscapes, are imbued with mysticism." Herzog says his Catholic upbringing is evident in "something of a religious echo in my work". In 1971, while Herzog was location scouting for Aguirre, the Wrath of God in Peru, he narrowly avoided taking LANSA Flight 508. Herzog's reservation was cancelled due to a last-minute change in itinerary. The plane was later struck by lightning and disintegrated, but one survivor, Juliane Koepcke, lived after a free fall. Long haunted by the event, nearly 30 years later he made a documentary film, Wings of Hope (1998), which explored the story of the sole survivor. Herzog and his films have been nominated for and won many awards. His first major award was the Silver Bear Extraordinary Prize of the Jury for his first feature film Signs of Life (Nosferatu the Vampyre was also nominated for Golden Bear in 1979). Herzog won the Best Director award for Fitzcarraldo at the 1982 Cannes Film Festival. In 1975, his movie The Enigma of Kaspar Hauser won the Grand Prix Spécial du Jury (also known as the 'Silver Palm') and the Prize of the Ecumenical Jury at the Cannes Festival. Other films directed by Herzog nominated for Golden Palm are: Woyzeck (1979) and Where the Green Ants Dream (1984). His films have been nominated at many other festivals around the world: César Awards (Aguirre, the Wrath of God), Emmy Awards (Little Dieter Needs to Fly), European Film Awards (My Best Fiend) and Venice Film Festival (Scream of Stone and The Wild Blue Yonder). In 1987, Herzog and his half-brother Lucki Stipetić won the Bavarian Film Award for Best Producing for the film Cobra Verde. In 2002 he won the Dragon of Dragons Honorary Award during Kraków Film Festival in Kraków, Poland. Herzog once promised to eat his shoe if Errol Morris completed the film project on pet cemeteries that he had been working on, in order to challenge and motivate Morris, whom Herzog perceived as incapable of following up on the projects he conceived. In 1978, when the film Gates of Heaven premiered, Herzog cooked and publicly ate his shoe, an event later incorporated into a short documentary Werner Herzog Eats His Shoe by Les Blank. At the event, Herzog suggested that he hoped the act would serve to encourage anyone having difficulty bringing a project to fruition. In 1999, before a public dialogue with critic Roger Ebert at the Walker Art Center, Herzog read a new manifesto, which he dubbed Minnesota Declaration: Truth and Fact in Documentary Cinema. Subtitled "Lessons of Darkness," the 12-point declaration began: "Cinema Verité is devoid of verité. It reaches a merely superficial truth, the truth of accountants." Ebert later wrote of its significance: "For the first time, it fully explained his theory of 'ecstatic truth.'" In 2017, Herzog wrote a six-point addendum to the manifesto, prompted by a question about "truth in an age of alt-facts." Werner Herzog moved to Los Angeles with his wife in the late nineties. "Wherever you look is an immense depth, a tumult that resonates with me. New York is more concerned with finance than anything else. It doesn’t create culture, only consumes it; most of what you find in New York comes from elsewhere. Things actually get done in Los Angeles. Look beyond the glitz and glamour of Hollywood and a wild excitement of intense dreams opens up; it has more horizons than any other place. There is a great deal of industry in the city and a real working class; I also appreciate the vibrant presence of the Mexicans." Later career: 2006 onwards Herzog was honored at the 49th San Francisco International Film Festival, receiving the 2006 Film Society Directing Award. Four of his films have been shown at the San Francisco International Film Festival: Wodaabe – Herdsmen of the Sun in 1990, Bells from the Deep in 1993, Lessons of Darkness in 1993, and The Wild Blue Yonder in 2006. Sloan Prize and Air Rifle Shooting Grizzly Man, directed by Herzog, was awarded the Alfred P. Sloan Prize at the 2005 Sundance Film Festival. In 2006, Herzog was shot in the abdomen while on Skyline Drive in Los Angeles. He had been giving an interview on Grizzly Man to Mark Kermode of the BBC. Herzog continued the interview without seeking medical treatment, stating "it's not significant". The shooter later turned out to be a crazed fan with an air-rifle. Regarding the incident, Herzog later said, "I seem to attract the clinically insane." In a 2021 episode of Diminishing Returns podcast covering Herzog's film Stroszek, presenter Dallas Campbell called this incident a hoax, claiming to be friends with the director of the piece and that the incident was "set up". Two days later, Herzog helped actor Joaquin Phoenix exit his car after a car-crash. Herzog's April 2007 appearance at the | the Wrath of God in Peru, he narrowly avoided taking LANSA Flight 508. Herzog's reservation was cancelled due to a last-minute change in itinerary. The plane was later struck by lightning and disintegrated, but one survivor, Juliane Koepcke, lived after a free fall. Long haunted by the event, nearly 30 years later he made a documentary film, Wings of Hope (1998), which explored the story of the sole survivor. Herzog and his films have been nominated for and won many awards. His first major award was the Silver Bear Extraordinary Prize of the Jury for his first feature film Signs of Life (Nosferatu the Vampyre was also nominated for Golden Bear in 1979). Herzog won the Best Director award for Fitzcarraldo at the 1982 Cannes Film Festival. In 1975, his movie The Enigma of Kaspar Hauser won the Grand Prix Spécial du Jury (also known as the 'Silver Palm') and the Prize of the Ecumenical Jury at the Cannes Festival. Other films directed by Herzog nominated for Golden Palm are: Woyzeck (1979) and Where the Green Ants Dream (1984). His films have been nominated at many other festivals around the world: César Awards (Aguirre, the Wrath of God), Emmy Awards (Little Dieter Needs to Fly), European Film Awards (My Best Fiend) and Venice Film Festival (Scream of Stone and The Wild Blue Yonder). In 1987, Herzog and his half-brother Lucki Stipetić won the Bavarian Film Award for Best Producing for the film Cobra Verde. In 2002 he won the Dragon of Dragons Honorary Award during Kraków Film Festival in Kraków, Poland. Herzog once promised to eat his shoe if Errol Morris completed the film project on pet cemeteries that he had been working on, in order to challenge and motivate Morris, whom Herzog perceived as incapable of following up on the projects he conceived. In 1978, when the film Gates of Heaven premiered, Herzog cooked and publicly ate his shoe, an event later incorporated into a short documentary Werner Herzog Eats His Shoe by Les Blank. At the event, Herzog suggested that he hoped the act would serve to encourage anyone having difficulty bringing a project to fruition. In 1999, before a public dialogue with critic Roger Ebert at the Walker Art Center, Herzog read a new manifesto, which he dubbed Minnesota Declaration: Truth and Fact in Documentary Cinema. Subtitled "Lessons of Darkness," the 12-point declaration began: "Cinema Verité is devoid of verité. It reaches a merely superficial truth, the truth of accountants." Ebert later wrote of its significance: "For the first time, it fully explained his theory of 'ecstatic truth.'" In 2017, Herzog wrote a six-point addendum to the manifesto, prompted by a question about "truth in an age of alt-facts." Werner Herzog moved to Los Angeles with his wife in the late nineties. "Wherever you look is an immense depth, a tumult that resonates with me. New York is more concerned with finance than anything else. It doesn’t create culture, only consumes it; most of what you find in New York comes from elsewhere. Things actually get done in Los Angeles. Look beyond the glitz and glamour of Hollywood and a wild excitement of intense dreams opens up; it has more horizons than any other place. There is a great deal of industry in the city and a real working class; I also appreciate the vibrant presence of the Mexicans." Later career: 2006 onwards Herzog was honored at the 49th San Francisco International Film Festival, receiving the 2006 Film Society Directing Award. Four of his films have been shown at the San Francisco International Film Festival: Wodaabe – Herdsmen of the Sun in 1990, Bells from the Deep in 1993, Lessons of Darkness in 1993, and The Wild Blue Yonder in 2006. Sloan Prize and Air Rifle Shooting Grizzly Man, directed by Herzog, was awarded the Alfred P. Sloan Prize at the 2005 Sundance Film Festival. In 2006, Herzog was shot in the abdomen while on Skyline Drive in Los Angeles. He had been giving an interview on Grizzly Man to Mark Kermode of the BBC. Herzog continued the interview without seeking medical treatment, stating "it's not significant". The shooter later turned out to be a crazed fan with an air-rifle. Regarding the incident, Herzog later said, "I seem to attract the clinically insane." In a 2021 episode of Diminishing Returns podcast covering Herzog's film Stroszek, presenter Dallas Campbell called this incident a hoax, claiming to be friends with the director of the piece and that the incident was "set up". Two days later, Herzog helped actor Joaquin Phoenix exit his car after a car-crash. Herzog's April 2007 appearance at the Ebertfest in Champaign, Illinois earned him the Golden Thumb Award, and an engraved glockenspiel given to him by a young film maker inspired by his films. Encounters at the End of the World won the award for Best Documentary at the 2008 Edinburgh International Film Festival and was nominated for the Academy Award for Best Documentary Feature, Herzog's first nomination. In 2009, Herzog became the only filmmaker in recent history to enter two films in competition in the same year at the Venice Film Festival. Herzog's Bad Lieutenant: Port of Call New Orleans was entered into the festival's official competition schedule, and his My Son, My Son, What Have Ye Done? entered the competition as a "surprise film". Herzog also provided the narration for the short film Plastic Bag directed by Ramin Bahrani which was the opening night film in the Corto Cortissimo section of the festival. Dissatisfied with the way film schools are run, Herzog founded his own Rogue Film School in 2009. For the students, Herzog has said, "I prefer people who have worked as bouncers in a sex club, or have been wardens in the lunatic asylum. You must live life in its very elementary forms. The Costa Ricans have a very nice word for it: pura vida. It doesn't mean just purity of life, but the raw, stark-naked quality of life. And that's what makes young people more into a filmmaker than academia." Herzog was the president of the jury at the 60th Berlin International Film Festival in 2010. Herzog completed a documentary called Cave of Forgotten Dreams in 2010, which shows his journey into the Chauvet Cave in France. Although generally skeptical of 3D film as a format, Herzog premiered the film at the 2010 Toronto International Film Festival in 3-D and had its European premiere at the 2011 Berlinale. Also in 2010, Herzog co-directed with Dimitry Vasuykov Happy People: A Year in the Taiga, which portrays the life of fur trappers from the Siberian part of the Taiga, and had its premiere at the 2010 Telluride Film Festival. Herzog has narrated many of his documentary films, and he lent his voice to an animated television program |
receives their content from the web server, the browser progressively renders the page onto the screen as specified by its HTML and these additional resources. HTML Hypertext Markup Language (HTML) is the standard markup language for creating web pages and web applications. With Cascading Style Sheets (CSS) and JavaScript, it forms a triad of cornerstone technologies for the World Wide Web. Web browsers receive HTML documents from a web server or from local storage and render the documents into multimedia web pages. HTML describes the structure of a web page semantically and originally included cues for the appearance of the document. HTML elements are the building blocks of HTML pages. With HTML constructs, images and other objects such as interactive forms may be embedded into the rendered page. HTML provides a means to create structured documents by denoting structural semantics for text such as headings, paragraphs, lists, links, quotes and other items. HTML elements are delineated by tags, written using angle brackets. Tags such as and directly introduce content into the page. Other tags such as surround and provide information about document text and may include other tags as sub-elements. Browsers do not display the HTML tags, but use them to interpret the content of the page. HTML can embed programs written in a scripting language such as JavaScript, which affects the behavior and content of web pages. Inclusion of CSS defines the look and layout of content. The World Wide Web Consortium (W3C), maintainer of both the HTML and the CSS standards, has encouraged the use of CSS over explicit presentational HTML Linking Most web pages contain hyperlinks to other related pages and perhaps to downloadable files, source documents, definitions and other web resources. In the underlying HTML, a hyperlink looks like this: <a href="http://example.org/home.html">Example.org Homepage</a> Such a collection of useful, related resources, interconnected via hypertext links is dubbed a web of information. Publication on the Internet created what Tim Berners-Lee first called the WorldWideWeb (in its original CamelCase, which was subsequently discarded) in November 1990. The hyperlink structure of the web is described by the webgraph: the nodes of the web graph correspond to the web pages (or URLs) the directed edges between them to the hyperlinks. Over time, many web resources pointed to by hyperlinks disappear, relocate, or are replaced with different content. This makes hyperlinks obsolete, a phenomenon referred to in some circles as link rot, and the hyperlinks affected by it are often called dead links. The ephemeral nature of the Web has prompted many efforts to archive websites. The Internet Archive, active since 1996, is the best known of such efforts. WWW prefix Many hostnames used for the World Wide Web begin with www because of the long-standing practice of naming Internet hosts according to the services they provide. The hostname of a web server is often www, in the same way that it may be ftp for an FTP server, and news or nntp for a Usenet news server. These hostnames appear as Domain Name System (DNS) or subdomain names, as in www.example.com. The use of www is not required by any technical or policy standard and many web sites do not use it; the first web server was nxoc01.cern.ch. According to Paolo Palazzi, who worked at CERN along with Tim Berners-Lee, the popular use of www as subdomain was accidental; the World Wide Web project page was intended to be published at www.cern.ch while info.cern.ch was intended to be the CERN home page; however the DNS records were never switched, and the practice of prepending www to an institution's website domain name was subsequently copied. Many established websites still use the prefix, or they employ other subdomain names such as www2, secure or en for special purposes. Many such web servers are set up so that both the main domain name (e.g., example.com) and the www subdomain (e.g., www.example.com) refer to the same site; others require one form or the other, or they may map to different web sites. The use of a subdomain name is useful for load balancing incoming web traffic by creating a CNAME record that points to a cluster of web servers. Since, currently, only a subdomain can be used in a CNAME, the same result cannot be achieved by using the bare domain root. When a user submits an incomplete domain name to a web browser in its address bar input field, some web browsers automatically try adding the prefix "www" to the beginning of it and possibly ".com", ".org" and ".net" at the end, depending on what might be missing. For example, entering "" may be transformed to http://www.microsoft.com/ and "openoffice" to http://www.openoffice.org. This feature started appearing in early versions of Firefox, when it still had the working title 'Firebird' in early 2003, from an earlier practice in browsers such as Lynx. It is reported that Microsoft was granted a US patent for the same idea in 2008, but only for mobile devices. In English, www is usually read as double-u double-u double-u. Some users pronounce it dub-dub-dub, particularly in New Zealand. Stephen Fry, in his "Podgrams" series of podcasts, pronounces it wuh wuh wuh. The English writer Douglas Adams once quipped in The Independent on Sunday (1999): "The World Wide Web is the only thing I know of whose shortened form takes three times longer to say than what it's short for". In Mandarin Chinese, World Wide Web is commonly translated via a phono-semantic matching to wàn wéi wǎng (), which satisfies www and literally means "myriad-dimensional net", a translation that reflects the design concept and proliferation of the World Wide Web. Tim Berners-Lee's web-space states that World Wide Web is officially spelled as three separate words, each capitalised, with no intervening hyphens. Use of the www prefix has been declining, especially when Web 2.0 web applications sought to brand their domain names and make them easily pronounceable. As the mobile Web grew in popularity, services like Gmail.com, Outlook.com, Myspace.com, Facebook.com and Twitter.com are most often mentioned without adding "www." (or, indeed, ".com") to the domain. Scheme specifiers The scheme specifiers http:// and https:// at the start of a web URI refer to Hypertext Transfer Protocol or HTTP Secure, respectively. They specify the communication protocol to use for the request and response. The HTTP protocol is fundamental to the operation of the World Wide Web, and the added encryption layer in HTTPS is essential when browsers send or retrieve confidential data, such as passwords or banking information. Web browsers usually automatically prepend http:// to user-entered URIs, if omitted. Pages A web page (also written as webpage) is a document that is suitable for the World Wide Web and web browsers. A web browser displays a web page on a monitor or mobile device. The term web page usually refers to what is visible, but may also refer to the contents of the computer file itself, which is usually a text file containing hypertext written in HTML or a comparable markup language. Typical web pages provide hypertext for browsing to other web pages via hyperlinks, often referred to as links. Web browsers will frequently have to access multiple web resource elements, such as reading style sheets, scripts, and images, while presenting each web page. On a network, a web browser can retrieve a web page from a remote web server. The web server may restrict access to a private network such as a corporate intranet. The web browser uses the Hypertext Transfer Protocol (HTTP) to make such requests to the web server. A static web page is delivered exactly as stored, as web content in the web server's file system. In contrast, a dynamic web page is generated by a web application, usually driven by server-side software. Dynamic web pages are used when each user may require completely different information, for example, bank websites, web email etc. Static page A static web page (sometimes called a flat page/stationary page) is a web page that is delivered to the user exactly as stored, in contrast to dynamic web pages which are generated by a web application. Consequently, a static web page displays the same information for all users, from all contexts, subject to modern capabilities of a web server to negotiate content-type or language of the document where such versions are available and the server is configured to do so. Dynamic pages A server-side dynamic web page is a web page whose construction is controlled by an application server processing server-side scripts. In server-side scripting, parameters determine how the assembly of every new web page proceeds, including the setting up of more client-side processing. A client-side dynamic web page processes the web page using JavaScript running in the browser. JavaScript programs can interact with the document via Document Object Model, or DOM, to query page state and alter it. The same client-side techniques can then dynamically update or change the DOM in the same way. A dynamic web page is then reloaded by the user or by a computer program to change some variable content. The updating information could come from the server, or from changes made to that page's DOM. This may or may not truncate the browsing history or create a saved version to go back to, but a dynamic web page update using Ajax technologies will neither create a page to go back to nor truncate the web browsing history forward of the displayed page. Using Ajax technologies the end user gets one dynamic page managed as a single page in the web browser while the actual web content rendered on that page can vary. The Ajax engine sits only on the browser requesting parts of its DOM, the DOM, for its client, from an application server. Dynamic HTML, or DHTML, is the umbrella term for technologies and methods used to create web pages that are not static web pages, though it has fallen out of common use since the popularization of AJAX, a term which is now itself rarely used. Client-side-scripting, server-side scripting, or a combination of these make for the dynamic web experience in a browser. JavaScript is a scripting language that was initially developed in 1995 by Brendan Eich, then of Netscape, for use within web pages. The standardised version is ECMAScript. To make web pages more interactive, some web applications also use JavaScript techniques such as Ajax (asynchronous JavaScript and XML). Client-side script is delivered with the page that can make additional HTTP requests to the server, either in response to user actions such as mouse movements or clicks, or based on elapsed time. The server's responses are used to modify the current page rather than creating a new page with each response, so the server needs only to provide limited, incremental information. Multiple Ajax requests can be handled at the same time, and users can interact with the page while data is retrieved. Web pages may also regularly poll the server to check whether new information is available. Website A website is a collection of related web resources including web pages, multimedia content, typically identified with a common domain name, and published on at least one web server. Notable examples are wikipedia.org, google.com, and amazon.com. A website may be accessible via a public Internet Protocol (IP) network, such as the Internet, or a private local area network (LAN), by referencing a uniform resource locator (URL) that identifies the site. Websites can have many functions and can be used in various fashions; a website can be a personal website, a corporate website for a company, a government website, an organization website, etc. Websites are typically dedicated to a particular topic or purpose, ranging from entertainment and social networking to providing news and education. All publicly accessible websites collectively constitute the World Wide Web, while private websites, such as a company's website for its employees, are typically a part of an intranet. Web pages, which are the building blocks of websites, are documents, typically composed in plain text interspersed with formatting instructions of Hypertext Markup Language (HTML, XHTML). They may incorporate elements from other websites with suitable markup anchors. Web pages are accessed and transported with the Hypertext Transfer Protocol (HTTP), which may optionally employ encryption (HTTP Secure, HTTPS) to provide security and privacy for the user. The user's application, often a web browser, renders the page content according to its HTML markup instructions onto a display terminal. Hyperlinking between web pages conveys to the reader the site structure and guides the navigation of the site, which often starts with a home page containing a directory of the site web content. Some websites require user registration or subscription to access content. Examples of subscription websites include many business sites, news websites, academic journal websites, gaming websites, file-sharing websites, message boards, web-based email, social networking websites, websites providing real-time stock market data, as well as sites providing various other services. End users can access websites on a range of devices, including desktop and laptop computers, tablet computers, smartphones and smart TVs. Browser A web browser (commonly referred to | material by readers, [so that] authorship becomes universal" as well as "the automatic notification of a reader when new material of interest to him/her has become available". While the read-only goal was met, accessible authorship of web content took longer to mature, with the wiki concept, WebDAV, blogs, Web 2.0 and RSS/Atom. The proposal was modelled after the SGML reader Dynatext by Electronic Book Technology, a spin-off from the Institute for Research in Information and Scholarship at Brown University. The Dynatext system, licensed by CERN, was a key player in the extension of SGML ISO 8879:1986 to Hypermedia within HyTime, but it was considered too expensive and had an inappropriate licensing policy for use in the general high energy physics community, namely a fee for each document and each document alteration. A NeXT Computer was used by Berners-Lee as the world's first web server and also to write the first web browser in 1990. By Christmas 1990, Berners-Lee had built all the tools necessary for a working Web: the first web browser (WorldWideWeb, which was a web editor as well) and the first web server. The first website, which described the project itself, was published on 20 December 1990. The first web page may be lost, but Paul Jones of UNC-Chapel Hill in North Carolina announced in May 2013 that Berners-Lee gave him what he says is the oldest known web page during a visit to UNC in 1991. Jones stored it on a magneto-optical drive and his NeXT computer. On 6 August 1991, Berners-Lee published a short summary of the World Wide Web project on the newsgroup alt.hypertext. This date is sometimes confused with the public availability of the first web servers, which had occurred months earlier. As another example of such confusion, some news media reported that the first photo on the Web was published by Berners-Lee in 1992, an image of the CERN house band Les Horribles Cernettes taken by Silvano de Gennaro; Gennaro has disclaimed this story, writing that media were "totally distorting our words for the sake of cheap sensationalism". The first server outside Europe was installed in December 1991 at the Stanford Linear Accelerator Center (SLAC) in Palo Alto, California, to host the SPIRES-HEP database. Berners-Lee's breakthrough was to marry hypertext to the Internet. In his book Weaving The Web, he explains that he had repeatedly suggested to members of both technical communities that a marriage between the two technologies was possible. But, when no one took up his invitation, he finally assumed the project himself. In the process, he developed three essential technologies: a system of globally unique identifiers for resources on the Web and elsewhere, the universal document identifier (UDI), later known as uniform resource locator (URL) and uniform resource identifier (URI); the publishing language Hypertext Markup Language (HTML); the Hypertext Transfer Protocol (HTTP). The World Wide Web had several differences from other hypertext systems available at the time. The Web required only unidirectional links rather than bidirectional ones, making it possible for someone to link to another resource without action by the owner of that resource. It also significantly reduced the difficulty of implementing web servers and browsers (in comparison to earlier systems), but in turn, presented the chronic problem of link rot. Unlike predecessors such as HyperCard, the World Wide Web was non-proprietary, making it possible to develop servers and clients independently and to add extensions without licensing restrictions. On 30 April 1993, CERN announced that the World Wide Web would be free to anyone, with no fees due. Coming two months after the announcement that the server implementation of the Gopher protocol was no longer free to use, this produced a rapid shift away from Gopher and toward the Web. An early popular web browser was ViolaWWW for Unix and the X Window System. The Web began to enter general use in 1993–1994, when websites for everyday use started to become available. Historians generally agree that a turning point for the Web began with the 1993 introduction of Mosaic, a graphical web browser developed at the National Center for Supercomputing Applications at the University of Illinois at Urbana–Champaign (NCSA-UIUC). The development was led by Marc Andreessen, while funding came from the US High-Performance Computing and Communications Initiative and the High Performance Computing Act of 1991, one of several computing developments initiated by US Senator Al Gore. Before the release of Mosaic, graphics were not commonly mixed with text in web pages, and the Web was less popular than older protocols such as Gopher and Wide Area Information Servers (WAIS). Mosaic's graphical user interface allowed the Web to become by far the most popular protocol on the Internet. The World Wide Web Consortium (W3C) was founded by Tim Berners-Lee after he left the European Organization for Nuclear Research (CERN) in October 1994. It was founded at the Massachusetts Institute of Technology Laboratory for Computer Science (MIT/LCS) with support from the Defense Advanced Research Projects Agency (DARPA), which had pioneered the Internet; a year later, a second site was founded at INRIA (a French national computer research lab) with support from the European Commission DG InfSo; and in 1996, a third continental site was created in Japan at Keio University. By the end of 1994, the total number of websites was still relatively small, but many notable websites were already active that foreshadowed or inspired today's most popular services. Connected by the Internet, other websites were created around the world. This motivated international standards development for protocols and formatting. Berners-Lee continued to stay involved in guiding the development of web standards, such as the markup languages to compose web pages and he advocated his vision of a Semantic Web. The World Wide Web enabled the spread of information over the Internet through an easy-to-use and flexible format. It thus played an important role in popularising use of the Internet. Although the two terms are sometimes conflated in popular use, World Wide Web is not synonymous with Internet. The Web is an information space containing hyperlinked documents and other resources, identified by their URIs. It is implemented as both client and server software using Internet protocols such as TCP/IP and HTTP. Berners-Lee was knighted in 2004 by Queen Elizabeth II for "services to the global development of the Internet". He never patented his invention. Function The terms Internet and World Wide Web are often used without much distinction. However, the two terms do not mean the same thing. The Internet is a global system of computer networks interconnected through telecommunications and optical networking. In contrast, the World Wide Web is a global collection of documents and other resources, linked by hyperlinks and URIs. Web resources are accessed using HTTP or HTTPS, which are application-level Internet protocols that use the Internet's transport protocols. Viewing a web page on the World Wide Web normally begins either by typing the URL of the page into a web browser or by following a hyperlink to that page or resource. The web browser then initiates a series of background communication messages to fetch and display the requested page. In the 1990s, using a browser to view web pages—and to move from one web page to another through hyperlinks—came to be known as 'browsing,' 'web surfing' (after channel surfing), or 'navigating the Web'. Early studies of this new behavior investigated user patterns in using web browsers. One study, for example, found five user patterns: exploratory surfing, window surfing, evolved surfing, bounded navigation and targeted navigation. The following example demonstrates the functioning of a web browser when accessing a page at the URL . The browser resolves the server name of the URL () into an Internet Protocol address using the globally distributed Domain Name System (DNS). This lookup returns an IP address such as 203.0.113.4 or 2001:db8:2e::7334. The browser then requests the resource by sending an HTTP request across the Internet to the computer at that address. It requests service from a specific TCP port number that is well known for the HTTP service so that the receiving host can distinguish an HTTP request from other network protocols it may be servicing. HTTP normally uses port number 80 and for HTTPS it normally uses port number 443. The content of the HTTP request can be as simple as two lines of text: GET /home.html HTTP/1.1 Host: example.org The computer receiving the HTTP request delivers it to web server software listening for requests on port 80. If the webserver can fulfill the request it sends an HTTP response back to the browser indicating success: HTTP/1.1 200 OK Content-Type: text/html; charset=UTF-8 followed by the content of the requested page. Hypertext Markup Language (HTML) for a basic web page might look like this: <html> <head> <title>Example.org – The World Wide Web</title> </head> <body> <p>The World Wide Web, abbreviated as WWW and commonly known ...</p> </body> </html> The web browser parses the HTML and interprets the markup (<title>, <p> for paragraph, and such) that surrounds the words to format the text on the screen. Many web pages use HTML to reference the URLs of other resources such as images, other embedded media, scripts that affect page behaviour, and Cascading Style Sheets that affect page layout. The browser makes additional HTTP requests to the web server for these other Internet media types. As it receives their content from the web server, the browser progressively renders the page onto the screen as specified by its HTML and these additional resources. HTML Hypertext Markup Language (HTML) is the standard markup language for creating web pages and web applications. With Cascading Style Sheets (CSS) and JavaScript, it forms a triad of cornerstone technologies for the World Wide Web. Web browsers receive HTML documents from a web server or from local storage and render the documents into multimedia web pages. HTML describes the structure of a web page semantically and originally included cues for the appearance of the document. HTML elements are the building blocks of HTML pages. With HTML constructs, images and other objects such as interactive forms may be embedded into the rendered page. HTML provides a means to create structured documents by denoting structural semantics for text such as headings, paragraphs, lists, links, quotes and other items. HTML elements are delineated by tags, written using angle brackets. Tags such as and directly introduce content into the page. Other tags such as surround and provide information about document text and may include other tags as sub-elements. Browsers do not display the HTML tags, but use them to interpret the content of the page. HTML can embed programs written in a scripting language such as JavaScript, which affects the behavior and content of web pages. Inclusion of CSS defines the look and layout of content. The World Wide Web Consortium (W3C), maintainer of both the HTML and the CSS standards, has encouraged the use of CSS over explicit presentational HTML Linking Most web pages contain hyperlinks to other related pages and perhaps to downloadable files, source documents, definitions and other web resources. In the underlying HTML, a hyperlink looks like this: <a href="http://example.org/home.html">Example.org Homepage</a> Such a collection of useful, related resources, interconnected via hypertext links is dubbed a web of information. Publication on the Internet created what Tim Berners-Lee first called the WorldWideWeb (in its original CamelCase, which was subsequently discarded) in November 1990. The hyperlink structure of the web is described by the webgraph: the nodes of the web graph correspond to the web pages (or URLs) the directed edges between them to the hyperlinks. Over time, many web resources pointed to by hyperlinks disappear, relocate, or are replaced with different content. This makes hyperlinks obsolete, a phenomenon referred to in some circles as link rot, and the hyperlinks affected by it are often called dead links. The ephemeral nature of the Web has prompted many efforts to archive websites. The Internet Archive, active since 1996, is the best known of such efforts. WWW prefix Many hostnames used for the World Wide Web begin with www because of the long-standing practice of naming Internet hosts according to the services they provide. The hostname of a web server is often www, in the same way that it may be ftp for an FTP server, and news or nntp for a Usenet news server. These hostnames appear as Domain Name System (DNS) or subdomain names, as in www.example.com. The use of www is not required by any technical or policy standard and many web sites do not use it; the first web server was nxoc01.cern.ch. According to Paolo Palazzi, who worked at CERN along with Tim Berners-Lee, the popular use of www as subdomain was accidental; the World Wide Web project page was intended to be published at www.cern.ch while info.cern.ch was intended to be the CERN home page; however the DNS records were never switched, and the practice of prepending www to an institution's website domain name was subsequently copied. Many established websites still use the prefix, or they employ other subdomain names such as www2, secure or en for special purposes. Many such web servers are set up so that both the main domain name (e.g., example.com) and the www subdomain (e.g., www.example.com) refer to the same site; others require one form or the other, or they may map to different web sites. The use of a subdomain name is useful for load balancing incoming web traffic by creating a CNAME record that points to a cluster of web servers. Since, currently, only a subdomain can be used in a CNAME, the same result cannot be achieved by using the bare domain root. When a user submits an incomplete domain name to a web browser in its address bar input field, some web browsers automatically try adding the prefix "www" to the beginning of it and possibly ".com", ".org" and ".net" at the end, depending on what might be missing. For example, entering "" may be transformed to http://www.microsoft.com/ and "openoffice" to http://www.openoffice.org. This feature started appearing in early versions of Firefox, when it still had the working title 'Firebird' in early 2003, from an earlier practice in browsers such as Lynx. It is reported that Microsoft was granted a US patent for the same idea in 2008, but only for mobile devices. In English, www is usually read as double-u double-u double-u. Some users pronounce it dub-dub-dub, particularly in New Zealand. Stephen Fry, in his "Podgrams" series of podcasts, pronounces it wuh wuh wuh. The English writer Douglas Adams once quipped in The Independent on Sunday (1999): "The World Wide Web is the only thing I know of whose shortened form takes three times longer to say than what it's short for". In Mandarin Chinese, World Wide Web is commonly translated via a phono-semantic matching to wàn wéi wǎng (), which satisfies www and literally means "myriad-dimensional net", a translation that reflects the design concept and proliferation of the World Wide Web. Tim Berners-Lee's web-space states that World Wide Web is officially spelled as three separate words, each capitalised, with no intervening hyphens. Use of the www prefix has been declining, especially when Web 2.0 web applications sought to brand their domain names and make them easily pronounceable. As the mobile Web grew in popularity, services like Gmail.com, Outlook.com, Myspace.com, Facebook.com and Twitter.com are most often mentioned without adding "www." (or, indeed, ".com") to the domain. Scheme specifiers The scheme specifiers http:// and https:// at the start of a web URI refer to Hypertext Transfer Protocol or HTTP Secure, respectively. They specify the communication protocol to use for the request and response. The HTTP protocol is fundamental to the operation of the World Wide Web, and the added encryption layer in HTTPS is essential when browsers send or retrieve confidential data, such as passwords or banking information. Web browsers usually automatically prepend http:// to user-entered URIs, if omitted. Pages A web page (also written as webpage) is a document that is suitable for the World Wide Web and web browsers. A web browser displays a web page on a monitor or mobile device. The term web page usually refers to what is visible, but may also refer to the contents of the computer file itself, which is usually a text file containing hypertext written in HTML or a comparable markup language. Typical web pages provide hypertext for browsing to other web pages via hyperlinks, often referred to as links. Web browsers will frequently have to access multiple web resource elements, such as reading style sheets, scripts, and images, while presenting each web page. On a network, a web browser can retrieve a web page from a remote web server. The web server may restrict access to a private network such as a corporate intranet. The web browser uses the Hypertext Transfer Protocol (HTTP) to make such requests to the web server. A static web page is delivered exactly as stored, as web content in the web server's file system. In contrast, a dynamic web page is generated by a web application, usually driven by server-side software. Dynamic web pages are used when each user may require completely different information, for example, bank websites, web email etc. Static page A static web page (sometimes called a flat page/stationary page) is a web page that is delivered to the user exactly as stored, in contrast to dynamic web pages which are generated by a web application. Consequently, a static web page displays the same information for all users, from all contexts, subject to modern capabilities of a web server to negotiate content-type or language of the document where such versions are available and the server is configured to do so. Dynamic pages A server-side dynamic web page is a web page whose construction is controlled by an application server processing server-side scripts. In server-side scripting, parameters determine how the assembly of every new web page proceeds, including the setting up of more client-side processing. A client-side dynamic web page processes the web page using JavaScript running in the browser. JavaScript programs can interact with the document via Document Object Model, or DOM, to query page state and alter it. The same client-side techniques can then dynamically update or change the DOM in the same way. A dynamic web page is then reloaded |
a distribution system. Each ESS has an ID called the SSID which is a 32-byte (maximum) character string. A distribution system (DS) connects access points in an extended service set. The concept of a DS can be used to increase network coverage through roaming between cells. DS can be wired or wireless. Current wireless distribution systems are mostly based on WDS or MESH protocols, though other systems are in use. Types of wireless LANs The IEEE 802.11 has two basic modes of operation: infrastructure and ad hoc mode. In ad hoc mode, mobile units communicate directly peer-to-peer. In infrastructure mode, mobile units communicate through a wireless access point (WAP) that also serves as a bridge to other networks such as a local area network or the Internet. Since wireless communication uses a more open medium for communication in comparison to wired LANs, the 802.11 designers also included encryption mechanisms: Wired Equivalent Privacy (WEP), no longer considered secure, Wi-Fi Protected Access (WPA, WPA2, WPA3), to secure wireless computer networks. Many access points will also offer Wi-Fi Protected Setup, a quick, but no longer considered secure, method of joining a new device to an encrypted network. Infrastructure Most Wi-Fi networks are deployed in infrastructure mode. In infrastructure mode, wireless clients, such as laptops and smartphones, connect to the WAP to join the network. The WAP usually has a wired network connection and may have permanent wireless connections to other WAPs. WAPs are usually fixed, and provide service to their client nodes within range. Some networks will have multiple WAPs, using the same SSID and security arrangement. In that case, connecting to any WAP on that network joins the client to the network and the client software will try to choose the WAP that gives the best service, such as the WAP with the strongest signal. Peer-to-peer An ad hoc network is a network where stations communicate only peer-to-peer (P2P). There is no base and no one gives permission to talk. This is accomplished using the Independent Basic Service Set (IBSS). A WiFi Direct network is different type of wireless network where stations communicate peer-to-peer. In a Wi-Fi P2P group, the group owner operates as an access point and all other devices are clients. There are two main methods to establish a group owner in the Wi-Fi Direct group. In one approach, the user sets up a P2P group owner manually. This method is also known as autonomous group owner (autonomous GO). In the second method, called negotiation-based group creation, two devices compete based on the group owner intent value. The device with higher intent value becomes a group owner and the second device becomes a client. Group owner intent value can depend on whether the wireless device performs a cross-connection between an infrastructure WLAN service and a P2P group, available power in the wireless device, whether the wireless device is already a group owner in another group or a received signal strength of the first wireless device. A peer-to-peer network allows wireless devices to directly communicate with each other. Wireless devices within range of each other can discover and communicate directly without involving central access points. This method is typically used by two computers so that they can connect to each other to form a network. This can basically occur in devices within a closed range. If a signal strength meter is used in this situation, it may not read the strength accurately and can be misleading, because it registers the strength of the strongest signal, which may be the closest computer. IEEE 802.11 defines the physical layer (PHY) and MAC (Media Access Control) layers based on CSMA/CA (Carrier Sense Multiple Access with Collision Avoidance). This is in contrast to Ethernet which uses CSMA-CD (Carrier Sense Multiple Access with Collision Detection). The 802.11 specification includes provisions designed to minimize collisions, because two mobile units may both be in range of a common access point, but out of range of each other. Bridge A bridge can be used to connect networks, typically of different types. A wireless Ethernet bridge allows the connection of devices on a wired Ethernet network to a wireless network. The bridge acts as the connection point to the Wireless LAN. Wireless distribution system A wireless distribution system (WDS) enables the wireless interconnection of access points in an IEEE 802.11 network. It allows a wireless network to be expanded using multiple access points without the need for a wired backbone to link them, as is traditionally required. The notable advantage of a WDS over other solutions is that it preserves the MAC addresses of client packets across links between access points. An access point can be either a main, relay or remote base station. A main base station is typically connected to the wired Ethernet. A relay base station relays data between remote base stations, wireless clients or other relay stations to either a main or another relay base station. A remote base station accepts connections | the BSS. There are two types of BSS: Independent BSS (also referred to as IBSS), and infrastructure BSS. An independent BSS (IBSS) is an ad hoc network that contains no access points, which means they cannot connect to any other basic service set. In an IBSS the STAs are configured in ad hoc (peer-to-peer) mode. An extended service set (ESS) is a set of connected BSSs. Access points in an ESS are connected by a distribution system. Each ESS has an ID called the SSID which is a 32-byte (maximum) character string. A distribution system (DS) connects access points in an extended service set. The concept of a DS can be used to increase network coverage through roaming between cells. DS can be wired or wireless. Current wireless distribution systems are mostly based on WDS or MESH protocols, though other systems are in use. Types of wireless LANs The IEEE 802.11 has two basic modes of operation: infrastructure and ad hoc mode. In ad hoc mode, mobile units communicate directly peer-to-peer. In infrastructure mode, mobile units communicate through a wireless access point (WAP) that also serves as a bridge to other networks such as a local area network or the Internet. Since wireless communication uses a more open medium for communication in comparison to wired LANs, the 802.11 designers also included encryption mechanisms: Wired Equivalent Privacy (WEP), no longer considered secure, Wi-Fi Protected Access (WPA, WPA2, WPA3), to secure wireless computer networks. Many access points will also offer Wi-Fi Protected Setup, a quick, but no longer considered secure, method of joining a new device to an encrypted network. Infrastructure Most Wi-Fi networks are deployed in infrastructure mode. In infrastructure mode, wireless clients, such as laptops and smartphones, connect to the WAP to join the network. The WAP usually has a wired network connection and may have permanent wireless connections to other WAPs. WAPs are usually fixed, and provide service to their client nodes within range. Some networks will have multiple WAPs, using the same SSID and security arrangement. In that case, connecting to any WAP on that network joins the client to the network and the client software will try to choose the WAP that gives the best service, such as the WAP with the strongest signal. Peer-to-peer An ad hoc network is a network where stations communicate only peer-to-peer (P2P). There is no base and no one gives permission to talk. This is accomplished using the Independent Basic Service Set (IBSS). A WiFi Direct network is different type of wireless network where stations communicate peer-to-peer. In a Wi-Fi P2P group, the group owner operates as an access point and all other devices are clients. There are two main methods to establish a group owner in the Wi-Fi Direct group. In one approach, the user sets up a P2P group owner manually. This method is also known as autonomous group owner (autonomous GO). In the second method, called negotiation-based group creation, two devices compete based on the group owner intent value. The device with higher intent value becomes a group owner and the second device becomes a client. Group owner intent value can depend on whether the wireless device performs a cross-connection between an infrastructure WLAN service and a P2P group, available power in the wireless device, whether the wireless device is already a group owner in another group or a received signal strength of the first wireless device. A peer-to-peer network allows wireless devices to directly communicate with each other. Wireless devices within range of each other can discover and communicate directly without involving central access points. This method is typically used by two computers so that they can connect to each other to form a network. This can basically occur in devices within a closed range. If a signal strength meter is used in this situation, it may not read the strength accurately and can be misleading, because it registers the strength of the strongest signal, which may be the closest computer. IEEE 802.11 defines the physical layer (PHY) and MAC (Media Access Control) layers based on CSMA/CA (Carrier Sense Multiple Access with Collision Avoidance). This is in contrast to Ethernet which uses CSMA-CD (Carrier Sense Multiple Access with Collision Detection). The 802.11 specification includes provisions designed to minimize collisions, because two mobile units may both be in range of a common access point, but out of range of each other. Bridge A bridge can be used to connect networks, typically of different types. A wireless Ethernet bridge allows the connection of devices on a wired Ethernet network to a wireless network. The bridge acts as the connection point to the Wireless LAN. Wireless distribution system A wireless distribution system (WDS) enables the wireless interconnection of access points in an IEEE 802.11 network. It allows a wireless network to be expanded using multiple access points without the need for a wired backbone to link them, as is traditionally required. The notable advantage of a WDS over other solutions is that it preserves the MAC addresses of client packets across links between access points. An access point can be either a main, relay or remote base station. A main base station is typically connected to the wired Ethernet. A relay base station relays data between remote base stations, wireless clients or other relay stations |
It was founded at the Massachusetts Institute of Technology Laboratory for Computer Science (MIT/LCS) with support from the European Commission, the Defense Advanced Research Projects Agency (DARPA), which had pioneered the ARPANET, one of the predecessors to the Internet. It was located in Technology Square until 2004, when it moved, with CSAIL, to the Stata Center. The organization tries to foster compatibility and agreement among industry members in the adoption of new standards defined by the W3C. Incompatible versions of HTML are offered by different vendors, causing inconsistency in how web pages are displayed. The consortium tries to get all those vendors to implement a set of core principles and components that are chosen by the consortium. It was originally intended that CERN host the European branch of W3C; however, CERN wished to focus on particle physics, not information technology. In April 1995, the French Institute for Research in Computer Science and Automation (INRIA) became the European host of W3C, with Keio University Research Institute at SFC (KRIS) becoming the Asian host in September 1996. Starting in 1997, W3C created regional offices around the world. As of September 2009, it had eighteen World Offices covering Australia, the Benelux countries (Belgium, Netherlands and Luxembourg), Brazil, China, Finland, Germany, Austria, Greece, Hong Kong, Hungary, India, Israel, Italy, South Korea, Morocco, South Africa, Spain, Sweden, and, as of 2016, the United Kingdom and Ireland. In October 2012, W3C convened a community of major web players and publishers to establish a MediaWiki wiki that seeks to document open web standards called the WebPlatform and WebPlatform Docs. In January 2013, Beihang University became the Chinese host. Specification maturation Sometimes, when a specification becomes too large, it is split into independent modules that can mature at their own pace. Subsequent editions of a module or specification are known as levels and are denoted by the first integer in the title (e.g. CSS3 = Level 3). Subsequent revisions on each level are denoted by an integer following a decimal point (for example, CSS2.1 = Revision 1). The W3C standard formation process is defined within the W3C process document, outlining four | however, CERN wished to focus on particle physics, not information technology. In April 1995, the French Institute for Research in Computer Science and Automation (INRIA) became the European host of W3C, with Keio University Research Institute at SFC (KRIS) becoming the Asian host in September 1996. Starting in 1997, W3C created regional offices around the world. As of September 2009, it had eighteen World Offices covering Australia, the Benelux countries (Belgium, Netherlands and Luxembourg), Brazil, China, Finland, Germany, Austria, Greece, Hong Kong, Hungary, India, Israel, Italy, South Korea, Morocco, South Africa, Spain, Sweden, and, as of 2016, the United Kingdom and Ireland. In October 2012, W3C convened a community of major web players and publishers to establish a MediaWiki wiki that seeks to document open web standards called the WebPlatform and WebPlatform Docs. In January 2013, Beihang University became the Chinese host. Specification maturation Sometimes, when a specification becomes too large, it is split into independent modules that can mature at their own pace. Subsequent editions of a module or specification are known as levels and are denoted by the first integer in the title (e.g. CSS3 = Level 3). Subsequent revisions on each level are denoted by an integer following a decimal point (for example, CSS2.1 = Revision 1). The W3C standard formation process is defined within the W3C process document, outlining four maturity levels through which each new standard or recommendation must progress. Working draft (WD) After enough content has been gathered from 'editor drafts' and discussion, it may be published as a working draft (WD) for review by the community. A WD document is the first form of a standard that is publicly available. Commentary by virtually anyone is accepted, though no promises are made with regard to action on any particular element commented upon. At this stage, the standard document may have significant differences from its final form. As such, anyone who implements WD standards should be ready to significantly modify their implementations as the standard matures. Candidate recommendation (CR) A candidate recommendation is a version of a standard that is more mature than the WD. At this point, the group responsible for the standard is satisfied that the standard meets its goal. The purpose of the CR is to elicit aid from the development community as to how implementable the standard is. The standard document may change further, but at this point, significant features are mostly decided. The design of those features can still change due to feedback from implementors. Proposed recommendation (PR) A |
drink would more likely be labelled a rum. According to the Scotch Whisky Association's 2013 annual report, "there is no compulsory definition of whisky in India, and the Indian voluntary standard does not require whisky to be distilled from cereals or to be matured." Molasses-based blends make up 90 percent of the spirits consumed as "whisky" in India, although whisky wholly distilled from malt and other grains, is also manufactured and sold. Amrut, the first single malt whisky produced in India, was launched on 24 August 2004. Irish Irish whiskeys are normally distilled three times, Cooley Distillery being the exception as they also double distil. Though traditionally distilled using pot stills, the column still is now used to produce grain whiskey for blends. By law, Irish whiskey must be produced in Ireland and aged in wooden casks for a period of no less than three years, although in practice it is usually three or four times that period. Unpeated malt is almost always used, the main exception being Connemara Peated Malt whiskey. There are several types of whiskey common to Ireland: single malt, single grain, blended whiskey and single pot still whiskey. Irish whiskey was once the most popular spirit in the world, though a long period of decline from the late 19th century to the late 20th century greatly damaged the industry, so much so that, although Ireland boasted over 30 distilleries in the 1890s, a century later this number had fallen to just three. However, Irish whiskey has seen a great resurgence in popularity since the late twentieth century, and has been the fastest growing spirit in the world every year since 1990. With exports growing by over 15% per annum in recent years, existing distilleries have been expanded and a number of new distilleries constructed. As of mid 2019, Ireland now has twenty-five distilleries in operation, with twenty-four more in either planned or under development. However, many of these have not been operating long enough to have products sufficiently aged for sale, and only one of which was operating prior to 1975. Mexican Mexican whisky is relatively young as it has not been as popular in the country as other distilled drinks but recently many distillers in the country have started to make a push to create homegrown whisky and make it as popular as whisky from other countries. Japanese Japan produces both single malt and blended whiskies. The base is a mash of malted barley, dried in kilns fired with a little peat (although less than what is used for some peated Scotch whiskies), and is distilled using the pot still method. Before 2000, Japanese whisky was primarily for the domestic market and exports were limited. In recent years, though, Japanese whisky has grown in popularity on the global market. Japanese whiskies such as Suntory and Nikka won many prestigious international awards between 2007 and 2014. Japanese whisky has earned a reputation for quality. Scotch Whisky made in Scotland is known as Scotch whisky, or simply as "Scotch" (especially in North America). Scotch whiskies are generally distilled twice, although some are distilled a third time and others even up to twenty times. Scotch Whisky Regulations require anything bearing the label "Scotch" to be distilled in Scotland and matured for a minimum of three years in oak casks, among other, more specific criteria. Any age statement on the bottle, in the form of a number, must reflect the age of the youngest Scotch whisky used to produce that product. A whisky with an age statement is known as guaranteed age whisky. Scotch whisky without an age statement may, by law, be as young as three years old. The basic types of Scotch are malt and grain, which are combined to create blends. Scotch malt whiskies were divided into five main regions: Highland, Lowland, Islay, Speyside and Campbeltown. Each of the whisky producing regions have a distinct flavour profile and characteristics to the whisky they produce. There is also a sixth region recognized by some sources, though not by the Scotch Whisky Association, The Islands, excluding Islay. This unofficial region, (part of the Highlands according to the Association), includes the following whisky-producing islands making Island single malt: Arran, Jura, Mull, Orkney, and Skye. Swedish Whisky started being produced in Sweden in 1955 by the now defunct Skeppets whisky brand. Their last bottle was sold in 1971. In 1999 Mackmyra Whisky was founded and is today the largest producer and has won several awards including European Whisky of the Year in Jim Murray's 2011 Whisky Bible and the International Wine & Spirits Competition (IWSC) 2012 Award for Best European Spirits Producer of 2012. Taiwanese Kavalan was the first private whisky distillery in Taiwan. In January 2010, one of the distillery's products caused a stir by beating three Scotch whiskies and one English whisky in a blind tasting organised in Leith, Scotland, to celebrate Burns Night.[4] [5] The distillery was named by Whisky Magazine as the World Icons of Whisky "Whisky Visitor Attraction of the Year" for 2011, and its products have won several other awards.[3] In 2012, Kavalan's Fino Sherry Cask malt whisky was named "new whisky of the year" by Jim Murray in his guide, Jim Murray's Whisky Bible.[6] In 2015, Kavalan's Vinho Barrique Single Cask was named the world's best single malt whisky by World Whiskies Awards.[7] [8] In 2016, Kavalan Amontillado Sherry Single Cask was named the world's best single malt whisky by World Whisky Awards. Welsh Although distillation of whisky in Wales began in Middle Ages there were no commercially operated distilleries during the 20th century. The rise of the temperance movement saw the decline the commercial production of liquor during the 19th century and in 1894 Welsh whisky production ceased. The revival of Welsh whisky began in the 1990s. Initially a "Prince of Wales" malt whisky was sold as Welsh whisky but was simply blended scotch bottled in Wales. A lawsuit by Scotch distillers ended this enterprise. In 2000, Penderyn Distillery started production of Penderyn single malt whisky. The first bottles went on sale on 1 March 2004, Saint David's Day, and it is now sold worldwide. Penderyn Distillery is located in the Brecon Beacons National Park and is considered to be the smallest distillery in the world. Other ManX Spirit from the Isle of Man is distilled elsewhere and re-distilled in the country of its nominal "origin". The ManX distillery takes a previously matured Scotch malt whisky and re-distils it. In 2010 a Czech whisky was released, the 21-year-old "Hammer Head". Puni is an Italian distillery in Glurns that makes single malt whisky, including Alba, which is matured in Marsala casks. In 2008 at least two distilleries in the traditionally brandy-producing Caucasus region announced their plans to enter the Russian domestic market with whiskies. The Stavropol-based Praskoveysky distillery bases its product on Irish whiskey, while in Kizlyar, Dagestan's "Russian Whisky" announced a Scotch-inspired drink in single malt, blended and wheat varieties. Destilerías y Crianza del Whisky S.A. is a whisky distillery in Spain. Its eight-year-old Whisky DYC is a combination of malts and spirits distilled from barley aged separately a minimum of eight years in American oak barrels. Frysk Hynder is a Frisian single malt, distilled and bottled in the Us Heit Distillery. It is the first single malt produced in Friesland, Netherlands. Buckwheat whisky is produced by Distillerie des Menhirs in Brittany, France, and by several distillers in the United States. Chemistry Overview Whiskies and other distilled beverages, such as cognac and rum, are complex beverages that contain a vast range of flavouring compounds, of which some 200 to 300 are easily detected by chemical analysis. The flavouring chemicals include "carbonyl compounds, alcohols, carboxylic acids and their esters, nitrogen- and sulfur-containing compounds, tannins, and other polyphenolic compounds, terpenes, and oxygen-containing, heterocyclic compounds" and esters of fatty acids. The nitrogen compounds include pyridines, picolines and pyrazines. The sulfur compounds include thiophenes and polysulfides which seem to contribute to whiskey's roasted character. Flavours from treating the malt The distinctive smoky flavour found in various types of whisky, especially Scotch, is due to the use of peat smoke to treat the malt. Flavours from distillation The flavouring of whisky is partially determined by the presence of congeners and fusel oils. Fusel oils are higher alcohols than ethanol, are mildly toxic, and have a strong, disagreeable smell and taste. An excess of fusel oils in whisky is considered a defect. A variety of methods are employed in the distillation process to remove unwanted fusel oils. Traditionally, American distillers focused on secondary filtration using charcoal, gravel, sand, or linen to remove undesired distillates. Acetals are rapidly formed in distillates and a great many are found in distilled beverages, the most prominent being acetaldehyde diethyl acetal (1,1-diethoxyethane). Among whiskies the highest levels are associated with malt whisky. This acetal is a principal flavour compound in sherry, and contributes fruitiness to the aroma. The diketone diacetyl (2,3-butanedione) has a buttery aroma and is present in almost all distilled beverages. Whiskies and cognacs typically contain more of this | necessarily improve a whisky. While aging in wooden casks, especially American oak and French oak casks, whisky undergoes six processes that contribute to its final flavour: extraction, evaporation, oxidation, concentration, filtration, and colouration. Extraction in particular results in whisky acquiring a number of compounds, including aldehydes and acids such as vanillin, vanillic acid, and syringaldehyde. Distillers will sometimes age their whiskey in barrels previously used to age other spirits, such as rum or sherry, to impart particular flavours. Packaging Most whiskies are sold at or near an alcoholic strength of 40% abv, which is the statutory minimum in some countries – although the strength can vary, and cask-strength whisky may have as much as twice that alcohol percentage. Exports Whisky is probably the best known of Scotland's manufactured products. Exports have increased by 87% in the decade to 2012 and it contributes over £4.25 billion to the UK economy, making up a quarter of all its food and drink revenues. In 2012, the US was the largest market for Scotch whisky (£655 million), followed by France (£535 million). It is also one of the UK's overall top five manufacturing export earners and it supports around 35,000 jobs. Principal whisky producing areas include Speyside and the Isle of Islay, where there are nine distilleries providing a major source of employment. In many places, the industry is closely linked to tourism, with many distilleries also functioning as attractions worth £30 million GVA each year. In 2011, 70% of Canadian whisky was exported, with about 60% going to the US, and the rest mostly to Europe and Asia. 15 million cases of Canadian whisky were sold in the US in 2011. Types Whisky or whisky-like products are produced in most grain-growing areas. They differ in base product, alcoholic content, and quality. Malt whisky – made primarily from malted barley Grain whisky – made from any type of grain Malts and grains are combined in various ways: Single malt whisky is whisky from a single distillery made from a mash that uses only one particular malted grain. Unless the whisky is described as single-cask, it contains whisky from many casks, and different years, so the blender can achieve a taste recognisable as typical of the distillery. In most cases, single malts bear the name of the distillery, with an age statement and perhaps some indication of some special treatments, such as maturation in a port wine cask. Blended malt whisky is a mixture of single malt whiskies from different distilleries. If whisky is labelled "pure malt" or just "malt" it is almost certainly a blended malt whisky. This was formerly called a "vatted malt" whisky. Blended whisky is made from a mixture of different types of whisky. A blend may contain whisky from many distilleries so that the blender can produce a flavour consistent with the brand. The brand name may, therefore, omit the name of a distillery. Most Scotch, Irish and Canadian whisky is sold as part of a blend, even when the spirits are the product of one distillery, as is common in Canada. American blended whisky may contain neutral spirits. Cask strength (also known as barrel proof) whiskies are rare, and usually, only the very best whiskies are bottled in this way. They are bottled from the cask undiluted or only lightly diluted. Single cask (also known as single barrel) whiskies are bottled from an individual cask, and often the bottles are labelled with specific barrel and bottle numbers. The taste of these whiskies may vary substantially from cask to cask within a brand. American American whiskey is distilled from a fermented mash of cereal grain. It must have the taste, aroma, and other characteristics commonly attributed to whiskey. Some types of whiskey listed in the United States federal regulations are: Bourbon whiskey: made from mash that consists of at least 51% corn (maize) and aged in new charred oak barrels. Corn whiskey: made from mash that consists of at least 80% corn and is not aged, or, if aged, is aged in uncharred or used barrels. Malt whiskey: made from mash that consists of at least 51% malted barley Rye whiskey: made from mash that consists of at least 51% rye Rye malt whiskey: made from mash that consists of at least 51% malted rye Wheat whiskey: made from mash that consists of at least 51% wheat These types of American whiskey must be distilled to no more than 80% alcohol by volume, and barrelled at no more than 125 proof. Only water may be added to the final product; the addition of colouring or flavouring is prohibited. These whiskeys must be aged in new charred-oak containers, except for corn whiskey, which does not have to be aged. If it is aged, it must be in uncharred oak barrels or in used barrels. Corn whiskey is usually unaged and sold as a legal version of moonshine. There is no minimum aging period required for a spirit to legally be called whiskey. If one of these whiskey types reaches two years aging or beyond, it is additionally designated as straight, e.g., straight rye whiskey. A whiskey that fulfils all above requirements but derives from less than 51% of any one specific grain can be called simply a straight whiskey without naming a grain. US regulations recognize other whiskey categories, including: Blended whiskey: a mixture that contains a blend of straight whiskeys and neutral grain spirits (NGS), and may also contain flavourings and colourings. The percentage of NGS must be disclosed on the label and may be as much at 80% on a proof gallon basis. Light whiskey: produced in the US at more than 80% alcohol by volume and stored in used or uncharred new oak containers Spirit whiskey: a mixture of neutral spirits and at least 5% of certain stricter categories of whiskey Another important labelling in the marketplace is Tennessee whiskey, of which Jack Daniel's, George Dickel, Collier and McKeel, and Benjamin Prichard's are the only brands currently bottled. The main difference defining a Tennessee whiskey is that it must be filtered through sugar maple charcoal before aging, known as the Lincoln County Process. (Benjamin Prichard's, which is not so filtered, was grandfathered in when the requirement was introduced in 2017.) The rest of the distillation process of Tennessee Whiskey is identical to bourbon whiskey. Whiskey sold as "Tennessee whiskey" is defined as bourbon under NAFTA and at least one other international trade agreement, and is similarly required to meet the legal definition of bourbon under Canadian law. Australian Australian whiskies have won global whisky awards and medals, including the World Whiskies Awards and Jim Murray's Whisky Bible "Liquid Gold Awards". Canadian By Canadian law, Canadian whiskies must be produced and aged in Canada, be distilled from a fermented mash of cereal grain, be aged in wood barrels with a capacity limit of for not less than three years, and "possess the aroma, taste and character generally attributed to Canadian whisky". The terms "Canadian Whisky", "Rye Whisky", and "Canadian Rye Whisky" are legally indistinguishable in Canada and do not require any specific grain in their production and are often blends of two or more grains. Canadian whiskies may contain caramel and flavouring in addition to the distilled mash spirits, and there is no maximum limit on the alcohol level of the distillation. The minimum bottling proof is 40% ABV. To be exported under one of the "Canadian Whisky" designations, a whisky cannot contain more than 9.09% imported spirits. Canadian whiskies are available throughout the world and are a culturally significant export. Well known brands include Crown Royal, Canadian Club, Seagram's, and Wiser's among others. The historic popularity of Canadian whisky in the United States is partly a result of rum runners illegally importing it into the country during the period of American Prohibition. Danish Denmark began producing whisky early in 1974. The first Danish single malt to go on sale was Lille Gadegård from Bornholm, in 2005. Lille Gadegård is a winery as well, and uses its own wine casks to mature whisky. The second Danish distilled single malt whisky for sale was Edition No.1 from the Braunstein microbrewery and distillery. It was distilled in 2007, using water from the Greenlandic ice sheet, and entered the market in March 2010. Another distillery is Stauning Whisky, based in Jutland. Nyborg Destilleri, from the island Funen (Fyn) in the center of Denmark, produces organic whisky and other organic spirits. The distillery was established in 2009, and in 2020 they launched their first 10 year old whisky. English There are currently at least eight distilleries producing English whisky. Distillers operated in London, Liverpool, and Bristol until the late 19th century, after which production of English single malt whisky ceased until 2003. Finnish In 2005, there were two working distilleries in Finland and a third one under construction. Whisky retail sales in Finland are controlled solely by the state alcohol monopoly Alko and advertising of strong alcoholic beverages is banned. French French whisky is whisky produced in France. The distilleries producing |
a Mesolithic cemetery in Jebel Sahaba, which has been determined to be approximately 14,000 years old. About forty-five percent of the skeletons there displayed signs of violent death. Since the rise of the state some 5,000 years ago, military activity has occurred over much of the globe. The advent of gunpowder and the acceleration of technological advances led to modern warfare. According to Conway W. Henderson, "One source claims that 14,500 wars have taken place between 3500 BC and the late 20th century, costing 3.5 billion lives, leaving only 300 years of peace (Beer 1981: 20)." An unfavorable review of this estimate mentions the following regarding one of the proponents of this estimate: "In addition, perhaps feeling that the war casualties figure was improbably high, he changed 'approximately 3,640,000,000 human beings have been killed by war or the diseases produced by war' to 'approximately 1,240,000,000 human beings...&c.'" The lower figure is more plausible, but could still be on the high side considering that the 100 deadliest acts of mass violence between 480 BC and 2002 AD (wars and other man-made disasters with at least 300,000 and up to 66 million victims) claimed about 455 million human lives in total. Primitive warfare is estimated to have accounted for 15.1% of deaths and claimed 400 million victims. Added to the aforementioned figure of 1,240 million between 3500 BC and the late 20th century, this would mean a total of 1,640,000,000 people killed by war (including deaths from famine and disease caused by war) throughout the history and pre-history of mankind. For comparison, an estimated 1,680,000,000 people died from infectious diseases in the 20th century. In War Before Civilization, Lawrence H. Keeley, a professor at the University of Illinois, says approximately 90–95% of known societies throughout history engaged in at least occasional warfare, and many fought constantly. Keeley describes several styles of primitive combat such as small raids, large raids, and massacres. All of these forms of warfare were used by primitive societies, a finding supported by other researchers. Keeley explains that early war raids were not well organized, as the participants did not have any formal training. Scarcity of resources meant defensive works were not a cost-effective way to protect the society against enemy raids. William Rubinstein wrote "Pre-literate societies, even those organised in a relatively advanced way, were renowned for their studied cruelty...'archaeology yields evidence of prehistoric massacres more severe than any recounted in ethnography [i.e., after the coming of the Europeans].'" In Western Europe, since the late 18th century, more than 150 conflicts and about 600 battles have taken place. During the 20th century, war resulted in a dramatic intensification of the pace of social changes, and was a crucial catalyst for the emergence of the political Left as a force to be reckoned with. In 1947, in view of the rapidly increasingly destructive consequences of modern warfare, and with a particular concern for the consequences and costs of the newly developed atom bomb, Albert Einstein famously stated, "I know not with what weapons World War III will be fought, but World War IV will be fought with sticks and stones." Mao Zedong urged the socialist camp not to fear nuclear war with the United States since, even if "half of mankind died, the other half would remain while imperialism would be razed to the ground and the whole world would become socialist." A distinctive feature of war since 1945 is the absence of wars between major powers—indeed the near absence of any traditional wars between established countries. The major exceptions were the Indo-Pakistani War of 1971, the Iran–Iraq War 1980–1988, and the Gulf War of 1990–91. Instead, combat has largely been a matter of civil wars and insurgencies. The Human Security Report 2005 documented a significant decline in the number and severity of armed conflicts since the end of the Cold War in the early 1990s. However, the evidence examined in the 2008 edition of the Center for International Development and Conflict Management's "Peace and Conflict" study indicated the overall decline in conflicts had stalled. Types of warfare Asymmetric warfare is a conflict between belligerents of drastically different levels of military capability or size. Biological warfare, or germ warfare, is the use of weaponized biological toxins or infectious agents such as bacteria, viruses, and fungi. Chemical warfare involves the use of weaponized chemicals in combat. Poison gas as a chemical weapon was principally used during World War I, and resulted in over a million estimated casualties, including more than 100,000 civilians. Cold warfare is an intense international rivalry without direct military conflict, but with a sustained threat of it, including high levels of military preparations, expenditures, and development, and may involve active conflicts by indirect means, such as economic warfare, political warfare, covert operations, espionage, cyberwarfare, or proxy wars. Conventional warfare is declared war between states in which nuclear, biological, or chemical weapons are not used or see limited deployment. Cyberwarfare involves the actions by a nation-state or international organization to attack and attempt to damage another nation's information systems. Insurgency is a rebellion against authority, when those taking part in the rebellion are not recognized as belligerents (lawful combatants). An insurgency can be fought via counterinsurgency, and may also be opposed by measures to protect the population, and by political and economic actions of various kinds aimed at undermining the insurgents' claims against the incumbent regime. Information warfare is the application of destructive force on a large scale against information assets and systems, against the computers and networks that support the four critical infrastructures (the power grid, communications, financial, and transportation). Nuclear warfare is warfare in which nuclear weapons are the primary, or a major, method of achieving capitulation. Total war is warfare by any means possible, disregarding the laws of war, placing no limits on legitimate military targets, using weapons and tactics resulting in significant civilian casualties, or demanding a war effort requiring significant sacrifices by the friendly civilian population. Unconventional warfare, the opposite of conventional warfare, is an attempt to achieve military victory through acquiescence, capitulation, or clandestine support for one side of an existing conflict. Aims Entities contemplating going to war and entities considering whether to end a war may formulate war aims as an evaluation/propaganda tool. War aims may stand as a proxy for national-military resolve. Definition Fried defines war aims as "the desired territorial, economic, military or other benefits expected following successful conclusion of a war". Classification Tangible/intangible aims: Tangible war aims may involve (for example) the acquisition of territory (as in the German goal of Lebensraum in the first half of the 20th century) or the recognition of economic concessions (as in the Anglo-Dutch Wars). Intangible war aims – like the accumulation of credibility or reputation – may have more tangible expression ("conquest restores prestige, annexation increases power"). Explicit/implicit aims: Explicit war aims may involve published policy decisions. Implicit war aims can take the form of minutes of discussion, memoranda and instructions. Positive/negative aims: "Positive war aims" cover tangible outcomes. "Negative war aims" forestall or prevent undesired outcomes. War aims can change in the course of conflict and may eventually morph into "peace conditions" – the minimal conditions under which a state may cease to wage a particular war. Effects Military and civilian casualties in recent human history Throughout the course of human history, the average number of people dying from war has fluctuated relatively little, being about 1 to 10 people dying per 100,000. However, major wars over shorter periods have resulted in much higher casualty rates, with 100-200 casualties per 100,000 over a few years. While conventional wisdom holds that casualties have increased in recent times due to technological improvements in warfare, this is not generally true. For instance, the Thirty Years' War (1618–1648) had about the same number of casualties per capita as World War I, although it was higher during World War II (WWII). That said, overall the number of casualties from war has not significantly increased in recent times. Quite to the contrary, on a global scale the time since WWII has been unusually peaceful. Largest by death toll The deadliest war in history, in terms of the cumulative number of deaths since its start, is World War II, from 1939 to 1945, with 60–85 million deaths, followed by the Mongol conquests at up to 60 million. As concerns a belligerent's losses in proportion to its prewar population, the most destructive war in modern history may have been the Paraguayan War (see Paraguayan War casualties). In 2013 war resulted in 31,000 deaths, down from 72,000 deaths in 1990. In 2003, Richard Smalley identified war as the sixth biggest problem (of ten) facing humanity for the next fifty years. War usually results in significant deterioration of infrastructure and the ecosystem, a decrease in social spending, famine, large-scale emigration from the war zone, and often the mistreatment of prisoners of war or civilians. For instance, of the nine million people who were on the territory of the Byelorussian SSR in 1941, some 1.6 million were killed by the Germans in actions away from battlefields, including about 700,000 prisoners of war, 500,000 Jews, and 320,000 people counted as partisans (the vast majority of whom were unarmed civilians). Another byproduct of some wars is the prevalence of propaganda by some or all parties in the conflict, and increased revenues by weapons manufacturers. Three of the ten most costly wars, in terms of loss of life, have been waged in the last century. These are the two World Wars, followed by the Second Sino-Japanese War (which is sometimes considered part of World War II, or as overlapping). Most of the others involved China or neighboring peoples. The death toll of World War II, being over 60 million, surpasses all other war-death-tolls. On military personnel Military personnel subject to combat in war often suffer mental and physical injuries, including depression, posttraumatic stress disorder, disease, injury, and death. During World War II, research conducted by US Army Brigadier General S.L.A. Marshall found, on average, 15% to 20% of American riflemen in WWII combat fired at the enemy. In Civil War Collector's Encyclopedia, F.A. Lord notes that of the 27,574 discarded muskets found on the Gettysburg battlefield, nearly 90% were loaded, with 12,000 loaded more than once and 6,000 loaded 3 to 10 times. These studies suggest most military personnel resist firing their weapons in combat, that – as some theorists argue – human beings have an inherent resistance to killing their fellow human beings. Swank and Marchand's WWII study found that after sixty days of continuous combat, 98% of all surviving military personnel will become psychiatric casualties. Psychiatric casualties manifest themselves in fatigue cases, confusional states, conversion hysteria, anxiety, obsessional and compulsive states, and character disorders. Additionally, it has been estimated anywhere from 18% to 54% of Vietnam war veterans suffered from posttraumatic stress disorder. Based on 1860 census figures, 8% of all white American males aged 13 to 43 died in the American Civil War, including about 6% in the North and approximately 18% in the South. The war remains the deadliest conflict in American history, resulting in the deaths of 620,000 military personnel. United States military casualties of war since 1775 have totaled over two million. Of the 60 million European military personnel who were mobilized in World War I, 8 million were killed, 7 million were permanently disabled, and 15 million were seriously injured. During Napoleon's retreat from Moscow, more French military personnel died of typhus than were killed by the Russians. Of the 450,000 soldiers who crossed the Neman on 25 June 1812, less than 40,000 returned. More military personnel were killed from 1500 to 1914 by typhus than from military action. In addition, if it were not for modern medical advances there would be thousands more dead from disease and infection. For instance, during the Seven Years' War, the Royal Navy reported it conscripted 184,899 sailors, of whom 133,708 (72%) died of disease or were 'missing'. It is estimated that between 1985 and 1994, 378,000 people per year died due to war. On civilians Most wars have resulted in significant loss of life, along with destruction of infrastructure and resources (which may lead to famine, disease, and death in the civilian population). During the Thirty Years' War in Europe, the population of the Holy Roman Empire was reduced by 15 to 40 percent. Civilians in war zones may also be subject to war atrocities such as genocide, while survivors may suffer the psychological aftereffects of witnessing the destruction of war. War also results in lower quality of life and worse health outcomes. A medium-sized conflict with about 2,500 battle deaths reduces civilian life expectancy by one year and increases infant mortality by 10% and malnutrition by 3.3%. Additionally, about 1.8% of the population loses access to drinking water. Most estimates of World War II casualties indicate around 60 million people died, 40 million of whom were civilians. Deaths in the Soviet Union were around 27 million. Since a high proportion of those killed were young men who had not yet fathered any children, population growth in the postwar Soviet Union was much lower than it otherwise would have been. Economic Once a war has ended, losing nations are sometimes required to pay war reparations to the victorious nations. In certain cases, land is ceded to the victorious nations. For example, the territory of Alsace-Lorraine has been traded between France and Germany on three different occasions. Typically, war becomes intertwined with the economy and many wars are partially or entirely based on economic reasons. Some economists believe war can stimulate a country's economy (high government spending for World War II is often credited with bringing the U.S. out of the Great Depression by most Keynesian economists), but in many cases, such as the wars of Louis XIV, the Franco-Prussian War, and World War I, warfare primarily results in damage to the economy of the countries involved. For example, Russia's involvement in World War I took such a toll on the Russian economy that it almost collapsed and greatly contributed to the start of the Russian Revolution of 1917. World War II World War II was the most financially costly conflict in history; its belligerents cumulatively spent about a trillion U.S. dollars on the war effort (as adjusted to 1940 prices). The Great Depression of the 1930s ended as nations increased their production of war materials. By the end of the war, 70% of European industrial infrastructure was destroyed. Property damage in the Soviet Union inflicted by the Axis invasion was estimated at a value of 679 billion rubles. The combined damage consisted of complete or partial destruction of 1,710 cities and towns, 70,000 villages/hamlets, 2,508 church buildings, 31,850 industrial establishments, of railroad, 4100 railroad stations, 40,000 hospitals, 84,000 schools, and 43,000 public libraries. Theories of motivation There are many theories about the motivations for war, but no consensus about which are most common. Carl von Clausewitz said, 'Every age has its own kind of war, its own limiting conditions, and its own peculiar preconceptions.' Psychoanalytic Dutch psychoanalyst Joost Meerloo held that, "War is often...a mass discharge of accumulated internal rage (where)...the inner fears of mankind are discharged in mass destruction." Other psychoanalysts such as E.F.M. Durban and John Bowlby have argued human beings are inherently violent. This aggressiveness is fueled by displacement and projection where a person transfers his or her grievances into bias and hatred against other races, religions, nations or ideologies. By this theory, the nation state preserves order in the local society while creating an outlet for aggression through warfare. The Italian psychoanalyst Franco Fornari, a follower of Melanie Klein, thought war was the paranoid or projective "elaboration" of mourning. Fornari thought war and violence develop out of our "love need": our wish to preserve and defend the sacred object to which we are attached, namely our early mother and our fusion with her. For the adult, nations are the sacred objects that generate warfare. Fornari focused upon sacrifice as the essence of war: the astonishing willingness of human beings to die for their country, to give over their bodies to their nation. Despite Fornari's theory that man's altruistic desire for self-sacrifice for a noble cause is a contributing factor towards war, few wars have originated from a desire for war among the general populace. Far more often the general population has been reluctantly drawn into war by its rulers. One psychological theory that looks at the leaders is advanced by Maurice | may be a general feature of animal social behavior. Some proponents of the idea argue that war, while innate, has been intensified greatly by developments of technology and social organization such as weaponry and states. Psychologist and linguist Steven Pinker argued that war-related behaviors may have been naturally selected in the ancestral environment due to the benefits of victory. He also argued that in order to have credible deterrence against other groups (as well as on an individual level), it was important to have a reputation for retaliation, causing humans to develop instincts for revenge as well as for protecting a group's (or an individual's) reputation ("honor"). Crofoot and Wrangham have argued that warfare, if defined as group interactions in which "coalitions attempt to aggressively dominate or kill members of other groups", is a characteristic of most human societies. Those in which it has been lacking "tend to be societies that were politically dominated by their neighbors". Ashley Montagu strongly denied universalistic instinctual arguments, arguing that social factors and childhood socialization are important in determining the nature and presence of warfare. Thus, he argues, warfare is not a universal human occurrence and appears to have been a historical invention, associated with certain types of human societies. Montagu's argument is supported by ethnographic research conducted in societies where the concept of aggression seems to be entirely absent, e.g. the Chewong and Semai of the Malay peninsula. Bobbi S. Low has observed correlation between warfare and education, noting societies where warfare is commonplace encourage their children to be more aggressive. Economic War can be seen as a growth of economic competition in a competitive international system. In this view wars begin as a pursuit of markets for natural resources and for wealth. War has also been linked to economic development by economic historians and development economists studying state-building and fiscal capacity. While this theory has been applied to many conflicts, such counter arguments become less valid as the increasing mobility of capital and information level the distributions of wealth worldwide, or when considering that it is relative, not absolute, wealth differences that may fuel wars. There are those on the extreme right of the political spectrum who provide support, fascists in particular, by asserting a natural right of a strong nation to whatever the weak cannot hold by force. Some centrist, capitalist, world leaders, including Presidents of the United States and U.S. Generals, expressed support for an economic view of war. Marxist The Marxist theory of war is quasi-economic in that it states all modern wars are caused by competition for resources and markets between great (imperialist) powers, claiming these wars are a natural result of capitalism. Marxist economists Karl Kautsky, Rosa Luxemburg, Rudolf Hilferding and Vladimir Lenin theorized that imperialism was the result of capitalist countries needing new markets. Expansion of the means of production is only possible if there is a corresponding growth in consumer demand. Since the workers in a capitalist economy would be unable to fill the demand, producers must expand into non-capitalist markets to find consumers for their goods, hence driving imperialism. Demographic Demographic theories can be grouped into two classes, Malthusian and youth bulge theories: Malthusian Malthusian theories see expanding population and scarce resources as a source of violent conflict. Pope Urban II in 1095, on the eve of the First Crusade, advocating Crusade as a solution to European overpopulation, said: This is one of the earliest expressions of what has come to be called the Malthusian theory of war, in which wars are caused by expanding populations and limited resources. Thomas Malthus (1766–1834) wrote that populations always increase until they are limited by war, disease, or famine. The violent herder–farmer conflicts in Nigeria, Mali, Sudan and other countries in the Sahel region have been exacerbated by land degradation and population growth. Youth bulge According to Heinsohn, who proposed youth bulge theory in its most generalized form, a youth bulge occurs when 30 to 40 percent of the males of a nation belong to the "fighting age" cohorts from 15 to 29 years of age. It will follow periods with total fertility rates as high as 4–8 children per woman with a 15–29-year delay. Heinsohn saw both past "Christianist" European colonialism and imperialism, as well as today's Islamist civil unrest and terrorism as results of high birth rates producing youth bulges. Among prominent historical events that have been attributed to youth bulges are the role played by the historically large youth cohorts in the rebellion and revolution waves of early modern Europe, including the French Revolution of 1789, and the effect of economic depression upon the largest German youth cohorts ever in explaining the rise of Nazism in Germany in the 1930s. The 1994 Rwandan genocide has also been analyzed as following a massive youth bulge. Youth bulge theory has been subjected to statistical analysis by the World Bank, Population Action International, and the Berlin Institute for Population and Development. Youth bulge theories have been criticized as leading to racial, gender and age discrimination. Cultural Geoffrey Parker argues that what distinguishes the "Western way of war" based in Western Europe chiefly allows historians to explain its extraordinary success in conquering most of the world after 1500: The Western way of war rests upon five principal foundations: technology, discipline, a highly aggressive military tradition, a remarkable capacity to innovate and to respond rapidly to the innovation of others and—from about 1500 onward—a unique system of war finance. The combination of all five provided a formula for military success....The outcome of wars has been determined less by technology, then by better war plans, the achievement of surprise, greater economic strength, and above all superior discipline. Parker argues that Western armies were stronger because they emphasized discipline, that is, "the ability of a formation to stand fast in the face of the enemy, where they're attacking or being attacked, without giving way to the natural impulse of fear and panic." Discipline came from drills and marching in formation, target practice, and creating small "artificial kinship groups: such as the company and the platoon, to enhance psychological cohesion and combat efficiency. Rationalist Rationalism is an international relations theory or framework. Rationalism (and Neorealism (international relations)) operate under the assumption that states or international actors are rational, seek the best possible outcomes for themselves, and desire to avoid the costs of war. Under one game theory approach, rationalist theories posit all actors can bargain, would be better off if war did not occur, and likewise seek to understand why war nonetheless reoccurs. Under another rationalist game theory without bargaining, the peace war game, optimal strategies can still be found that depend upon number of iterations played. In "Rationalist Explanations for War", James Fearon examined three rationalist explanations for why some countries engage in war: Issue indivisibilities Incentives to misrepresent or information asymmetry Commitment problems "Issue indivisibility" occurs when the two parties cannot avoid war by bargaining, because the thing over which they are fighting cannot be shared between them, but only owned entirely by one side or the other. "Information asymmetry with incentives to misrepresent" occurs when two countries have secrets about their individual capabilities, and do not agree on either: who would win a war between them, or the magnitude of state's victory or loss. For instance, Geoffrey Blainey argues that war is a result of miscalculation of strength. He cites historical examples of war and demonstrates, "war is usually the outcome of a diplomatic crisis which cannot be solved because both sides have conflicting estimates of their bargaining power." Thirdly, bargaining may fail due to the states' inability to make credible commitments. Within the rationalist tradition, some theorists have suggested that individuals engaged in war suffer a normal level of cognitive bias, but are still "as rational as you and me". According to philosopher Iain King, "Most instigators of conflict overrate their chances of success, while most participants underrate their chances of injury...." King asserts that "Most catastrophic military decisions are rooted in GroupThink" which is faulty, but still rational. The rationalist theory focused around bargaining is currently under debate. The Iraq War proved to be an anomaly that undercuts the validity of applying rationalist theory to some wars. Political science The statistical analysis of war was pioneered by Lewis Fry Richardson following World War I. More recent databases of wars and armed conflict have been assembled by the Correlates of War Project, Peter Brecke and the Uppsala Conflict Data Program. The following subsections consider causes of war from system, societal, and individual levels of analysis. This kind of division was first proposed by Kenneth Waltz in Man, the State, and War and has been often used by political scientists since then. System-level There are several different international relations theory schools. Supporters of realism in international relations argue that the motivation of states is the quest for security, and conflicts can arise from the inability to distinguish defense from offense, which is called the security dilemma. Within the realist school as represented by scholars such as Henry Kissinger and Hans Morgenthau, and the neorealist school represented by scholars such as Kenneth Waltz and John Mearsheimer, two main sub-theories are: Balance of power theory: States have the goal of preventing a single state from becoming a hegemon, and war is the result of the would-be hegemon's persistent attempts at power acquisition. In this view, an international system with more equal distribution of power is more stable, and "movements toward unipolarity are destabilizing." However, evidence has shown power polarity is not actually a major factor in the occurrence of wars. Power transition theory: Hegemons impose stabilizing conditions on the world order, but they eventually decline, and war occurs when a declining hegemon is challenged by another rising power or aims to preemptively suppress them. On this view, unlike for balance-of-power theory, wars become more probable when power is more equally distributed. This "power preponderance" hypothesis has empirical support. The two theories are not mutually exclusive and may be used to explain disparate events according to the circumstance. Liberalism as it relates to international relations emphasizes factors such as trade, and its role in disincentivizing conflict which will damage economic relations. Realists respond that military force may sometimes be at least as effective as trade at achieving economic benefits, especially historically if not as much today. Furthermore, trade relations which result in a high level of dependency may escalate tensions and lead to conflict. Empirical data on the relationship of trade to peace are mixed, and moreover, some evidence suggests countries at war don't necessarily trade less with each other. Societal-level Diversionary theory, also known as the "scapegoat hypothesis", suggests the politically powerful may use war to as a diversion or to rally domestic popular support. This is supported by literature showing out-group hostility enhances in-group bonding, and a significant domestic "rally effect" has been demonstrated when conflicts begin. However, studies examining the increased use of force as a function of need for internal political support are more mixed. U.S. war-time presidential popularity surveys taken during the presidencies of several recent U.S. leaders have supported diversionary theory. Individual-level These theories suggest differences in people's personalities, decision-making, emotions, belief systems, and biases are important in determining whether conflicts get out of hand. For instance, it has been proposed that conflict is modulated by bounded rationality and various cognitive biases, such as prospect theory. Ethics The morality of war has been the subject of debate for thousands of years. The two principal aspects of ethics in war, according to the just war theory, are jus ad bellum and jus in bello. Jus ad bellum (right to war), dictates which unfriendly acts and circumstances justify a proper authority in declaring war on another nation. There are six main criteria for the declaration of a just war: first, any just war must be declared by a lawful authority; second, it must be a just and righteous cause, with sufficient gravity to merit large-scale violence; third, the just belligerent must have rightful intentions – namely, that they seek to advance good and curtail evil; fourth, a just belligerent must have a reasonable chance of success; fifth, the war must be a last resort; and sixth, the ends being sought must be proportional to means being used. Jus in bello (right in war), is the set of ethical rules when conducting war. The two main principles are proportionality and discrimination. Proportionality regards how much force is necessary and morally appropriate to the ends being sought and the injustice suffered. The principle of discrimination determines who are the legitimate targets in a war, and specifically makes a separation between combatants, who it is permissible to kill, and non-combatants, who it is not. Failure to follow these rules can result in the loss of legitimacy for the just-war-belligerent. The just war theory was foundational in the creation of the United Nations and in international law's regulations on legitimate war. Fascism, and the ideals it encompasses, such as Pragmatism, racism, and social Darwinism, hold that violence is good. Pragmatism holds that war and violence can be good if it serves the ends of the people, without regard for universal morality. Racism holds that violence is good so that a master race can be established, or to purge an inferior race from the earth, or both. Social Darwinism asserts that violence is sometimes necessary to weed the unfit from society so civilization can flourish. These are broad archetypes for the general position that the ends justify the means. Lewis Coser, U.S. conflict theorist and sociologist, argued conflict provides a function and a process whereby a succession of new equilibriums are created. Thus, the struggle of opposing forces, rather than being disruptive, may be a means of balancing and maintaining a social structure or society. Limiting and stopping Religious groups have long formally opposed or sought to limit war as in the Second Vatican Council document Gaudiem et Spes: "Any act of war aimed indiscriminately at the destruction of entire cities of extensive areas along with their population is a crime against God and man himself. It merits unequivocal and unhesitating condemnation." Anti-war movements have existed for every major war in the 20th century, including, most prominently, World War I, World War II, and the Vietnam War. In the 21st century, worldwide anti-war movements occurred in response to the United States invasion of Afghanistan and Iraq. Protests opposing the War in Afghanistan occurred in Europe, Asia, and the United States. See also Outline of war Grey-zone (international relations) Notes References Bibliography Butler, Smedley (1935). War is a Racket. Chagnon, N. (1983). The Yanomamo. Holt, Rinehart & Winston. Clausewitz, Carl Von (1976). On War, Princeton University Press Codevilla, Angelo (2005). No Victory, No Peace. Rowman and Littlefield Fry, Douglas (2005). The Human Potential for Peace: An Anthropological Challenge to Assumptions about War and Violence. Oxford University Press. Fry, Douglas (2009). Beyond War. Oxford University Press. Gat, Azar (2006). War in Human Civilization. Oxford University Press. Howell, Signe; Willis, Roy (1990). Societies at Peace: Anthropological Perspectives. London: Routledge. Keegan, John (1994). A History of Warfare. Pimlico. Keeley, Lawrence (1996). War Before Civilization, Oxford University Press. Kelly, Raymond C. (2000). Warless Societies and the Origin of War, University of Michigan Press. Kemp, Graham; Fry, Douglas (2004). Keeping the Peace. New York: Routledge. Lebow, Richard Ned (2008). A Cultural Theory of International Relations. Cambridge University Press. Lindemann, Thomas (2010). Causes of War. The Struggle for Recognition. |
the Co-Creation Czar. He remains "an adviser" with AboutUs. Cunningham left CitizenGlobal and is now a programmer at New Relic. Ideas and inventions Cunningham is well known for a few widely disseminated ideas which he originated and developed. The most famous among these are the wiki and many ideas in the field of software design patterns, made popular by the Gang of Four (GoF). He owns the company Cunningham & Cunningham Inc., a consultancy that has specialized in object-oriented programming. He also created the site (and software) WikiWikiWeb, the first internet wiki in 1995. When asked in a 2006 interview with internetnews.com whether he considered patenting the wiki concept, he explained that he thought the idea "just sounded like something that no one would want to pay money for." Cunningham is interested in tracking the number and location of wiki page edits as a sociological experiment and may even consider the degradation of a wiki page as part of its process to stability. "There are those who give and those who take. You can tell by reading what they write." In 2011, Cunningham created Smallest Federated Wiki, a tool for wiki federation, which applies aspects of software development such as forking to wiki pages. He signed the Manifesto for Agile Software Development Cunningham has contributed to the practice of object-oriented programming, in particular the use of pattern languages and (with Kent Beck) the class-responsibility-collaboration cards. He also contributes to the extreme programming software development methodology. Much of this work was done collaboratively on the first wiki site. "Cunningham's Law" Cunningham is credited with the idea: "The best way to get the right answer on the Internet is not to ask a question; it's to post the wrong answer." This refers to the observation that people are quicker to correct a wrong answer than to answer a question. According to Steven McGeady, Cunningham advised him of this on a whim in the early 1980s, and McGeady dubbed this Cunningham's Law. Although originally referring to interactions on Usenet, the law has been used to describe how other online communities work, such as Wikipedia. Cunningham himself denies ownership of the law, calling it a "misquote that disproves itself by propagating through the internet." Personal life Cunningham lives in Beaverton, Oregon. He holds an Amateur Radio Extra Class license issued by the Federal Communications Commission, and his call sign | founder of The Hillside Group and has served as program chair of the Pattern Languages of Programming conference which it sponsors. Cunningham was part of the Smalltalk community. From December 2003 until October 2005, Cunningham worked for Microsoft in the "Patterns & Practices" group. From October 2005 to May 2007, he held the position of Director of Committer Community Development at the Eclipse Foundation. In May 2009, he joined AboutUs as its chief technology officer. On March 24, 2011 The Oregonian reported that Cunningham had departed AboutUs to join the Venice Beach-based CitizenGlobal, a startup working on crowd-sourced video content, as their chief technology officer and the Co-Creation Czar. He remains "an adviser" with AboutUs. Cunningham left CitizenGlobal and is now a programmer at New Relic. Ideas and inventions Cunningham is well known for a few widely disseminated ideas which he originated and developed. The most famous among these are the wiki and many ideas in the field of software design patterns, made popular by the Gang of Four (GoF). He owns the company Cunningham & Cunningham Inc., a consultancy that has specialized in object-oriented programming. He also created the site (and software) WikiWikiWeb, the first internet wiki in 1995. When asked in a 2006 interview with internetnews.com whether he considered patenting the wiki concept, he explained that he thought the idea "just sounded like something that no one would want to pay money for." Cunningham is interested in tracking the number and location of wiki page edits as a sociological experiment and may even consider the degradation of a wiki page as part of its process to stability. "There are those who give and those who take. You can tell by reading what they write." In 2011, Cunningham created Smallest Federated Wiki, a tool for wiki federation, which applies aspects of software development such as forking to wiki pages. He signed the Manifesto for Agile Software Development Cunningham has contributed to the practice of object-oriented programming, in particular the use of pattern languages and (with Kent Beck) the class-responsibility-collaboration cards. He also contributes to the extreme programming software development methodology. Much of this work was done collaboratively on the first wiki site. "Cunningham's Law" Cunningham is credited with the idea: "The best way to get the right answer on the Internet is not to ask a question; it's to post the wrong answer." This refers to the observation that people are quicker to correct a wrong answer than to answer a question. |
three Da Ponte operas, Così fan tutte, premiered in 1790. Around this time, Mozart made some long journeys hoping to improve his fortunes, visiting Leipzig, Dresden, and Berlin in the spring of 1789, and Frankfurt, Mannheim, and other German cities in 1790. 1791 Mozart's last year was, until his final illness struck, a time of high productivity—and by some accounts, one of personal recovery. He composed a great deal, including some of his most admired works: the opera The Magic Flute; the final piano concerto (K. 595 in B); the Clarinet Concerto K. 622; the last in his series of string quintets (K. 614 in E); the motet Ave verum corpus K. 618; and the unfinished Requiem K. 626. Mozart's financial situation, a source of anxiety in 1790, finally began to improve. Although the evidence is inconclusive, it appears that wealthy patrons in Hungary and Amsterdam pledged annuities to Mozart in return for the occasional composition. He is thought to have benefited from the sale of dance music written in his role as Imperial chamber composer. Mozart no longer borrowed large sums from Puchberg and began to pay off his debts. He experienced great satisfaction in the public success of some of his works, notably The Magic Flute (which was performed several times in the short period between its premiere and Mozart's death) and the Little Masonic Cantata K. 623, premiered on 17 November 1791. Final illness and death Mozart fell ill while in Prague for the premiere, on 6September 1791, of his opera La clemenza di Tito, which was written in that same year on commission for Emperor Leopold II's coronation festivities. He continued his professional functions for some time and conducted the premiere of The Magic Flute on 30 September. His health deteriorated on 20 November, at which point he became bedridden, suffering from swelling, pain, and vomiting. Mozart was nursed in his final days by his wife and her youngest sister, and was attended by the family doctor, Thomas Franz Closset. He was mentally occupied with the task of finishing his Requiem, but the evidence that he dictated passages to his student Franz Xaver Süssmayr is minimal. Mozart died in his home on at 12:55 am. The New Grove describes his funeral: Mozart was interred in a common grave, in accordance with contemporary Viennese custom, at the St. Marx Cemetery outside the city on 7December. If, as later reports say, no mourners attended, that too is consistent with Viennese burial customs at the time; later Otto Jahn (1856) wrote that Salieri, Süssmayr, van Swieten and two other musicians were present. The tale of a storm and snow is false; the day was calm and mild. The expression "common grave" refers to neither a communal grave nor a pauper's grave, but an individual grave for a member of the common people (i.e., not the aristocracy). Common graves were subject to excavation after ten years; the graves of aristocrats were not. The cause of Mozart's death is not known with certainty. The official record of hitziges Frieselfieber ("severe miliary fever", referring to a rash that looks like millet seeds) is more a symptomatic description than a diagnosis. Researchers have suggested more than a hundred causes of death, including acute rheumatic fever, streptococcal infection, trichinosis, influenza, mercury poisoning, and a rare kidney ailment. Mozart's modest funeral did not reflect his standing with the public as a composer; memorial services and concerts in Vienna and Prague were well-attended. Indeed, in the period immediately after his death, his reputation rose substantially. Solomon describes an "unprecedented wave of enthusiasm" for his work; biographies were written first by Schlichtegroll, Niemetschek, and Nissen, and publishers vied to produce complete editions of his works. Appearance and character Mozart's physical appearance was described by tenor Michael Kelly in his Reminiscences: "a remarkably small man, very thin and pale, with a profusion of fine, fair hair of which he was rather vain". His early biographer Niemetschek wrote, "there was nothing special about [his] physique.... He was small and his countenance, except for his large intense eyes, gave no signs of his genius." His facial complexion was pitted, a reminder of his childhood case of smallpox. Of his voice, his wife later wrote that it "was a tenor, rather soft in speaking and delicate in singing, but when anything excited him, or it became necessary to exert it, it was both powerful and energetic." He loved elegant clothing. Kelly remembered him at a rehearsal: was on the stage with his crimson pelisse and gold-laced cocked hat, giving the time of the music to the orchestra." Based on pictures that researchers were able to find of Mozart, he seemed to wear a white wig for most of his formal occasions—researchers of the Salzburg Mozarteum declared that only one of his fourteen portraits they had found showed him without his wig. Mozart usually worked long and hard, finishing compositions at a tremendous pace as deadlines approached. He often made sketches and drafts; unlike Beethoven's, these are mostly not preserved, as his wife sought to destroy them after his death. Mozart lived at the center of the Viennese musical world, and knew a significant number and variety of people: fellow musicians, theatrical performers, fellow Salzburgers, and aristocrats, including some acquaintance with Emperor Joseph II. Solomon considers his three closest friends to have been Gottfried von Jacquin, Count August Hatzfeld, and Sigmund Barisani; others included his elder colleague Joseph Haydn, singers Franz Xaver Gerl and Benedikt Schack, and the horn player Joseph Leutgeb. Leutgeb and Mozart carried on a curious kind of friendly mockery, often with Leutgeb as the butt of Mozart's practical jokes. He enjoyed billiards, dancing, and kept pets, including a canary, a starling, a dog, and a horse for recreational riding. He had a startling fondness for scatological humour, which is preserved in his surviving letters, notably those written to his cousin Maria Anna Thekla Mozart around 1777–1778, and in his correspondence with his sister and parents. Mozart also wrote scatological music, a series of canons that he sang with his friends. Mozart was raised a Catholic and remained a devout member of the Church throughout his life. Works, musical style, and innovations Style Mozart's music, like Haydn's, stands as an archetype of the Classical style. At the time he began composing, European music was dominated by the style galant, a reaction against the highly evolved intricacy of the Baroque. Progressively, and in large part at the hands of Mozart himself, the contrapuntal complexities of the late Baroque emerged once more, moderated and disciplined by new forms, and adapted to a new aesthetic and social milieu. Mozart was a versatile composer, and wrote in every major genre, including symphony, opera, the solo concerto, chamber music including string quartet and string quintet, and the piano sonata. These forms were not new, but Mozart advanced their technical sophistication and emotional reach. He almost single-handedly developed and popularized the Classical piano concerto. He wrote a great deal of religious music, including large-scale masses, as well as dances, divertimenti, serenades, and other forms of light entertainment. The central traits of the Classical style are all present in Mozart's music. Clarity, balance, and transparency are the hallmarks of his work, but simplistic notions of its delicacy mask the exceptional power of his finest masterpieces, such as the Piano Concerto No. 24 in C minor, K. 491; the Symphony No. 40 in G minor, K. 550; and the opera Don Giovanni. Charles Rosen makes the point forcefully: It is only through recognizing the violence and sensuality at the center of Mozart's work that we can make a start towards a comprehension of his structures and an insight into his magnificence. In a paradoxical way, Schumann's superficial characterization of the G minor Symphony can help us to see Mozart's daemon more steadily. In all of Mozart's supreme expressions of suffering and terror, there is something shockingly voluptuous. During his last decade, Mozart frequently exploited chromatic harmony. A notable instance is his String Quartet in C major, K. 465 (1785), whose introduction abounds in chromatic suspensions, giving rise to the work's nickname, the "Dissonance" quartet. Mozart had a gift for absorbing and adapting the valuable features of others' music. His travels helped in the forging of a unique compositional language. In London as a child, he met J. C. Bach and heard his music. In Paris, Mannheim, and Vienna he met with other compositional influences, as well as the avant-garde capabilities of the Mannheim orchestra. In Italy, he encountered the Italian overture and opera buffa, both of which deeply affected the evolution of his practice. In London and Italy, the galant style was in the ascendent: simple, light music with a mania for cadencing; an emphasis on tonic, dominant, and subdominant to the exclusion of other harmonies; symmetrical phrases; and clearly articulated partitions in the overall form of movements. Some of Mozart's early symphonies are Italian overtures, with three movements running into each other; many are homotonal (all three movements having the same key signature, with the slow middle movement being in the relative minor). Others mimic the works of J. C. Bach, and others show the simple rounded binary forms turned out by Viennese composers. As Mozart matured, he progressively incorporated more features adapted from the Baroque. For example, the Symphony No. 29 in A major K. 201 has a contrapuntal main theme in its first movement, and experimentation with irregular phrase lengths. Some of his quartets from 1773 have fugal finales, probably influenced by Haydn, who had included three such finales in his recently published Opus 20 set. The influence of the Sturm und Drang ("Storm and Stress") period in music, with its brief foreshadowing of the Romantic era, is evident in the music of both composers at that time. Mozart's Symphony No. 25 in G minor K. 183 is another excellent example. Mozart would sometimes switch his focus between operas and instrumental music. He produced operas in each of the prevailing styles: opera buffa, such as The Marriage of Figaro, Don Giovanni, and Così fan tutte; opera seria, such as Idomeneo; and Singspiel, of which Die Zauberflöte is the most famous example by any composer. In his later operas, he employed subtle changes in instrumentation, orchestral texture, and tone colour, for emotional depth and to mark dramatic shifts. Here his advances in opera and instrumental composing interacted: his increasingly sophisticated use of the orchestra in the symphonies and concertos influenced his operatic orchestration, and his developing subtlety in using the orchestra to psychological effect in his operas was in turn reflected in his later non-operatic compositions. Köchel catalogue For unambiguous identification of works by Mozart, a Köchel catalogue number is used. This is a unique number assigned, in regular chronological order, to every one of his known works. A work is referenced by the abbreviation "K." or "KV" followed by this number. The first edition of the catalogue was completed in 1862 by Ludwig von Köchel. It has since been repeatedly updated, as scholarly research improves knowledge of the dates and authenticity of individual works. Instruments Although some of Mozart's early pieces were written for harpsichord, he also became acquainted in his early years with pianos made by Regensburg builder . Later when Mozart was visiting Augsburg, he was impressed by Stein pianos and shared this in a letter to his father. On 22 October 1777, Mozart had premiered his triple-piano concerto, K. 242, on instruments provided by Stein. The Augsburg Cathedral organist Demmler was playing the first, Mozart the second and Stein the third part. In 1783 when living in Vienna he purchased an instrument by Walter. Leopold Mozart confirmed the attachment which Mozart had with his Walter fortepiano: "It is impossible to describe the hustle and bustle. Your brother's pianoforte has been moved at least twelve times from his house to the theatre or to someone else's house." Influence His most famous pupil, whom the Mozarts took into their Vienna home for two years as a child, was probably Johann Nepomuk Hummel, a transitional figure between the Classical and Romantic eras. More important is the influence Mozart had on composers of later generations. Ever since the surge in his reputation after his death, studying his scores has been a standard part of classical musicians' training. Ludwig van Beethoven, Mozart's junior by fifteen years, was deeply influenced by his work, with which he was acquainted as a teenager. He is thought to have performed Mozart's operas while playing in the court orchestra at Bonn and travelled to Vienna in 1787 hoping to study with the older composer. Some of Beethoven's works have direct models in comparable works by Mozart, and he wrote cadenzas (WoO 58) to Mozart's D minor piano concerto K. 466. For further details, see Beethoven and Mozart. Composers have paid homage to Mozart by writing sets of variations on his themes. Beethoven wrote four such sets (Op. 66, WoO 28, WoO 40, WoO 46). Others include Fernando Sor's Introduction and Variations on a Theme by Mozart (1821), Mikhail Glinka's Variations on a Theme from Mozart's Opera "Die Zauberflöte" (1822), Frédéric Chopin's Variations on "Là ci darem la mano" from Don Giovanni (1827), and Max Reger's Variations and Fugue on a Theme by Mozart (1914), based on the variation theme in the piano sonata K. 331. Pyotr Ilyich Tchaikovsky, who revered Mozart, wrote his Orchestral Suite No. 4 in G, Mozartiana (1887), as a tribute to Mozart. Notes References Citations Sources Further reading See for an extensive bibliography Eisen, Cliff; Sadie, Stanley. "Mozart, Wolfgang Amadeus", | and what is more the greatest skill in composition." From 1782 to 1785 Mozart mounted concerts with himself as a soloist, presenting three or four new piano concertos in each season. Since space in the theatres was scarce, he booked unconventional venues: a large room in the Trattnerhof apartment building, and the ballroom of the Mehlgrube restaurant. The concerts were very popular, and his concertos premiered there are still firm fixtures in his repertoire. Solomon writes that during this period, Mozart created "a harmonious connection between an eager composer-performer and a delighted audience, which was given the opportunity of witnessing the transformation and perfection of a major musical genre". With substantial returns from his concerts and elsewhere, Mozart and his wife adopted a more luxurious lifestyle. They moved to an expensive apartment, with a yearly rent of 460 florins. Mozart bought a fine fortepiano from Anton Walter for about 900 florins, and a billiard table for about 300. The Mozarts sent their son Karl Thomas to an expensive boarding school and kept servants. During this period Mozart saved little of his income. On 14 December 1784, Mozart became a Freemason, admitted to the lodge Zur Wohltätigkeit ("Beneficence"). Freemasonry played an essential role in the remainder of Mozart's life: he attended meetings, a number of his friends were Masons, and on various occasions, he composed Masonic music, e.g. the Maurerische Trauermusik. 1786–87: Return to opera Despite the great success of Die Entführung aus dem Serail, Mozart did little operatic writing for the next four years, producing only two unfinished works and the one-act Der Schauspieldirektor. He focused instead on his career as a piano soloist and writer of concertos. Around the end of 1785, Mozart moved away from keyboard writing and began his famous operatic collaboration with the librettist Lorenzo Da Ponte. 1786 saw the successful premiere of The Marriage of Figaro in Vienna. Its reception in Prague later in the year was even warmer, and this led to a second collaboration with Da Ponte: the opera Don Giovanni, which premiered in October 1787 to acclaim in Prague, but less success in Vienna during 1788. The two are among Mozart's most famous works and are mainstays of operatic repertoire today, though at their premieres their musical complexity caused difficulty both for listeners and for performers. These developments were not witnessed by Mozart's father, who had died on 28 May 1787. In December 1787, Mozart finally obtained a steady post under aristocratic patronage. Emperor Joseph II appointed him as his "chamber composer", a post that had fallen vacant the previous month on the death of Gluck. It was a part-time appointment, paying just 800 florins per year, and required Mozart only to compose dances for the annual balls in the Redoutensaal (see Mozart and dance). This modest income became important to Mozart when hard times arrived. Court records show that Joseph aimed to keep the esteemed composer from leaving Vienna in pursuit of better prospects. In 1787, the young Ludwig van Beethoven spent several weeks in Vienna, hoping to study with Mozart. No reliable records survive to indicate whether the two composers ever met. Later years 1788–90 Toward the end of the decade, Mozart's circumstances worsened. Around 1786 he had ceased to appear frequently in public concerts, and his income shrank. This was a difficult time for musicians in Vienna because of the Austro-Turkish War: both the general level of prosperity and the ability of the aristocracy to support music had declined. By mid-1788, Mozart and his family had moved from central Vienna to the suburb of Alsergrund. Although it has been suggested that Mozart aimed to reduce his rental expenses by moving to a suburb, as he wrote in his letter to Michael von Puchberg, Mozart had not reduced his expenses but merely increased the housing space at his disposal. Mozart began to borrow money, most often from his friend and fellow mason Puchberg; "a pitiful sequence of letters pleading for loans" survives. Maynard Solomon and others have suggested that Mozart was suffering from depression, and it seems his musical output slowed. Major works of the period include the last three symphonies (Nos. 39, 40, and 41, all from 1788), and the last of the three Da Ponte operas, Così fan tutte, premiered in 1790. Around this time, Mozart made some long journeys hoping to improve his fortunes, visiting Leipzig, Dresden, and Berlin in the spring of 1789, and Frankfurt, Mannheim, and other German cities in 1790. 1791 Mozart's last year was, until his final illness struck, a time of high productivity—and by some accounts, one of personal recovery. He composed a great deal, including some of his most admired works: the opera The Magic Flute; the final piano concerto (K. 595 in B); the Clarinet Concerto K. 622; the last in his series of string quintets (K. 614 in E); the motet Ave verum corpus K. 618; and the unfinished Requiem K. 626. Mozart's financial situation, a source of anxiety in 1790, finally began to improve. Although the evidence is inconclusive, it appears that wealthy patrons in Hungary and Amsterdam pledged annuities to Mozart in return for the occasional composition. He is thought to have benefited from the sale of dance music written in his role as Imperial chamber composer. Mozart no longer borrowed large sums from Puchberg and began to pay off his debts. He experienced great satisfaction in the public success of some of his works, notably The Magic Flute (which was performed several times in the short period between its premiere and Mozart's death) and the Little Masonic Cantata K. 623, premiered on 17 November 1791. Final illness and death Mozart fell ill while in Prague for the premiere, on 6September 1791, of his opera La clemenza di Tito, which was written in that same year on commission for Emperor Leopold II's coronation festivities. He continued his professional functions for some time and conducted the premiere of The Magic Flute on 30 September. His health deteriorated on 20 November, at which point he became bedridden, suffering from swelling, pain, and vomiting. Mozart was nursed in his final days by his wife and her youngest sister, and was attended by the family doctor, Thomas Franz Closset. He was mentally occupied with the task of finishing his Requiem, but the evidence that he dictated passages to his student Franz Xaver Süssmayr is minimal. Mozart died in his home on at 12:55 am. The New Grove describes his funeral: Mozart was interred in a common grave, in accordance with contemporary Viennese custom, at the St. Marx Cemetery outside the city on 7December. If, as later reports say, no mourners attended, that too is consistent with Viennese burial customs at the time; later Otto Jahn (1856) wrote that Salieri, Süssmayr, van Swieten and two other musicians were present. The tale of a storm and snow is false; the day was calm and mild. The expression "common grave" refers to neither a communal grave nor a pauper's grave, but an individual grave for a member of the common people (i.e., not the aristocracy). Common graves were subject to excavation after ten years; the graves of aristocrats were not. The cause of Mozart's death is not known with certainty. The official record of hitziges Frieselfieber ("severe miliary fever", referring to a rash that looks like millet seeds) is more a symptomatic description than a diagnosis. Researchers have suggested more than a hundred causes of death, including acute rheumatic fever, streptococcal infection, trichinosis, influenza, mercury poisoning, and a rare kidney ailment. Mozart's modest funeral did not reflect his standing with the public as a composer; memorial services and concerts in Vienna and Prague were well-attended. Indeed, in the period immediately after his death, his reputation rose substantially. Solomon describes an "unprecedented wave of enthusiasm" for his work; biographies were written first by Schlichtegroll, Niemetschek, and Nissen, and publishers vied to produce complete editions of his works. Appearance and character Mozart's physical appearance was described by tenor Michael Kelly in his Reminiscences: "a remarkably small man, very thin and pale, with a profusion of fine, fair hair of which he was rather vain". His early biographer Niemetschek wrote, "there was nothing special about [his] physique.... He was small and his countenance, except for his large intense eyes, gave no signs of his genius." His facial complexion was pitted, a reminder of his childhood case of smallpox. Of his voice, his wife later wrote that it "was a tenor, rather soft in speaking and delicate in singing, but when anything excited him, or it became necessary to exert it, it was both powerful and energetic." He loved elegant clothing. Kelly remembered him at a rehearsal: was on the stage with his crimson pelisse and gold-laced cocked hat, giving the time of the music to the orchestra." Based on pictures that researchers were able to find of Mozart, he seemed to wear a white wig for most of his formal occasions—researchers of the Salzburg Mozarteum declared that only one of his fourteen portraits they had found showed him without his wig. Mozart usually worked long and hard, finishing compositions at a tremendous pace as deadlines approached. He often made sketches and drafts; unlike Beethoven's, these are mostly not preserved, as his wife sought to destroy them after his death. Mozart lived at the center of the Viennese musical world, and knew a significant number and variety of people: fellow musicians, theatrical performers, fellow Salzburgers, and aristocrats, including some acquaintance with Emperor Joseph II. Solomon considers his three closest friends to have been Gottfried von Jacquin, Count August Hatzfeld, and Sigmund Barisani; others included his elder colleague Joseph Haydn, singers Franz Xaver Gerl and Benedikt Schack, and the horn player Joseph Leutgeb. Leutgeb and Mozart carried on a curious kind of friendly mockery, often with Leutgeb as the butt of Mozart's practical jokes. He enjoyed billiards, dancing, and kept pets, including a canary, a starling, a dog, and a horse for recreational riding. He had a startling fondness for scatological humour, which is preserved in his surviving letters, notably those written to his cousin Maria Anna Thekla Mozart around 1777–1778, and in his correspondence with his sister and parents. Mozart also wrote scatological music, a series of canons that he sang with his friends. Mozart was raised a Catholic and remained a devout member of the Church throughout his life. Works, musical style, and innovations Style Mozart's music, like Haydn's, stands as an archetype of the Classical style. At the time he began composing, European music was dominated by the style galant, a reaction against the highly evolved intricacy of the Baroque. Progressively, and in large part at the hands of Mozart himself, the contrapuntal complexities of the late Baroque emerged once more, moderated and disciplined by new forms, and adapted to a new aesthetic and social milieu. Mozart was a versatile composer, and wrote in every major genre, including symphony, opera, the solo concerto, chamber music including string quartet and string quintet, and the piano sonata. These forms were not new, but Mozart advanced their technical sophistication and emotional reach. He almost single-handedly developed and popularized the Classical piano concerto. He wrote a great deal of religious music, including large-scale masses, as well as dances, divertimenti, serenades, and other forms of light entertainment. The central traits of the Classical style are all present in Mozart's music. Clarity, balance, and transparency are the hallmarks of his work, but simplistic notions of its delicacy mask the exceptional power of his finest masterpieces, such as the Piano Concerto No. 24 in C minor, K. 491; the Symphony No. 40 in G minor, K. 550; and the opera Don Giovanni. Charles Rosen makes the point forcefully: It is only through recognizing the violence and sensuality at the center of Mozart's work that we can make a start towards a comprehension of his structures and an insight into his magnificence. In a paradoxical way, Schumann's superficial characterization of the G minor Symphony can help us to see Mozart's daemon more steadily. In all of Mozart's supreme expressions of suffering and terror, there is something shockingly voluptuous. During his last decade, Mozart frequently exploited chromatic harmony. A notable instance is his String Quartet in C major, K. 465 (1785), whose introduction abounds in chromatic suspensions, giving rise to the work's nickname, the "Dissonance" quartet. Mozart had a gift for absorbing and adapting the valuable features of others' music. His travels helped in the forging of a unique compositional language. In London as a child, he met J. C. Bach and heard his music. In Paris, Mannheim, and Vienna he met with other compositional influences, as well as the avant-garde capabilities of the Mannheim orchestra. In Italy, he encountered the Italian overture and opera buffa, both of which deeply affected the evolution of his practice. In London and Italy, the galant style was in the ascendent: simple, light music with a mania for cadencing; an emphasis on tonic, dominant, and subdominant to the exclusion of other harmonies; symmetrical phrases; and clearly articulated partitions in the overall form of movements. Some of Mozart's early symphonies are Italian overtures, with three movements running into each other; many are homotonal (all three movements having the same key signature, with the slow middle movement being in the relative minor). Others mimic the works of J. C. Bach, and others show the simple rounded binary forms turned out by Viennese composers. As Mozart matured, he progressively incorporated more features adapted from the Baroque. For example, the Symphony No. 29 in A major K. 201 has a contrapuntal main theme in its first movement, and experimentation with irregular phrase lengths. Some of his quartets from 1773 have fugal finales, probably influenced by Haydn, who had included three such finales in his recently published Opus 20 set. The influence of the Sturm und Drang ("Storm and Stress") period in music, with its brief foreshadowing of the Romantic era, is evident in the music of both composers at that time. Mozart's Symphony No. 25 in G minor K. 183 is another excellent example. Mozart would sometimes switch his focus between operas and instrumental music. He produced operas in each of the prevailing styles: opera buffa, such as The Marriage of Figaro, Don Giovanni, and Così fan tutte; opera seria, such as Idomeneo; and Singspiel, of which Die Zauberflöte is the most famous example by any composer. In his later operas, he employed subtle changes in instrumentation, orchestral texture, and tone colour, for emotional depth and to mark dramatic shifts. Here his advances in opera and instrumental composing interacted: his increasingly sophisticated use of the orchestra in the symphonies and concertos influenced his operatic orchestration, and his developing subtlety in using the orchestra to psychological effect in his operas was in turn reflected in his later non-operatic compositions. Köchel catalogue For unambiguous identification of works by Mozart, a Köchel catalogue number is used. This is a unique number assigned, in regular chronological order, to every one of his known works. A work is referenced by the abbreviation "K." or "KV" followed by this number. The first edition of the catalogue was completed in 1862 by Ludwig von Köchel. It has since been repeatedly updated, as scholarly research improves knowledge of the dates and authenticity of individual works. Instruments Although some of Mozart's early pieces were written for harpsichord, he also became acquainted in his early years with pianos made by Regensburg builder . Later when Mozart was visiting Augsburg, he was impressed by Stein pianos and shared this in a letter to his father. On 22 October 1777, Mozart had premiered his triple-piano concerto, K. 242, on instruments provided by Stein. The Augsburg Cathedral organist Demmler was playing the first, Mozart the second and Stein the third part. In 1783 when living in Vienna he purchased an instrument by Walter. Leopold Mozart confirmed the attachment which Mozart had with his Walter fortepiano: "It is impossible to describe the hustle and bustle. Your brother's pianoforte has been moved at least twelve times from his house to the theatre or to someone else's house." Influence His most famous pupil, whom the Mozarts took into their Vienna home for two years as a child, was probably Johann Nepomuk Hummel, a transitional figure between the Classical and Romantic eras. More important is the influence Mozart had on composers of later generations. Ever since the surge in his reputation after his death, studying his scores has been a standard part of classical musicians' training. Ludwig van Beethoven, Mozart's junior by fifteen years, was deeply influenced by his work, with which he was acquainted as a teenager. He is thought to have performed Mozart's |
use were created after 2006. The idea of having wiki functionality is now seen as desirable generally and some aspects of wiki functionality has also been added to existing content management systems, such as Microsoft SharePoint. Some writers have pointed out that SharePoint does not in fact function as a wiki, even with this functionality in use. Data compatibility In general new wiki engines have not followed the data formats of the existing engines, making them of limited use for those who have already invested in large knowledge bases in existing software. As a rule newer wiki projects have not succeeded in attracting large numbers of users from the existing wiki software base. Only one data format has ever been implemented in more than one wiki, that being MediaWiki's: WordPress has extensions to display and edit MediaWiki-format pages, and to frame MediaWiki. Jamwiki is a MediaWiki clone in Java, that supports MediaWiki-format pages but not extensions. Other commercial projects or clones often (or have in the past) follow the MediaWiki format. BlueSpice MediaWiki is the only such software with a free version available. None of these alternatives support the extensions available under standard MediaWiki, some of which extend or alter its data format. Types of usage There are essentially three types of usage for wiki software: public-facing wikis with a potentially large community of readers and editors, private enterprise wikis for data management by corporations and other organizations, and personal wikis, meant to be used by a single person to manage notes, and usually run on a desktop. Some wiki software is specifically geared for one of the usage types, while other software can be used for all three, but contains functionality, either in its core or through plugins, that help with one or more of the usage types. Public wikis Public wikis are wikis that can be read by anyone; usually, though not always, the contents can be edited by anyone as well, though sometimes registration is required. Among public wikis, MediaWiki is the dominant software: it powers the world's most popular (as per August, 2015) public wiki, Wikipedia (free), as well as the most popular wiki farm, Fandom (commercial), and it is the most popular software in use on other public wikis as well. Other wiki engines used regularly for public wikis include MoinMoin and PmWiki, along with many others. Other Internet websites, based on wiki software, include encyclopedias such as Sensei's Library, Parlia, and WikiTree. Enterprise wikis Enterprise wiki software is software intended to be used in a corporate (or organizational) context, especially to enhance internal knowledge sharing. It tends to have a greater emphasis on features like access control, integration with other software, and document management. Most proprietary wiki applications specifically market themselves as enterprise solutions, including Socialtext, Jive, Traction TeamPage, Notion, and Nuclino. Increasingly offerings appear which use the name 'wiki' but do not offer basic elements common to established wikis, like Wiki Markup and Link-first workflow as in Confluence (since 2018), or Version Control of Full Text Search Microsoft Teams. In addition, some open source wiki applications also describe themselves as enterprise solutions, including XWiki, Foswiki, TWiki, and BlueSpice. Some open-source wiki applications, though they do not specifically bill themselves as enterprise solutions, have marketing materials geared for enterprise users, like Tiki Wiki CMS Groupware and MediaWiki. Many other wiki applications have also been used within enterprises. Among the many companies and government organizations that use wikis internally are Adobe Systems, Amazon.com, Intel, Microsoft, and the United States intelligence community. Within organizations, wikis may either add to or replace centrally managed content management systems. Their decentralized nature allows them, in principle, to disseminate needed information across an organization more rapidly and more cheaply than a centrally controlled knowledge repository. Wikis can also be used for document management, project management, customer relationship management, enterprise resource planning, and many other kinds of data management. Features of wikis which can serve an enterprise include: Entering information into quick and easy-to-create pages, including hyperlinks to other corporate information systems like people directories, CMS, applications, and thus to facilitate the buildup of useful knowledge bases. Reduces e-mail overload. Wikis allow all relevant information to be shared by people working on a given project. Conversely, only the wiki users interested in a given project need look at its associated wiki pages, in contrast to high-traffic mailing lists which may burden subscribers with many messages, regardless of their relevance. It is also very useful for the project manager to have all the communication stored in one place, which allows them to link the responsibility for every action taken to a particular team member. Organizes information. Wikis help users structure information into discoverable and searchable categories. These may | offerings appear which use the name 'wiki' but do not offer basic elements common to established wikis, like Wiki Markup and Link-first workflow as in Confluence (since 2018), or Version Control of Full Text Search Microsoft Teams. In addition, some open source wiki applications also describe themselves as enterprise solutions, including XWiki, Foswiki, TWiki, and BlueSpice. Some open-source wiki applications, though they do not specifically bill themselves as enterprise solutions, have marketing materials geared for enterprise users, like Tiki Wiki CMS Groupware and MediaWiki. Many other wiki applications have also been used within enterprises. Among the many companies and government organizations that use wikis internally are Adobe Systems, Amazon.com, Intel, Microsoft, and the United States intelligence community. Within organizations, wikis may either add to or replace centrally managed content management systems. Their decentralized nature allows them, in principle, to disseminate needed information across an organization more rapidly and more cheaply than a centrally controlled knowledge repository. Wikis can also be used for document management, project management, customer relationship management, enterprise resource planning, and many other kinds of data management. Features of wikis which can serve an enterprise include: Entering information into quick and easy-to-create pages, including hyperlinks to other corporate information systems like people directories, CMS, applications, and thus to facilitate the buildup of useful knowledge bases. Reduces e-mail overload. Wikis allow all relevant information to be shared by people working on a given project. Conversely, only the wiki users interested in a given project need look at its associated wiki pages, in contrast to high-traffic mailing lists which may burden subscribers with many messages, regardless of their relevance. It is also very useful for the project manager to have all the communication stored in one place, which allows them to link the responsibility for every action taken to a particular team member. Organizes information. Wikis help users structure information into discoverable and searchable categories. These may arise from users in a bottom-up way. Users can create lists, tables, timelines and other ways of expressing order. Builds consensus. Wikis allow structuring the expression of views, on a topic being considered by authors, on the same page. This feature is very useful when writing documentation, preparing presentations, when author opinions differ, and so on. Access levels by rights and roles. Users can be denied access to view and/or edit given pages, depending upon their department or role within the organization. Knowledge management with comprehensive searches. This includes document management, project management, and knowledge repositories useful during times of employee turnover or retirement. Personal wikis Software that is specifically designed for running personal wikis includes Tomboy, PmWiki, and ConnectedText (now discontinued). Other, more general, wiki applications have components geared for individual users, including MoinMoin (which offers a "DesktopEdition"), and TiddlyWiki. Editing Most wiki software uses a special syntax, known as wiki markup, for users to format the text, instead of requiring them to enter in HTML. Some wiki applications also include a WYSIWYG editor, either instead of or in addition to the wiki markup editing. Based on the atomic property of database systems, any edit should be traced. On wiki software, the chronology of edits (e.g. published by Internet users) in any given article may be locally saved with a common .xml file extension by people having administrator rights. Hosted application There are a variety of wiki hosting services, otherwise |
Ages: the Holy Roman Empire, the Confederation of the Rhine, the German Confederation, the North German Confederation, the German Empire, the Weimar Republic and National Socialist Germany. After World War II it was a part of the British occupation zone which merged with the American zone to become the Bizone in 1947 and again merged with the French zone to become the Trizone in 1948. The current Federal Republic of Germany was founded on these territories making Westphalia a part of West Germany. It is a part of united Germany since 1990. Roman incursion Around AD 1 there were numerous incursions through Westphalia and perhaps even some permanent Roman or Romanized settlements. The Battle of the Teutoburg Forest took place near Osnabrück, which at this time was a place of settlement of the Westphalians, who were a part of the Germanic tribe of the Saxons. Some of the tribes who fought at this battle came from the area of Westphalia. Charlemagne Charlemagne is thought to have spent considerable time in Paderborn and nearby parts. His Saxon Wars also partly took place in what is thought of as Westphalia today. Popular legends link his adversary Widukind to places near Detmold, Bielefeld, Lemgo, Osnabrück and other places in Westphalia. Widukind was buried in Enger, which is also a subject of a legend. Middle Ages Along with Eastphalia, Angria and Nordalbingia, Westphalia (Westfalahi) was originally a district of the Duchy of Saxony. At the time, large portions of its territory in the north lay in what today is Lower Saxony. Following the deposition of the Saxon duke Henry the Lion in 1180 and the subsequent belittlement of the duchy, Westphalia was elevated to a duchy in its own right by Emperor Barbarossa. The Duchy of Westphalia comprised only a small area south of the Lippe River. Modern Westphalia was a part of the Lower Rhenish–Westphalian Circle of the Holy Roman Empire, which comprised territories of Lower Lorraine, Frisia and parts of the former Duchy of Saxony. Early modern era As a result of the Protestant Reformation, there was no dominant religion in Westphalia. Roman Catholicism and Lutheranism were on a relatively equal footing. Lutheranism was strong in the eastern and northern parts with numerous free churches. Münster and especially Paderborn were considered to be Catholic. Osnabrück was divided almost equally between Catholicism and Protestantism. Parts of Westphalia came under Brandenburg-Prussian control during the 17th and 18th centuries, but most of it remained divided by duchies and other areas of feudal power. The Peace of Westphalia of 1648, signed in Münster and Osnabrück, ended the Thirty Years' War. The concept of nation-state sovereignty resulting from the treaty became known as "Westphalian sovereignty". Prussia After the defeat of the Prussian Army by the French at the Battle of Jena–Auerstedt, the Treaty of Tilsit in 1807 made the easternmost portion of today's Westphalia part of the French client Kingdom of Westphalia until 1813, when the kingdom was dissolved by the Russians. While this state shared its name with the historical region, it only contained a relatively small part of Westphalia, rather consisting of mostly Hessian and Eastphalian regions. Following to the Congress of Vienna, Prussia received a large amount of territories in the Westphalian region and created the Province of Westphalia in 1815. After in 1816, the former Duchy of Westphalia and the counties of Wittgenstein and in 1851 | being used by the Westphalia-Lippe Regional Association, which represents these two historic parts of North Rhine-Westphalia. The coat of arms of North Rhine-Westphalia uses the Westphalian Steed to represent Westphalia as one of its parts alongside the Lippish Rose representing Lippe and the Rhine River representing the Northern Rhineland. Previous use Prussia already used the Westphalian Steed in the coat of arms of its Province of Westphalia. Similar versions The coat of arms of Lower Saxony uses a different version of the Saxon Steed since the state also covers large parts of the Old Saxons' duchy. Flag Current use The colours of Westphalia are white and red. The flag of the Westphalia-Lippe Regional Association uses these colours with the Westphalian coat of arms in its centre. The flag of North Rhine-Westphalia is a combination of the Northern Rhineland's colours green/white and the Westphalian white/red. Previous use The flag of the Prussian Province of Westphalia already displayed the colours white and red. Similar versions The flag of Lower Saxony shows the colours of Germany and the Saxon Steed. Anthem Composed in Iserlohn in 1886 by Emil Rittershaus, the Westfalenlied is an unofficial anthem of Westphalia. Identity While the Northern Rhineland, Westphalia and Lippe are different historic territories of today's North Rhine-Westphalia, the old border between the former Rhine Province and the Province of Westphalia is also a language border. While in Westphalia and Lippe, people tend to speak West Low German dialects and especially the Westphalian variant of the Low German language, Central German and Low Franconian dialects are spoken in the Northern Rhineland. These different regional identities are often being emphasized by different majorities of denomination between Roman Catholics and Lutheran Protestants. The different majorities date back to the days of the territorial fragmentation of the Holy Roman Empire (of the German Nation) which existed until 1806. The Münsterland and the region around Paderborn for instance are still mainly Catholic regions because of the former existence of the prince-bishoprics of Münster and Paderborn. The mainly Reformed Lippe was even able to retain its independence as a small state within Germany in the form of a principality until 1918 and as a free state until 1946. This continues to influence the identity of its people who often distinguish themselves from neighbouring regions such as East Westphalia. In addition to these historic, lingual and religious aspects, there are some regional differences in culture and mentality. That is why many of the citizens of North Rhine-Westphalia rather see themselves either as "Rhinelanders", "Westphalians" or "Lippers" rather than as "North Rhine-Westphalians". History Westphalia is known for the 1648 Peace of Westphalia which ended the Thirty Years' War, as the two treaties were signed in Münster and Osnabrück. It is one of the regions that were part of all incarnations of the German state since the Early Middle Ages: the |
into four sectors, with the Western Allies joining their sectors to form West Berlin, while the Soviets held East Berlin. West Berlin was completely surrounded by East German territory and had suffered a Soviet blockade in 1948–49, which was overcome by the Berlin airlift. The outbreak of the Korean War in June 1950 led to U.S. calls to rearm West Germany to help defend Western Europe from the perceived Soviet threat. Germany's partners in the European Coal and Steel Community proposed to establish a European Defence Community (EDC), with an integrated army, navy and air force, composed of the armed forces of its member states. The West German military would be subject to complete EDC control, but the other EDC member states (Belgium, France, Italy, Luxembourg and the Netherlands) would cooperate in the EDC while maintaining independent control of their own armed forces. Though the EDC treaty was signed (May 1952), it never entered into force. France's Gaullists rejected it on the grounds that it threatened national sovereignty, and when the French National Assembly refused to ratify it (August 1954), the treaty died. The French Gaullists and communists had killed the French government's proposal. Then other means had to be found to allow West German rearmament. In response, at the London and Paris Conferences, the Brussels Treaty was modified to include West Germany, and to form the Western European Union (WEU). West Germany was to be permitted to rearm (an idea many Germans rejected), and have full sovereign control of its military, called the . The WEU, however, would regulate the size of the armed forces permitted to each of its member states. Also, the German constitution prohibited any military action, except in the case of an external attack against Germany or its allies (). Also, Germans could reject military service on grounds of conscience, and serve for civil purposes instead. The three Western Allies retained occupation powers in Berlin and certain responsibilities for Germany as a whole. Under the new arrangements, the Allies stationed troops within West Germany for NATO defense, pursuant to stationing and status-of-forces agreements. With the exception of 55,000 French troops, Allied forces were under NATO's joint defense command. (France withdrew from the collective military command structure of NATO in 1966.) Reforms during the 1960s Konrad Adenauer was 73 years old when he became chancellor in 1949, and for this reason he was initially reckoned as a caretaker. However, he stayed in power for 14 years. The grand old man of German postwar politics had to be dragged—almost literally—out of office in 1963. In October 1962 the weekly news magazine published an analysis of the West German military defence. The conclusion was that there were several weaknesses in the system. Ten days after publication, the offices of in Hamburg were raided by the police and quantities of documents were seized. Chancellor Adenauer proclaimed in the that the article was tantamount to high treason and that the authors would be prosecuted. The editor/owner of the magazine, Rudolf Augstein spent some time in jail before the public outcry over the breaking of laws on freedom of the press became too loud to be ignored. The FDP members of Adenauer's cabinet resigned from the government, demanding the resignation of Franz Josef Strauss, Defence Minister, who had decidedly overstepped his competence during the crisis. Adenauer was still wounded by his brief run for president, and this episode damaged his reputation even further. He announced that he would step down in the fall of 1963. His successor was to be Ludwig Erhard. In the early 1960s, the rate of economic growth slowed down significantly. In 1962 growth rate was 4.7% and the following year, 2.0%. After a brief recovery, the growth rate slowed again into a recession, with no growth in 1967. A new coalition was formed to deal with this problem. Erhard stepped down in 1966 and was succeeded by Kurt Georg Kiesinger. He led a grand coalition between West Germany's two largest parties, the CDU/CSU and the Social Democratic Party (SPD). This was important for the introduction of new emergency acts: the grand coalition gave the ruling parties the two-thirds majority of votes required for their ratification. These controversial acts allowed basic constitutional rights such as freedom of movement to be limited in case of a state of emergency. During the time leading up to the passing of the laws, there was fierce opposition to them, above all by the Free Democratic Party, the rising West German student movement, a group calling itself ("Democracy in Crisis") and members of the Campaign against Nuclear Armament. A key event in the development of open democratic debate occurred in 1967, when the Shah of Iran, Mohammad Reza Pahlavi, visited West Berlin. Several thousand demonstrators gathered outside the Opera House where he was to attend a special performance. Supporters of the Shah (later known as ), armed with staves and bricks attacked the protesters while the police stood by and watched. A demonstration in the centre was being forcibly dispersed when a bystander named Benno Ohnesorg was shot in the head and killed by a plainclothes policeman. (It has now been established that the policeman, Kurras, was a paid spy of the East German security forces.) Protest demonstrations continued, and calls for more active opposition by some groups of students were made, which was declared by the press, especially the tabloid newspaper, as a massive disruption to life in Berlin, in a massive campaign against the protesters. Protests against the US intervention in Vietnam, mingled with anger over the vigour with which demonstrations were repressed led to mounting militance among the students at the universities in Berlin. One of the most prominent campaigners was a young man from East Germany called Rudi Dutschke who also criticised the forms of capitalism that were to be seen in West Berlin. Just before Easter 1968, a young man tried to kill Dutschke as he bicycled to the student union, seriously injuring him. All over West Germany, thousands demonstrated against the Springer newspapers which were seen as the prime cause of the violence against students. Trucks carrying newspapers were set on fire and windows in office buildings broken. In the wakes of these demonstrations, in which the question of America's role in Vietnam began to play a bigger role, came a desire among the students to find out more about the role of the parent-generation in the Nazi era. The proceedings of the War Crimes Tribunal at Nuremberg had been widely publicised in Germany but until a new generation of teachers, educated with the findings of historical studies, could begin to reveal the truth about the war and the crimes committed in the name of the German people. One courageous attorney, Fritz Bauer patiently gathered evidence on the guards of the concentration camp and about twenty were put on trial in Frankfurt in 1963. Daily newspaper reports and visits by school classes to the proceedings revealed to the German public the nature of the concentration camp system and it became evident that the was of vastly greater dimensions than the German population had believed. (The term "Holocaust" for the systematic mass-murder of Jews first came into use in 1979, when a 1978 American mini-series with that name was shown on West German television.) The processes set in motion by the Auschwitz trial reverberated decades later. The calling in question of the actions and policies of government led to a new climate of debate. The issues of emancipation, colonialism, environmentalism and grass roots democracy were discussed at all levels of society. In 1979 the environmental party, the Greens, reached the 5% limit required to obtain parliamentary seats in the Free Hanseatic City of Bremen provincial election. Also of great significance was the steady growth of a feminist movement in which women demonstrated for equal rights. Until 1977 a married woman had to have the permission of her husband if she wanted to take on a job or open a bank account. Further reforms in 1979 to parental rights law gave equal legal rights to the mother and the father, abolishing the legal authority of the father. Parallel to this, a gay movement began to grow in the larger cities, especially in West Berlin, where homosexuality had been widely accepted during the twenties in the Weimar Republic. Anger over the treatment of demonstrators following the death of Benno Ohnesorg and the attack on Rudi Dutschke, coupled with growing frustration over the lack of success in achieving their aims led to growing militance among students and their supporters. In May 1968, three young people set fire to two department stores in Frankfurt; they were brought to trial and made very clear to the court that they regarded their action as a legitimate act in what they described as the "struggle against imperialism". The student movement began to split into different factions, ranging from the unattached liberals to the Maoists and supporters of direct action in every form—the anarchists. Several groups set as their objective the aim of radicalising the industrial workers and taking an example from activities in Italy of the Red Brigades (), many students went to work in the factories, but with little or no success. The most notorious of the underground groups was the Red Army Faction which began by making bank raids to finance their activities and eventually went underground having killed a number of policemen, several bystanders and eventually two prominent West Germans, whom they had taken captive in order to force the release of prisoners sympathetic to their ideas. In the 1990s attacks were still being committed under the name "RAF". The last action took place in 1993 and the group announced it was giving up its activities in 1998. Evidence that the groups had been infiltrated by German Intelligence undercover agents has since emerged, partly through the insistence of the son of one of their prominent victims, the State Counsel Buback. Willy Brandt In the 1969 election, the SPD—headed by Willy Brandt—gained enough votes to form a coalition government with the FDP. Although Chancellor for only just over four years, Willy Brandt was one of the most popular politicians in the whole period. Brandt was a gifted speaker and the growth of the Social Democrats from there on was in no small part due to his personality. Brandt began a policy of rapprochement with West Germany's eastern neighbours, a policy opposed by the CDU. The issue of improving relations with Poland, Czechoslovakia and East Germany made for an increasingly aggressive tone in public debates but it was a huge step forward when Willy Brandt and the Foreign Minister, Walther Scheel (FDP) negotiated agreements with all three countries. (Moscow Agreement, August 1970, Warsaw Agreement, December 1970, Four Power Agreement over the status of West Berlin in 1971 and an agreement on relations between West and East Germany, signed in December 1972.) These agreements were the basis for a rapid improvement in the relations between east and west and led, in the long-term to the dismantlement of the Warsaw Treaty and the Soviet Union's control over Eastern Europe. Chancellor Brandt was forced to resign in May 1974, after Günter Guillaume, a senior member of his staff, was uncovered as a spy for the East German intelligence service, the . Brandt's contributions to world peace led to his nomination for the Nobel Peace Prize in 1971. Chancellor of Domestic Reform Although Brandt is perhaps best known for his achievements in foreign policy, his government oversaw the implementation of a broad range of social reforms, and was known as a "Kanzler der inneren Reformen" ('Chancellor of domestic reform'). According to the historian David Childs, "Brandt was anxious that his government should be a reforming administration and a number of reforms were embarked upon". Within a few years, the education budget rose from 16 billion to 50 billion DM, while one out of every three DM spent by the new government was devoted to welfare purposes. As noted by the journalist and historian Marion Dönhoff, "People were seized by a completely new feeling about life. A mania for large scale reforms spread like wildfire, affecting schools, universities, the administration, family legislation. In the autumn of 1970 Jürgen Wischnewski of the SPD declared, 'Every week more than three plans for reform come up for decision in cabinet and in the Assembly.'" According to Helmut Schmidt, Willy Brandt's domestic reform programme had accomplished more than any previous programme for a comparable period. Levels of social expenditure were increased, with more funds allocated towards housing, transportation, schools, and communication, and substantial federal benefits were provided for farmers. Various measures were introduced to extend health care coverage, while federal aid to sports organisations was increased. A number of liberal social reforms were instituted whilst the welfare state was significantly expanded (with total public spending on social programs nearly doubling between 1969 and 1975), with health, housing, and social welfare legislation bringing about welcome improvements, and by the end of the Brandt Chancellorship West Germany had one of the most advanced systems of welfare in the world. Social security Substantial increases were made in social security benefits such as injury and sickness benefits, pensions, unemployment benefits, housing allowances, basic subsistence aid allowances, and family allowances and living allowances. In the government's first budget, sickness benefits were increased by 9.3%, pensions for war widows by 25%, pensions for the war wounded by 16%, and retirement pensions by 5%. Numerically, pensions rose by 6.4% (1970), 5.5% (1971), 9.5% (1972), 11.4% (1973), and 11.2% (1974). Adjusted for changes in the annual price index, pensions rose in real terms by 3.1% (1970), 0.3% (1971), 3.9% (1972), 4.4% (1973), and 4.2% (1974). Between 1972 and 1974, the purchasing power of pensioners increased by 19%. In 1970, war pensions were increased by 16%. War victim's pensions rose by 5.5% in January 1971, and by 6.3% in January 1972. By 1972, war pensions for orphans and parents had gone up by around 40%, and for widows by around 50%. Between 1970 and 1972, the "Landabgaberente" (land transfer pension) increased by 55%. Between 1969 and 1974, the average real standard rate of income support rose (in 1991 prices) from around 300 DM to around 400 DM. Between 1970 and 1974, unemployment benefits rose from around 300 euros to around 400 euros per month, and unemployment assistance from just under 200 euros per month to just under 400 euros per month. In 2001 prices, the average standard social assistance benefit level rose from around 200 euros per month in 1969 to over 250 euros per month in 1974. During most of Brandt's years as chancellor, the majority of benefits increased as a percentage of average net earnings. In 1970, seagoing pilots became retrospectively insurable, and gained full social security as members of the Non-Manual Workers Insurance Institute. That same year, a special regulation came into force for District Master Chimney Sweeps, making them fully insurable under the Craftsman's Insurance Scheme. An increase was made in tax-free allowances for children, which enabled 1,000,000 families to claim an allowance for the second child, compared to 300,000 families previously. The Second Modification and Supplementation Law (1970) increased the allowance for the third child from DM 50 to DM 60, raised the income-limit for the second child allowance from DM 7,800 to DM 13,200; subsequently increased to DM 15,000 by the third modification law (December 1971), DM 16,800 by the fourth modification law (November 1973), and to DM 18,360 by the fifth modification law (December 1973). A flexible retirement age after 62 years was introduced (1972) for invalids and handicapped persons, and social assistance was extended to those who previously had to be helped by their relatives. From 1971, special subventions were provided to enable young farmers to quit farming "and facilitate their entry into the non-agricultural pension system by means of back payments". The Third Modification Law (1974) extended individual entitlements to social assistance by means of higher-income limits compatible with receipt of benefits and lowered age limits for certain special benefits. Rehabilitation measures were also extended, child supplements were expressed as percentages of standard amounts and were thus indexed to their changes, and grandparents of recipients were exempted from potential liability to reimburse expenditure of social assistance carrier. The Third Social Welfare Amendment Act (1974) brought considerable improvements for the handicapped, those in need of care, and older persons, and a new fund of 100 million marks for disabled children was established. Allowances for retraining and advanced training and for refugees from East Germany were also increased, together with federal grants for sport. In addition, increases were made in the pensions of 2.5 million war victims. Following a sudden increase in the price of oil, a law was passed in December 1973 granting recipients of social assistance and housing allowances a single heating-oil allowance (a procedure repeated in the winter of 1979 during the Schmidt Administration). Improvements and automatic adjustments of maintenance allowances for participants in vocational training measures were also carried out, and increased allowances were provided for training and retraining, together with special allowances for refugees from East Germany. There was determined, by statutory regulation issued in February 1970, the category of persons most seriously disabled "to whom, with regard to maintenance aid, an increased demand (50% of the appropriate rate) is being conceded, and, within the scope of relief in special living conditions: a higher rate of nursing aid". In 1971, the retirement age for miners was lowered to 50. An April 1972 law providing for "promotion of social aid services" aimed to remedy, through various beneficial measures (particularly in the field of national insurance and working conditions), the staff-shortage suffered by social establishments in their medico-social, educational and other work. A bill to harmonize re-education benefit and another bill relating to severely handicapped persons became law in May and September 1972 respectively. In 1972, winter payments for construction workers were introduced. To assist family planning and marriage and family guidance, the government allocated DM 2 232 000 in 1973 for the payment and for the basic and further training of staff. A special effort was also made in 1973 to organize the recreation of handicapped persons, with a holiday guide for the handicapped issued with the aid of the Federal Ministry of Family and Youth Affairs and Health in order to help them find suitable holiday accommodation for themselves and their families. From 1972 to 1973, the total amount of individual aids granted by Guarantee Fund for the integration of young immigrants increased from 17 million DM to 26 million DM. Under a law passed in April 1974, the protection hitherto granted to the victims of war or industrial accidents for the purpose of their occupational and social reintegration was extended to all handicapped persons, whatever the cause of their handicap, provided that their capacity to work had been reduced by at least 50%. Health In the field of health care, various measures were introduced to improve the quality and availability of health care provision. Free hospital care was introduced for 9 million recipients of social relief, while a contributory medical service for 23 million panel patients was introduced. Pensioners were exempted from paying a 2% health insurance contribution, while improvements in health insurance provision were carried out, as characterised by an expanded sickness insurance scheme, with the inclusion of preventative treatment. The income limit for compulsory sickness insurance was indexed to changes in the wage level (1970) and the right to medical cancer screening for 23.5 million people was introduced. In January 1971, the reduction of sickness allowance in case of hospitalisation was discontinued. That same year, compulsory health insurance was extended to the self-employed. In 1970, the government included nonmedical psychotherapists and psychoanalysts in the national health insurance program. Pupils, students and children in kindergartens were incorporated into the accident insurance scheme, which benefited 11 million children. Free medical checkups were introduced that same year, while the Farmers' Sickness Insurance Law (1972) introduced compulsory sickness insurance for independent farmers, family workers in agriculture, and pensioners under the farmers' pension scheme, medical benefits for all covered groups, and cash benefits for family workers under compulsory coverage for pension insurance. Participation in employer's health insurance was extended to four million employees. A Development Law of December 1970 made it possible for all employees voluntarily to become members of the statutory sickness insurance. The level of income for compulsory sickness insurance was indexed to 75% of the respective assessment level for pension insurance, while voluntarily insured employees were granted a claim to an allowance towards their sickness insurance from their employer. This law also introduced a new type of sickness insurance benefit, namely facilities for the early diagnosis of disease. Apart from the discretionary service of disease prevention which had existed since 1923, insured persons now had a right in certain circumstances to medical examinations aimed at the early diagnosis of disease. According to one study, this marked a change in the concept of sickness insurance: it now aimed at securing good health. The Hospital Financing Law (1972) secured the supply of hospitals and reduced the cost of hospital care, "defined the financing of hospital investment as a public responsibility, single states to issue plans for hospital development, and the federal government to bear the cost of hospital investment covered in the plans, rates for hospital care thus based on running costs alone, hospitals to ensure that public subsidies together with insurance fund payments for patients cover total costs". The Benefit Improvement Law (1973) made entitlement to hospital care legally binding (entitlements already enjoyed in practice), abolished time limits for hospital care, introduced entitlement to household assistance under specific conditions, and also introduced entitlement to leave of absence from work and cash benefits in the event of a child's illness. In 1971, to encourage the growth of registered family holiday centres, the Federal Government granted subsidies for the building and appointing of 28 of these centres at a total cost of 8 million DM. Free preliminary investigations were introduced for 2.5 million children up until the age of 4 for the early detection and correction of developmental disorders, and health research was expanded. Federal grants were increased, especially for the Cancer Research Centre in Heidelberg, while a Federal Institute for Sport Science was set up, together with the Institute for Social Medicine and Epidemiology in Berlin. In addition, funding for new rehabilitation facilities was increased. Pensions The Pension Reform Law (1972) guaranteed all retirees a minimum pension regardless of their contributions and institutionalized the norm that the standard pension (of average earners with forty years of contributions) should not fall below 50% of current gross earnings. The 1972 pension reforms improved eligibility conditions and benefits for nearly every subgroup of the West German population. The income replacement rate for employees who made full contributions was raised to 70% of average earnings. The reform also replaced 65 as the mandatory retirement age with a "retirement window" ranging between 63 and 65 for employees who had worked for at least thirty-five years. Employees who qualified as disabled and had worked for at least thirty-five years were extended a more generous retirement window, which ranged between the ages of 60 and 62. Women who had worked for at least fifteen years (ten of which had to be after the age of age 40) and the long-term unemployed were also granted the same retirement window as the disabled. In addition, there were no benefit reductions for employees who had decided to retire earlier than the age of 65. The legislation also changed the way in which pensions were calculated for low-income earners who had been covered for twenty-five or more years. If the pension benefit fell below a specified level, then such workers were allowed to substitute a wage figure of 75% of the average wage during this period, thus creating something like a minimum wage benefit. According to one study, the 1972 pension reform "enhanced" the reduction of poverty in old age. Voluntary retirement at 63 with no deductions in the level of benefits was introduced, together with the index-linking of war victim's pensions to wage increases. Guaranteed minimum pension benefits for all West Germans were introduced, along with automatic pension increases for war widows (1970). Fixed minimum rates for women in receipt of very low pensions were also introduced, together with equal treatment for war widows. Improvements in pension provision were made for women and the self-employed, a new minimum pension for workers with at least twenty-five years' insurance was introduced, faster pension indexation was implemented, with the annual adjustment of pensions brought forward by six months, and the Seventh Modification Law (1973) linked the indexation of farmers' pensions to the indexation of the general pension insurance scheme. A new pension for "severely handicapped" persons was introduced in 1972, along with occupational injury annuities and a special pension for long-standing insurant from the age of 63 and a pension due to "limited earning capacity" from the age of 62. In addition, a special pension benefit was introduced for workers aged 60 and above after unemployment. Under the Severely Handicapped Persons Act of April 1974, a seriously disabled person could retire early on an old age pension at the age of 62 years, provided that he "complied with the other provisions of the legislation on pension insurance". Education In education, the Brandt Administration sought to widen educational opportunities for all West Germans. The government presided over an increase in the number of teachers, generous public stipends were introduced for students to cover their living costs, and West German universities were converted from elite schools into mass institutions. The school leaving age was raised to 16, and spending on research and education was increased by nearly 300% between 1970 and 1974. Working through a planning committee set up for the "joint task" of university development, the Federal Government started to make investment costs in 1971. Fees for higher or further education were abolished, while a considerable increase in the number of higher education institutions took place. A much needed school and college construction program was carried out, together with the introduction of postgraduate support for highly qualified graduates, providing them with the opportunity to earn their doctorates or undertake research studies. A law on individual promotion of vocational training came into force in October 1971, which provided for financial grants for attendance at further general or technical teaching establishments from the second year of studies at higher technical schools, academies and higher education establishments, training centres of second degree, or certain courses of television teaching. Grants were also made in certain cases for attendance at training centres located outside the Federal Republic. The education budget was doubled from 3% to 6%, while an expansion of secondary education took place. The number of university students went up from 100,000 to 650,000, 30,000 more places were created in the schools, and an additional 1,000 million marks was allocated for new school buildings. In addition, the provision of scholarships was expanded, with the 1970 programme providing for, in the words of one observer, "5,000 new scholarships for graduates, and double that number were being awarded three years later". Grants were introduced for pupils from lower income groups to stay on at school, together with grants for those going into any kind of higher or further education. Increases were also made in educational allowances, as well as spending on science. In 1972, the government allocated 2.1 million DM in grants to promote marriage and family education. Under the Approbationsordnung (medical education profession act) of 1970, the subject of psychosomatic medicine and psychotherapy at German universities became a compulsory subject for medical students, and that same year education of clinical and biomedical engineers was introduced. The Brandt Administration also introduced enabling legislation | and owners of accommodations are supported with rents and burdens subsidies". The determination of the income of families taken into consideration for housing allowances was simplified, and increased levels of protection and support for low-income tenants and householders were introduced which led to a drop in the number of eviction notices. By 1974, three times as much was paid out in rent subsidies as in 1969, and nearly one and a half million households received rental assistance. Increases were made in public housing subsidies, as characterised by a 36% increase in the social housing budget in 1970 and by the introduction of a programme for the construction of 200,000 public housing units (1971). From 1970 to 1971, an 18.1% increase in building permits for social housing units was made. Other reforms aimed at improving tenants' rights included protection against conversion of rental housing into condominiums, the prohibition of the misappropriation of living space, new regulation of the apartment broker system, and a fee scale for engineers and architects. In addition, the income limits for eligibility for social housing were raised and adapted in order of general income trends. A loose form of rent regulation was introduced under the name of "Vergleichmieten" ('comparable rents'), together with the provision of "for family-friendly housing" freight or rent subsidies to owners of apartments or houses whose ceiling had been adapted to increased expenses or incomes (1970). In addition, a law for the creation of property for workers was passed, under which a married worker would normally keep up to 95% of his pay, and graded tax remission for married wage-earners applied up to a wage of 48,000 marks, which indicated the economic prosperity of West Germany at that time. The Town Planning Act (1971) encouraged the preservation of historical heritage and helped open up the way to the future of many German cities, while the Urban Renewal Act (1971) helped the states to restore their inner cities and to develop new neighbourhoods. In addition, Guidelines of December 1972 on the usage of federal funds in assisting social housing construction laid down that a certain standard needed to be observed when building homes for severely handicapped persons. The Second Housing Allowance Law of December 1970 simplified the administration of housing allowances and extended entitlements, increased the income limit to 9,600 DM per year plus 2,400 DM for each family member, raised the general deduction on income to determine reckonable income from 15% to 20%, allowance rates listed in tables replacing complicated calculation procedure based on "bearable rent burdens". The Housing Construction Modification Law (1971) increased the income-limit for access to low rent apartments under the social housing programme from 9,000 DM to 12,000 DM per annum plus 3,000 DM (instead of 2,400) for each family member. The law also introduced special subsidies to reduce the debt burden for builders not surpassing the regular income-limit by more than 40%. Under a 1973 law, the limits were increased to 1,000 DM plus 9,000 DM and 4,200 DM for additional family members. The Rent Improvement Law (1971) strengthened the position of tenants. Under this legislation, notice was to be ruled illegal "where appropriate substitute accommodation not available; landlords obliged to specify reasons for notice", whilst the Eviction Protection Law (1971) established tenant protection against rent rises and notice. The notice was only lawful if in the "justified interest of the landlord". Under this law, higher rents were not recognised as "justified interest". The Second Eviction Protection Law (1972) made the tenant protection introduced under the Eviction Protection Law of 1971 permanent. Under this new law, the notice was only lawful where the landlord proved justified personal interest in the apartment. In addition, rent increases were only lawful if not above normal comparable rents in the same area. Directives on the housing of foreign workers came into force in April 1971. These directives imposed certain requirements for space, hygiene, safety, and amenities in the accommodation offered by employers. That same year, the Federal Government granted a sum of 17 million DM to the Länder for the improvement and modernization of housing built before 21 June 1948. In addition, according to a 1971 regulation of the Board of the Federal Labour Office, "construction of workers' hostels qualified for government financial support under certain conditions". The "German Council for town development", which was set up by virtue of Article 89 of a law to foster urban building, was partly aimed at planning a favourable environment for families (such as the provision of playgrounds). In 1971, the Federal Labour Office made available DM 425 million in the form of loans to provide 157 293 beds in 2 494 hostels. A year later, the Federal Government (Bund), the Lander and the Federal Labour Office promoted the construction of dwellings for migrant workers. They set aside 10 million DM for this purpose, which allowed the financing of 1650 family dwellings that year. Development measures were begun in 1972 with federal financial aid granted to the Lander for improvement measures relating to towns and villages, and in the 1972 budget, DM 50 million was earmarked, i.e. a third of the total cost of some 300 schemes. A council for urban development was formed in May 1972 with the purpose of promoting future work and measures in the field of urban renovation. In 1973, the government provided assistance of DM 28 million for the modernisation of old dwellings. New rules were introduced regarding improvements in the law relating to rented property, and control of the rise in rents and protection against cancellation of leases also safeguarded the rights of migrant workers in the sphere of housing. A law of July 1973 fixed the fundamental and minimum requirements regarding workers' dwellings, mainly concerning space, ventilation and lighting, protection against damp, heat and noise, power and heating facilities and sanitary installations. Civil rights and animal protection In regards to civil rights, the Brandt Administration introduced a broad range of socially liberal reforms aimed at making West Germany a more open society. Greater legal rights for women were introduced, as exemplified by the standardisation of pensions, divorce laws, regulations governing use of surnames, and the introduction of measures to bring more women into politics. The voting age was lowered from 21 to 18, the age of eligibility for political office was lowered to 21, and the age of majority was lowered to 18 in March 1974. The Third Law for the Liberalization of the Penal Code (1970) liberalised "the right to political demonstration", while equal rights were granted to illegitimate children that same year. A 1971 amendment to a federal civil service reform bill enabled fathers to apply for part-time civil service work. In 1971, corporal punishment was banned in schools, and that same year a new Highway Code was introduced. In 1973, a measure was introduced that facilitated the adoption of young children by reducing the minimum age for adoptive parents from 35 to 25. A women's policy machinery at the national level was established in 1972 while amnesty was guaranteed in minor offences connected with demonstrations. From 1970 onwards, parents as well as landlords were no longer legally prohibited "to give or rent rooms or flats to unmarried couples or to allow them to stay overnight". In October 1972, the legal aid system was improved with the compensation paid to private lawyers for legal services to the poor increased. The Bausparkassen Act of 1972 placed all Bausparkassen (from January 1974 onwards) under the supervision of the Federal Banking Supervisory Office, and confined Bausparkassen "to the contract saving business and related activities". The Animal Protection Act, passed in 1972, introduced various safeguards for animals such as not permitting the causing of pain, injury, or suffering to an animal without justification, and limiting experiments to the minimum number of animals necessary. In 1971, rules were introduced making it possible for former guestworkers "to receive an unlimited residence permit after a five-year stay". Armed forces A number of reforms were also carried out to the armed forces, as characterised by a reduction in basic military training from 18 to 15 months, a reorganisation of education and training, and personnel and procurement procedures. Education for the troops was improved, a personnel reshuffle of top management in the Bundeswehr was carried out, academic education was mandated for officers beyond their basic military training, and a new recruiting policy for Bundeswehr personnel was introduced with the intention of building an army that reflected West Germany's pluralistic society. Defense Minister Helmut Schmidt led the development of the first Joint Service Regulation ZDv 10/1 (Assistance for Innere Fuehrung, classified: restricted), which revitalized the concept of Innere Fuehrung while also affirming the value of the "citizen in uniform". According to one study, as a result of this reform, "a strong civil mindset displaced the formerly dominant military mindset", and forced the Bundeswehr's elder generation to accept a new type of soldier envisioned by Schmidt. In addition, the Federal Cost of Moving Act increased the relocation allowance (with effect from 1 November 1973), with the basic allowances raised by DM 50 and DM 100 respectively, while extra allowances for families were raised to a uniform amount of 125 DM. In 1970, the Armed Forces Vocational Schools and the Vocational Advancement Organization extended their services for the first time to conscripts, "so far as military duty permitted". New enlistment bonuses were authorized and previous bonus schemes were improved, and new pay regulations were introduced that improved the financial situation of military personnel and civil servants. In July 1973, the 3rd Amendment to the Civilian Service Act came into force; "a prerequisite for the creation of additional civilian service places for recognized conscientious objectors". The amendment provided that men recognized as conscientious objectors while performing military service should immediately be transferred to a civilian service assignment. The maximum amount for servicemen enlisting for at least 12 years was increased from DM 6,000 to DM 9,000, and from October 1971 onwards, long-term personnel were paid grants towards the cost 'of attending educational institutes of the "second educational route" or participating in state-recognized general education courses provided by private correspondence schools and the "television college"'. In 1972, two Bundeswehr universities were established; a reform which, according to one historian, "fought against the closed nature of the military and guaranteed that officers would be better able to successfully interact with the civilian world". From April 1973, the general maintenance payments under the Law amending the Maintenance Security Act and the Workplace Protection Act were increased, while increases were also made in the special allowance (Christmas bonus) for conscripts, together with the dismissal allowance. The expense allowance for troops on duty-related absence from place of employment was improved, together with travel subsidies and provisions for military service damaged soldiers and their families. In addition, the position of non-commissioned officers was improved. Safety and crime Legislation aimed at safeguarding consumers was also implemented under the Brandt Administration. The consumer's right of withdrawal in case of hire purchase was strengthened in March 1974, and fixed prices for branded products were abolished by law in January that same year, which meant that manufacturers' recommended prices were not binding for retailers. In addition, a progressive anticartel law was passed. A 1969 law on explosive materials was supplemented by two orders; the first (made in November 1969) establishing a committee of experts for explosive materials, while the second order (made the following month) included details for the implementation of the law on explosive materials. An Act of December 1959 on the peaceful use of nuclear energy and protection against its dangers was amended by an Act of June 1970 that established a tax levied for the costs for permissions and surveillance measures. The Law on Compensation for Measures of Criminal Prosecution and Penalties, passed in March 1971, provided for standardized compensation in certain situations. In addition, the budget for communications was increased. The federal crime-fighting apparatus was also modernised, while a Foreign Tax Act was passed which limited the possibility of tax evasion. A law on explosives (Sprengstoffgesetz) was the subject of two application ordinances (on 17 November 1970 and 24 August 1971) and a general regulatory provision (19 May 1971), which covered respectively the application of the law to nationals of EC Member States, the duty of employers to notify in time the inspection authorities of detonation plans, the interpretation of the purpose and field of application of the law, authorizations for transport of explosives, and control and recognition of training courses on work with explosives. Taking into account the enormous high peaks of air traffic noise and its concentration at a limited number of airports, the Law for Protection against Aircraft Noise of 1971 sought to balance two conflicting demands, the first being the legitimate demand by industry, business and the public for an efficient air-traffic-system, and secondly, the understandable and by no means less legitimate claims of the affected people for protection and compensation. The legislation regulated the establishment of so-called "Lärmschutzzonen" (protection areas against aircraft noise) for all 11 international airports and for those 34 military airports used for jet air craft, and the law also authorised the Federal Department of the Interior to decree protection areas for each of those mentioned airports with approval by the "Bundesrat", the representation of the German Federal States. Workers' rights In terms of working conditions, a number of reforms were introduced aimed at strengthening the rights of workers both at home and in the workplace. The Sickness Act of 1970 provided equal treatment of workers and employees in the event of incapacity for work, while maternity leave was increased. Legislation was introduced in 1970 which ensured continued payment of wages for workers disabled by illness. In 1970 all employees unit for work (with the exception of women in receipt of maternity benefits and temporarily and inconsiderably employed persons) were provided with an unconditional legal claim against their employer to continued payment of their gross wage for a period of 6 weeks, as also in the case of spa treatment approved by an Insurance Fund, the Fund bearing the full cost thereof. Previously, payment of employer's supplement and sick pay were only made from the day on which the doctor certified unfitness for work. In 1972, an Act on Agency Work was passed which sought to prevent works agencies from providing job placement services and aimed to provide job minimum protection for employees in agency work. A law on the hiring out of manpower, passed in October 1972, contained provisions to stipulate prior authorization for the hiring out of manpower, to draw a distinction between the system governing workers hired out and the placing of workers, to regulate and improve the rights of hired out workers pertaining to working conditions and social insurance, and provide for more severe penalties and fines to be imposed on offenders. Improvements were also made in income and work conditions for home workers, accident insurance was extended to non-working adults, and the Border Zone Assistance Act (1971) increased levels of assistance to the declining zonal peripheral area. The Occupational Safety Act (1973) required employers to provide company doctors and safety experts. A directive on protection against noise at the place of work was adopted in November 1970. If measurements showed or there was reason to assume that a noise level guide value of 90 dB( A) may be exceeded at the place of work, then the authority had to instruct the employer to arrange check-ups of the employees concerned and these employees had to use personal noise protection devices. A matching fund program for 15 million employees was also introduced, which stimulated them to accumulate capital. A ministerial order of January 1970 extended protection in cases of partial unemployment to home workers, while an ordinance of August 1970 fixed the conditions of health necessary for service in the merchant navy. A general provision of October 1970 determined in detail the circumstances in which the competent authority must take action on the basis of the act on the technical means of work. The requirement also stipulated the extent to which the technical standards established by national and international organisations can be regarded as "rules of the art". In a directive of 10 November 1970, the Minister of Labour and Social Affairs recommended to the higher authorities for work protection of the "Lander" to bring in the directive published, in agreement with the Ministry of Labour, by the German Engineers' Association on the evaluation of work station noise in relation to loss of hearing, in order to improve safeguards for workers against the noises in question. In September 1971, an ordinance was published concerning dangerous working materials; safeguarding persons using these materials against the dangers involved. In August 1971, a law came into force directed at reducing atmospheric pollution from lead compounds in four-stroke engine fuels. As a safeguard against radiation, a decree on the system of authorisations for medicaments treated with ionizing radiation or containing radioactive substances, in its version of 8 August 1967, was remodelled by a new Decree of 10 May 1971 which added some radionuclides to the list of medicaments which doctors in private practice were authorized to use. By a decree of the Federal Minister for Labour and Social Order, the Federal Institute for Industrial Protection became the Federal Agency for Industrial Protection and Accident Research. Amongst its designated tasks included the promotion of industrial protection, accident prevention on the journey to and from work and accident prevention in the home and leisure activities, the encouragement of training and advanced training in the area of industrial protection, and to promote and coordinate accident research. A regulation was issued in 1972 which permitted for the first time the employment of women as drivers of trams, omnibuses and lorries, while further regulations laid down new provisions for lifts and work with compressed air. The Factory Constitution Law (1971) strengthened the rights of individual employees "to be informed and to be heard on matters concerning their place of work". The Works Council was provided with greater authority while trade unions were given the right of entry into the factory "provided they informed the employer of their intention to do so", while a law was passed to encourage wider share ownership by workers and other rank-and-file employees. The Industrial Relations Law (1972) and the Personnel Representation Act (1974) broadened the rights of employees in matters which immediately affected their places of work, while also improving the possibilities for codetermination on operations committees, together with access of trade unions to companies. The Works Constitution Act of 1972 required in cases of collective dismissal at an establishment normally employing more than twenty employees that management and the works council must negotiate a social plan that stipulates compensation for workers who lose their jobs. In cases where the two parties could not agree on a social plan, the law provided for binding arbitration. In 1972, the rights of works councils to information from management were not only strengthened, but works councils were also provided with full codetermination rights on issues such as working time arrangements in the plant, the setting of piece rates, plant wage systems, the establishment of vacation times, work breaks, overtime, and short-time work. Legislation was passed which acknowledged for the first time the presence of trade unions in the workplace, expanded the means of action of the works councils, and improved their work basics as well as those of the youth councils. A law of January 1972 on the organization of labour in enterprises significantly extended the works council's right of cooperation and co-management in the matter of vocational training. That same year, the Safety Institute of the Federal Republic of Germany was transformed into a public Federal Agency (Bundesanstalt) with significantly enlarged powers, in the context of which special emphasis would be placed on its new task of promoting and coordinating research in the area of accident prevention. New provisions were introduced for the rehabilitation of severely disabled people ("Schwerbehinderte") and accident victims. The Severely Disabled Persons Act of April 1974 obliged all employers with more than fifteen employees to ensure that 6% of their workforce consisted of people officially recognised as being severely handicapped. Employers who failed to do so were assessed 100 DM per month for every job falling before the required quota. These compensatory payments were used to "subsidise the adaptation of workplaces to the requirements of those who were severely handicapped". A law passed in January 1974, designed to protect members of the supervisory boards of companies who are undergoing training, was aimed at ensuring that the representatives of young workers and youthful members of works councils still undergoing training could perform their duties with greater independence and without fear of disadvantageous consequences for their future careers. On request, workers' representatives on completion of their training courses had to have an employment relationship of unlimited duration. In the field of transport, the Municipal Transportation Finance Law of 1971 established federal guidelines for subsidies to municipal governments, while the Federal Transport Plan of 1973 provided a framework for all transport, including public transport. In addition, the Severely Handicapped Persons Act of April 1974 extended the welfare and promotional obligations of the employer, and provided a right to extra holiday consisting of six working days. Environmental protection A federal environmental programme was established in 1971, and in 1972 laws were passed to regulate garbage elimination and air pollution via emission. Matching grants covering 90% of infrastructure development were allocated to local communities, which led to a dramatic increase in the number of public swimming pools and other facilities of consumptive infrastructure throughout West Germany. In addition, efforts were made to improve the railways and motorways. In 1971, a law was passed setting the maximum lead content at 0.4 grams per liter of gasoline, and in 1972 DDT was banned. The Federal Immissions Control Law, passed in March 1974, provided protection from noxious gases, noise, and air-borne particulate matter. Economy Under the Brandt Administration, West Germany attained a lower rate of inflation than in other industrialised countries at that time, while a rise in the standard of living took place, helped by the floating and revaluation of the mark. This was characterised by the real incomes of employees increasing more sharply than incomes from entrepreneurial work, with the proportion of employees' incomes in the overall national income rising from 65% to 70% between 1969 and 1973, while the proportion of income from entrepreneurial work and property fell over that same period from just under 35% to 30%. In addition, the percentage of West Germans living in poverty (based on various definitions) fell between 1969 and 1973. According to one estimate, the percentage of West Germans living in poverty fell from 9.7% to 8.9% between 1969 and 1973, and from 20.2% to 14.0% according to another estimate. According to another estimate, the percentage of West Germans living in poverty during this period fell from 2.7% to 1.4%. Helmut Schmidt Finance Minister Helmut Schmidt (SPD) formed a coalition and he served as Chancellor from 1974 to 1982. Hans-Dietrich Genscher, a leading FDP official, became Vice Chancellor and Foreign Minister. Schmidt, a strong supporter of the European Community (EC) and the Atlantic alliance, emphasized his commitment to "the political unification of Europe in partnership with the USA". Mounting external problems forced Schmidt to concentrate on foreign policy and limited the domestic reforms that he could carry out. The USSR upgraded its intermediate-range missiles, which Schmidt complained was an unacceptable threat to the balance of nuclear power, because it increased the likelihood of political coercion and required a western response. NATO respond in the form of its twin-track policy. The domestic reverberations were serious inside the SDP, and undermined its coalition with the FDP. One of his major successes, in collaboration with French President Valéry Giscard d'Estaing, was the launching of the European Monetary System (EMS) in April 1978. Helmut Kohl In October 1982 the SPD–FDP coalition fell apart when the FDP joined forces with the CDU/CSU to elect CDU Chairman Helmut Kohl as Chancellor in a constructive vote of no confidence. Following national elections in March 1983, Kohl emerged in firm control of both the government and the CDU. The CDU/CSU fell just short of an absolute majority, due to the entry into the Bundestag of the Greens, who received 5.6% of the vote. In January 1987 the Kohl–Genscher government was returned to office, but the FDP and the Greens gained at the expense of the larger parties. Kohl's CDU and its Bavarian sister party, the CSU, slipped from 48.8% of the vote in 1983 to 44.3%. The SPD fell to 37%; long-time SPD Chairman Brandt subsequently resigned in April 1987 and was succeeded by Hans-Jochen Vogel. The FDP's share rose from 7% to 9.1%, its best showing since 1980. The Greens' share rose to 8.3% from their 1983 share of 5.6%. Reunification With the collapse of eastern bloc in 1989, symbolised by the opening of the Berlin Wall, there was a rapid move towards German reunification; and a final settlement of the post-war special status of Germany. Following democratic elections, East Germany declared its accession to the Federal Republic subject to the terms of the Unification Treaty between the two states; and then both West Germany and East Germany radically amended their respective constitutions in accordance with that Treaty's provisions. East Germany then dissolved itself, and its five post-war states () were reconstituted, along with the reunited Berlin which ended its special status and formed an additional . They formally joined the Federal Republic on 3 October 1990, raising the number of states from 10 to 16, ending the division of Germany. The expanded Federal Republic retained West Germany's political culture and continued its existing memberships in international organisations, as well as its Western foreign policy alignment and affiliation to Western alliances like NATO and the European Union. The official German reunification ceremony on 3 October 1990 was held at the building, including Chancellor Helmut Kohl, President Richard von Weizsäcker, former Chancellor Willy Brandt and many others. One day later, the parliament of the united Germany would assemble in an act of symbolism in the Reichstag building. However, at that time, the role of Berlin had not yet been decided upon. Only after a fierce debate, considered by many as one of the most memorable sessions of parliament, the concluded on 20 June 1991, with quite a slim majority, that both government and parliament should move to Berlin from Bonn. Economic miracle The West German ("economic miracle", coined by The Times) began in 1950. This improvement was sustained by the currency reform of 1948 which replaced the with the and halted rampant inflation. The Allied dismantling of the West German coal and steel industry finally ended in 1950. As demand for consumer goods increased after World War II, the resulting shortage helped overcome lingering resistance to the purchase of German products. At the time Germany had a large pool of skilled and cheap labour, partly as a result of the flight and expulsion of Germans from Central and Eastern Europe, which affected up to 16.5 million Germans. This helped Germany to more than double the value of its exports during the war. Apart from these factors, hard work and long hours at full capacity among the population and in the late 1950s and 1960s extra labour supplied by thousands of ("guest workers") provided a vital base for the economic upturn. This would have implications later on for successive German governments as they tried to assimilate this group of workers. With the dropping of Allied reparations, the freeing of German intellectual property and the impact of the Marshall Plan stimulus, West Germany developed one of the strongest economies in the world, almost as strong as before the Second World War. The East German economy showed a certain growth, but not as much as in West Germany, partly because of continued reparations to the USSR. In 1952, West Germany became part of the European Coal and Steel Community, which would later evolve into the European Union. On 5 May 1955 West Germany was declared to have the "authority of a sovereign state". The British, French and U.S. militaries remained in the country, just as the Soviet Army remained in East Germany. Four days after obtaining the "authority of a sovereign state" in 1955, West Germany joined NATO. The UK and the USA retained an especially strong presence in West Germany, acting as a deterrent in case of a Soviet invasion. In 1976 West Germany became one of the founding nations of the Group of Six (G6). In 1973, West Germany—home to roughly 1.26% of the world's population—featured the world's fourth largest GDP of 944 billion (5.9% of the world total). In 1987 the FRG held a 7.4% share of total world production. Demographics Population and vital statistics Total population of West Germany from 1950 to 1990, as collected by the . Religion Religious affiliation in West Germany decreased from the 1960s onward. Religious affiliation declined faster among Protestants than among Catholics, causing the Roman Catholic Church to overtake the EKD as the largest denomination in the country during the 1970s. Position towards East Germany The official position of West Germany concerning East Germany at the outset was that the West German government was the only democratically elected, and therefore the only legitimate, representative of the German people. According to the Hallstein Doctrine, any country (with the exception of the USSR) that recognised the authorities of the German Democratic Republic would not have diplomatic relations with West Germany. In the early 1970s, Willy Brandt's policy of "" led to a form of mutual recognition between East and West Germany. The Treaty of Moscow (August 1970), the Treaty of Warsaw (December 1970), the Four Power Agreement on Berlin (September 1971), the Transit Agreement (May 1972), and the Basic Treaty (December 1972) helped to normalise relations between East and West Germany and led to both German states joining the United Nations. The Hallstein Doctrine was relinquished, and West Germany ceased to claim an exclusive mandate for Germany as a whole. Following the Ostpolitik the West German view was that East Germany was a de facto government within a single German nation and a de jure state organisation of parts of Germany outside the Federal Republic. The Federal Republic continued to maintain that it could not within its own structures recognise the GDR de jure as a sovereign state under international law; while at the same time acknowledging that, within the structures of international law, the GDR was an independent sovereign state. By distinction, West Germany then viewed itself as being within its own boundaries, not only the de facto and de jure government, but also the sole de jure legitimate representative of a dormant "Germany as whole". The two Germanies relinquished any claim to represent the other internationally; which they acknowledged as necessarily implying a mutual recognition of each other as both capable of representing their own populations de jure in participating in international bodies and agreements, such as the United Nations and the Helsinki Final Act. This assessment of the Basic |
to West Berliners on request that showed West Berlin as their place of residence. However, West Berliners could not use their passports for crossing East German borders and were denied entrance by any country of the Eastern Bloc, since governments of these countries held the view that West Germany was not authorized to issue legal papers for West Berliners. Since West Berlin was not a sovereign state, it did not issue passports. Instead, West Berliners were issued with "auxiliary identity cards" by the West Berlin authorities. These differed visually from the regular West German identity cards, with green bindings instead of the grey standard, they did not show the "Federal Eagle" or coat of arms, and contained no indications as to the issuing State. However, they did have a statement that the holder of the document was a German citizen. From 11 June 1968, East Germany made it mandatory that West Berlin and West German "transit passengers" obtain a transit visa, issued upon entering East Germany, because under its second constitution East Germany considered West Germans and West Berliners foreigners. Since identity cards had no pages to stamp visas, issuers of East German visas stamped their visas onto separate leaflets which were loosely stuck into the identity cards, which, until the mid-1980s, were little booklets. Although the West German government subsidized visa fees, they were still payable by individual travellers. In order to enter visa-requiring Western countries, such as the US, West Berliners commonly used West German passports. However, for countries which did not require stamped visas for entry, including Switzerland, Austria, and many members of the then European Economic Community, including the United Kingdom, West Berlin identity cards were also acceptable for entry. Active immigration and asylum politics in West Berlin triggered waves of immigration in the 1960s and 1970s. As of 2017, Berlin was home to at least 178,000 Turkish and Turkish German residents, making it the largest Turkish community outside of Turkey. West Berlin was also a destination for many people fleeing East Germany both before and after the construction of the Berlin Wall. As many immigrants from East Germany did not intend to stay in Berlin, flights - the only option for those people to reach West Germany without coming into contact with East German authorities - were subsidized by the West German government despite being operated only by companies registered in and owned by nationals of the western occupying powers. Naming conventions Most Westerners called the Western sectors "Berlin" unless further distinction was necessary. The West German Federal government officially called West Berlin "Berlin (West)", although it also used the hyphenated "West-Berlin", whereas the East German government commonly referred to it as "Westberlin". Starting from 31 May 1961, East Berlin was officially called Berlin, Hauptstadt der DDR (Berlin, Capital of the GDR), replacing the formerly used term Demokratisches Berlin, or simply "Berlin", by East Germany, and "Berlin (Ost)" by the West German Federal government. Other names used by West German media included "Ost-Berlin", "Ostberlin", or "Ostsektor". These different naming conventions for the divided parts of Berlin, when followed by individuals, governments, or media, commonly indicated their political leanings, with the centre-right Frankfurter Allgemeine Zeitung using "Ost-Berlin" and the centre-left Süddeutsche Zeitung using "Ostberlin". Period following the building of the Berlin Wall After the Berlin Wall was constructed in 1961, West German Chancellor Konrad Adenauer suggested to U.S. President John F. Kennedy that the United States propose a swap of West Berlin with Thuringia and parts of Saxony and Mecklenburg; the city's population would have been relocated to West Germany. Adenauer did not believe that the Soviets would accept the offer because East Germany would lose important industry, but hoped that making the proposal would reduce tensions between the western and eastern blocs, and perhaps hurt relations between the USSR and East Germany if they disagreed on accepting the offer. While the Kennedy administration seriously considered the idea, it did not make the proposal to the Soviet Union. NATO also took an increased interest in the specific issue related to West Berlin, and drafted plans to ensure to defend the city against an eventual attack from the East. A tripartite planning group known as LIVE OAK, working together with NATO, was entrusted with potential military responses to any crisis. On 26 June 1963, President Kennedy visited West Berlin. On his triumphant tour, cheered by hundred of thousands of West Berliners in the streets, he stopped at the Congress Hall, near the Brandenburg Gate, and at Checkpoint Charlie, before delivering at West Berlin's city hall a speech, which became famous for its phrase "Ich bin ein Berliner" and a hallmark of America's solidarity with the city. The Four Power Agreement on Berlin (September 1971) and the Transit Agreement (May 1972) helped to significantly ease tensions over the status of West Berlin. While many restrictions remained in place, it also made it easier for West Berliners to travel to East Germany and it simplified the regulations for Germans travelling along the autobahn transit routes. At the Brandenburg Gate in 1987, U.S. President Ronald Reagan provided a challenge to the then Soviet leader: General Secretary Gorbachev, if you seek peace, if you seek prosperity for the Soviet Union and Eastern Europe, if you seek liberalization: Come here to this gate! Mr. Gorbachev, open this gate! Mr. Gorbachev, tear down this wall! On 9 November 1989, the Wall was opened, and the two parts of the city were once again physically—though at this point not legally—united. The Two Plus Four Treaty, signed by the two German states and the four wartime allies, paved the way for German reunification and an end to the Western Allies' occupation of West Berlin. On 3 October 1990—the day Germany was officially reunified—East and West Berlin formally reunited as the city of Berlin, which then joined the enlarged Federal Republic as a city-state along the lines of the existing West German city-states of Bremen and Hamburg. Walter Momper, the mayor of West Berlin, became the first mayor of the reunified city in the interim. City-wide elections in December 1990 resulted in the first "all Berlin" mayor being elected to take office in January 1991, with the separate offices of mayors in East and West Berlin expiring by that time, and Eberhard Diepgen (a former mayor of West Berlin) became the first elected mayor of a reunited Berlin. Boroughs of West Berlin West Berlin comprised the following boroughs (Bezirke): In the American Sector: Neukölln Kreuzberg Schöneberg Steglitz Tempelhof Zehlendorf In the British Sector: Charlottenburg Tiergarten Wilmersdorf Spandau In the French Sector: Reinickendorf Wedding Exclaves West Berlin's border was identical to the municipal boundary of Berlin as defined in the Greater Berlin Act of 1920 and amended in 1938, and the border between the Soviet sector and the French, British, and American sectors respectively, which followed the boundaries of Berlin administrative boroughs as defined in the same years. Another amendment was added in 1945 at the border between the British sector of Berlin (ceding West-Staaken) and the Soviet zone (ceding the Seeburg Salient) so that the Wehrmacht airfield at Berlin-Gatow became part of the British sector and the airfield at Berlin-Staaken became part of the Soviet sector. The resulting borderline was further complicated with a lot of geographical oddities, including a number of exclaves and enclaves that Greater Berlin had inside some neighbouring municipalities since 1920, all of which happened to become part of the British or American sectors after 1945, so that parts of West Berlin came to be surrounded by East Germany. Furthermore, the Gatow/Staaken exchange in August 1945 resulted in the geographically western half of Berlin-Staaken, which was located in the western outskirts of the city, becoming de jure Soviet occupied. However, the de facto administration remained with the Borough of Spandau in the British sector. Therefore, all inhabitants of Staaken could vote in West Berlin's city state elections in 1948 and 1950. On 1 February 1951, East German Volkspolizei surprised the people of western Staaken by occupying the area and ended its administration by the Spandau Borough; instead, western Staaken became an exclave of the Soviet occupied borough Berlin-Mitte in the city centre. However, on 1 June 1952, western Staaken's de facto administration was placed with neighbouring East German Falkensee in the East German district Nauen. This situation was undone on 3 October 1990, the day of German unification, when western Staaken was reincorporated into united Berlin. Post and telecommunications West Berlin had its own postal administration first called Deutsche Post Berlin (1947–1955) and then Deutsche Bundespost Berlin, separate from West Germany's Deutsche Bundespost, and issuing its own postage stamps until 1990. However, the separation was merely symbolic; in reality, West Berlin's postal service was completely integrated with West Germany's, using the same postal code system. West Berlin was also integrated into the West German telephone network, using the same international dialling code as West Germany, +49, with the area code 0311, later changed to 030. Unlike West Germany, from where calls to East Berlin were made using the prefix 00372 (international access code 00, East German country code 37, area code 2), calls from West Berlin required only the short code 0372. Conversely, those made to West Berlin from East Berlin only required the short code 849. In order to reduce eastern tapping of telecommunications between West Berlin and West Germany, microwave radio relay connections were built, which transmitted telephone calls between antenna towers in West Germany and West Berlin by radio. Two such towers were built, one antenna in Berlin-Wannsee and later a second in Berlin-Frohnau, finished on 16 May 1980 with a height of . This tower was demolished on 8 February 2009. Transport and transit travel West Berliners could travel to West Germany and all Western and non-aligned states at all times, except during the Berlin Blockade by the Soviet Union (24 June 1948 to 12 May 1949) when there were restrictions on passenger flight capacity imposed by the airlift. Travelling to and from West Berlin by road or train always required passing through East German border checks, since West Berlin was an enclave surrounded by East Germany and East Berlin. On 2 October 1967, six years after the Wall was constructed, tram tracks in West Berlin were lifted because the authorities wanted to promote car usage, meaning that the tram system remaining today runs almost entirely within the former East Berlin. Road traffic There were no dedicated walled-off-road corridors between West Germany and West Berlin under West German jurisdiction, and travellers needed to pass through East Germany. A valid passport was required for citizens of West Germany and other western nationals to be produced at East German border checks. West Berliners could get admission only through their identity cards (see above). For travel from West Berlin to Denmark, Sweden and West Germany via dedicated East German transit routes (), East German border guards issued a transit visa for a fee of 5 Western Deutsche Mark. For journeys between West Berlin and Poland or Czechoslovakia through East Germany, each traveller was also required to present a valid visa for the destination country. The transit routes for road travel connecting West Berlin to other destinations usually consisted of autobahns and other highways, marked by Transit signs. Transit travellers () were prohibited to leave the transit routes, and occasional traffic checkpoints would check for violators. There were four transit routes between West Berlin and West Germany: One between West Berlin's Heerstraße with the East German checkpoint in Dallgow until 1951, then replaced by Staaken for destinations in Northern Germany (originally via highway F 5) at the Eastern checkpoint in Horst (a part of today's Nostorf) and the Western Lauenburg upon Elbe. These were replaced on 20 November 1982 by a new autobahn crossing at Zarrentin (E)/Gudow (W). On 1 January 1988, the new Stolpe checkpoint opened on this route to West Berlin. This is part of today's Hohen Neuendorf (E)/Berlin-Heiligensee (W). A second transit route led to Northwestern and Western Germany – following today's A 2 – crossing the inner German border at Marienborn (E)/Helmstedt (W), also called Checkpoint Alpha. A third route to Southwestern Germany consisted of today's A 9 and A 4 with border crossing at Wartha (E)/Herleshausen (W). A fourth (via today's A 9) to Southern Germany had border crossings originally at Mount Juchhöh (E)/Töpen (W) and later at Hirschberg upon Saale (E)/ Rudolphstein (a part of today's Berg in Upper Franconia) (W). The latter three routes used autobahns built during the Nazi era. They left West Berlin at Checkpoint Dreilinden, also called Checkpoint Bravo (W)/Potsdam-Drewitz (E). Transit routes to Poland were via today's A 11 to Nadrensee-Pomellen (East Germany, GDR)/Kołbaskowo (Kolbitzow) (PL), eastwards via today's A 12 to Frankfurt upon Oder (GDR)/Słubice (PL), or southeastwards via today's A 13 and A 15 to Forst in Lusatia/Baršć (GDR)/Zasieki (Berge) (PL). Additional routes led to Denmark and Sweden by ferry between Warnemünde (GDR) and Gedser (DK) and by ferry between Sassnitz (GDR) and Rønne (DK) or Trelleborg (S). Routes to Czechoslovakia were via Schmilka (GDR)/Hřensko (Herrnskretschen) (ČSSR) and via Fürstenau (a part of today's Geising) (GDR)/Cínovec (Cinvald/Böhmisch Zinnwald) (ČSSR). The transit routes were also used for East German domestic traffic. This meant that transit passengers could potentially meet with East Germans and East Berliners at restaurants at motorway rest stops. Since such meetings were deemed illegal by the East German government, border guards would calculate the travel duration from the time of entry and exit of the transit route. Excessive time spent for transit travel could arouse their suspicion and prompt questioning or additional checking by the border guards. Western coaches could stop only at dedicated service areas since the East German government was concerned that East Germans might potentially use coaches to escape into the West. On 1 September 1951 East Germany, because of a shortage in foreign currencies, started to levy road tolls on cars using the transit routes. At first, the toll amounted to 10 Ostmark per passenger car and 10 to 50 for trucks, depending on size. Ostmarks had to be exchanged into Deutsche Mark at a rate of 1:1. On 30 March 1955, East Germany raised the toll for passenger cars to 30 Deutsche Marks, but after West German protests, in June of the same year, it changed it back to the previous rate. Following a new agreement between East and West Germany, starting from 1 January 1980 the Federal Government in Bonn paid an annual lump sum () of 50 million Deutsche Marks to the Eastern government, so that transit passengers no longer had to pay tolls individually. Railway Four transit train connections—earlier also called interzonal train ()—connected West Berlin with Hamburg via Schwanheide (E)/Büchen (W) in the North, with Hanover via Marienborn (E)/Helmstedt (W) in the West, with Frankfurt upon Main via Gerstungen (E)/Hönebach (W) in the Southwest, and with Nuremberg via Probstzella (E)/Ludwigsstadt (W) in the South of West Germany. These transit trains did not service domestic passengers of East Germany and made stops in East Germany almost exclusively for East German border guards upon entering and leaving the country. Until the construction of the Berlin Wall, interzonal trains would also stop once on their way within East Germany for travellers having a visa for entering or leaving East Germany. Train travel from West Berlin to Czechoslovakia, Denmark (by ferry), Poland and Sweden (by ferry) required a visa to enter East Berlin or East Germany to allow transfer to an international train—which also carried domestic passengers—bound for an international destination. One railway connection between West Berlin and Oebisfelde (E)/Wolfsburg (W) was reserved for freight trains only. In July and August 1945, the three Western Allies and the Soviet Union decided that the railways, previously serviced by the Deutsche Reichsbahn (German Reich Railways), should continue to be operated by one railway administration to service all four sectors. So West Berlin had – with the exception of a few small private railway lines – no separate railway administration. Furthermore, the operation of the Reichsbahn's Berlin S-Bahn electric metropolitan transport network, consisting of commuter trains, was also maintained. After the founding of East Germany on 7 October 1949 it gained responsibility for the Reichsbahn in its territory. East Germany continued to run its railways under the official name Deutsche Reichsbahn, which thus maintained responsibility for almost all railway transport in all four sectors of Berlin. The GDR-controlled 'Bahnpolizei', the Reichsbahn's railway police, were authorised to patrol station premises and other railway property in the whole city including West Berlin. The legal necessity of keeping the term 'Deutsche Reichsbahn' explains the surprising use of the word 'Reich' (with its Imperial and Nazi connotations) in the name of an official organisation of the communist GDR. After the Berlin Blockade transit trains () would leave and enter West Berlin only via one line through Berlin-Wannsee railway station (W) and Potsdam Griebnitzsee railway station (E). All transit trains would start or end in East Berlin, passing through West Berlin with only one stop in the Western Berlin Zoologischer Garten railway station, which became West Berlin's main railway station. Until 1952, the Reichsbahn also permitted stops at other stations on the way through the Western sectors. After easing of tensions between East and West Germany, starting on 30 May 1976 transit trains going westwards, southwestwards, or southwards stopped once again at Wannsee. For transit trains going northwestwards, a shorter line was reopened on 26 September 1976 with an additional stop at the then Berlin-Spandau railway station, entering East Germany at Staaken. Many Reichsbahn employees working in West Berlin were West Berliners. Their East German employer, whose proceeds from ticket sales for Western Deutsche Marks contributed to East Germany's foreign revenues, tried to hold down wage social security contributions in Western Deutsche Mark. Therefore, West Berlin employees of the Reichsbahn were paid partly in Eastern German currency. They could spend this money in East Germany and take their purchases to West Berlin, which other Westerners could not do to the same extent. West Berlin employees were trained in East Germany and employed under East German labour laws. West Berliners employed by the Reichsbahn were not included in the Western health insurance system either. The Reichsbahn ran its own hospital for them in West Berlin, the building of which is now used as the headquarters of Bombardier Transportation. For certain patients, the Reichsbahn would facilitate treatment in a hospital in East Berlin. In medical emergencies, the employees could use West Berlin doctors and hospitals, which would then be paid for by the Reichsbahn. The GDR used the western stations to distribute propaganda and display posters with slogans like "Americans Go Home." On 1 May, May Day, a state holiday in East and West, S-Bahn trains were sometimes decorated with the East German banner and a red flag. Waterways Two waterways via the rivers and canals Havel and Mittellandkanal were open for inland navigation, but only freight vessels were allowed to cross from West Berlin into East German waters. The Havel crossed at the East German border in Nedlitz (a part of Potsdam-Bornstedt), continuing through the Elbe-Havel Canal and then either taking the Elbe northwestwards crossing the border again at Cumlosen (E)/Schnackenburg (W) or westwards following the Mittellandkanal to Buchhorst (Oebisfelde) (E)/Rühen (W). Western freight vessels could stop only at dedicated service areas, because the East German government wanted to prevent any East Germans from boarding them. Through these waterways, West Berlin was linked to the western European inland navigation network, connecting to seaports like Hamburg and Rotterdam, as well as to industrial areas such as the Ruhr Area, Mannheim, Basel, Belgium, and eastern France. In July and August 1945, the Western Allies and the Soviet Union decided that the operation and maintenance of the waterways and locks, which were previously run by the national German directorate for inland navigation (), should be continued and reconstructed in all four sectors. So, except for the originally city-owned Neukölln Ship Canal and some canals built later (e.g. Westhafen Canal) and locks, West Berlin had no separate inland navigation authority, but the East Berlin-based authority operated most waterways and locks, their lockmasters employed by the East. Because of their negligent maintenance, the western Allies later transferred their control to the Senate of Berlin (West). The western entrance to the Teltowkanal, connecting several industrial areas of West Berlin for heavy freight transport, was blocked by East Germany in Potsdam-Klein Glienicke. Therefore, vessels going to the Teltowkanal had to take a detour via the river Spree through West and East Berlin's city centre to enter the canal from the East. On 20 November 1981, East Germany reopened the western entrance, which required two more vessel border checkpoints – Dreilinden and Kleinmachnow – because the waterway crossed the border between East Germany and West Berlin four times. Another transit waterway connected West Berlin via the East German vessel checkpoint at Hennigsdorf and the Oder-Havel Canal with the Oder river and Polish Szczecin (Stettin). Air traffic Air traffic was the only connection between West Berlin and the Western world that was not directly under East German control. On 4 July 1948, British European Airways opened the first regular service for civilians between West Berlin and Hamburg. Tickets were originally sold for pounds sterling only. West Berliners and West Germans who had earlier fled East Germany or East Berlin, and thus could face imprisonment on entering East Germany or East Berlin, could only take flights for travel to and from West Berlin. To enable individuals threatened by East German imprisonment to fly to and from West Berlin the West German government subsidised the flights. Flights between West Germany and West Berlin were under Allied control by the quadripartite Berlin Air Safety Center. According to permanent agreements, three air corridors to West Germany were provided, which were open only for British, French, or U.S. military planes or civilian planes registered with companies in those countries. The airspace controlled by the Berlin Air Safety Center comprised a radius of around the seat of the center in the Kammergericht building in Berlin-Schöneberg – thus covering most of East and West Berlin and the three corridors, of the same width – one northwestwards to Hamburg (Fuhlsbüttel Airport), one westwards to Hanover, and one southwestwards to Frankfurt upon Main (Rhein-Main Air Base). The West German airline Lufthansa and most other international airlines were not permitted to fly to West Berlin. Flights by Lufthansa or the East German airline Interflug servicing connections between East and West Germany (such as between Düsseldorf and Hamburg in West Germany and the East German city of Leipzig) began in August 1989, but these routes had to go through Czechoslovak or Danish airspace. Traffic between West Berlin and East Germany Until 1953, travelling from West Berlin into East Germany (German Democratic Republic (GDR)) fell under Interzonal traffic regulations overseen by the three Allied military governments (the Soviet Military Administration in Germany (SVAG), the Control Commission for Germany – British Element, and the Office of Military Government/United States | West German "transit passengers" obtain a transit visa, issued upon entering East Germany, because under its second constitution East Germany considered West Germans and West Berliners foreigners. Since identity cards had no pages to stamp visas, issuers of East German visas stamped their visas onto separate leaflets which were loosely stuck into the identity cards, which, until the mid-1980s, were little booklets. Although the West German government subsidized visa fees, they were still payable by individual travellers. In order to enter visa-requiring Western countries, such as the US, West Berliners commonly used West German passports. However, for countries which did not require stamped visas for entry, including Switzerland, Austria, and many members of the then European Economic Community, including the United Kingdom, West Berlin identity cards were also acceptable for entry. Active immigration and asylum politics in West Berlin triggered waves of immigration in the 1960s and 1970s. As of 2017, Berlin was home to at least 178,000 Turkish and Turkish German residents, making it the largest Turkish community outside of Turkey. West Berlin was also a destination for many people fleeing East Germany both before and after the construction of the Berlin Wall. As many immigrants from East Germany did not intend to stay in Berlin, flights - the only option for those people to reach West Germany without coming into contact with East German authorities - were subsidized by the West German government despite being operated only by companies registered in and owned by nationals of the western occupying powers. Naming conventions Most Westerners called the Western sectors "Berlin" unless further distinction was necessary. The West German Federal government officially called West Berlin "Berlin (West)", although it also used the hyphenated "West-Berlin", whereas the East German government commonly referred to it as "Westberlin". Starting from 31 May 1961, East Berlin was officially called Berlin, Hauptstadt der DDR (Berlin, Capital of the GDR), replacing the formerly used term Demokratisches Berlin, or simply "Berlin", by East Germany, and "Berlin (Ost)" by the West German Federal government. Other names used by West German media included "Ost-Berlin", "Ostberlin", or "Ostsektor". These different naming conventions for the divided parts of Berlin, when followed by individuals, governments, or media, commonly indicated their political leanings, with the centre-right Frankfurter Allgemeine Zeitung using "Ost-Berlin" and the centre-left Süddeutsche Zeitung using "Ostberlin". Period following the building of the Berlin Wall After the Berlin Wall was constructed in 1961, West German Chancellor Konrad Adenauer suggested to U.S. President John F. Kennedy that the United States propose a swap of West Berlin with Thuringia and parts of Saxony and Mecklenburg; the city's population would have been relocated to West Germany. Adenauer did not believe that the Soviets would accept the offer because East Germany would lose important industry, but hoped that making the proposal would reduce tensions between the western and eastern blocs, and perhaps hurt relations between the USSR and East Germany if they disagreed on accepting the offer. While the Kennedy administration seriously considered the idea, it did not make the proposal to the Soviet Union. NATO also took an increased interest in the specific issue related to West Berlin, and drafted plans to ensure to defend the city against an eventual attack from the East. A tripartite planning group known as LIVE OAK, working together with NATO, was entrusted with potential military responses to any crisis. On 26 June 1963, President Kennedy visited West Berlin. On his triumphant tour, cheered by hundred of thousands of West Berliners in the streets, he stopped at the Congress Hall, near the Brandenburg Gate, and at Checkpoint Charlie, before delivering at West Berlin's city hall a speech, which became famous for its phrase "Ich bin ein Berliner" and a hallmark of America's solidarity with the city. The Four Power Agreement on Berlin (September 1971) and the Transit Agreement (May 1972) helped to significantly ease tensions over the status of West Berlin. While many restrictions remained in place, it also made it easier for West Berliners to travel to East Germany and it simplified the regulations for Germans travelling along the autobahn transit routes. At the Brandenburg Gate in 1987, U.S. President Ronald Reagan provided a challenge to the then Soviet leader: General Secretary Gorbachev, if you seek peace, if you seek prosperity for the Soviet Union and Eastern Europe, if you seek liberalization: Come here to this gate! Mr. Gorbachev, open this gate! Mr. Gorbachev, tear down this wall! On 9 November 1989, the Wall was opened, and the two parts of the city were once again physically—though at this point not legally—united. The Two Plus Four Treaty, signed by the two German states and the four wartime allies, paved the way for German reunification and an end to the Western Allies' occupation of West Berlin. On 3 October 1990—the day Germany was officially reunified—East and West Berlin formally reunited as the city of Berlin, which then joined the enlarged Federal Republic as a city-state along the lines of the existing West German city-states of Bremen and Hamburg. Walter Momper, the mayor of West Berlin, became the first mayor of the reunified city in the interim. City-wide elections in December 1990 resulted in the first "all Berlin" mayor being elected to take office in January 1991, with the separate offices of mayors in East and West Berlin expiring by that time, and Eberhard Diepgen (a former mayor of West Berlin) became the first elected mayor of a reunited Berlin. Boroughs of West Berlin West Berlin comprised the following boroughs (Bezirke): In the American Sector: Neukölln Kreuzberg Schöneberg Steglitz Tempelhof Zehlendorf In the British Sector: Charlottenburg Tiergarten Wilmersdorf Spandau In the French Sector: Reinickendorf Wedding Exclaves West Berlin's border was identical to the municipal boundary of Berlin as defined in the Greater Berlin Act of 1920 and amended in 1938, and the border between the Soviet sector and the French, British, and American sectors respectively, which followed the boundaries of Berlin administrative boroughs as defined in the same years. Another amendment was added in 1945 at the border between the British sector of Berlin (ceding West-Staaken) and the Soviet zone (ceding the Seeburg Salient) so that the Wehrmacht airfield at Berlin-Gatow became part of the British sector and the airfield at Berlin-Staaken became part of the Soviet sector. The resulting borderline was further complicated with a lot of geographical oddities, including a number of exclaves and enclaves that Greater Berlin had inside some neighbouring municipalities since 1920, all of which happened to become part of the British or American sectors after 1945, so that parts of West Berlin came to be surrounded by East Germany. Furthermore, the Gatow/Staaken exchange in August 1945 resulted in the geographically western half of Berlin-Staaken, which was located in the western outskirts of the city, becoming de jure Soviet occupied. However, the de facto administration remained with the Borough of Spandau in the British sector. Therefore, all inhabitants of Staaken could vote in West Berlin's city state elections in 1948 and 1950. On 1 February 1951, East German Volkspolizei surprised the people of western Staaken by occupying the area and ended its administration by the Spandau Borough; instead, western Staaken became an exclave of the Soviet occupied borough Berlin-Mitte in the city centre. However, on 1 June 1952, western Staaken's de facto administration was placed with neighbouring East German Falkensee in the East German district Nauen. This situation was undone on 3 October 1990, the day of German unification, when western Staaken was reincorporated into united Berlin. Post and telecommunications West Berlin had its own postal administration first called Deutsche Post Berlin (1947–1955) and then Deutsche Bundespost Berlin, separate from West Germany's Deutsche Bundespost, and issuing its own postage stamps until 1990. However, the separation was merely symbolic; in reality, West Berlin's postal service was completely integrated with West Germany's, using the same postal code system. West Berlin was also integrated into the West German telephone network, using the same international dialling code as West Germany, +49, with the area code 0311, later changed to 030. Unlike West Germany, from where calls to East Berlin were made using the prefix 00372 (international access code 00, East German country code 37, area code 2), calls from West Berlin required only the short code 0372. Conversely, those made to West Berlin from East Berlin only required the short code 849. In order to reduce eastern tapping of telecommunications between West Berlin and West Germany, microwave radio relay connections were built, which transmitted telephone calls between antenna towers in West Germany and West Berlin by radio. Two such towers were built, one antenna in Berlin-Wannsee and later a second in Berlin-Frohnau, finished on 16 May 1980 with a height of . This tower was demolished on 8 February 2009. Transport and transit travel West Berliners could travel to West Germany and all Western and non-aligned states at all times, except during the Berlin Blockade by the Soviet Union (24 June 1948 to 12 May 1949) when there were restrictions on passenger flight capacity imposed by the airlift. Travelling to and from West Berlin by road or train always required passing through East German border checks, since West Berlin was an enclave surrounded by East Germany and East Berlin. On 2 October 1967, six years after the Wall was constructed, tram tracks in West Berlin were lifted because the authorities wanted to promote car usage, meaning that the tram system remaining today runs almost entirely within the former East Berlin. Road traffic There were no dedicated walled-off-road corridors between West Germany and West Berlin under West German jurisdiction, and travellers needed to pass through East Germany. A valid passport was required for citizens of West Germany and other western nationals to be produced at East German border checks. West Berliners could get admission only through their identity cards (see above). For travel from West Berlin to Denmark, Sweden and West Germany via dedicated East German transit routes (), East German border guards issued a transit visa for a fee of 5 Western Deutsche Mark. For journeys between West Berlin and Poland or Czechoslovakia through East Germany, each traveller was also required to present a valid visa for the destination country. The transit routes for road travel connecting West Berlin to other destinations usually consisted of autobahns and other highways, marked by Transit signs. Transit travellers () were prohibited to leave the transit routes, and occasional traffic checkpoints would check for violators. There were four transit routes between West Berlin and West Germany: One between West Berlin's Heerstraße with the East German checkpoint in Dallgow until 1951, then replaced by Staaken for destinations in Northern Germany (originally via highway F 5) at the Eastern checkpoint in Horst (a part of today's Nostorf) and the Western Lauenburg upon Elbe. These were replaced on 20 November 1982 by a new autobahn crossing at Zarrentin (E)/Gudow (W). On 1 January 1988, the new Stolpe checkpoint opened on this route to West Berlin. This is part of today's Hohen Neuendorf (E)/Berlin-Heiligensee (W). A second transit route led to Northwestern and Western Germany – following today's A 2 – crossing the inner German border at Marienborn (E)/Helmstedt (W), also called Checkpoint Alpha. A third route to Southwestern Germany consisted of today's A 9 and A 4 with border crossing at Wartha (E)/Herleshausen (W). A fourth (via today's A 9) to Southern Germany had border crossings originally at Mount Juchhöh (E)/Töpen (W) and later at Hirschberg upon Saale (E)/ Rudolphstein (a part of today's Berg in Upper Franconia) (W). The latter three routes used autobahns built during the Nazi era. They left West Berlin at Checkpoint Dreilinden, also called Checkpoint Bravo (W)/Potsdam-Drewitz (E). Transit routes to Poland were via today's A 11 to Nadrensee-Pomellen (East Germany, GDR)/Kołbaskowo (Kolbitzow) (PL), eastwards via today's A 12 to Frankfurt upon Oder (GDR)/Słubice (PL), or southeastwards via today's A 13 and A 15 to Forst in Lusatia/Baršć (GDR)/Zasieki (Berge) (PL). Additional routes led to Denmark and Sweden by ferry between Warnemünde (GDR) and Gedser (DK) and by ferry between Sassnitz (GDR) and Rønne (DK) or Trelleborg (S). Routes to Czechoslovakia were via Schmilka (GDR)/Hřensko (Herrnskretschen) (ČSSR) and via Fürstenau (a part of today's Geising) (GDR)/Cínovec (Cinvald/Böhmisch Zinnwald) (ČSSR). The transit routes were also used for East German domestic traffic. This meant that transit passengers could potentially meet with East Germans and East Berliners at restaurants at motorway rest stops. Since such meetings were deemed illegal by the East German government, border guards would calculate the travel duration from the time of entry and exit of the transit route. Excessive time spent for transit travel could arouse their suspicion and prompt questioning or additional checking by the border guards. Western coaches could stop only at dedicated service areas since the East German government was concerned that East Germans might potentially use coaches to escape into the West. On 1 September 1951 East Germany, because of a shortage in foreign currencies, started to levy road tolls on cars using the transit routes. At first, the toll amounted to 10 Ostmark per passenger car and 10 to 50 for trucks, depending on size. Ostmarks had to be exchanged into Deutsche Mark at a rate of 1:1. On 30 March 1955, East Germany raised the toll for passenger cars to 30 Deutsche Marks, but after West German protests, in June of the same year, it changed it back to the previous rate. Following a new agreement between East and West Germany, starting from 1 January 1980 the Federal Government in Bonn paid an annual lump sum () of 50 million Deutsche Marks to the Eastern government, so that transit passengers no longer had to pay tolls individually. Railway Four transit train connections—earlier also called interzonal train ()—connected West Berlin with Hamburg via Schwanheide (E)/Büchen (W) in the North, with Hanover via Marienborn (E)/Helmstedt (W) in the West, with Frankfurt upon Main via Gerstungen (E)/Hönebach (W) in the Southwest, and with Nuremberg via Probstzella (E)/Ludwigsstadt (W) in the South of West Germany. These transit trains did not service domestic passengers of East Germany and made stops in East Germany almost exclusively for East German border guards upon entering and leaving the country. Until the construction of the Berlin Wall, interzonal trains would also stop once on their way within East Germany for travellers having a visa for entering or leaving East Germany. Train travel from West Berlin to Czechoslovakia, Denmark (by ferry), Poland and Sweden (by ferry) required a visa to enter East Berlin or East Germany to allow transfer to an international train—which also carried domestic passengers—bound for an international destination. One railway connection between West Berlin and Oebisfelde (E)/Wolfsburg (W) was reserved for freight trains only. In July and August 1945, the three Western Allies and the Soviet Union decided that the railways, previously serviced by the Deutsche Reichsbahn (German Reich Railways), should continue to be operated by one railway administration to service all four sectors. So West Berlin had – with the exception of a few small private railway lines – no separate railway administration. Furthermore, the operation of the Reichsbahn's Berlin S-Bahn electric metropolitan transport network, consisting of commuter trains, was also maintained. After the founding of East Germany on 7 October 1949 it gained responsibility for the Reichsbahn in its territory. East Germany continued to run its railways under the official name Deutsche Reichsbahn, which thus maintained responsibility for almost all railway transport in all four sectors of Berlin. The GDR-controlled 'Bahnpolizei', the Reichsbahn's railway police, were authorised to patrol station premises and other railway property in the whole city including West Berlin. The legal necessity of keeping the term 'Deutsche Reichsbahn' explains the surprising use of the word 'Reich' (with its Imperial and Nazi connotations) in the name of an official organisation of the communist GDR. After the Berlin Blockade transit trains () would leave and enter West Berlin only via one line through Berlin-Wannsee railway station (W) and Potsdam Griebnitzsee railway station (E). All transit trains would start or end in East Berlin, passing through West Berlin with only one stop in the Western Berlin Zoologischer Garten railway station, which became West Berlin's main railway station. Until 1952, the Reichsbahn also permitted stops at other stations on the way through the Western sectors. After easing of tensions between East and West Germany, starting on 30 May 1976 transit trains going westwards, southwestwards, or southwards stopped once again at Wannsee. For transit trains going northwestwards, a shorter line was reopened on 26 September 1976 with an additional stop at the then Berlin-Spandau railway station, entering East Germany at Staaken. Many Reichsbahn employees working in West Berlin were West Berliners. Their East German employer, whose proceeds from ticket sales for Western Deutsche Marks contributed to East Germany's foreign revenues, tried to hold down wage social security contributions in Western Deutsche Mark. Therefore, West Berlin employees of the Reichsbahn were paid partly in Eastern German currency. They could spend this money in East Germany and take their purchases to West Berlin, which other Westerners could not do to the same extent. West Berlin employees were trained in East Germany and employed under East German labour laws. West Berliners employed by the Reichsbahn were not included in the Western health insurance system either. The Reichsbahn ran its own hospital for them in West Berlin, the building of which is now used as the headquarters of Bombardier Transportation. For certain patients, the Reichsbahn would facilitate treatment in a hospital in East Berlin. In medical emergencies, the employees could use West Berlin doctors and hospitals, which would then be paid for by the Reichsbahn. The GDR used the western stations to distribute propaganda and display posters with slogans like "Americans Go Home." On 1 May, May Day, a state holiday in East and West, S-Bahn trains were sometimes decorated with the East German banner and a red flag. Waterways Two waterways via the rivers and canals Havel and Mittellandkanal were open for inland navigation, but only freight vessels were allowed to cross from West Berlin into East German waters. The Havel crossed at the East German border in Nedlitz (a part of Potsdam-Bornstedt), continuing through the Elbe-Havel Canal and then either taking the Elbe northwestwards crossing the border again at Cumlosen (E)/Schnackenburg (W) or westwards following the Mittellandkanal to Buchhorst (Oebisfelde) (E)/Rühen (W). Western freight vessels could stop only at dedicated service areas, because the East German government wanted to prevent any East Germans from boarding them. Through these waterways, West Berlin was linked to the western European inland navigation network, connecting to seaports like Hamburg and Rotterdam, as well as to industrial areas such as the Ruhr Area, Mannheim, Basel, Belgium, and eastern France. In July and August 1945, the Western Allies and the Soviet Union decided that the operation and maintenance of the waterways and locks, which were previously run by the national German directorate for inland navigation (), should be continued and reconstructed in all four sectors. So, except for the originally city-owned Neukölln Ship Canal and some canals built later (e.g. Westhafen Canal) and locks, West Berlin had no separate inland navigation authority, but the East Berlin-based authority operated most waterways and locks, their lockmasters employed by the East. Because of their negligent maintenance, the western Allies later transferred their control to the Senate of Berlin (West). The western entrance to the Teltowkanal, connecting several industrial areas of West Berlin for heavy freight transport, was blocked by East Germany in Potsdam-Klein Glienicke. Therefore, vessels going to the Teltowkanal had to take a detour via the river Spree through West and East Berlin's city centre to enter the canal from the East. On 20 November 1981, East Germany reopened the western entrance, which required two more vessel border checkpoints – Dreilinden and Kleinmachnow – because the waterway crossed the border between East Germany and West Berlin four times. Another transit waterway connected West Berlin via the East German vessel checkpoint at Hennigsdorf and the Oder-Havel Canal with the Oder river and Polish Szczecin (Stettin). Air traffic Air traffic was the only connection between West Berlin and the Western world that was not directly under East German control. On 4 July 1948, British European Airways opened the first regular service for civilians between West Berlin and Hamburg. Tickets were originally sold for pounds sterling only. West Berliners and West Germans who had earlier fled East Germany or East Berlin, and thus could face imprisonment on entering East Germany or East Berlin, could only take flights for travel to and from West Berlin. To enable individuals threatened by East German imprisonment to fly to and from West Berlin the West German government subsidised the flights. Flights between West Germany and West Berlin were under Allied control by the quadripartite Berlin Air Safety Center. According to permanent agreements, three air corridors to West Germany were provided, which were open only for British, French, or U.S. military planes or civilian planes registered with companies in those countries. The airspace controlled by the Berlin Air Safety Center comprised a radius of around the seat of the center in the Kammergericht building in Berlin-Schöneberg – thus covering most of East and West Berlin and the three corridors, of the same width – one northwestwards to Hamburg (Fuhlsbüttel Airport), one westwards to Hanover, and one southwestwards to Frankfurt upon Main (Rhein-Main Air Base). The West German airline Lufthansa and most other international airlines were not permitted to fly to West Berlin. Flights by Lufthansa or the East German airline Interflug servicing connections between East and West Germany (such as between Düsseldorf and Hamburg in West Germany and the East German city of Leipzig) began in August 1989, but these routes had to go through Czechoslovak or Danish airspace. Traffic between West Berlin and East Germany Until 1953, travelling from West Berlin into East Germany (German Democratic Republic (GDR)) fell under Interzonal traffic regulations overseen by the three Allied military governments (the Soviet Military Administration in Germany (SVAG), the Control Commission for Germany – British Element, and the Office of Military Government/United States (OMGUS)). On 27 May 1952, East Germany closed its border with West Germany and its -long border with West Berlin. From then on West Berliners required a permit to enter East Germany. East German border checkpoints were established in East German suburbs of West Berlin, and most streets were gradually closed for interzonal travel into East Germany. The last checkpoint to remain open was located at the Glienicker Brücke near Potsdam, until it was also closed by East Germany on 3 July 1953. The checkpoint at Staaken's Heerstraße remained open only for transit traffic to West Germany. This caused hardship for many West Berlin residents, especially those who had friends and family in East Germany. However, East Germans could still enter West Berlin. A number of cemeteries located in East Germany were also affected by the closure. Many church congregations in Berlin owned cemeteries outside the city, so many West Berlin congregations had cemeteries that were located in East Germany. For example, the Friedhof vor Charlottenburg (in Cemetery in front/outside of Charlottenburg) was located in the East German suburb of Dallgow, yet belonged to Catholic congregations in Berlin-Charlottenburg. So many West Berliners wishing to visit the grave of a relative or friend on cemeteries located in East Germany were now unable to do so. Until 1961, East Germany sparsely issued permits to West Berliners to visit the cemeteries on the Catholic feast of All Saints on 1 November and on the Protestant Day of Repentance and Prayer. In 1948–1952, the Reichsbahn connected the western suburbs of West Berlin to its S-Bahn network. Train routes servicing these suburbs formerly went through West Berlin stations, but ceased to make stops in the western stations or terminated service before entering West Berlin. Private West Berlin railway lines like the Neukölln–Mittenwalde railway (Neukölln-Mittenwalder Eisenbahn, NME), connecting the East German Mittenwalde with West Berlin-Neukölln and the Bötzowbahn between West Berlin-Spandau and East German Hennigsdorf, were disrupted at the border between West Berlin and East Germany on 26 October 1948 and August 1950, respectively. Tramways and bus routes that connected West Berlin with its East German suburbs and were operated by West Berlin's public transport operator Berliner Verkehrsbetriebe Gesellschaft (BVG West) ceased operation on 14 October 1950, after West Berlin tram and bus drivers had been repeatedly stopped and arrested by East German police for having western currency on them, considered a crime in the East. The BVG (West) terminated route sections that extended into East Germany, like the southern end of tram line 47 to Schönefeld, the southwestern end of tram line 96 to Kleinmachnow, as well as two bus lines to Glienicke at the Nordbahn, north, and to Falkensee, northwest of West Berlin. The East German section of tram line 96 continued operating with eastern personnel and cars, obliging the eastern passengers – rarely westerners who needed special permits to enter East Germany – to change from eastern into western trains crossing the border by foot, until it was closed by the Wall. The Reichsbahn shut down all of its West Berlin terminal stations and redirected its trains to stations in East Berlin, starting with Berlin Görlitzer Bahnhof – closed on 29 April 1951 – before serving rail traffic with Görlitz and the southeast of East Germany. On 28 August 1951, trains usually serving Berlin Lehrter Bahnhof were redirected to stations in East Berlin, while trains from West Germany were redirected to the Western Berlin Zoologischer Garten. The Reichsbahn also closed down both Berlin Anhalter Bahnhof and Berlin Nordbahnhof, on 18 May 1952. On 28 August 1951, the Reichsbahn opened a new connection – from Spandau via Berlin Jungfernheide station – for the S-Bahn lines connecting East German suburbs to the west of West Berlin (namely Falkensee, Staaken) with East Berlin, thus circumventing the centre of West Berlin. In June 1953, the Reichsbahn further cut off West Berlin from its East German suburbs by the introduction of additional express S-Bahn trains (). These routes originated from several East German suburbs bordering West Berlin (such as Falkensee, Potsdam, Oranienburg, Staaken, and Velten), crossing West Berlin non-stop until reaching its destinations in East Berlin. However, the regular S-Bahn connections with West Berlin's East German suburbs, stopping at every Western station, continued. From 17 June to 9 July 1953, East Germany blocked off any traffic between East and West due to the Uprising of 1953 in East Germany. From 4 October 1953, all S-Bahn trains crossing the border between East Germany and Berlin had to pass a border checkpoint in East Germany. Travellers from East Germany were checked before entering any part of Berlin, to identify individuals intending to escape into West Berlin or smuggling rationed or rare goods into West Berlin. S-Bahn trains were checked at Hoppegarten, Mahlow, and Zepernick in East Germany bordering East Berlin and in Hohen Neuendorf, Potsdam-Griebnitzsee, and Staaken-Albrechtshof in East Germany bordering West Berlin. On 4 June 1954, the Bahnhof Hennigsdorf Süd station located next to West Berlin was opened solely for border controls, also to monitor West Berliners entering or leaving East Berlin, which they could still do freely, while they were not allowed to cross into East Germany proper without a special permit. In 1951, the Reichsbahn began construction work on the Berlin outer-circle railway line. This circular line connected all train routes heading for West Berlin and accommodated all domestic GDR traffic, thus directing railway traffic into East Berlin while by-passing West Berlin. Commuters in the East German suburbs around West Berlin now boarded Sputnik express trains, which took them into East Berlin without crossing any western sectors. With the completion of the outer-circle railway, there was no further need for express S-Bahn trains crossing the West Berlin border and thus their service ended on 4 May 1958, while stopping S-Bahn trains continued service. However, while East Germans could get off in West Berlin, West Berliners needed the hard-to get permits to enter East Germany by S-Bahn. With the construction of the Berlin Wall on 13 August 1961, any remaining railway traffic between West Berlin and its East German suburbs ended. Rail traffic between East and West Berlin was sharply reduced and restricted to a small number of checkpoints under GDR control. East Berliners and East Germans were then unable to freely enter and leave West Berlin. However, international visitors could obtain visas for East Berlin upon crossing one of the checkpoints at the Wall. Following the policy of détente of the Federal Government under Chancellor Willy Brandt, West Berliners could again apply for visas to visit East Germany, which were granted more freely than in the period until 1961. On 4 June 1972, West Berlin's public transport operator BVG could open its first bus line into the East German suburbs since 1950 (line E to Potsdam via Checkpoint Bravo as it was known to the US military). This route was open only to persons bearing all the necessary East German permits and visas. For visits to East Germany, West Berliners could use four checkpoints along the East German border around West Berlin: The two road transit checkpoints Dreilinden (W)/Drewitz (E) and Berlin-Heiligensee (W)/Stolpe (E) as well as the old transit checkpoint at Heerstraße (W)/Staaken (E) and the checkpoint at Waltersdorfer Chaussee (W)/Schönefeld (E), which was also open for travellers boarding international flights at Schönefeld Airport. |
and films set in specific domains of war, such as the infantry, the air, at sea, in submarines or at prisoner of war camps. Genre The war film genre is not necessarily tightly defined: the American Film Institute, for example, speaks of "films to grapple with the Great War" without attempting to classify these. However, some directors and critics have offered at least tentative definitions. The director Sam Fuller defined the genre by saying that "a war film’s objective, no matter how personal or emotional, is to make a viewer feel war." John Belton identified four narrative elements of the war film within the context of Hollywood production: a) the suspension of civilian morality during times of war, b) primacy of collective goals over individual motivations, c) rivalry between men in predominantly male groups as well as marginalization and objectification of women, and d) depiction of the reintegration of veterans. The film critic Stephen Neale suggests that the genre is for the most part well defined and uncontentious, since war films are simply those about war being waged in the 20th century, with combat scenes central to the drama. However, Neale notes, films set in the American Civil War or the American Indian Wars of the 19th century were called war films in the time before the First World War. The critic Julian Smith argues, on the contrary, that the war film lacks the formal boundaries of a genre like the Western, but that in practice, "successful and influential" war films are about modern wars, in particular World War II, with the combination of mobile forces and mass killing. The film scholar Kathryn Kane points out some similarities between the war film genre and the Western. Both genres use opposing concepts like war and peace, civilization and savagery. War films usually frame World War II as a conflict between "good" and "evil" as represented by the Allied forces and Nazi Germany whereas the Western portrays the conflict between civilized settlers and the savage indigenous peoples. James Clarke notes the similarity between a Western like Sam Peckinpah's The Wild Bunch and "war-movie escapades" like The Dirty Dozen. The film historian Jeanine Basinger states that she began with a preconception of what the war film genre would be, namely that: Further, Basinger considers Bataan to provide a definition-by-example of "the World War II combat film", in which a diverse and apparently unsuited group of "hastily assembled volunteers" hold off a much larger group of the enemy through their "bravery and tenacity". She argues that the combat film is not a subgenre but the only genuine kind of war film. Since she notes that there were in fact only five true combat films made during the Second World War, in her view these few films, central to the genre, are outweighed by the many other films that are only just war films. However, other critics such as Russell Earl Shain propose a far broader definition of war film, to include films that deal "with the roles of civilians, espionage agents, and soldiers in any of the aspects of war (i.e. preparation, cause, prevention, conduct, daily life, and consequences or aftermath.)" Neale points out that genres overlap, with combat scenes for different purposes in other types of film, and suggests that war films are characterised by combat which "determines the fate of the principal characters". This in turn pushes combat scenes to the climactic ends of war films. Not all critics agree, either, that war films must be about 20th-century wars. James Clarke includes Edward Zwick's Oscar-winning Glory (1990) among the war films he discusses in detail; it is set in the American Civil War, and he lists six other films about that war which he considers "notable". The screenwriter and scholar Eric R. Williams identifies war films as one of eleven super-genres in his screenwriters' taxonomy, claiming that all feature-length narrative films can be classified as belonging to one of them. The British military historian Antony Beevor "despair[s]" at how film-makers from America and Britain "play fast and loose with the facts", yet imply that "their version is as good as the truth". For example, he calls the 2000 American film U-571 a "shameless deception" for pretending that a US warship had helped to win the Battle of the Atlantic—seven months before America entered the war. He is equally critical of Christopher Nolan's 2017 film Dunkirk with its unhistorically empty beaches, low-level air combat over the sea, and rescues mainly by the "little ships". Beevor feels, however, that Continental European film-makers are often "far more scrupulous"; for example, in his view the 2004 German film Downfall accurately depicted the historical events of Hitler's final days in his Berlin bunker, and he considers the 1965 French film The 317th Platoon, set in Vietnam, "the greatest war movie ever made". The 1966 film The Battle of Algiers is, he argues, a close second. History American Civil War The costliest war in U.S. history in terms of American life, this war has been the subject of, or the backdrop to, numerous films, documentaries and mini-series. One of the earliest films using the Civil War as its subject was D.W. Griffith's 1910 silent picture, The Fugitive. Films that have the war as its main subject, or about a certain aspect of the war, include the 1989 film Glory, about the first formal unit of the Union Army during the American Civil War to be made up entirely of black men. Some films such as Gettysburg focused on a single battle during the war, or even on a single incident, like the French short film La Rivière du Hibou (An Occurrence at Owl Creek Bridge). Others like the 1993 miniseries North and South spanned the entire breadth of the war. Some films deal with the human aspects of the war, such as The Red Badge of Courage (1951), or Shenandoah (1965), on the tragedy that the war inflicted on the civilian population. Ken Burns's The Civil War is the most-watched documentary in the history of PBS. The Spanish–American War The first war films come from the Spanish–American War of 1898. Short "actualities"—documentary film-clips—included Burial of the Maine Victims, Blanket-Tossing of a New Recruit, and Soldiers Washing Dishes. These non-combat films were accompanied by "reenactments" of fighting, such as of Theodore Roosevelt's "Rough Riders" in action against the Spanish, staged in the United States. First World War During the First World War, many films were made about life in the war. Topics included prisoners of war, covert operations, and military training. Both the Central Powers and the Allies produced war documentaries. The films were also used as propaganda in neutral countries like the United States. Among these was a film shot on the Eastern Front by official war photographer to the Central Powers, Albert K. Dawson: The Battle and Fall of Przemysl (1915), depicting the Siege of Przemyśl, disastrous for the Austrians, with incidents reenacted using soldiers as extras. The 1915 Australian film Within Our Gates (also known as Deeds that Won Gallipoli) by Frank Harvey was described by the Motion Picture News as "a really good war story, which is exceptional". The 1916 British film The Battle of the Somme, by two official cinematographers, Geoffrey Malins and John McDowell, combined documentary and propaganda, seeking to give the public an impression of what trench warfare was like. Much of the film was shot on location at the Western Front in France; it had a powerful emotional impact. It was watched by some 20 million people in Britain in its six weeks of exhibition, making it what the critic Francine Stock called "one of the most successful films of all time". The 1925 American film The Big Parade depicted unglamorous elements of war: the protagonist loses his leg, and his friends are killed. William A. Wellman's Wings (1927) showed aerial combat during the war and was made in cooperation with the Army Air Corps. It proved a powerful recruiting tool. It became the first film (in any genre) to be awarded an Oscar for best picture. Later films of varied genres that deal with the First World War include David Lean's "colossal epic", both war film and biopic Lawrence of Arabia (1962), shot in the then unfamiliar and exciting 70mm Technicolor, and described by Steven Spielberg as "maybe the greatest screenplay ever written for the motion-picture medium"; Richard Attenborough's satirical anti-war musical comedy based on Joan Littlewood's play of the same name, Oh! What a Lovely War (1969); Spielberg's 2011 war drama War Horse was based on Michael Morpurgo's children's novel of the same name. Many of the films promoted as "documentaries" added context to authentic battlefield scenes by staging critical events, and invented episodes and dialog to enhance excitement at the cost of authenticity.<ref>David H. Mould, and Charles M. Berg, "Fact and Fantasy in the Films of World War One," Film & History (1984) 14#3 pp 50-60 </ref> Finnish Civil War Although the 1918 Finnish Civil War between Whites and Reds remained a controversial topic a century later in Finland,Punaisten ja valkoisten perintöä vaalitaan yhä – Suomalaiset lähettivät yli 400 muistoa vuoden 1918 sisällissodasta (in Finnish) many Finnish filmmakers have taken up the subject, often basing their work on a book. In 1957, Toivo Särkkä's 1918, based on Jarl Hemmer's play and novel, was screened at the 7th Berlin International Film Festival. Recent films include Lauri Törhönen's 2007 The Border, and Aku Louhimies's 2008 Tears of April, based on Leena Lander's novel. Perhaps the most famous film about the Finnish Civil War is Edvin Laine's 1968 Here, Beneath the North Star, based on the first two books of Väinö Linna's Under the North Star trilogy; it describing the civil war from the losing side, Finland's Red Guards. Spanish Civil War The Spanish Civil War has attracted directors from different countries. Sam Wood's For Whom the Bell Tolls (1943), based on Ernest Hemingway's book of the same name, portrays the fated romance between an American played by Gary Cooper and a partisan played by Ingrid Bergman against the backdrop of the civil war. The epic 168 minute film with its landscapes shot in Technicolor and a "beautiful" orchestral score was a success both with audiences and with critics. Alain Resnais's Guernica (1950) uses Picasso's 1937 painting of the same name to protest against war. Carlos Saura's La Caza (The Hunt, 1966) uses the metaphor of hunting to criticise the aggressiveness of Spanish fascism. It won the Silver Bear for Best Director at the 16th Berlin International Film Festival in 1966. Ken Loach's Land and Freedom (Tierra y Libertad, 1995), loosely based on George Orwell's Homage to Catalonia, follows a British communist through the war to reveal the painful contradictions within the anti-fascist Republican side. Korean War Samuel Fuller’s The Steel Helmet (1951) was made during the Korean War (1950–1953). The critic Guy Westwell notes that it questioned the conduct of the war, as did later films like The Bridges at Toko-Ri (1954) and Pork Chop Hill (1959). Fuller agreed that all his films were anti-war. No Hollywood films about the Korean War did well at the box office; the historian Lary May suggested in 2001 that they reminded American viewers of "the only war we have lost". In 1955, after the fighting, the successful South Korean action film Piagol about leftist guerrilla atrocities encouraged other film-makers. The 1960s military government punished pro-communist film-makers and gave Grand Bell Awards to films with the strongest anti-communist message. The Taebaek Mountains (1994) dealt with leftists from the south who fought for the communists, while Silver Stallion (1991) and Spring in My Hometown (1998) showed the destructive impact of American military presence on village life. The violent action films Shiri (1999) and Joint Security Area (2000) presented North Korea in a favourable light. Films in North Korea were made by government film studios and had clear political messages. The first was My Home Village (1949), on the liberation of Korea from the Japanese, presented as the work of Kim Il Sung without help from the Americans. Similarly, the country's films about the Korean War show victory without help from the Chinese. The film scholar Johannes Schönherr concludes that the purpose of these films is "to portray North Korea as a country under siege", and that since the U.S. and its "puppet" South Korea invaded the North once, they would do so again. Algerian War Gillo Pontecorvo's dramatic The Battle of Algiers ((; ; ), 1966) portrayed events in the Algerian War (1954–1956). It was shot on location as an Italo-Algerian co-production. It had the black and white newsreel style of Italian neorealism, and even-handedly depicts violence on both sides. It won various awards including Golden Lion at the Venice Film Festival. It was attacked by French critics and was for five years banned in France. Vietnam War Few films before the late 1970s about the Vietnam War actually depicted combat; exceptions include The Green Berets (1968). Critics such as Basinger explain that Hollywood avoided the subject because of opposition to United States involvement in the Vietnam War, making the subject divisive; in addition, the film industry was in crisis, and the army did not wish to assist in making anti-war films. From the late 1970s, independently financed and produced films showed Hollywood that Vietnam could be treated in film. Successful but very different portrayals of the war in which America had been defeated included Michael Cimino's The Deer Hunter (1978), and Francis Ford Coppola's Apocalypse Now (1979). With the shift in American politics to the right in the 1980s, military success could again be shown in films such as Oliver Stone's Platoon (1986), Stanley Kubrick's Full Metal Jacket (1987) and John Irvin's Hamburger Hill (1987). The Vietnamese director 's The Abandoned Field: Free Fire Zone (Cánh đồng hoang, 1979) gives an "unnerving and compelling .. subjective-camera-eye-view" of life under helicopter fire in the Mekong Delta during the Vietnam War. The film cuts to an (American) "helicopter-eye view", contrasting painfully with the human tenderness seen earlier. Later wars Dino Mustafić's Remake (2003), written by Zlatko Topčić, tells the parallel coming-of-age stories of a father living in Sarajevo during World War II and his son living through the Siege of Sarajevo during the Bosnian War. According to Topčić, the story is based on incidents from his own life. The Iraq War served as the background story of U.S. movies, like Hurt Locker from 2008, Green Zone from 2010, and American Sniper from 2014. The War in Afghanistan since 2001 was depicted in various movies, among them Restrepo in 2010 and Lone Survivor from 2013. Second World War Made by Western Allies The first popular Allied war films made during the Second World War came from Britain and combined the functions of documentary and propaganda. Films such as The Lion Has Wings and Target for Tonight were made under the control of the Films Division of the Ministry of Information. The British film industry began to combine documentary techniques with fictional stories in films like Noël Coward and David Lean's In Which We Serve (1942)—"the most successful British film of the war years"—Millions Like Us (1943), and The Way Ahead (1944). In America, documentaries were produced in various ways: General Marshall commissioned the Why We Fight propaganda series from Frank Capra; the War Department's Information-Education Division started out making training films for the U.S. Air Force and U.S. Navy; the Army made its own through the U.S. Signal Corps, including John Huston's The Battle of San Pietro. Hollywood made films with propaganda messages about America's allies, such as Mrs. Miniver (1942), which portrayed a British family on the home front; Edge of Darkness (1943) showed Norwegian resistance fighters, and The North Star (1943) showed the Soviet Union and its Communist Party. Towards the end of the war popular books provided higher quality and more serious stories for films such as Guadalcanal Diary (1943), Mervyn LeRoy's Thirty Seconds Over Tokyo (1944), and John Ford's They Were Expendable (1945). The Russians, too, appreciated the propaganda value of film, to publicise both victories and German atrocities. Ilya Kopalin's documentary Moscow Strikes Back (, literally "The rout of the German troops near Moscow"), was made during the Battle of Moscow between October 1941 and January 1942. It depicted civilians helping to defend the city, the parade in Red Square and Stalin's speech rousing the Russian people to battle, actual fighting, Germans surrendering and dead, and atrocities including murdered children and hanged civilians. It won an Academy Award in 1943 for best documentary. Newsreel cameras were similarly rushed to Stalingrad early in 1943 to record "the spectacle which greeted the Russian soldiers"—the starvation of Russian prisoners of war in the Voropovono camp by the German Sixth Army, defeated in the Battle of Stalingrad. Feature films made in the west during the war were subject to censorship and were not always realistic in nature. One of the first to attempt to represent violence, and which was praised at the time for "gritty realism", was Tay Garnett's | are often categorized by their milieu, such as the Korean War; the most popular subject is the Second World War. The stories told may be fiction, historical drama, or biographical. Critics have noted similarities between the Western and the war film. Nations such as China, Indonesia, Japan, and Russia have their own traditions of war film, centred on their own revolutionary wars but taking varied forms, from action and historical drama to wartime romance. Subgenres, not necessarily distinct, include anti-war, comedy, animated, propaganda, and documentary. There are similarly subgenres of the war film in specific theatres such as the Western Desert of North Africa and the Pacific in the Second World War, Vietnam, or the Soviet-Afghan War; and films set in specific domains of war, such as the infantry, the air, at sea, in submarines or at prisoner of war camps. Genre The war film genre is not necessarily tightly defined: the American Film Institute, for example, speaks of "films to grapple with the Great War" without attempting to classify these. However, some directors and critics have offered at least tentative definitions. The director Sam Fuller defined the genre by saying that "a war film’s objective, no matter how personal or emotional, is to make a viewer feel war." John Belton identified four narrative elements of the war film within the context of Hollywood production: a) the suspension of civilian morality during times of war, b) primacy of collective goals over individual motivations, c) rivalry between men in predominantly male groups as well as marginalization and objectification of women, and d) depiction of the reintegration of veterans. The film critic Stephen Neale suggests that the genre is for the most part well defined and uncontentious, since war films are simply those about war being waged in the 20th century, with combat scenes central to the drama. However, Neale notes, films set in the American Civil War or the American Indian Wars of the 19th century were called war films in the time before the First World War. The critic Julian Smith argues, on the contrary, that the war film lacks the formal boundaries of a genre like the Western, but that in practice, "successful and influential" war films are about modern wars, in particular World War II, with the combination of mobile forces and mass killing. The film scholar Kathryn Kane points out some similarities between the war film genre and the Western. Both genres use opposing concepts like war and peace, civilization and savagery. War films usually frame World War II as a conflict between "good" and "evil" as represented by the Allied forces and Nazi Germany whereas the Western portrays the conflict between civilized settlers and the savage indigenous peoples. James Clarke notes the similarity between a Western like Sam Peckinpah's The Wild Bunch and "war-movie escapades" like The Dirty Dozen. The film historian Jeanine Basinger states that she began with a preconception of what the war film genre would be, namely that: Further, Basinger considers Bataan to provide a definition-by-example of "the World War II combat film", in which a diverse and apparently unsuited group of "hastily assembled volunteers" hold off a much larger group of the enemy through their "bravery and tenacity". She argues that the combat film is not a subgenre but the only genuine kind of war film. Since she notes that there were in fact only five true combat films made during the Second World War, in her view these few films, central to the genre, are outweighed by the many other films that are only just war films. However, other critics such as Russell Earl Shain propose a far broader definition of war film, to include films that deal "with the roles of civilians, espionage agents, and soldiers in any of the aspects of war (i.e. preparation, cause, prevention, conduct, daily life, and consequences or aftermath.)" Neale points out that genres overlap, with combat scenes for different purposes in other types of film, and suggests that war films are characterised by combat which "determines the fate of the principal characters". This in turn pushes combat scenes to the climactic ends of war films. Not all critics agree, either, that war films must be about 20th-century wars. James Clarke includes Edward Zwick's Oscar-winning Glory (1990) among the war films he discusses in detail; it is set in the American Civil War, and he lists six other films about that war which he considers "notable". The screenwriter and scholar Eric R. Williams identifies war films as one of eleven super-genres in his screenwriters' taxonomy, claiming that all feature-length narrative films can be classified as belonging to one of them. The British military historian Antony Beevor "despair[s]" at how film-makers from America and Britain "play fast and loose with the facts", yet imply that "their version is as good as the truth". For example, he calls the 2000 American film U-571 a "shameless deception" for pretending that a US warship had helped to win the Battle of the Atlantic—seven months before America entered the war. He is equally critical of Christopher Nolan's 2017 film Dunkirk with its unhistorically empty beaches, low-level air combat over the sea, and rescues mainly by the "little ships". Beevor feels, however, that Continental European film-makers are often "far more scrupulous"; for example, in his view the 2004 German film Downfall accurately depicted the historical events of Hitler's final days in his Berlin bunker, and he considers the 1965 French film The 317th Platoon, set in Vietnam, "the greatest war movie ever made". The 1966 film The Battle of Algiers is, he argues, a close second. History American Civil War The costliest war in U.S. history in terms of American life, this war has been the subject of, or the backdrop to, numerous films, documentaries and mini-series. One of the earliest films using the Civil War as its subject was D.W. Griffith's 1910 silent picture, The Fugitive. Films that have the war as its main subject, or about a certain aspect of the war, include the 1989 film Glory, about the first formal unit of the Union Army during the American Civil War to be made up entirely of black men. Some films such as Gettysburg focused on a single battle during the war, or even on a single incident, like the French short film La Rivière du Hibou (An Occurrence at Owl Creek Bridge). Others like the 1993 miniseries North and South spanned the entire breadth of the war. Some films deal with the human aspects of the war, such as The Red Badge of Courage (1951), or Shenandoah (1965), on the tragedy that the war inflicted on the civilian population. Ken Burns's The Civil War is the most-watched documentary in the history of PBS. The Spanish–American War The first war films come from the Spanish–American War of 1898. Short "actualities"—documentary film-clips—included Burial of the Maine Victims, Blanket-Tossing of a New Recruit, and Soldiers Washing Dishes. These non-combat films were accompanied by "reenactments" of fighting, such as of Theodore Roosevelt's "Rough Riders" in action against the Spanish, staged in the United States. First World War During the First World War, many films were made about life in the war. Topics included prisoners of war, covert operations, and military training. Both the Central Powers and the Allies produced war documentaries. The films were also used as propaganda in neutral countries like the United States. Among these was a film shot on the Eastern Front by official war photographer to the Central Powers, Albert K. Dawson: The Battle and Fall of Przemysl (1915), depicting the Siege of Przemyśl, disastrous for the Austrians, with incidents reenacted using soldiers as extras. The 1915 Australian film Within Our Gates (also known as Deeds that Won Gallipoli) by Frank Harvey was described by the Motion Picture News as "a really good war story, which is exceptional". The 1916 British film The Battle of the Somme, by two official cinematographers, Geoffrey Malins and John McDowell, combined documentary and propaganda, seeking to give the public an impression of what trench warfare was like. Much of the film was shot on location at the Western Front in France; it had a powerful emotional impact. It was watched by some 20 million people in Britain in its six weeks of exhibition, making it what the critic Francine Stock called "one of the most successful films of all time". The 1925 American film The Big Parade depicted unglamorous elements of war: the protagonist loses his leg, and his friends are killed. William A. Wellman's Wings (1927) showed aerial combat during the war and was made in cooperation with the Army Air Corps. It proved a powerful recruiting tool. It became the first film (in any genre) to be awarded an Oscar for best picture. Later films of varied genres that deal with the First World War include David Lean's "colossal epic", both war film and biopic Lawrence of Arabia (1962), shot in the then unfamiliar and exciting 70mm Technicolor, and described by Steven Spielberg as "maybe the greatest screenplay ever written for the motion-picture medium"; Richard Attenborough's satirical anti-war musical comedy based on Joan Littlewood's play of the same name, Oh! What a Lovely War (1969); Spielberg's 2011 war drama War Horse was based on Michael Morpurgo's children's novel of the same name. Many of the films promoted as "documentaries" added context to authentic battlefield scenes by staging critical events, and invented episodes and dialog to enhance excitement at the cost of authenticity.<ref>David H. Mould, and Charles M. Berg, "Fact and Fantasy in the Films of World War One," Film & History (1984) 14#3 pp 50-60 </ref> Finnish Civil War Although the 1918 Finnish Civil War between Whites and Reds remained a controversial topic a century later in Finland,Punaisten ja valkoisten perintöä vaalitaan yhä – Suomalaiset lähettivät yli 400 muistoa vuoden 1918 sisällissodasta (in Finnish) many Finnish filmmakers have taken up the subject, often basing their work on a book. In 1957, Toivo Särkkä's 1918, based on Jarl Hemmer's play and novel, was screened at the 7th Berlin International Film Festival. Recent films include Lauri Törhönen's 2007 The Border, and Aku Louhimies's 2008 Tears of April, based on Leena Lander's novel. Perhaps the most famous film about the Finnish Civil War is Edvin Laine's 1968 Here, Beneath the North Star, based on the first two books of Väinö Linna's Under the North Star trilogy; |
connects several wireless LANs. WiMAX is a type of Wireless MAN and is described by the IEEE 802.16 standard. Wireless WAN Wireless wide area networks are wireless networks that typically cover large areas, such as between neighbouring towns and cities, or city and suburb. These networks can be used to connect branch offices of business or as a public Internet access system. The wireless connections between access points are usually point to point microwave links using parabolic dishes on the 2.4 GHz and 5.8 GHz band, rather than omnidirectional antennas used with smaller networks. A typical system contains base station gateways, access points and wireless bridging relays. Other configurations are mesh systems where each access point acts as a relay also. When combined with renewable energy systems such as photovoltaic solar panels or wind systems they can be stand alone systems. Cellular network A cellular network or mobile network is a radio network distributed over land areas called cells, each served by at least one fixed-location transceiver, known as a cell site or base station. In a cellular network, each cell characteristically uses a different set of radio frequencies from all their immediate neighbouring cells to avoid any interference. When joined these cells provide radio coverage over a wide geographic area. This enables a large number of portable transceivers (e.g., mobile phones, pagers, etc.) to communicate with each other and with fixed transceivers and telephones anywhere in the network, via base stations, even if some of the transceivers are moving through more than one cell during transmission. Although originally intended for cell phones, with the development of smartphones, cellular telephone networks routinely carry data in addition to telephone conversations: Global System for Mobile Communications (GSM): The GSM network is divided into three major systems: the switching system, the base station system, and the operation and support system. The cell phone connects to the base system station which then connects to the operation and support station; it then connects to the switching station where the call is transferred to where it needs to go. GSM is the most common standard and is used for a majority of cell phones. Personal Communications Service (PCS): PCS is a radio band that can be used by mobile phones in North America and South Asia. Sprint happened to be the first service to set up a PCS. D-AMPS: Digital Advanced Mobile Phone Service, an upgraded version of AMPS, is being phased out due to advancement in technology. The newer GSM networks are replacing the older system. Global area network A global area network (GAN) is a network used for supporting mobile across an arbitrary number of wireless LANs, satellite coverage areas, etc. The key challenge in mobile communications is handing off user communications from one local coverage area to the next. In IEEE Project 802, this involves a succession of terrestrial wireless LANs. Space network Space networks are networks used for communication between spacecraft, usually in the vicinity of the Earth. The example of this is NASA's Space Network. Uses Some examples of usage include cellular phones which are part of everyday wireless networks, allowing easy personal communications. Another example, Intercontinental network systems, use radio satellites to communicate across the world. Emergency services such as the police utilize wireless networks to communicate effectively as well. Individuals and businesses use wireless networks to send and share data rapidly, whether it be in a small office building or across the world. Properties General In a general sense, wireless networks offer a vast variety of uses by both business and home users. "Now, the industry accepts a handful of different wireless technologies. Each wireless technology is defined by a standard that describes unique functions at both the Physical and the Data Link layers of the OSI model. These standards differ in their specified signaling methods, geographic ranges, and frequency usages, among other things. Such differences can make certain technologies better suited to home networks and others better suited to network larger organizations." Performance Each standard varies in geographical range, thus making one standard more ideal than the next depending on what it is one is trying to accomplish with a wireless network. The performance of wireless networks satisfies a variety of applications such as voice and video. The use of this technology also gives room for expansions, such as from 2G to 3G and, 4G and 5G technologies, which stand for the fourth and fifth generation of cell phone mobile communications standards. As wireless networking has become commonplace, sophistication increases through configuration of network hardware and software, and greater capacity to send and receive larger amounts of data, faster, is achieved. Now the wireless network has been running on LTE, which is a 4G mobile communication standard. Users of an LTE network should have data speeds that are 10x faster than a 3G network. Space Space is another characteristic of wireless networking. Wireless networks offer many advantages when it comes to difficult-to-wire areas trying to communicate such as across a street or river, a warehouse on the other side of the premises or buildings that are physically separated but operate as one. Wireless networks allow for users to designate a certain space which the network will be able to communicate with other devices through that network. Space is also created in homes as a result of eliminating clutters of wiring. This technology allows for an alternative to installing physical network mediums such as TPs, coaxes, or fiber-optics, which can also be expensive. Home For homeowners, wireless technology is an effective option compared to Ethernet for sharing printers, scanners, and high-speed Internet connections. WLANs help save the cost of installation of cable mediums, save time from physical installation, and also creates mobility for devices connected to the network. Wireless networks are simple and require as few as one single wireless access point connected directly to the Internet via a router. Wireless network elements The telecommunications network at the physical layer also consists of many interconnected wireline network elements (NEs). These NEs can be stand-alone systems or products that are either supplied by a single manufacturer or are assembled by the service provider (user) or system integrator with parts from several different manufacturers. Wireless NEs are the products and devices used by a wireless carrier to provide support for the backhaul network as well as a mobile switching center (MSC). Reliable wireless service depends on the network elements at the physical layer to be protected against all operational environments and applications (see GR-3171, Generic Requirements | For homeowners, wireless technology is an effective option compared to Ethernet for sharing printers, scanners, and high-speed Internet connections. WLANs help save the cost of installation of cable mediums, save time from physical installation, and also creates mobility for devices connected to the network. Wireless networks are simple and require as few as one single wireless access point connected directly to the Internet via a router. Wireless network elements The telecommunications network at the physical layer also consists of many interconnected wireline network elements (NEs). These NEs can be stand-alone systems or products that are either supplied by a single manufacturer or are assembled by the service provider (user) or system integrator with parts from several different manufacturers. Wireless NEs are the products and devices used by a wireless carrier to provide support for the backhaul network as well as a mobile switching center (MSC). Reliable wireless service depends on the network elements at the physical layer to be protected against all operational environments and applications (see GR-3171, Generic Requirements for Network Elements Used in Wireless Networks – Physical Layer Criteria). What are especially important are the NEs that are located on the cell tower to the base station (BS) cabinet. The attachment hardware and the positioning of the antenna and associated closures and cables are required to have adequate strength, robustness, corrosion resistance, and resistance against wind, storms, icing, and other weather conditions. Requirements for individual components, such as hardware, cables, connectors, and closures, shall take into consideration the structure to which they are attached. Difficulties Interference Compared to wired systems, wireless networks are frequently subject to electromagnetic interference. This can be caused by other networks or other types of equipment that generate radio waves that are within, or close, to the radio bands used for communication. Interference can degrade the signal or cause the system to fail. Absorption and reflection Some materials cause absorption of electromagnetic waves, preventing it from reaching the receiver, in other cases, particularly with metallic or conductive materials reflection occurs. This can cause dead zones where no reception is available. Aluminium foiled thermal isolation in modern homes can easily reduce indoor mobile signals by 10 dB frequently leading to complaints about the bad reception of long-distance rural cell signals. Multipath fading In multipath fading two or more different routes taken by the signal, due to reflections, can cause the signal to cancel out each other at certain locations, and to be stronger in other places (upfade). Hidden node problem The hidden node problem occurs in some types of network when a node is visible from a wireless access point (AP), but not from other nodes communicating with that AP. This leads to difficulties in media access control (collisions). Exposed terminal node problem The exposed terminal problem is when a node on one network is unable to send because of co-channel interference from a node that is on a different network. Shared resource problem The wireless spectrum is a limited resource and shared by all nodes in the range of its transmitters. Bandwidth allocation becomes complex with multiple participating users. Often users are not aware that advertised numbers (e.g., for IEEE 802.11 equipment or LTE networks) are not their capacity, but shared with all other users and thus the individual user rate is far lower. With increasing demand, the capacity crunch is more and more likely to happen. User-in-the-loop (UIL) may be an alternative solution to ever upgrading to newer technologies for over-provisioning. Capacity Channel Shannon's theorem can describe the maximum data rate of any single wireless link, which relates to the bandwidth in hertz and to the noise on the channel. One can greatly increase channel capacity by using MIMO techniques, where multiple aerials or multiple frequencies can exploit multiple paths to the receiver to achieve much higher throughput – by a factor of the product of the frequency and aerial diversity at each end. Under Linux, the Central Regulatory Domain Agent (CRDA) controls the setting of channels. Network The total network bandwidth depends on how dispersive the medium is (more dispersive medium generally has better total bandwidth because it minimises interference), how many frequencies are available, how noisy those frequencies are, how many aerials are used and whether a directional antenna is in use, whether nodes employ power control and so on. Cellular wireless networks generally have good capacity, due to their use of directional aerials, and their ability to reuse radio channels in non-adjacent cells. Additionally, cells can be made very small using low power transmitters this is used in cities to give network capacity that scales linearly with population density. Safety Wireless access points are also often close to humans, but the drop off in power over distance is fast, following the inverse-square law. The position of the United Kingdom's Health Protection Agency (HPA) is that “...radio frequency (RF) exposures from WiFi are likely to be lower than those from mobile phones". It also saw “...no reason why schools and others should not use WiFi equipment". In October 2007, the HPA launched a new "systematic" study into the effects of WiFi networks on behalf of the UK government, in order to calm fears that had appeared in the media in a recent period up to that time". Dr Michael Clark, of the HPA, says published research on mobile phones and masts does not add up to an indictment of WiFi. See also Rendezvous delay Wireless access point Wireless community network Wireless LAN client comparison Wireless site survey Network simulation Optical mesh network Wireless mesh network Wireless mobility |
for deleting browsing history, cache entries, and other potentially sensitive data. An alternative approach is the private browsing mode, in which the aforementioned items are not stored by the browser. But this is a temporary option, only activated when using this special mode. Features The most popular browsers have a number of features in common. They automatically log browsing history or can be used in a non-logging private mode. They also allow users to set bookmarks, customize the browser with extensions, and can manage user passwords. Some provide a sync service and web accessibility features. Most browsers have these user interface (UI) features: Allow the user to open multiple pages at the same time, either in different browser windows or in different tabs of the same window. Back and forward buttons to go back to the previous page visited or forward to the next one. A refresh or reload and a stop button to reload and cancel loading the current page. (In most browsers, the stop button is merged with the reload button.) A home button to return to the user's home page. An address bar to input the URL of a page and display it. A search bar to input terms into a search engine. (In some browsers, the search bar is merged with the address bar.) While mobile browsers have similar UI features as desktop versions, the limitations of touchscreens require mobile UIs to be simpler. The difference is significant for users accustomed to keyboard shortcuts. The most popular desktop browsers also have sophisticated web development tools. Besides the common usage of graphical browsers, there are niche text-based and headless types of browsers. Security Web browsers are popular targets for hackers, who exploit security holes to steal information, destroy files, and other malicious activities. Browser vendors regularly patch these security holes, so users are strongly encouraged to keep their browser software updated. Other protection measures are antivirus software and avoiding known-malicious websites. History The first web browser, called WorldWideWeb, was created in 1990 by Sir Tim Berners-Lee. He then recruited Nicola Pellow to write the Line Mode Browser, which displayed web pages on dumb terminals. 1993 was a landmark year with the release of Mosaic, credited as "the world's first popular browser". Its innovative graphical user interface made the World Wide Web system easy to use and thus more accessible to the average person. This, in turn, sparked the Internet boom of the 1990s, when the Web grew at a very rapid rate. Marc Andreessen, the leader of the Mosaic team, soon started his own company, Netscape, which released the Mosaic-influenced Netscape Navigator in 1994. Navigator quickly became the most popular browser. Microsoft debuted Internet Explorer in 1995, leading to a browser war with Netscape. Within a few years, Microsoft gained a dominant position in the browser market for two reasons: it bundled Internet Explorer with its popular Windows operating system and did so as freeware with no restrictions on usage. The market share of Internet Explorer peaked at over 95% in the early 2000s. | the same time, either in different browser windows or in different tabs of the same window. Back and forward buttons to go back to the previous page visited or forward to the next one. A refresh or reload and a stop button to reload and cancel loading the current page. (In most browsers, the stop button is merged with the reload button.) A home button to return to the user's home page. An address bar to input the URL of a page and display it. A search bar to input terms into a search engine. (In some browsers, the search bar is merged with the address bar.) While mobile browsers have similar UI features as desktop versions, the limitations of touchscreens require mobile UIs to be simpler. The difference is significant for users accustomed to keyboard shortcuts. The most popular desktop browsers also have sophisticated web development tools. Besides the common usage of graphical browsers, there are niche text-based and headless types of browsers. Security Web browsers are popular targets for hackers, who exploit security holes to steal information, destroy files, and other malicious activities. Browser vendors regularly patch these security holes, so users are strongly encouraged to keep their browser software updated. Other protection measures are antivirus software and avoiding known-malicious websites. History The first web browser, called WorldWideWeb, was created in 1990 by Sir Tim Berners-Lee. He then recruited Nicola Pellow to write the Line Mode Browser, which displayed web pages on dumb terminals. 1993 was a landmark year with the release of Mosaic, credited as "the world's first popular browser". Its innovative graphical user interface made the World Wide Web system easy to use and thus more accessible to the average person. This, in turn, sparked the Internet boom of the 1990s, when the Web grew at a very rapid rate. Marc Andreessen, the leader of the Mosaic team, soon started his own company, Netscape, which released the Mosaic-influenced Netscape Navigator in 1994. Navigator quickly became the most popular browser. Microsoft debuted Internet Explorer in 1995, leading to a browser war with Netscape. Within a few years, Microsoft gained a dominant position in the browser market for two reasons: it bundled Internet Explorer with its popular Windows operating system and did so as freeware with no restrictions on usage. The market share of Internet Explorer peaked at over 95% in the early 2000s. In 1998, Netscape launched what would become the Mozilla Foundation to create a new browser using the open source software model. This work evolved into the Firefox browser, first released by Mozilla in 2004. Firefox market share peaked at 32% in 2010. Apple released its Safari browser in 2003. Safari remains the dominant browser on Apple devices, though it did not become popular elsewhere. Google debuted its Chrome browser in 2008, which steadily took market share from Internet Explorer and became the most popular browser in 2012. Chrome has remained dominant ever since. Microsoft released its Edge browser in |
or more berths (mooring locations), and may also include piers, warehouses, or other facilities necessary for handling the ships. Wharves are often considered to be a series of docks at which boats are stationed. Overview A wharf commonly comprises a fixed platform, often on pilings. Commercial ports may have warehouses that serve as interim storage: where it is sufficient a single wharf with a single berth constructed along the land adjacent to the water is normally used; where there is a need for more capacity multiple wharves, or perhaps a single large wharf with multiple berths, will instead be constructed, sometimes projecting over the water. A pier, raised over the water rather than within it, is commonly used for cases where the weight or volume of cargos will be low. Smaller and more modern wharves are sometimes built on flotation devices (pontoons) to keep them at the same level as the ship, even during changing tides. In everyday parlance the term quay is common in the United Kingdom, Canada, Australia, and many other Commonwealth countries, and the Republic of Ireland, whereas the term wharf is more common in the United States. In some contexts wharf and quay may be used to mean pier, berth, or jetty. In old ports such as London (which once had around 1700 wharves) many old wharves have been converted to residential or office use. Certain early railways in England referred to goods loading points as "wharves". The term was carried over from marine usage. The person who was resident in charge of the wharf was referred to as a "wharfinger". Etymology Wharf The word wharf comes from the Old English hwearf, cognate to the Old Dutch word werf, which both evolved to mean "yard", an outdoor place where work is done, like a shipyard (Dutch: scheepswerf) or a lumberyard (Dutch: houtwerf). Originally, werf or werva in Old Dutch (werf, wer in Old Frisian) simply referred to inhabited ground that was not yet built | usage. The person who was resident in charge of the wharf was referred to as a "wharfinger". Etymology Wharf The word wharf comes from the Old English hwearf, cognate to the Old Dutch word werf, which both evolved to mean "yard", an outdoor place where work is done, like a shipyard (Dutch: scheepswerf) or a lumberyard (Dutch: houtwerf). Originally, werf or werva in Old Dutch (werf, wer in Old Frisian) simply referred to inhabited ground that was not yet built on (similar to "yard" in modern English), or alternatively to a terp. This could explain the name Ministry Wharf located at Saunderton, just outside High Wycombe, which is nowhere near any body of water. In support of this explanation is the fact that many places in England with "wharf" in their names are in areas with a high Dutch influence, for example the Norfolk broads. Staith(e) In the northeast and east of England the term staith or staithe (from the Norse for landing stage) is also used. The two terms have historically had a geographical distinction: those to the north in the Kingdom of Northumbria used the Old English spelling staith, southern sites of the Danelaw took the Danish spelling staithe. Both originally referred to jetties or wharves. In time, the northern coalfields of Northumbria developed coal staiths specifically for loading coal onto ships and these would adopt the staith spelling as a distinction from simple wharves: for example, Dunston Staiths in Gateshead and Brancaster Staithe in Norfolk. However, the term staith may also be used to refer only to loading chutes or ramps used for bulk commodities like coal in loading ships and barges. Quay Quay, on the other hand, has its origin in the Proto-Celtic language. Before it changed to its current form under influence of the modern French quai, its Middle English spelling was key, keye or caye. This in turn also came from the Old Norman cai (Old French chai), both roughly meaning "sand bank". The Old French term came from Gaulish caium, ultimately tracing back to the Proto-Celtic *kagio- "to encompass, enclose". Modern cognates include Welsh cae "fence, hedge" and Cornish ke "hedge", |
1757 at 28 Broad Street (now Broadwick St.) in Soho, London. He was the third of seven children, two of whom died in infancy. Blake's father, James, was a hosier, who had come to London from Ireland. He attended school only long enough to learn reading and writing, leaving at the age of ten, and was otherwise educated at home by his mother Catherine Blake (née Wright). Even though the Blakes were English Dissenters, William was baptised on 11 December at St James's Church, Piccadilly, London. The Bible was an early and profound influence on Blake, and remained a source of inspiration throughout his life. Blake started engraving copies of drawings of Greek antiquities purchased for him by his father, a practice that was preferred to actual drawing. Within these drawings Blake found his first exposure to classical forms through the work of Raphael, Michelangelo, Maarten van Heemskerck and Albrecht Dürer. The number of prints and bound books that James and Catherine were able to purchase for young William suggests that the Blakes enjoyed, at least for a time, a comfortable wealth. When William was ten years old, his parents knew enough of his headstrong temperament that he was not sent to school but instead enrolled in drawing classes at Henry Pars’ drawing school in the Strand. He read avidly on subjects of his own choosing. During this period, Blake made explorations into poetry; his early work displays knowledge of Ben Jonson, Edmund Spenser, and the Psalms. Apprenticeship On 4 August 1772, Blake was apprenticed to engraver James Basire of Great Queen Street, at the sum of £52.10, for a term of seven years. At the end of the term, aged 21, he became a professional engraver. No record survives of any serious disagreement or conflict between the two during the period of Blake's apprenticeship, but Peter Ackroyd's biography notes that Blake later added Basire's name to a list of artistic adversaries – and then crossed it out. This aside, Basire's style of line-engraving was of a kind held at the time to be old-fashioned compared to the flashier stipple or mezzotint styles. It has been speculated that Blake's instruction in this outmoded form may have been detrimental to his acquiring of work or recognition in later life. After two years, Basire sent his apprentice to copy images from the Gothic churches in London (perhaps to settle a quarrel between Blake and James Parker, his fellow apprentice). His experiences in Westminster Abbey helped form his artistic style and ideas. The Abbey of his day was decorated with suits of armour, painted funeral effigies and varicoloured waxworks. Ackroyd notes that "...the most immediate [impression] would have been of faded brightness and colour". This close study of the Gothic (which he saw as the "living form") left clear traces in his style. In the long afternoons Blake spent sketching in the Abbey, he was occasionally interrupted by boys from Westminster School, who were allowed in the Abbey. They teased him and one tormented him so much that Blake knocked the boy off a scaffold to the ground, "upon which he fell with terrific Violence". After Blake complained to the Dean, the schoolboys' privilege was withdrawn. Blake claimed that he experienced visions in the Abbey. He saw Christ with his Apostles and a great procession of monks and priests, and heard their chant. Royal Academy On 8 October 1779, Blake became a student at the Royal Academy in Old Somerset House, near the Strand. While the terms of his study required no payment, he was expected to supply his own materials throughout the six-year period. There, he rebelled against what he regarded as the unfinished style of fashionable painters such as Rubens, championed by the school's first president, Joshua Reynolds. Over time, Blake came to detest Reynolds' attitude towards art, especially his pursuit of "general truth" and "general beauty". Reynolds wrote in his Discourses that the "disposition to abstractions, to generalising and classification, is the great glory of the human mind"; Blake responded, in marginalia to his personal copy, that "To Generalize is to be an Idiot; To Particularize is the Alone Distinction of Merit". Blake also disliked Reynolds' apparent humility, which he held to be a form of hypocrisy. Against Reynolds' fashionable oil painting, Blake preferred the Classical precision of his early influences, Michelangelo and Raphael. David Bindman suggests that Blake's antagonism towards Reynolds arose not so much from the president's opinions (like Blake, Reynolds held history painting to be of greater value than landscape and portraiture), but rather "against his hypocrisy in not putting his ideals into practice." Certainly Blake was not averse to exhibiting at the Royal Academy, submitting works on six occasions between 1780 and 1808. Blake became a friend of John Flaxman, Thomas Stothard and George Cumberland during his first year at the Royal Academy. They shared radical views, with Stothard and Cumberland joining the Society for Constitutional Information. Gordon Riots Blake's first biographer, Alexander Gilchrist, records that in June 1780 Blake was walking towards Basire's shop in Great Queen Street when he was swept up by a rampaging mob that stormed Newgate Prison. The mob attacked the prison gates with shovels and pickaxes, set the building ablaze, and released the prisoners inside. Blake was reportedly in the front rank of the mob during the attack. The riots, in response to a parliamentary bill revoking sanctions against Roman Catholicism, became known as the Gordon Riots and provoked a flurry of legislation from the government of George III, and the creation of the first police force. Career Marriage In 1782 Blake met Catherine Boucher when he was recovering from a relationship that had culminated in a refusal of his marriage proposal. He recounted the story of his heartbreak for Catherine and her parents, after which he asked Catherine: "Do you pity me?" When she responded affirmatively, he declared: "Then I love you." Blake married Catherine – who was five years his junior – on 18 August 1782 in St Mary's Church, Battersea. Illiterate, Catherine signed her wedding contract with an X. The original wedding certificate may be viewed at the church, where a commemorative stained-glass window was installed between 1976 and 1982. Later, in addition to teaching Catherine to read and write, Blake trained her as an engraver. Throughout his life she proved a valuable aid, helping to print his illuminated works and maintaining his spirits throughout numerous misfortunes. Around 1783, Blake's first collection of poems, Poetical Sketches, was printed. In 1784, after his father's death, Blake and former fellow apprentice James Parker opened a print shop. They began working with radical publisher Joseph Johnson. Johnson's house was a meeting-place for some leading English intellectual dissidents of the time: theologian and scientist Joseph Priestley; philosopher Richard Price; artist John Henry Fuseli; early feminist Mary Wollstonecraft; and English revolutionary Thomas Paine. Along with William Wordsworth and William Godwin, Blake had great hopes for the French and American revolutions and wore a Phrygian cap in solidarity with the French revolutionaries, but despaired with the rise of Robespierre and the Reign of Terror in France. That same year, Blake composed his unfinished manuscript An Island in the Moon (1784). Blake illustrated Original Stories from Real Life (2nd edition, 1791) by Mary Wollstonecraft. Although they seem to have shared some views on sexual equality and the institution of marriage, no evidence is known that would prove that they had met. In Visions of the Daughters of Albion (1793), Blake condemned the cruel absurdity of enforced chastity and marriage without love and defended the right of women to complete self-fulfillment. From 1790 to 1800, William Blake lived in North Lambeth, London, at 13 Hercules Buildings, Hercules Road. The property was demolished in 1918, but the site is now marked with a plaque. A series of 70 mosaics commemorates Blake in the nearby railway tunnels of Waterloo Station. The mosaics largely reproduce illustrations from Blake's illuminated books, The Songs of Innocence and of Experience, The Marriage of Heaven and Hell, and the prophetic books. Relief etching In 1788, aged 31, Blake experimented with relief etching, a method he used to produce most of his books, paintings, pamphlets and poems. The process is also referred to as illuminated printing, and the finished products as illuminated books or prints. Illuminated printing involved writing the text of the poems on copper plates with pens and brushes, using an acid-resistant medium. Illustrations could appear alongside words in the manner of earlier illuminated manuscripts. He then etched the plates in acid to dissolve the untreated copper and leave the design standing in relief (hence the name). This is a reversal of the usual method of etching, where the lines of the design are exposed to the acid, and the plate printed by the intaglio method. Relief etching (which Blake referred to as "stereotype" in The Ghost of Abel) was intended as a means for producing his illuminated books more quickly than via intaglio. Stereotype, a process invented in 1725, consisted of making a metal cast from a wood engraving, but Blake's innovation was, as described above, very different. The pages printed from these plates were hand-coloured in watercolours and stitched together to form a volume. Blake used illuminated printing for most of his well-known works, including Songs of Innocence and of Experience, The Book of Thel, The Marriage of Heaven and Hell and Jerusalem. Engravings Although Blake has become better known for his relief etching, his commercial work largely consisted of intaglio engraving, the standard process of engraving in the 18th century in which the artist incised an image into the copper plate, a complex and laborious process, with plates taking months or years to complete, but as Blake's contemporary, John Boydell, realised, such engraving offered a "missing link with commerce", enabling artists to connect with a mass audience and became an immensely important activity by the end of the 18th century. Europe Supported by Africa and America is an engraving by Blake held in the collection of the University of Arizona Museum of Art. The engraving was for a book written by Blake's friend John Gabriel Stedman called The Narrative of a Five Years Expedition against the Revolted Negroes of Surinam (1796). It depicts three attractive women embracing one another. Black Africa and White Europe hold hands in a gesture of equality, as the barren earth blooms beneath their feet. Europe wears a string of pearls, while her sisters Africa and America are depicted wearing slave bracelets. Some scholars have speculated that the bracelets represent the "historical fact" of slavery in Africa and the Americas while the handclasp refer to Stedman's "ardent wish": "we only differ in color, but are certainly all created by the same Hand." Others have said it "expresses the climate of opinion in which the questions of color and slavery were, at that time, being considered, and which Blake's writings reflect". Blake employed intaglio engraving in his own work, such as for his Illustrations of the Book of Job, completed just before his death. Most critical work has concentrated on Blake's relief etching as a technique because it is the most innovative aspect of his art, but a 2009 study drew attention to Blake's surviving plates, including those for the Book of Job: they demonstrate that he made frequent use of a technique known as "repoussage", a means of obliterating mistakes by hammering them out by hitting the back of the plate. Such techniques, typical of engraving work of the time, are very different from the much faster and fluid way of drawing on a plate that Blake employed for his relief etching, and indicates why the engravings took so long to complete. Later life Blake's marriage to Catherine was close and devoted until his death. Blake taught Catherine to write, and she helped him colour his printed poems. Gilchrist refers to "stormy times" in the early years of the marriage. Some biographers have suggested that Blake tried to bring a concubine into the marriage bed in accordance with the beliefs of the more radical branches of the Swedenborgian Society, but other scholars have dismissed these theories as conjecture. In his Dictionary, Samuel Foster Damon suggests that Catherine may have had a stillborn daughter for which The Book of Thel is an elegy. That is how he rationalizes the Book's unusual ending, but notes that he is speculating. Felpham In 1800, Blake moved to a cottage at Felpham, in Sussex (now West Sussex), to take up a job illustrating the works of William Hayley, a minor poet. It was in this cottage that Blake began Milton (the title page is dated 1804, but Blake continued to work on it until 1808). The preface to this work includes a poem beginning "And did those feet in ancient time", which became the words for the anthem "Jerusalem". | and became an immensely important activity by the end of the 18th century. Europe Supported by Africa and America is an engraving by Blake held in the collection of the University of Arizona Museum of Art. The engraving was for a book written by Blake's friend John Gabriel Stedman called The Narrative of a Five Years Expedition against the Revolted Negroes of Surinam (1796). It depicts three attractive women embracing one another. Black Africa and White Europe hold hands in a gesture of equality, as the barren earth blooms beneath their feet. Europe wears a string of pearls, while her sisters Africa and America are depicted wearing slave bracelets. Some scholars have speculated that the bracelets represent the "historical fact" of slavery in Africa and the Americas while the handclasp refer to Stedman's "ardent wish": "we only differ in color, but are certainly all created by the same Hand." Others have said it "expresses the climate of opinion in which the questions of color and slavery were, at that time, being considered, and which Blake's writings reflect". Blake employed intaglio engraving in his own work, such as for his Illustrations of the Book of Job, completed just before his death. Most critical work has concentrated on Blake's relief etching as a technique because it is the most innovative aspect of his art, but a 2009 study drew attention to Blake's surviving plates, including those for the Book of Job: they demonstrate that he made frequent use of a technique known as "repoussage", a means of obliterating mistakes by hammering them out by hitting the back of the plate. Such techniques, typical of engraving work of the time, are very different from the much faster and fluid way of drawing on a plate that Blake employed for his relief etching, and indicates why the engravings took so long to complete. Later life Blake's marriage to Catherine was close and devoted until his death. Blake taught Catherine to write, and she helped him colour his printed poems. Gilchrist refers to "stormy times" in the early years of the marriage. Some biographers have suggested that Blake tried to bring a concubine into the marriage bed in accordance with the beliefs of the more radical branches of the Swedenborgian Society, but other scholars have dismissed these theories as conjecture. In his Dictionary, Samuel Foster Damon suggests that Catherine may have had a stillborn daughter for which The Book of Thel is an elegy. That is how he rationalizes the Book's unusual ending, but notes that he is speculating. Felpham In 1800, Blake moved to a cottage at Felpham, in Sussex (now West Sussex), to take up a job illustrating the works of William Hayley, a minor poet. It was in this cottage that Blake began Milton (the title page is dated 1804, but Blake continued to work on it until 1808). The preface to this work includes a poem beginning "And did those feet in ancient time", which became the words for the anthem "Jerusalem". Over time, Blake began to resent his new patron, believing that Hayley was uninterested in true artistry, and preoccupied with "the meer drudgery of business" (E724). Blake's disenchantment with Hayley has been speculated to have influenced Milton: a Poem, in which Blake wrote that "Corporeal Friends are Spiritual Enemies". (4:26, E98) Blake's trouble with authority came to a head in August 1803, when he was involved in a physical altercation with a soldier, John Schofield. Blake was charged not only with assault, but with uttering seditious and treasonable expressions against the king. Schofield claimed that Blake had exclaimed "Damn the king. The soldiers are all slaves." Blake was cleared in the Chichester assizes of the charges. According to a report in the Sussex county paper, "[T]he invented character of [the evidence] was ... so obvious that an acquittal resulted". Schofield was later depicted wearing "mind forged manacles" in an illustration to Jerusalem The Emanation of the Giant Albion. Return to London Blake returned to London in 1804 and began to write and illustrate Jerusalem (1804–20), his most ambitious work. Having conceived the idea of portraying the characters in Chaucer's Canterbury Tales, Blake approached the dealer Robert Cromek, with a view to marketing an engraving. Knowing Blake was too eccentric to produce a popular work, Cromek promptly commissioned Blake's friend Thomas Stothard to execute the concept. When Blake learned he had been cheated, he broke off contact with Stothard. He set up an independent exhibition in his brother's haberdashery shop at 27 Broad Street in Soho. The exhibition was designed to market his own version of the Canterbury illustration (titled The Canterbury Pilgrims), along with other works. As a result, he wrote his Descriptive Catalogue (1809), which contains what Anthony Blunt called a "brilliant analysis" of Chaucer and is regularly anthologised as a classic of Chaucer criticism. It also contained detailed explanations of his other paintings. The exhibition was very poorly attended, selling none of the temperas or watercolours. Its only review, in The Examiner, was hostile. Also around this time (circa 1808), Blake gave vigorous expression of his views on art in an extensive series of polemical annotations to the Discourses of Sir Joshua Reynolds, denouncing the Royal Academy as a fraud and proclaiming, "To Generalize is to be an Idiot". In 1818, he was introduced by George Cumberland's son to a young artist named John Linnell. A blue plaque commemorates Blake and Linnell at Old Wyldes' at North End, Hampstead. Through Linnell he met Samuel Palmer, who belonged to a group of artists who called themselves the Shoreham Ancients. The group shared Blake's rejection of modern trends and his belief in a spiritual and artistic New Age. Aged 65, Blake began work on illustrations for the Book of Job, later admired by Ruskin, who compared Blake favourably to Rembrandt, and by Vaughan Williams, who based his ballet Job: A Masque for Dancing on a selection of the illustrations. In later life Blake began to sell a great number of his works, particularly his Bible illustrations, to Thomas Butts, a patron who saw Blake more as a friend than a man whose work held artistic merit; this was typical of the opinions held of Blake throughout his life. The commission for Dante's Divine Comedy came to Blake in 1826 through Linnell, with the aim of producing a series of engravings. Blake's death in 1827 cut short the enterprise, and only a handful of watercolours were completed, with only seven of the engravings arriving at proof form. Even so, they have earned praise: Blake's illustrations of the poem are not merely accompanying works, but rather seem to critically revise, or furnish commentary on, certain spiritual or moral aspects of the text. Because the project was never completed, Blake's intent may be obscured. Some indicators bolster the impression that Blake's illustrations in their totality would take issue with the text they accompany: In the margin of Homer Bearing the Sword and His Companions, Blake notes, "Every thing in Dantes Comedia shews That for Tyrannical Purposes he has made This World the Foundation of All & the Goddess Nature & not the Holy Ghost." Blake seems to dissent from Dante's admiration of the poetic works of ancient Greece, and from the apparent glee with which Dante allots punishments in Hell (as evidenced by the grim humour of the cantos). At the same time, Blake shared Dante's distrust of materialism and the corruptive nature of power, and clearly relished the opportunity to represent the atmosphere and imagery of Dante's work pictorially. Even as he seemed to be near death, Blake's central preoccupation was his feverish work on the illustrations to Dante's Inferno; he is said to have spent one of the last shillings he possessed on a pencil to continue sketching. Final years Blake's last years were spent at Fountain Court off the Strand (the property was demolished in the 1880s, when the Savoy Hotel was built). On the day of his death (12 August 1827), Blake worked relentlessly on his Dante series. Eventually, it is reported, he ceased working and turned to his wife, who was in tears by his bedside. Beholding her, Blake is said to have cried, "Stay Kate! Keep just as you are – I will draw your portrait – for you have ever been an angel to me." Having completed this portrait (now lost), Blake laid down his tools and began to sing hymns and verses. At six that evening, after promising his wife that he would be with her always, Blake died. Gilchrist reports that a female lodger in the house, present at his expiration, said, "I have been at the death, not of a man, but of a blessed angel." George Richmond gives the following account of Blake's death in a letter to Samuel Palmer: Catherine paid for Blake's funeral with money lent to her by Linnell. Blake's body was buried in a plot shared with others, five days after his death – on the eve of his 45th wedding anniversary – at the Dissenter's burial ground in Bunhill Fields, in what is today the London Borough of Islington. His parents' bodies were buried in the same graveyard. Present at the ceremonies were Catherine, Edward Calvert, George Richmond, Frederick Tatham and John Linnell. Following Blake's death, Catherine moved into Tatham's house as a housekeeper. She believed she was regularly visited by Blake's spirit. She continued selling his illuminated works and paintings, but entertained no business transaction without first "consulting Mr. Blake". On the day of her death, in October 1831, she was as calm and cheerful as her husband, and called out to him "as if he were only in the next room, to say she was coming to him, and it would not be long now". On her death, longtime acquaintance Frederick Tatham took possession of Blake's works and continued selling them. Tatham later joined the fundamentalist Irvingite church and under the influence of conservative members of that church burned manuscripts that he deemed heretical. The exact number of destroyed manuscripts is unknown, but shortly before his death Blake told a friend he had written "twenty tragedies as long as Macbeth", none of which survive. Another acquaintance, William Michael Rossetti, also burned works by Blake that he considered lacking in quality, and John Linnell erased sexual imagery from a number of Blake's drawings. At the same time, some works not intended for publication were preserved by friends, such as his notebook and An Island in the Moon. Blake's grave is commemorated by two stones. The first was a stone that reads "Near by lie the remains of the poet-painter William Blake 1757–1827 and his wife Catherine Sophia 1762–1831". The memorial stone is situated approximately away from the actual grave, which was not marked until 12 August 2018. For years since 1965, the exact location of William Blake's grave had been lost and forgotten. The area had been damaged in the Second World War; gravestones were removed and a garden was created. The memorial stone, indicating that the burial sites are "nearby", was listed as a Grade II listed structure in 2011. A Portuguese couple, Carol and Luís Garrido, rediscovered the exact burial location after 14 years of investigatory work, and the Blake Society organised a permanent memorial slab, which was unveiled at a public ceremony at the site on 12 August 2018. The new stone is inscribed "Here lies William Blake 1757–1827 Poet Artist Prophet" above a verse from his poem Jerusalem. The Blake Prize for Religious Art was established in his honour in Australia in 1949. In 1957 a memorial to Blake and his wife was erected in Westminster Abbey. Another memorial lies in St James's Church, Piccadilly, where he was baptised. At the time of Blake's death, he had sold fewer than 30 copies of Songs of Innocence and of Experience. Opinions Politics Blake was not active in any well-established political party. His poetry consistently embodies an attitude of rebellion against the abuse of class power as documented in David Erdman's major study Blake: Prophet Against Empire: A Poet's Interpretation of the History of His Own Times. Blake was concerned about senseless wars and the blighting effects of the Industrial Revolution. Much of his poetry recounts in symbolic allegory the effects of the French and American revolutions. Erdman claims Blake was disillusioned with the political outcomes of the conflicts, believing they had simply replaced monarchy with irresponsible mercantilism. Erdman also notes Blake was deeply opposed to slavery and believes some of his poems, read primarily as championing "free love", had their anti-slavery implications short-changed. A more recent study, William Blake: Visionary Anarchist by Peter Marshall (1988), classified Blake and his contemporary William Godwin as forerunners of modern anarchism. British Marxist historian E. P. Thompson's last finished work, Witness Against the Beast: William Blake and the Moral Law (1993), claims to show how far he was inspired by dissident religious ideas rooted in the thinking of the most radical opponents of the monarchy during the English Civil War. Development of Views Because Blake's later poetry contains a private mythology with complex symbolism, his late work has been less published than his earlier more accessible work. The Vintage anthology of Blake edited by Patti Smith focuses heavily on the earlier work, as do many critical studies such as William Blake by D. G. Gillham. The earlier work is primarily rebellious in character and can be seen as a protest against dogmatic religion especially notable in The Marriage of Heaven and Hell, in which the figure represented by the "Devil" is virtually a hero rebelling against an imposter authoritarian deity. In later works, such as Milton and Jerusalem, Blake carves a distinctive vision of a humanity redeemed by self-sacrifice and forgiveness, while retaining his earlier negative attitude towards what he felt was the rigid and morbid authoritarianism of traditional religion. Not all readers of Blake agree upon how much continuity exists between Blake's earlier and later works. Psychoanalyst June Singer has written that Blake's late work displayed a development of the ideas first introduced in his earlier works, namely, the humanitarian goal of achieving personal wholeness of body and spirit. The final section of the expanded edition of her Blake study The Unholy Bible suggests the later works are the "Bible of Hell" promised in The Marriage of Heaven and Hell. Regarding Blake's final poem, Jerusalem, she writes: "The promise of the divine in man, made in The Marriage of Heaven and Hell, is at last fulfilled." John Middleton Murry notes discontinuity between Marriage and the late works, in that while the early Blake focused on a "sheer negative opposition between Energy and Reason", the later Blake emphasised the notions of self-sacrifice and forgiveness as the road to interior wholeness. This renunciation of the sharper dualism of Marriage of Heaven and Hell is evidenced in particular by the humanisation |
become a consumer product until deregulation. Previously, connecting non-AT&T handsets was generally prohibited and most phones were leased devices (similar to residential broadband routers). By putting its functionally in a line-connected appliance rather than a handset, the Demon Dialer device could be configured to provide speed dialing to all extensions within a residence through touch tone control. "Demon dialing" was popularized by the movie WarGames, which demonstrates the hacking technique (the technique eventually evolves into a technique called "phreaking"). After giving the program an area code and 3 digit prefix, the program then serially dialed every phone number in that prefix in order, recording which phone numbers were answered by a computer modem. Soon after, most likely because it was popularized by the movie, serial dialing was outlawed. Hackers got around this by simply randomizing the order the program dialed all the numbers. Later the terms "demon dialing" and "war dialing" became synonymous. Similar technologies Automatic redial is essentially exactly the same thing, | Dialer device could be configured to provide speed dialing to all extensions within a residence through touch tone control. "Demon dialing" was popularized by the movie WarGames, which demonstrates the hacking technique (the technique eventually evolves into a technique called "phreaking"). After giving the program an area code and 3 digit prefix, the program then serially dialed every phone number in that prefix in order, recording which phone numbers were answered by a computer modem. Soon after, most likely because it was popularized by the movie, serial dialing was outlawed. Hackers got around this by simply randomizing the order the program dialed all the numbers. Later the terms "demon dialing" and "war dialing" became synonymous. Similar technologies Automatic redial is essentially exactly the same thing, but for modems, and included in most telecommunications |
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