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shaft with universal joints, which allows the transmission of rotary motion at various angles and is used in vehicles to this day. He made significant contributions to hypocycloids, published in De proportionibus, in 1570. The generating circles of these hypocycloids were later named Cardano circles or cardanic circles and were used for the construction of the first high-speed printing presses. Today, he is well known for his achievements in algebra. In his 1545 book Ars Magna, he made the first systematic use of negative numbers in Europe, published with attribution the solutions of other mathematicians for the cubic and quartic equations, and acknowledged the existence of imaginary numbers. Early life and education Cardano was born on the 24th of September, 1501 in Pavia, Lombardy, the illegitimate child of Fazio Cardano, a mathematically gifted jurist, lawyer, and close personal friend of Leonardo da Vinci. In his autobiography, Cardano wrote that his mother, Chiara Micheri, had taken "various abortive medicines" to terminate the pregnancy; he was "taken by violent means from my mother; I was almost dead." She was in labour for three days. Shortly before his birth, his mother had to move from Milan to Pavia to escape the Plague; her three other children died from the disease. After a depressing childhood, with frequent illnesses, including impotence, and the rough upbringing by his overbearing father, in 1520, Cardano entered the University of Pavia against the wish of his father, who wanted his son to undertake studies of law, but Girolamo felt more attracted to philosophy and science. During the Italian War of 1521–1526, however, the authorities in Pavia were forced to close the university in 1524. Cardano resumed his studies at the University of Padua, where he graduated with a doctorate in medicine in 1525. His eccentric and confrontational style did not earn him many friends and he had a difficult time finding work after his studies had ended. In 1525, Cardano repeatedly applied to the College of Physicians in Milan, but was not admitted owing to his combative reputation and illegitimate birth. However, he was consulted by many members of the College of Physicians, because of his irrefutable intelligence. Early career as a physician Cardano wanted to practice medicine in a large, rich city like Milan, but he was denied a license to practice, so he settled for the town of Saccolongo, where he practiced without a license. There, he married Lucia Banderini in 1531. Before her death in 1546, they had three children, Giovanni Battista (1534), Chiara (1537) and Aldo Urbano (1543). Cardano later wrote that those were the happiest days of his life. With the help of a few noblemen, Cardano obtained a teaching position in mathematics in Milan. Having finally received his medical license, he practiced mathematics and medicine simultaneously, treating a few influential patients in the process. Because of this, he became one of the most sought-after doctors in Milan. In fact, by 1536, he was able to quit his teaching position, although he was still interested in mathematics. His notability in the medical field was such that the aristocracy tried to lure him out of Milan. Cardano later wrote that he turned down offers from the kings of Denmark and France, and the Queen of Scotland. Mathematics Cardano was the first mathematician to make systematic use of negative numbers. He published with attribution the solution of Scipione del Ferro to the cubic equation and the solution of Cardano's student Lodovico Ferrari to the quartic equation in his 1545 book Ars Magna, an influential work on algebra. The solution to one particular case of the cubic equation (in modern notation) had been communicated to him in 1539 by Niccolò Fontana Tartaglia (who later claimed that Cardano had sworn not to reveal it, and engaged Cardano in a decade-long dispute) in the form of a poem, but del Ferro's solution predated Tartaglia's. In his exposition, he acknowledged the existence of what are now called imaginary numbers, although he did not understand their properties, described for the first time by his Italian contemporary Rafael Bombelli. In Opus novum de proportionibus he introduced the binomial coefficients and the binomial theorem. Cardano was notoriously short of money and kept himself solvent by being an accomplished gambler and chess player. His book about games of chance, Liber de ludo aleae ("Book on Games of Chance"), written around 1564, but not published until 1663, contains the first systematic treatment of probability, as well as a section on effective cheating methods. He used the game of throwing dice to understand the basic concepts of probability. He demonstrated the efficacy of defining odds as the ratio of favourable to unfavourable outcomes (which implies that the probability of an event is given by the ratio of favourable outcomes to the total number of possible outcomes). He was also aware of the multiplication rule for independent events but was not certain about what values should be multiplied. Other contributions Cardano's work with hypocycloids led him to Cardan's Movement or Cardan Gear mechanism, in which a pair of gears with the smaller being one-half the size of the larger gear is used converting rotational motion to linear motion with greater efficiency and precision than a Scotch yoke, for example. He is also credited with the invention of the Cardan suspension or gimbal. Cardano made several contributions to hydrodynamics and held that perpetual motion is impossible, except in celestial bodies. He published two encyclopedias of natural science which contain a wide variety of inventions, facts, and occult superstitions. He also introduced the Cardan grille, a cryptographic writing tool, in 1550. Significantly, in the history of education of the deaf, he said that deaf people were capable of using their minds, argued for the importance of teaching them, and was one of the first to state that deaf people could learn to read and write without learning how to speak first. He was familiar with a report by Rudolph Agricola about a deaf mute who had learned to write. Cardano's medical writings included: a commentary on Mundinus' anatomy and of Galen's medicine, alog with the treaties Delle cause, dei segni e dei luoghi delle malattie, Picciola terapeutica, Degli abusi dei medici and Delle orine, libro quattro. Cardano has been credited with the invention of the so-called Cardano's Rings, also called Chinese Rings, but it is very probable that they predate Cardano. The universal joint, sometimes called Cardan joint, was not described by Cardano. De Subtilitate (1550) As quoted from Charles Lyell's Principles of Geology: The title of a work of Cardano's, published in 1552, De Subtilitate (corresponding to what would now be called transcendental philosophy), would lead us to expect, in the chapter on minerals, many far fetched theories characteristic of that age; but when treating of petrified shells, he decided that they clearly indicated the former sojourn of the sea upon the mountains. Later years and death In 1553 Cardano traveled to Scotland to treat the Archbishop of St Andrews who suffered of a disease that had left him speechless and was thought incurable The treatment was a success and the diplomat Thomas Randolph recorded that "merry tales" about Cardano's methods were still current in Edinburgh in 1562. Cardano wrote that the Archbishop had been short of breath for ten years, and after the cure was effected by his assistant, he was paid 1,400 gold crowns. Two of Cardano's children — Giovanni Battista and Aldo Urbano — came to ignoble ends. Giovanni Battista, Cardano's eldest and favorite son was arrested in 1560 for having poisoned his wife, after he had discovered that their three children were not his. Giovanni was put to trial and, when Cardano could not pay the restitution demanded by the victim's family, was sentenced to death and beheaded. Cardano's other son Aldo Urbano was a gambler, who stole money from his father, and so Gerolamo disinherited him in 1569. Cardano moved from Pavia to Bologna, in part because he believed that the decision to execute his son was influenced by Gerolamo's battles with the academic establishment in Pavia, and his colleagues' jealousy at his scientific achievements, and also because he was beset with allegations of sexual impropriety with his students. He obtained a position as professor of medicine at the University of Bologna. Cardano was arrested by the Inquisition in 1570 after an accusation of heresy by the Inquisitor of Como, who targeted Cardano's De rerum varietate (1557). The inquisitors complained about Cardano's writings on astrology, especially his claim that self-harming religiously motivated actions of martyrs and heretics were caused by the stars. In his 1543 book De Supplemento Almanach, a commentary on the astrological work Tetrabiblos by Ptolemy, Cardano had also published a horoscope of Jesus. Cardano was imprisoned for several months and
combination lock, the gimbal consisting of three concentric rings allowing a supported compass or gyroscope to rotate freely, and the Cardan shaft with universal joints, which allows the transmission of rotary motion at various angles and is used in vehicles to this day. He made significant contributions to hypocycloids, published in De proportionibus, in 1570. The generating circles of these hypocycloids were later named Cardano circles or cardanic circles and were used for the construction of the first high-speed printing presses. Today, he is well known for his achievements in algebra. In his 1545 book Ars Magna, he made the first systematic use of negative numbers in Europe, published with attribution the solutions of other mathematicians for the cubic and quartic equations, and acknowledged the existence of imaginary numbers. Early life and education Cardano was born on the 24th of September, 1501 in Pavia, Lombardy, the illegitimate child of Fazio Cardano, a mathematically gifted jurist, lawyer, and close personal friend of Leonardo da Vinci. In his autobiography, Cardano wrote that his mother, Chiara Micheri, had taken "various abortive medicines" to terminate the pregnancy; he was "taken by violent means from my mother; I was almost dead." She was in labour for three days. Shortly before his birth, his mother had to move from Milan to Pavia to escape the Plague; her three other children died from the disease. After a depressing childhood, with frequent illnesses, including impotence, and the rough upbringing by his overbearing father, in 1520, Cardano entered the University of Pavia against the wish of his father, who wanted his son to undertake studies of law, but Girolamo felt more attracted to philosophy and science. During the Italian War of 1521–1526, however, the authorities in Pavia were forced to close the university in 1524. Cardano resumed his studies at the University of Padua, where he graduated with a doctorate in medicine in 1525. His eccentric and confrontational style did not earn him many friends and he had a difficult time finding work after his studies had ended. In 1525, Cardano repeatedly applied to the College of Physicians in Milan, but was not admitted owing to his combative reputation and illegitimate birth. However, he was consulted by many members of the College of Physicians, because of his irrefutable intelligence. Early career as a physician Cardano wanted to practice medicine in a large, rich city like Milan, but he was denied a license to practice, so he settled for the town of Saccolongo, where he practiced without a license. There, he married Lucia Banderini in 1531. Before her death in 1546, they had three children, Giovanni Battista (1534), Chiara (1537) and Aldo Urbano (1543). Cardano later wrote that those were the happiest days of his life. With the help of a few noblemen, Cardano obtained a teaching position in mathematics in Milan. Having finally received his medical license, he practiced mathematics and medicine simultaneously, treating a few influential patients in the process. Because of this, he became one of the most sought-after doctors in Milan. In fact, by 1536, he was able to quit his teaching position, although he was still interested in mathematics. His notability in the medical field was such that the aristocracy tried to lure him out of Milan. Cardano later wrote that he turned down offers from the kings of Denmark and France, and the Queen of Scotland. Mathematics Cardano was the first mathematician to make systematic use of negative numbers. He published with attribution the solution of Scipione del Ferro to the cubic equation and the solution of Cardano's student Lodovico Ferrari to the quartic equation in his 1545 book Ars Magna, an influential work on algebra. The solution to one particular case of the cubic equation (in modern notation) had been communicated to him in 1539 by Niccolò Fontana Tartaglia (who later claimed that Cardano had sworn not to reveal it, and engaged Cardano in a decade-long dispute) in the form of a poem, but del Ferro's solution predated Tartaglia's. In his exposition, he acknowledged the existence of what are now called imaginary numbers, although he did not understand their properties, described for the first time by his Italian contemporary Rafael Bombelli. In Opus novum de proportionibus he introduced the binomial coefficients and the binomial theorem. Cardano was notoriously short of money and kept himself solvent by being an accomplished gambler and chess player. His book about games of chance, Liber de ludo aleae ("Book on Games of Chance"), written around 1564, but not published until 1663, contains the first systematic treatment of probability, as well as a section on effective cheating methods. He used the game of throwing dice to understand the basic concepts of probability. He demonstrated the efficacy of defining odds as the ratio of favourable to unfavourable outcomes (which implies that the probability of an event is given by the ratio of favourable outcomes to the total number of possible outcomes). He was also aware of the multiplication rule for independent events but was not certain about what values should be multiplied. Other contributions Cardano's work with hypocycloids led him to Cardan's Movement or Cardan Gear mechanism, in which a pair of gears with the smaller being one-half the size of the larger gear is used converting rotational motion to linear motion with greater efficiency and precision than a Scotch yoke, for example. He is also credited with the invention of the Cardan suspension or gimbal. Cardano made several contributions to hydrodynamics and held that perpetual motion is impossible, except in celestial bodies. He published two encyclopedias of natural science which contain a wide variety of inventions, facts, and occult superstitions. He also introduced the Cardan grille, a cryptographic writing tool, in 1550. Significantly, in the history of education of the deaf, he said that deaf people were capable of using their minds, argued for the importance of teaching them, and was one of the first to state that deaf people could learn to read and write without learning how to speak first. He was familiar with a report by Rudolph Agricola about a deaf mute who had learned to write. Cardano's medical writings included: a commentary on Mundinus' anatomy and of Galen's medicine, alog with the treaties Delle cause, dei segni e dei luoghi delle malattie, Picciola terapeutica, Degli abusi dei medici and Delle orine, libro quattro. Cardano has been credited with the invention of the so-called Cardano's Rings, also called Chinese Rings, but it is very probable that they predate Cardano. The universal joint, sometimes called Cardan joint, was not described by Cardano. De Subtilitate (1550) As quoted from Charles Lyell's Principles of Geology: The title of a work of Cardano's, published in 1552, De Subtilitate (corresponding to what would now be called transcendental philosophy), would lead us to expect, in the chapter on minerals, many far fetched theories characteristic of that age; but when treating of petrified shells, he decided that they clearly indicated the former sojourn of the sea upon the mountains. Later years and death In 1553 Cardano traveled to Scotland to treat the Archbishop of St Andrews who suffered of a disease that had left him speechless and was thought incurable The treatment was a success and the diplomat Thomas Randolph recorded that "merry tales" about Cardano's methods were still current in Edinburgh in 1562.
the Earth's oceanic crust is made of gabbro, formed at mid-ocean ridges. Gabbro is also found as plutons associated with continental volcanism. Due to its variant nature, the term gabbro may be applied loosely to a wide range of intrusive rocks, many of which are merely "gabbroic". By rough analogy, gabbro is to basalt as granite is to rhyolite. Etymology The term "gabbro" was used in the 1760s to name a set of rock types that were found in the ophiolites of the Apennine Mountains in Italy. It was named after Gabbro, a hamlet near Rosignano Marittimo in Tuscany. Then, in 1809, the German geologist Christian Leopold von Buch used the term more restrictively in his description of these Italian ophiolitic rocks. He assigned the name "gabbro" to rocks that geologists nowadays would more strictly call "metagabbro" (metamorphosed gabbro). Petrology Gabbro is a coarse-grained (phaneritic) igneous rock that is relatively low in silica and rich in iron, magnesium, and calcium. Such rock is described as mafic. Gabbro is composed of pyroxene and calcium-rich plagioclase, with minor amounts of hornblende, olivine, and accessory minerals. When present, hornblende is typically found as a rim around augite crystals or as large grains enclosing smaller grains of other minerals (poikilitic grains). Geologists use rigorous quantitative definitions to classify coarse-grained igneous rocks, based on the mineral content of the rock. For igneous rocks composed mostly of silicate minerals, and in which at least 10% of the mineral content consists of quartz, feldspar, or feldspathoid minerals, classification begins with the QAPF diagram. The relative abundances of quartz (Q), alkali feldspar (A), plagioclase (P), and feldspathoid (F), are used to plot the position of the rock on the diagram. The rock will be classified as either a gabbroid or a dioritoid if quartz makes up less than 20% of the QAPF content, feldspathoid makes up less than 10% of the QAPF content, and plagioclase makes up more than 65% of the total feldspar content. Gabbroids are distinguished from dioritoids by an anorthite (calcium plagioclase) fraction ot their total plagioclase of greater than 50%. The composition of the plagioclase cannot easily be determined in the field, and then a preliminary distinction is made between dioritoid and gabbroid based on the content of mafic minerals. A gabbroid typically has over 35% mafic minerals, mostly pyroxenes or olivine, while a dioritoid typically has less than 35% mafic minerals, which typically includes hornblende. Gabbroids form a family of rock types similar to gabbro, such as monzogabbro, quartz gabbro, or nepheline-bearing gabbro. Gabbro itself is more narrowly defined, as a gabbroid in which quartz makes up less than 5% of the QAPF content, feldspathoids are not present, and plagioclase makes up more than 90% of the feldspar content. Gabbro is distinct from anorthosite, which contains less than 10% mafic minerals. Coarse-grained gabbroids are produced by slow crystallization of magma having the same composition as the lava that solidifies rapidly to form fine-grained (aphanitic) basalt. Subtypes There are a number of subtypes of gabbro recognized by geologists. Gabbros can be broadly divided into leucogabbros, with less than 35% mafic mineral content; mesogabbros, with 35% to 65% mafic mineral content; and melagabbros with more than 65% mafic mineral content. A rock with over 90% mafic mineral content will be classified instead as an ultramafic rock. A gabbroic rock with less than 10%
gabbroid or a dioritoid if quartz makes up less than 20% of the QAPF content, feldspathoid makes up less than 10% of the QAPF content, and plagioclase makes up more than 65% of the total feldspar content. Gabbroids are distinguished from dioritoids by an anorthite (calcium plagioclase) fraction ot their total plagioclase of greater than 50%. The composition of the plagioclase cannot easily be determined in the field, and then a preliminary distinction is made between dioritoid and gabbroid based on the content of mafic minerals. A gabbroid typically has over 35% mafic minerals, mostly pyroxenes or olivine, while a dioritoid typically has less than 35% mafic minerals, which typically includes hornblende. Gabbroids form a family of rock types similar to gabbro, such as monzogabbro, quartz gabbro, or nepheline-bearing gabbro. Gabbro itself is more narrowly defined, as a gabbroid in which quartz makes up less than 5% of the QAPF content, feldspathoids are not present, and plagioclase makes up more than 90% of the feldspar content. Gabbro is distinct from anorthosite, which contains less than 10% mafic minerals. Coarse-grained gabbroids are produced by slow crystallization of magma having the same composition as the lava that solidifies rapidly to form fine-grained (aphanitic) basalt. Subtypes There are a number of subtypes of gabbro recognized by geologists. Gabbros can be broadly divided into leucogabbros, with less than 35% mafic mineral content; mesogabbros, with 35% to 65% mafic mineral content; and melagabbros with more than 65% mafic mineral content. A rock with over 90% mafic mineral content will be classified instead as an ultramafic rock. A gabbroic rock with less than 10% mafic mineral content will be classified as an anorthosite. A more detailed classification is based on the relative percentages of plagioclase, pyroxene, hornblende, and olivine. The end members are: Normal gabbro (gabbro sensu stricto) is composed almost entirely of plagioclase and clinopyroxene (typically augite), with less than 5% each of hornblende, olivine, or orthopyroxene. Norite is composed almost entirely of plagioclase and orthopyroxene, with less than 5% each of hornblende, clinopyroxene, or olivine. Troctolite is composed almost entirely of plagioclase and olivine, with less than 5% each of pyroxene or hornblende. Hornblende gabbro is composed almost entirely of plagioclase and hornblende, with less than 5% each of pyroxene or olivine. Gabbros intermediate between these compositions are given names
Mort Werner at NBC, this time downplaying the science fiction elements and highlighting the links to Gunsmoke and Wagon Train. The network funded three story ideas, and selected "The Menagerie", which was later known as "The Cage", to be made into a pilot. (The other two later became episodes of the series.) While most of the money for the pilot came from NBC, the remaining costs were covered by Desilu. Roddenberry hired Dorothy Fontana, better known as D. C. Fontana, as his assistant. They had worked together previously on The Lieutenant, and she had eight script credits to her name. Roddenberry and Barrett had begun an affair by the early days of Star Trek, and he specifically wrote the part of the character Number One in the pilot with her in mind; no other actresses were considered for the role. Barrett suggested Nimoy for the part of Spock. He had worked with both Roddenberry and Barrett on The Lieutenant, and once Roddenberry remembered the thin features of the actor, he did not consider anyone else for the part. The remaining cast came together; filming began on November 27, 1964, and was completed on December 11. After post-production, the episode was shown to NBC executives and it was rumored that Star Trek would be broadcast at 8:00 pm on Friday nights. The episode failed to impress test audiences, and after the executives became hesitant, Katz offered to make a second pilot. On March 26, 1965, NBC ordered a new episode. Roddenberry developed several possible scripts, including "Mudd's Women", "The Omega Glory", and with the help of Samuel A. Peeples, "Where No Man Has Gone Before". NBC selected the last one, leading to later rumors that Peeples created Star Trek, something he always denied. Roddenberry was determined to make the crew racially diverse, which impressed actor George Takei when he came for his audition. The episode went into production on July 15, 1965, and was completed at around half the cost of "The Cage", since the sets were already built. Roddenberry worked on several projects for the rest of the year. In December, he decided to write lyrics to the Star Trek theme; this angered the theme's composer, Alexander Courage, as it meant that royalties would be split between them. In February 1966, NBC informed Desilu that they were buying Star Trek and that it would be included in the fall 1966 television schedule. On May 24, the first episode of the Star Trek series went into production; Desilu was contracted to deliver 13 episodes. Five days before the first broadcast, Roddenberry appeared at the 24th World Science Fiction Convention and previewed "Where No Man Has Gone Before". After the episode was shown, he received a standing ovation. The first episode to air on NBC was "The Man Trap", on September 8, 1966, at 8:00 pm. Roddenberry was immediately concerned about the series' low ratings and wrote to Harlan Ellison to ask if he could use his name in letters to the network to save the show. Not wanting to lose a potential source of income, Ellison agreed and also sought the help of other writers who also wanted to avoid losing potential income. Roddenberry corresponded with science fiction writer Isaac Asimov about how to address the issue of Spock's growing popularity and the possibility that his character would overshadow Kirk. Asimov suggested having Kirk and Spock work together as a team "to get people to think of Kirk when they think of Spock." The series was renewed by NBC, first for a full season's order, and then for a second season. An article in the Chicago Tribune quoted studio executives as stating that the letter-writing campaign had been wasted because they had already been planning to renew Star Trek. Roddenberry often rewrote submitted scripts, although he did not always take credit for these. Roddenberry and Ellison fell out over "The City on the Edge of Forever" after Roddenberry rewrote Ellison's script to make it both financially feasible to film and usable for the series context. Even his close friend Don Ingalls had his script for "A Private Little War" altered drastically, and as a result, Ingalls declared that he would only be credited under the pseudonym "Jud Crucis" (a play on "Jesus Christ"), claiming he had been crucified by the process. Roddenberry's work rewriting "The Menagerie", based on footage originally shot for "The Cage", resulted in a Writers Guild arbitration board hearing. The Guild ruled in his favor over John D. F. Black, the complainant. The script won a Hugo Award, but the awards board neglected to inform Roddenberry, who found out through correspondence with Asimov. As the second season was drawing to a close, Roddenberry once again faced the threat of cancellation. He enlisted the help of Asimov, and even encouraged a student-led protest march on NBC. On January 8, 1968, a thousand students from 20 different schools across the country marched on the studio. Roddenberry began to communicate with Star Trek fan Bjo Trimble, who led a fan writing campaign to save the series. Trimble later noted that this campaign of writing to fans who had written to Desilu about the show, urging them to write NBC, had created an organized Star Trek fandom. The network received around 6,000 letters a week from fans petitioning it to renew the series. On March 1, 1968, NBC announced on air, at the end of "The Omega Glory", that Star Trek would return for a third season. The network had initially planned to place Star Trek in the 7:30 pm Monday-night time slot freed up by The Man from U.N.C.L.E. completing its run. Instead, the enraged George Schlatter forced the network to insert Rowan and Martin's Laugh-In into the slot, and Roddenberry's series was moved to 10:00 pm on Fridays. Realizing the show could not survive in that time slot and burned out from arguments with the network, Roddenberry resigned from the day-to-day running of Star Trek, although he continued to be credited as executive producer. Roddenberry cooperated with Stephen Edward Poe, writing as Stephen Whitfield, on the 1968 nonfiction book The Making of Star Trek for Ballantine Books, splitting the royalties evenly. Roddenberry explained to Whitfield: "I had to get some money somewhere. I'm sure not going to get it from the profits of Star Trek." Herbert Solow and Robert H. Justman observed that Whitfield never regretted his 50-50 deal with Roddenberry, since it gave him "the opportunity to become the first chronicler of television's successful unsuccessful series." Whitfield had previously been the national advertising and promotion director for model makers Aluminum Model Toys, better known as "AMT", which then held the Star Trek license, and moved to run Lincoln Enterprises, Roddenberry's company set up to sell the series' merchandise. Having stepped aside from the majority of his Star Trek duties, Roddenberry sought instead to create a film based on Asimov's "I, Robot" and also began work on a Tarzan script for National General Pictures. After initially requesting a budget of $2 million and being refused, Roddenberry made cuts to reduce costs to $1.2 million. When he learned they were being offered only $700,000 to shoot the film, which by now was being called a TV movie, he canceled the deal. Meanwhile, NBC announced Star Trek cancellation in February 1969. A similar but much smaller letter-writing campaign followed news of the cancellation. Because of the manner in which the series was sold to NBC, it left the production company $4.7 million in debt. The last episode of Star Trek aired 47 days before Neil Armstrong stepped onto the moon as part of the Apollo 11 mission, and Roddenberry declared that he would never write for television again. 1970s projects Following the cancellation of Star Trek, Roddenberry felt typecast as a producer of science fiction, despite his background in Westerns and police stories. He later described the period, saying, "My dreams were going downhill because I could not get work after the original series was cancelled." He felt that he was "perceived as the guy who made the show that was an expensive flop." Roddenberry had sold his interest in Star Trek to Paramount Studios in return for a third of the ongoing profits. However, this did not result in any quick financial gain; the studio was still claiming that the series was $500,000 in the red in 1982. He wrote and produced Pretty Maids All in a Row (1971), a sexploitation film directed by Roger Vadim, for MGM. The cast included Rock Hudson, Angie Dickinson, Telly Savalas, and Roddy McDowall alongside Star Trek regular James Doohan, and William J. Campbell, who had appeared as a guest in two Star Trek episodes, "The Squire Of Gothos" and "The Trouble With Tribbles". Variety was unimpressed: "Whatever substance was in the original [novel by Francis Pollini] or screen concept has been plowed under, leaving only superficial, one-joke results." Herbert Solow had given Roddenberry the work as a favor, paying him $100,000 for the script. Faced with a mortgage and a $2,000-per-month alimony obligation as a result of his 1969 divorce, he retained a booking agent (with the assistance of longtime friend Arthur C. Clarke) and began to support himself largely by giving college lectures and appearances at science fiction conventions. These presentations included screenings of "The Cage" and blooper reels from the production of Star Trek. The conventions began to build the fan support to bring back Star Trek, leading TV Guide to describe it, in 1972, as "the show that won't die." In 1972 and 1973, Roddenberry made a comeback to science fiction, selling ideas for four new series to a variety of networks. Roddenberry's Genesis II was set in a postapocalyptic Earth. He had hoped to recreate the success of Star Trek without "doing another space-hopping show." He created a 45-page writing guide, and proposed several story ideas based on the concept that pockets of civilisation had regressed to past eras or changed altogether. The pilot aired as a TV movie in March 1973, setting new records for the Thursday Night Movie of the Week. Roddenberry was asked to produce four more scripts for episodes, but before production could begin again, CBS aired the film Planet of the Apes. It was watched by an even greater audience than Genesis II. CBS scrapped Genesis II and replaced it with a television series based on the film; the results were disastrous from a ratings standpoint, and Planet of the Apes was canceled after 14 episodes. The Questor Tapes project reunited him with his Star Trek collaborator, Gene L. Coon, who was in failing health at the time. NBC ordered 16 episodes, and tentatively scheduled the series to follow The Rockford Files on Friday nights; the pilot launched on January 23, 1974, to positive critical response, but Roddenberry balked at the substantial changes requested by the network and left the project, leading to its immediate cancellation. During 1974, Roddenberry reworked the Genesis II concept as a second pilot, Planet Earth, for rival network ABC, with similar less-than-successful results. The pilot was aired on April 23, 1974. While Roddenberry wanted to create something that could feasibly exist in the future, the network wanted stereotypical science-fiction women and were unhappy when that was not delivered. Roddenberry was not involved in a third reworking of the material by ABC that produced Strange New World. He began developing MAGNA I, an underwater science-fiction series, for 20th Century Fox Television. By the time the work on the script was complete, though, those who had approved the project had left Fox and their replacements were not interested in the project. A similar fate was faced by Tribunes, a science-fiction police series, which Roddenberry attempted to get off the ground between 1973 and 1977. He gave up after four years; the series never even reached the pilot stage. In 1974, Roddenberry was paid $25,000 by John Whitmore to write a script called The Nine. Intended to be about Andrija Puharich's parapsychological research, it evolved into a frank exploration of his experiences attempting to earn a living attending science fiction conventions. At the time, he was again close to losing his house because of a lack of income. The pilot Spectre, Roddenberry's 1977 attempt to create an occult detective duo similar to Sherlock Holmes and Dr. Watson, was released as a television movie within the United States and received a limited theatrical release in the United Kingdom. Star Trek revival Lacking funds in the early 1970s, Roddenberry was unable to buy the full rights to Star Trek for $150,000 from Paramount. Lou Scheimer approached Paramount in 1973 about creating an animated Star Trek series. Credited as "executive consultant" and paid $2,500 per episode, Roddenberry was granted full creative control of Star Trek: The Animated Series. Although he read all the scripts and "sometimes [added] touches of his own", he relinquished most of his authority to de facto showrunner/associate producer D. C. Fontana. Roddenberry had some difficulties with the cast. To save money, he sought not to hire George Takei and Nichelle Nichols. He neglected to inform Leonard Nimoy of this and instead, in an effort to get him to sign on, told him that he was the only member of the main cast not returning. After Nimoy discovered the deception, he demanded that Takei and Nichols play Sulu and Uhura when their characters appeared on screen; Roddenberry acquiesced. He had been promised five full seasons of the new show, but ultimately, only one and a half were produced. However, the groundswell of vociferous fan support (6,000 attended the second New York Star Trek convention in 1973 and 15,000 attended in 1974, eclipsing the 4,500 attendees at the 32nd World Science Fiction Convention in 1974) led Paramount to hire Roddenberry to create and produce a feature film based on the franchise in May 1975. The studio was unimpressed with the ideas being put forward; John D. F. Black's opinion was that their ideas were never "big enough" for the studio, even when one scenario involved the end of the universe. At the time, several ideas were partly developed including Star Trek: The God Thing and Star Trek: Planet of the Titans. Following the commercial reception of Star Wars, in June 1977, Paramount instead green-lit a new series set in the franchise titled Star Trek: Phase II, with Roddenberry and most of the original cast, except Nimoy, set to reprise their respective roles. It was to be the anchor show of a proposed Paramount-owned "fourth network", but plans for the network were scrapped and the project was reworked into a feature film. The result, Star Trek: The Motion Picture, troubled the studio because of budgetary concerns, but was a box-office hit. Adjusted for inflation, it was the third-highest grossing Star Trek movie, with the 2009 film coming in first and the 2013 film second. In 1980, Roddenberry submitted a treatment for a proposed sequel about the crew preventing the alien Klingons from thwarting the assassination of John F. Kennedy. Mindful of the tumult that suffused the production of Star Trek: The Motion Picture, Paramount rejected the proposal. After he was replaced on the project by television producer Harve Bennett, Roddenberry was named "executive consultant" for the project, a position he retained for all subsequent Star Trek franchise films produced during his lifetime. Under this arrangement, he was compensated with a producer's fee and a percentage of the net profits of the film in exchange for proffering non-binding story notes and corresponding with the fan community; much to his ongoing chagrin, these memos were largely disregarded by Bennett and other producers. An initial script for Star Trek II: The Wrath of Khan was circulated to eight people; Bennett attributed the subsequent plot leak of the death of Spock to Roddenberry. About 20% of the plot was based on Roddenberry's ideas. Roddenberry was involved in creating the television series Star Trek: The Next Generation, which premiered with "Encounter at Farpoint" on September 28, 1987. He was given a bonus of $1 million in addition to an ongoing salary to produce the series, and celebrated by purchasing a new Rolls-Royce for $100,000. The arrangement did not entitle him to be executive producer of the series. However, Paramount was already concerned about the original cast not returning, and
Science Fiction Convention and previewed "Where No Man Has Gone Before". After the episode was shown, he received a standing ovation. The first episode to air on NBC was "The Man Trap", on September 8, 1966, at 8:00 pm. Roddenberry was immediately concerned about the series' low ratings and wrote to Harlan Ellison to ask if he could use his name in letters to the network to save the show. Not wanting to lose a potential source of income, Ellison agreed and also sought the help of other writers who also wanted to avoid losing potential income. Roddenberry corresponded with science fiction writer Isaac Asimov about how to address the issue of Spock's growing popularity and the possibility that his character would overshadow Kirk. Asimov suggested having Kirk and Spock work together as a team "to get people to think of Kirk when they think of Spock." The series was renewed by NBC, first for a full season's order, and then for a second season. An article in the Chicago Tribune quoted studio executives as stating that the letter-writing campaign had been wasted because they had already been planning to renew Star Trek. Roddenberry often rewrote submitted scripts, although he did not always take credit for these. Roddenberry and Ellison fell out over "The City on the Edge of Forever" after Roddenberry rewrote Ellison's script to make it both financially feasible to film and usable for the series context. Even his close friend Don Ingalls had his script for "A Private Little War" altered drastically, and as a result, Ingalls declared that he would only be credited under the pseudonym "Jud Crucis" (a play on "Jesus Christ"), claiming he had been crucified by the process. Roddenberry's work rewriting "The Menagerie", based on footage originally shot for "The Cage", resulted in a Writers Guild arbitration board hearing. The Guild ruled in his favor over John D. F. Black, the complainant. The script won a Hugo Award, but the awards board neglected to inform Roddenberry, who found out through correspondence with Asimov. As the second season was drawing to a close, Roddenberry once again faced the threat of cancellation. He enlisted the help of Asimov, and even encouraged a student-led protest march on NBC. On January 8, 1968, a thousand students from 20 different schools across the country marched on the studio. Roddenberry began to communicate with Star Trek fan Bjo Trimble, who led a fan writing campaign to save the series. Trimble later noted that this campaign of writing to fans who had written to Desilu about the show, urging them to write NBC, had created an organized Star Trek fandom. The network received around 6,000 letters a week from fans petitioning it to renew the series. On March 1, 1968, NBC announced on air, at the end of "The Omega Glory", that Star Trek would return for a third season. The network had initially planned to place Star Trek in the 7:30 pm Monday-night time slot freed up by The Man from U.N.C.L.E. completing its run. Instead, the enraged George Schlatter forced the network to insert Rowan and Martin's Laugh-In into the slot, and Roddenberry's series was moved to 10:00 pm on Fridays. Realizing the show could not survive in that time slot and burned out from arguments with the network, Roddenberry resigned from the day-to-day running of Star Trek, although he continued to be credited as executive producer. Roddenberry cooperated with Stephen Edward Poe, writing as Stephen Whitfield, on the 1968 nonfiction book The Making of Star Trek for Ballantine Books, splitting the royalties evenly. Roddenberry explained to Whitfield: "I had to get some money somewhere. I'm sure not going to get it from the profits of Star Trek." Herbert Solow and Robert H. Justman observed that Whitfield never regretted his 50-50 deal with Roddenberry, since it gave him "the opportunity to become the first chronicler of television's successful unsuccessful series." Whitfield had previously been the national advertising and promotion director for model makers Aluminum Model Toys, better known as "AMT", which then held the Star Trek license, and moved to run Lincoln Enterprises, Roddenberry's company set up to sell the series' merchandise. Having stepped aside from the majority of his Star Trek duties, Roddenberry sought instead to create a film based on Asimov's "I, Robot" and also began work on a Tarzan script for National General Pictures. After initially requesting a budget of $2 million and being refused, Roddenberry made cuts to reduce costs to $1.2 million. When he learned they were being offered only $700,000 to shoot the film, which by now was being called a TV movie, he canceled the deal. Meanwhile, NBC announced Star Trek cancellation in February 1969. A similar but much smaller letter-writing campaign followed news of the cancellation. Because of the manner in which the series was sold to NBC, it left the production company $4.7 million in debt. The last episode of Star Trek aired 47 days before Neil Armstrong stepped onto the moon as part of the Apollo 11 mission, and Roddenberry declared that he would never write for television again. 1970s projects Following the cancellation of Star Trek, Roddenberry felt typecast as a producer of science fiction, despite his background in Westerns and police stories. He later described the period, saying, "My dreams were going downhill because I could not get work after the original series was cancelled." He felt that he was "perceived as the guy who made the show that was an expensive flop." Roddenberry had sold his interest in Star Trek to Paramount Studios in return for a third of the ongoing profits. However, this did not result in any quick financial gain; the studio was still claiming that the series was $500,000 in the red in 1982. He wrote and produced Pretty Maids All in a Row (1971), a sexploitation film directed by Roger Vadim, for MGM. The cast included Rock Hudson, Angie Dickinson, Telly Savalas, and Roddy McDowall alongside Star Trek regular James Doohan, and William J. Campbell, who had appeared as a guest in two Star Trek episodes, "The Squire Of Gothos" and "The Trouble With Tribbles". Variety was unimpressed: "Whatever substance was in the original [novel by Francis Pollini] or screen concept has been plowed under, leaving only superficial, one-joke results." Herbert Solow had given Roddenberry the work as a favor, paying him $100,000 for the script. Faced with a mortgage and a $2,000-per-month alimony obligation as a result of his 1969 divorce, he retained a booking agent (with the assistance of longtime friend Arthur C. Clarke) and began to support himself largely by giving college lectures and appearances at science fiction conventions. These presentations included screenings of "The Cage" and blooper reels from the production of Star Trek. The conventions began to build the fan support to bring back Star Trek, leading TV Guide to describe it, in 1972, as "the show that won't die." In 1972 and 1973, Roddenberry made a comeback to science fiction, selling ideas for four new series to a variety of networks. Roddenberry's Genesis II was set in a postapocalyptic Earth. He had hoped to recreate the success of Star Trek without "doing another space-hopping show." He created a 45-page writing guide, and proposed several story ideas based on the concept that pockets of civilisation had regressed to past eras or changed altogether. The pilot aired as a TV movie in March 1973, setting new records for the Thursday Night Movie of the Week. Roddenberry was asked to produce four more scripts for episodes, but before production could begin again, CBS aired the film Planet of the Apes. It was watched by an even greater audience than Genesis II. CBS scrapped Genesis II and replaced it with a television series based on the film; the results were disastrous from a ratings standpoint, and Planet of the Apes was canceled after 14 episodes. The Questor Tapes project reunited him with his Star Trek collaborator, Gene L. Coon, who was in failing health at the time. NBC ordered 16 episodes, and tentatively scheduled the series to follow The Rockford Files on Friday nights; the pilot launched on January 23, 1974, to positive critical response, but Roddenberry balked at the substantial changes requested by the network and left the project, leading to its immediate cancellation. During 1974, Roddenberry reworked the Genesis II concept as a second pilot, Planet Earth, for rival network ABC, with similar less-than-successful results. The pilot was aired on April 23, 1974. While Roddenberry wanted to create something that could feasibly exist in the future, the network wanted stereotypical science-fiction women and were unhappy when that was not delivered. Roddenberry was not involved in a third reworking of the material by ABC that produced Strange New World. He began developing MAGNA I, an underwater science-fiction series, for 20th Century Fox Television. By the time the work on the script was complete, though, those who had approved the project had left Fox and their replacements were not interested in the project. A similar fate was faced by Tribunes, a science-fiction police series, which Roddenberry attempted to get off the ground between 1973 and 1977. He gave up after four years; the series never even reached the pilot stage. In 1974, Roddenberry was paid $25,000 by John Whitmore to write a script called The Nine. Intended to be about Andrija Puharich's parapsychological research, it evolved into a frank exploration of his experiences attempting to earn a living attending science fiction conventions. At the time, he was again close to losing his house because of a lack of income. The pilot Spectre, Roddenberry's 1977 attempt to create an occult detective duo similar to Sherlock Holmes and Dr. Watson, was released as a television movie within the United States and received a limited theatrical release in the United Kingdom. Star Trek revival Lacking funds in the early 1970s, Roddenberry was unable to buy the full rights to Star Trek for $150,000 from Paramount. Lou Scheimer approached Paramount in 1973 about creating an animated Star Trek series. Credited as "executive consultant" and paid $2,500 per episode, Roddenberry was granted full creative control of Star Trek: The Animated Series. Although he read all the scripts and "sometimes [added] touches of his own", he relinquished most of his authority to de facto showrunner/associate producer D. C. Fontana. Roddenberry had some difficulties with the cast. To save money, he sought not to hire George Takei and Nichelle Nichols. He neglected to inform Leonard Nimoy of this and instead, in an effort to get him to sign on, told him that he was the only member of the main cast not returning. After Nimoy discovered the deception, he demanded that Takei and Nichols play Sulu and Uhura when their characters appeared on screen; Roddenberry acquiesced. He had been promised five full seasons of the new show, but ultimately, only one and a half were produced. However, the groundswell of vociferous fan support (6,000 attended the second New York Star Trek convention in 1973 and 15,000 attended in 1974, eclipsing the 4,500 attendees at the 32nd World Science Fiction Convention in 1974) led Paramount to hire Roddenberry to create and produce a feature film based on the franchise in May 1975. The studio was unimpressed with the ideas being put forward; John D. F. Black's opinion was that their ideas were never "big enough" for the studio, even when one scenario involved the end of the universe. At the time, several ideas were partly developed including Star Trek: The God Thing and Star Trek: Planet of the Titans. Following the commercial reception of Star Wars, in June 1977, Paramount instead green-lit a new series set in the franchise titled Star Trek: Phase II, with Roddenberry and most of the original cast, except Nimoy, set to reprise their respective roles. It was to be the anchor show of a proposed Paramount-owned "fourth network", but plans for the network were scrapped and the project was reworked into a feature film. The result, Star Trek: The Motion Picture, troubled the studio because of budgetary concerns, but was a box-office hit. Adjusted for inflation, it was the third-highest grossing Star Trek movie, with the 2009 film coming in first and the 2013 film second. In 1980, Roddenberry submitted a treatment for a proposed sequel about the crew preventing the alien Klingons from thwarting the assassination of John F. Kennedy. Mindful of the tumult that suffused the production of Star Trek: The Motion Picture, Paramount rejected the proposal. After he was replaced on the project by television producer Harve Bennett, Roddenberry was named "executive consultant" for the project, a position he retained for all subsequent Star Trek franchise films produced during his lifetime. Under this arrangement, he was compensated with a producer's fee and a percentage of the net profits of the film in exchange for proffering non-binding story notes and corresponding with the fan community; much to his ongoing chagrin, these memos were largely disregarded by Bennett and other producers. An initial script for Star Trek II: The Wrath of Khan was circulated to eight people; Bennett attributed the subsequent plot leak of the death of Spock to Roddenberry. About 20% of the plot was based on Roddenberry's ideas. Roddenberry was involved in creating the television series Star Trek: The Next Generation, which premiered with "Encounter at Farpoint" on September 28, 1987. He was given a bonus of $1 million in addition to an ongoing salary to produce the series, and celebrated by purchasing a new Rolls-Royce for $100,000. The arrangement did not entitle him to be executive producer of the series. However, Paramount was already concerned about the original cast not returning, and fearing fan reaction if Roddenberry was not involved, agreed to his demand for control of the show. Roddenberry rewrote the series bible from an original version by David Gerrold, who had previously written The Original Series episode "The Trouble with Tribbles", and The Animated Series follow-up, "More Tribbles, More Troubles". According to producer Rick Berman, Roddenberry's involvement in The Next Generation "diminished greatly" after the first season, but the nature of his increasingly peripheral role was not disclosed because of the value of his name to fans. While Berman said that Roddenberry had "all but stopped writing and rewriting" by the end of the third season, his final writing credit on the show (a co-teleplay credit) actually occurred considerably earlier, appearing on "Datalore", the 13th episode of the first season. Although commercially successful from its inception, the series was initially marred by Writers Guild of America grievances from Fontana and Gerrold, both of whom left the series under acrimonious circumstances; frequent turnover among the writing staff (24 staff writers left the show during its first three seasons, triple the average attrition rate for such series); and allegations that longtime Roddenberry attorney Leonard Maizlish had become the producer's "point man and proxy", ghostwriting memos, sitting in on meetings, and contributing to scripts despite not being on staff. Writer Tracy Tormé described the first few seasons of The Next Generation under Roddenberry as an "insane asylum". In 1990, Nicholas Meyer was brought in to direct the sixth film in the series: Star Trek VI: The Undiscovered Country. Creatively, Meyer clashed with Roddenberry, who felt that having the Enterprise crew hold prejudices against the Klingons did not fit with his view of the universe. Meyer described a meeting with Roddenberry he later regretted, saying:His guys were lined up on one side of the room, and my guys were lined up on the other side of the room, and this was not a meeting in which I felt I'd behaved very well, very diplomatically. I came out of it feeling not very good, and I've not felt good about it ever since. He was not well, and maybe there were more tactful ways of dealing with it, because at the end of the day, I was going to go out and make the movie. I didn't have to take him on. Not my finest hour. In Joel Engel's biography, Gene Roddenberry: The Myth and the Man Behind Star Trek, he states that Roddenberry watched The Undiscovered Country alongside the producers of the film at a private screening two days before his death, and told them they had done a "good job". In contrast, Nimoy and Shatner's memoirs report that after the screening, Roddenberry called his lawyer and demanded a quarter of the scenes be cut; the producers refused. In addition to his film and television work, Roddenberry wrote the novelization of Star Trek: The Motion Picture. Although it has been incorrectly attributed to several other authors (most notably Alan Dean Foster), it was the first in a series of hundreds of Star Trek-based novels to be published by the Pocket Books imprint of Simon & Schuster, whose parent company also owned Paramount Pictures Corporation. Previously, Roddenberry worked intermittently on The God Thing, a proposed novel based upon his rejected 1975 screenplay for a proposed low-budget ($3 to $5 million) Star Trek film preceding the development of Phase II throughout 1976. Attempts to complete the project by Walter Koenig, Susan Sackett, Fred Bronson, and Michael Jan Friedman have proven to be unfeasible for a variety of legal and structural reasons. Personal life While at Los Angeles City College, Roddenberry began dating Eileen-Anita Rexroat. They became engaged before Roddenberry left Los Angeles during his military service, and married in June 1942 at the chapel at Kelly Field. They had two children together, Darleen Anita and Dawn Allison. During his time in the LAPD, Roddenberry was known to have had affairs with secretarial staff. Before his work on Star Trek, he began relationships with both Nichelle Nichols and Majel Barrett. Nichols wrote about their relationship in her autobiography Beyond Uhura only after Roddenberry's death. At the time, Roddenberry wanted to remain in an open relationship with both women, but Nichols, recognizing Barrett's devotion to him, ended the affair as she did not want to be "the other woman to the other woman". Barrett and he had an apartment together by the opening weeks of Star Trek. He had planned to divorce Eileen after the first season of the show, but when the show was renewed, he delayed doing so, fearing that he would not have enough time to deal with both the divorce and Star Trek. He moved out of the family home on August 9, 1968, two weeks after the marriage of his daughter Darleen. In 1969, while scouting locations in Japan for MGM for Pretty Maids All in a Row, he proposed to Barrett by telephone. They were married in a Shinto ceremony, as Roddenberry had considered it "sacrilegious" to use an American minister in Japan. Roddenberry and Barrett had a son together, Eugene Jr., commonly and professionally known as Rod Roddenberry, in February 1974. From 1975 until his death, Roddenberry maintained an extramarital relationship with his executive assistant, Susan Sackett. Religious views Roddenberry was raised a Southern Baptist; however, as an adult, he rejected religion, and considered himself a humanist. He began questioning religion around the age of 14, and came to the conclusion that it was "nonsense". As a child, he served in the choir at his local church, but often substituted lyrics as he sang hymns. Early in his writing career, he received an award from the American Baptist Convention for "skillfully writing Christian truth and the application of Christian principles into commercial, dramatic TV scripts". For several years, he corresponded with John M. Gunn of the National Council of Churches regarding the application of Christian teachings in television series. However, Gunn stopped replying after Roddenberry wrote in a letter: "But you must understand that I am a complete pagan, and consume enormous amounts of bread, having found the Word more spice than nourishment, so I am interested in a statement couched in dollars and cents of what this means to the Roddenberry treasury." Roddenberry said of Christianity, "How can I take seriously a God-image that requires that I prostrate myself every seven days and praise it? That sounds to me like a very insecure personality." At one point, he worked a similar opinion, which was to have been stated by a Vulcan, into the plot for Star Trek: The God Thing. Before his death, Roddenberry became close friends with philosopher Charles Musès, who said that Roddenberry's views were "a far cry from atheism". Roddenberry explained his position thus: "It's not true that I don't believe in God. I believe in a kind of God. It's just not other people's God. I reject religion. I accept the notion of God." He had an ongoing interest in other people's experiences with religion, and called Catholicism "a very beautiful religion. An art form." However, he said that he dismissed all organized religions, saying that for the most part, they acted like a "substitute brain... and a very malfunctioning one". Roddenberry was also critical of how the public looked at certain religions, noting that when the King David Hotel bombing took place in 1946, the American public accepted it as the action of freedom fighters, whereas a car bombing by a Muslim in Beirut is condemned as a terrorist act. While he agreed that both parties were wrong in their use of violence, he said that the actions of both were undertaken because of their strong religious beliefs. According to Ronald D. Moore, Roddenberry
to her sister Debra Zane, the casting director for Galaxy Quest. Long said he was nervous auditioning as an unknown actor at the time, competing against Kieran Culkin, Eddie Kaye Thomas and Tom Everett Scott. Parisot had given Long a copy of Trekkies, a film about the Star Trek fandom, to help prepare for the character. Long based his character on a combination of Philip Seymour Hoffman's Scotty J. from Boogie Nights and the Comic Book Guy from The Simpsons. Paul Rudd auditioned for a role. One of the first "Thermians" to audition was Enrico Colantoni. Colantoni loved the script and spent time before his audition developing the behavior he thought the Thermians should have. Parisot said that at the end of Colantoni's read, the actor offered a possible voice for the Thermians. Parisot immediately loved the voice and used it to establish the nature of the Thermians for the rest of the casting process. Colantoni led how the Thermians would act, which he called "happy Jehovah's Witnesses" taking everything in with "love and acceptance". Other actors cast as Thermians included Jed Rees and Rainn Wilson (his feature-film debut). According to Debra Zane, they had "a difficult time finding an actress to play a Thermian. Ultimately, Zane was so impressed with Missi Pyle's audition that she sent the casting tape directly to Parisot, with a note stating "If this is not Laliari, I will resign from the CSA." Steven Spielberg, also impressed by Pyle, asked for Laliari's role to be expanded, which developed into the romance with Kwan. Jennifer Coolidge was the second choice for the role. Actors cast as Thermians went to "alien school" to learn how to move and talk, since they were "basically giant calamari hiding in human shape", according to Parisot. The walk was inspired by how the marionettes were articulated in the series Fireball XL5. Other idiosyncrasies were developed by the actors during this training, and several of their lines came out of improvisations. Wilson's role as Lahnk was to have been larger in the film, but the actor was double-booked for an NBC pilot in New York City. He received a crash course on how to act like a Thermian from Colantoni, Rees, and Pyle, but still was nervous around the A-list actors leading the cast. Wilson said of a deleted scene involving Lahnk, released with the film's home media, was wisely cut given how nervous he was, flubbing his lines several times. Filming Linda DeScenna, production designer of the film, was interested in the project because it would not have the same aesthetics as other 1990s science fiction films, and "it didn't have to be real, hi-tech and vacuformed". DeScenna drew inspiration for the sets not only from Star Trek, but also from Buck Rogers, Battlestar Galactica, and Lost in Space. DeScenna had hoped to incorporate more essence of the reuse of props and set elements from these shows within the film, but the film didn't provide enough space for this. She used color theming to help distinguish the key elements of the film, with steam blue for the Thermians and the Protector, while Saris and his species were made to be a green tone that stood out against that. The design of the Thermian station was influenced by the works of artist Roger Dean, especially his cover art for the Yes live album Yessongs (1973). The bulk of the film was shot in studios in Los Angeles. Scenes of the alien planet were filmed at Goblin Valley State Park in Utah. At the time, access to the park was partly by dirt road; fees paid by the production company were used to upgrade the entire access road to asphalt pavement. Other locations used in the film included the Stahl House as Nesmith's home, and the Hollywood Palladium for the fan conventions. According to Weaver, Allen hectored her to sign a piece of the Nostromo, the spaceship from Alien, in which she had starred; she ultimately did, writing "Stolen by Tim Allen; Love, Sigourney Weaver", which she claims upset him greatly. During the period of filming, the entire cast attended a 20th-anniversary screening of Alien. After filming wrapped, Weaver kept the wig she wore for the role. The film's visual effects were created by Industrial Light & Magic led by Bill George. A challenge in the CGI was making distinctions between scenes that were to be from the 1980s Galaxy Quest show which would have been done normally through practical effects, and the more realistic scenes for the contemporary actors. Various practical effects were also used, such as the "piglizard" creature that the crew transports onto the Protector. Post-production After most production was done, Johnson said that DreamWorks was confused by the film, as it was not what they had expected from the script they greenlit, but pushed on post-production as they needed a film to go up against Columbia Pictures' Stuart Little. Among major cuts from DreamWorks was to bring the movie to a more family-friendly audience. The film originally received an "R" rating, according to Galaxy Quest producer Lindsey Collins and Weaver, before being recut. Shalhoub did not remember any darker version of the film. Gordon had not planned to write a "family friendly" film, and his initial script included mature scenes, such as DeMarco attempting to seduce aliens, and the crash of the escape pod into the convention hall decapitating several attendees. During post-production, The Rugrats Movie from Paramount Pictures came out and was a box-office success. DreamWorks at that point pushed on the production to have a competing film for a younger age group as to try to compete with Rugrats. The film was edited and cut to bring the rating to a "PG", which required cutting of some of the better and funnier scenes in the film that could have survived if a "PG-13" rating had been targeted instead according to the cast and crew. In the "chompers" scene, DeMarco's line "Well, screw that!" was dubbed over her original "Well, fuck that!" Weaver stated she purposely made her dubbed line stand out as a form of protest from her original line. Another cut scene to achieve the rating was seeing the crew's quarters on the Protector, which included Dr. Lazarus' quarters which Allen called a "proctologist's dream and nightmare". Several other scenes involving Dr. Lazarus were cut, as DreamWorks felt they were too kinky for the desired rating. Other scenes were added to provide what the studio felt was necessary continuity for the intended younger audience, such as showing the limo that Nesmith is taken to the Protector as it "lifts off" from Earth. In theaters, the first 20 minutes of the film were presented in a 1.85:1 aspect ratio, before changing to a wider 2.35:1 ratio when Nesmith looks out upon space as the Protector arrives at Thermia to maximize the effect on viewers. However, this caused some problems with projectionists at movie theaters when showing the film as they had not opened up the screen curtains far enough for the wider aspect ratio. Projectionists had to be told at later showings to prepare for this transition. David Newman composed the music score. Promotion Before the release of the movie, a promotional mockumentary video titled Galaxy Quest: 20th Anniversary, The Journey Continues, aired on E!, presenting the Galaxy Quest television series as an actual cult series, and the upcoming film as a documentary about the making of the series, presenting it in a similar way to Star Trek; it featured fake interviews of the series' cast (portrayed by the actors of the actual film), "Questerians", and critics. While these additional materials were made, DreamWorks devoted very little advertising to the film despite its placement near the Christmas season, which the cast and crew felt hurt the potential for the film. Unlike most films where the second and ongoing weekend box office takes decline, Galaxy Quest saw rising numbers over the first several weekends, and DreamWorks' Jeffrey Katzenberg apologized directly to Parisot for failing to market the film properly. Additionally, the primary trailer used for the film used a cut of the film before all the specific effects were complete, and Johnson felt that if the trailer had used the completed versions, it would have helped draw a larger audience. Relation to Star Trek and other science fiction works Galaxy Quest is an acknowledged homage to Star Trek; Parisot said "Part of the mission for me was to make a great Star Trek episode." Gordon's original script was titled "Galaxy Quest: The Motion Picture" as a reference to the first feature Star Trek film, and elements such as departing the space dock and the malfunctioning transporters were further nods to the film. The prefix of the Protectors registration number NTE-3120 ostensibly alludes to some sort of similar space federation, but in reality stands for "Not The Enterprise", according to visual effects co-supervisor Bill George. Parisot refuted claims that the rock monster that Nesmith battled was based on the rock monster that had been scripted for Star Trek V: The Final Frontier, but instead was more inspired by the Gorn that Kirk faces in the Star Trek episode "Arena". This homage also extended to the original marketing of the movie, including a promotional website intentionally designed to look like a poorly constructed fan website, with "screen captures" and poor HTML coding. Other aspects of the film were homages to other seminal science fiction works. The Thermians' native planet, Klaatu Nebula, is a reference to the name of the alien visitor in the classic The Day the Earth Stood Still (1951). Quellek's line "I'm shot" was directly influenced by the same line from James Brolin's character in Westworld. The blue creatures on the alien planet were based on similar creatures in Barbarella. The "chompers" scene with Nesmith and DeMarco trying to reach the self-destruct abort button was inspired by a scene from the 1997 film Event Horizon involving whirring blades. The effects for the Omega 13 activation were inspired by the ending scene from Beneath the Planet of the Apes. Reception Box office The film was financially successful. It earned US$7,012,630 in its opening weekend, and its total U.S. domestic tally stands at US$71,583,916; in total it has grossed US$90,683,916 worldwide. Critical reception Galaxy Quest received positive reviews from critics, both as a parody of Star Trek, and as a comedy film of its own. The New York Timess Lawrence Van Gelder called it "an amiable comedy that simultaneously manages to spoof these popular futuristic space adventures and replicate the very elements that have made them so durable". Roger Ebert praised the ability of the film to spoof the "illogic of the TV show". The Village Voice offered a lukewarm review, noting that "the many eight- to 11-year-olds in the audience seemed completely enthralled". Joe Leydon of Variety said that Galaxy Quest "remains light and bright as it races along, and never turns nasty or mean-spirited as it satirizes the cliches and cults of Star Trek". Retrospective reviews for Galaxy Quest have been positive, as the film is considered to have held up over time. On Rotten Tomatoes, it received an approval rating of 90% based on 123 reviews and an average rating of 7.22/10. The site's critical consensus reads, "Intelligent and humorous satire with an excellent cast; no previous Trekkie knowledge needed to enjoy this one." On Metacritic, the film has a score of 70 out of 100, based on 28 critics, indicating "generally favorable reviews". Esquire Matt Miller said in 2019 "the film absolutely holds up as one of the best sci-fi satires ever made—one that challenges our obsession with massive Hollywood franchises, the nature of fandom, and some of the more problematic cliches of the genre. But it does so with a self-aware empathy that makes it an enduring and lasting entry in not only science-fiction, but American film as a whole". Acclaimed writer-director David Mamet, in his book Bambi vs. Godzilla: On the Nature, Purpose, and Practice of the Movie Business, included Galaxy Quest in a list of four "perfect" films, along with The Godfather, A Place in the Sun and Dodsworth. Accolades Impact and legacy The film proved quite popular with Star Trek fans. At the 2013 Star Trek Convention in Las Vegas, Galaxy Quest received enough support in a Star Trek Film Ranking to be included with the twelve Star Trek films that had been released at the time on the voting ballot. The fans at the convention ranked it the seventh best Star Trek film. Harold Ramis, who was originally supposed to direct the film but left following disagreements over the casting choices, notably Allen as the lead, was ultimately impressed with Allen's performance. Tim Allen later said he and William Shatner were "now friends because of this movie".Galaxy Quest predicted the growth and influence of media fandom in the years after its release. While fandoms such as that for Star Trek existed at the time of the film, the size and scope presented by the fan conventions in the film had not been seen as much in 1999; since then, major fan conventions such as the San Diego Comic Con have become significant events that draw mainstream attention. The film also depicted fandoms using their numbers to influence production companies to revive cancelled works, such as with The Expanse, Veronica Mars, Arrested Development, and Twin Peaks. The film also captured some negative elements of modern fandom, such as leading actors continuously pestered by fans for intricate details of the work's fiction and other elements of the potentially toxic culture of online fan groups. The novella Rabbit Remembered (2000) by John Updike mentions the character of Laliari from the film. Reaction from Star Trek actors Several actors who have had roles on various Star Trek television series and films have commented on Galaxy Quest in light of their own experiences with the franchise and its fandom. Related media Home video The film was released by DreamWorks Home Entertainment on VHS and DVD on May 2, 2000. The DVD version included a 10-minute behind-the-scenes feature, cast and crew biographies and interviews, and deleted scenes. A special 10th anniversary deluxe edition was released on both DVD and Blu-ray by Paramount Home Entertainment on May 12, 2009; though they lacked the same features on the original DVD release, they included several new featurettes on the film's history, the cast, and the special effects used in the film's making, alongside the deleted scenes. For the film's 20th anniversary, a "Never Give Up, Never Surrender Edition" Blu-ray was released on November 5, 2019, featuring the same features as the 10th edition; a special SteelBook Best Buy exclusive was released on September 17, 2019. Tie-in media In November 1999, Galaxy Quest was novelized by science fiction writer Terry Bisson, who stayed very close to the plot of the film. In 2008, IDW Publishing released a comic book sequel to the movie entitled Galaxy Quest: Global Warning. In January 2015, IDW launched an ongoing series set several years after the events of the film. In 2021, Eaglemoss Publications released a behind-the-scenes book entitled Galaxy Quest: The Inside Story. Proposed sequel or television series Talks of a sequel have been going on since the film's release in 1999, but only began gaining traction in 2014 when Allen mentioned that there was a script. Stars Weaver and Rockwell mentioned they were interested in returning. However, Colantoni has said he would prefer for there not to be a sequel, lest it tarnish the characters from the first film. He said, "to make something up, just because we love those characters, and turn it into a sequel—then it becomes the awful sequel". In April 2015, Paramount Television, along with the movie's co-writer Gordon, director Parisot, and executive producers Johnson and Bernstein, announced they were looking to develop a television series based on Galaxy Quest. The move was considered in a similar vein as Paramount's revivals of Minority Report and School of Rock as television series. In August 2015, it was announced that Amazon Studios would be developing it. In January 2016, after the unexpected death of Alan Rickman from pancreatic cancer, Tim Allen commented in The Hollywood Reporter about the franchise's chance of a revival: Speaking to the Nerdist podcast in April 2016, Sam Rockwell revealed that the cast had been about ready to sign on for a follow up with Amazon, but Rickman's death, together with Allen's television schedule, had proved to be obstacles. He also said he believed Rickman's death meant the project would never happen. However, the plans were revived in August 2017, with the announcement that Paul Scheer would be writing the series. Speaking to /Film, Scheer said that in his first drafts submitted to Amazon in November 2017 he wanted to create a serialized adventure that starts where the film ends, but leads into the cultural shift in Star Trek that has occurred since 1999; he said "I really wanted to capture the difference between the original cast of Star Trek and the J. J. Abrams cast of Star Trek." To that end, Scheer's initial scripts called for two separate cast sets that would come together by the end of the first season of the show, though he did not confirm if this included any of the original film's cast. Following the dismissal of Amy Powell as
character. Rockwell's character's name, Guy Fleegman, is a homage to Guy Vardaman, a little-known actor who worked extensively on Star Trek either as a stand-in or in bit roles. Rockwell and Shalhoub improvised some dialog to contrast Fleegman as an alarmist while Kwan was always nonchalant. Daryl Mitchell had worked with Parisot on Home Fries, and Parisot felt he was the perfect choice to play Webber. David Alan Grier was the second choice for Webber. Justin Long was cast as Brandon, and it was Long's first feature-film role. Long had just completed a pilot for a television show under casting director Bonnie Zane, who suggested Long to her sister Debra Zane, the casting director for Galaxy Quest. Long said he was nervous auditioning as an unknown actor at the time, competing against Kieran Culkin, Eddie Kaye Thomas and Tom Everett Scott. Parisot had given Long a copy of Trekkies, a film about the Star Trek fandom, to help prepare for the character. Long based his character on a combination of Philip Seymour Hoffman's Scotty J. from Boogie Nights and the Comic Book Guy from The Simpsons. Paul Rudd auditioned for a role. One of the first "Thermians" to audition was Enrico Colantoni. Colantoni loved the script and spent time before his audition developing the behavior he thought the Thermians should have. Parisot said that at the end of Colantoni's read, the actor offered a possible voice for the Thermians. Parisot immediately loved the voice and used it to establish the nature of the Thermians for the rest of the casting process. Colantoni led how the Thermians would act, which he called "happy Jehovah's Witnesses" taking everything in with "love and acceptance". Other actors cast as Thermians included Jed Rees and Rainn Wilson (his feature-film debut). According to Debra Zane, they had "a difficult time finding an actress to play a Thermian. Ultimately, Zane was so impressed with Missi Pyle's audition that she sent the casting tape directly to Parisot, with a note stating "If this is not Laliari, I will resign from the CSA." Steven Spielberg, also impressed by Pyle, asked for Laliari's role to be expanded, which developed into the romance with Kwan. Jennifer Coolidge was the second choice for the role. Actors cast as Thermians went to "alien school" to learn how to move and talk, since they were "basically giant calamari hiding in human shape", according to Parisot. The walk was inspired by how the marionettes were articulated in the series Fireball XL5. Other idiosyncrasies were developed by the actors during this training, and several of their lines came out of improvisations. Wilson's role as Lahnk was to have been larger in the film, but the actor was double-booked for an NBC pilot in New York City. He received a crash course on how to act like a Thermian from Colantoni, Rees, and Pyle, but still was nervous around the A-list actors leading the cast. Wilson said of a deleted scene involving Lahnk, released with the film's home media, was wisely cut given how nervous he was, flubbing his lines several times. Filming Linda DeScenna, production designer of the film, was interested in the project because it would not have the same aesthetics as other 1990s science fiction films, and "it didn't have to be real, hi-tech and vacuformed". DeScenna drew inspiration for the sets not only from Star Trek, but also from Buck Rogers, Battlestar Galactica, and Lost in Space. DeScenna had hoped to incorporate more essence of the reuse of props and set elements from these shows within the film, but the film didn't provide enough space for this. She used color theming to help distinguish the key elements of the film, with steam blue for the Thermians and the Protector, while Saris and his species were made to be a green tone that stood out against that. The design of the Thermian station was influenced by the works of artist Roger Dean, especially his cover art for the Yes live album Yessongs (1973). The bulk of the film was shot in studios in Los Angeles. Scenes of the alien planet were filmed at Goblin Valley State Park in Utah. At the time, access to the park was partly by dirt road; fees paid by the production company were used to upgrade the entire access road to asphalt pavement. Other locations used in the film included the Stahl House as Nesmith's home, and the Hollywood Palladium for the fan conventions. According to Weaver, Allen hectored her to sign a piece of the Nostromo, the spaceship from Alien, in which she had starred; she ultimately did, writing "Stolen by Tim Allen; Love, Sigourney Weaver", which she claims upset him greatly. During the period of filming, the entire cast attended a 20th-anniversary screening of Alien. After filming wrapped, Weaver kept the wig she wore for the role. The film's visual effects were created by Industrial Light & Magic led by Bill George. A challenge in the CGI was making distinctions between scenes that were to be from the 1980s Galaxy Quest show which would have been done normally through practical effects, and the more realistic scenes for the contemporary actors. Various practical effects were also used, such as the "piglizard" creature that the crew transports onto the Protector. Post-production After most production was done, Johnson said that DreamWorks was confused by the film, as it was not what they had expected from the script they greenlit, but pushed on post-production as they needed a film to go up against Columbia Pictures' Stuart Little. Among major cuts from DreamWorks was to bring the movie to a more family-friendly audience. The film originally received an "R" rating, according to Galaxy Quest producer Lindsey Collins and Weaver, before being recut. Shalhoub did not remember any darker version of the film. Gordon had not planned to write a "family friendly" film, and his initial script included mature scenes, such as DeMarco attempting to seduce aliens, and the crash of the escape pod into the convention hall decapitating several attendees. During post-production, The Rugrats Movie from Paramount Pictures came out and was a box-office success. DreamWorks at that point pushed on the production to have a competing film for a younger age group as to try to compete with Rugrats. The film was edited and cut to bring the rating to a "PG", which required cutting of some of the better and funnier scenes in the film that could have survived if a "PG-13" rating had been targeted instead according to the cast and crew. In the "chompers" scene, DeMarco's line "Well, screw that!" was dubbed over her original "Well, fuck that!" Weaver stated she purposely made her dubbed line stand out as a form of protest from her original line. Another cut scene to achieve the rating was seeing the crew's quarters on the Protector, which included Dr. Lazarus' quarters which Allen called a "proctologist's dream and nightmare". Several other scenes involving Dr. Lazarus were cut, as DreamWorks felt they were too kinky for the desired rating. Other scenes were added to provide what the studio felt was necessary continuity for the intended younger audience, such as showing the limo that Nesmith is taken to the Protector as it "lifts off" from Earth. In theaters, the first 20 minutes of the film were presented in a 1.85:1 aspect ratio, before changing to a wider 2.35:1 ratio when Nesmith looks out upon space as the Protector arrives at Thermia to maximize the effect on viewers. However, this caused some problems with projectionists at movie theaters when showing the film as they had not opened up the screen curtains far enough for the wider aspect ratio. Projectionists had to be told at later showings to prepare for this transition. David Newman composed the music score. Promotion Before the release of the movie, a promotional mockumentary video titled Galaxy Quest: 20th Anniversary, The Journey Continues, aired on E!, presenting the Galaxy Quest television series as an actual cult series, and the upcoming film as a documentary about the making of the series, presenting it in a similar way to Star Trek; it featured fake interviews of the series' cast (portrayed by the actors of the actual film), "Questerians", and critics. While these additional materials were made, DreamWorks devoted very little advertising to the film despite its placement near the Christmas season, which the cast and crew felt hurt the potential for the film. Unlike most films where the second and ongoing weekend box office takes decline, Galaxy Quest saw rising numbers over the first several weekends, and DreamWorks' Jeffrey Katzenberg apologized directly to Parisot for failing to market the film properly. Additionally, the primary trailer used for the film used a cut of the film before all the specific effects were complete, and Johnson felt that if the trailer had used the completed versions, it would have helped draw a larger audience. Relation to Star Trek and other science fiction works Galaxy Quest is an acknowledged homage to Star Trek; Parisot said "Part of the mission for me was to make a great Star Trek episode." Gordon's original script was titled "Galaxy Quest: The Motion Picture" as a reference to the first feature Star Trek film, and elements such as departing the space dock and the malfunctioning transporters were further nods to the film. The prefix of the Protectors registration number NTE-3120 ostensibly alludes to some sort of similar space federation, but in reality stands for "Not The Enterprise", according to visual effects co-supervisor Bill George. Parisot refuted claims that the rock monster that Nesmith battled was based on the rock monster that had been scripted for Star Trek V: The Final Frontier, but instead was more inspired by the Gorn that Kirk faces in the Star Trek episode "Arena". This homage also extended to the original marketing of the movie, including a promotional website intentionally designed to look like a poorly constructed fan website, with "screen captures" and poor HTML coding. Other aspects of the film were homages to other seminal science fiction works. The Thermians' native planet, Klaatu Nebula, is a reference to the name of the alien visitor in the classic The Day the Earth Stood Still (1951). Quellek's line "I'm shot" was directly influenced by the same line from James Brolin's character in Westworld. The blue creatures on the alien planet were based on similar creatures in Barbarella. The "chompers" scene with Nesmith and DeMarco trying to reach the self-destruct abort button was inspired by a scene from the 1997 film Event Horizon involving whirring blades. The effects for the Omega 13 activation were inspired by the ending scene from Beneath the Planet of the Apes. Reception Box office The film was financially successful. It earned US$7,012,630 in its opening weekend, and its total U.S. domestic tally stands at US$71,583,916; in total it has grossed US$90,683,916 worldwide. Critical reception Galaxy Quest received positive reviews from critics, both as a parody of Star Trek, and as a comedy film of its own. The New York Timess Lawrence Van Gelder called it "an amiable comedy that simultaneously manages to spoof these popular futuristic space adventures and replicate the very elements that have made them so durable". Roger Ebert praised the ability of the film to spoof the "illogic of the TV show". The Village Voice offered a lukewarm review, noting that "the many eight- to 11-year-olds in the audience seemed completely enthralled". Joe Leydon of Variety said that Galaxy Quest "remains light and bright as it races along, and never turns nasty or mean-spirited as it satirizes the cliches and cults of Star Trek". Retrospective reviews for Galaxy Quest have been positive, as the film is considered to have held up over time. On Rotten Tomatoes, it received an approval rating of 90% based on 123 reviews and an average rating of 7.22/10. The site's critical consensus reads, "Intelligent and humorous satire with an excellent cast; no previous Trekkie knowledge needed to enjoy this one." On Metacritic, the film has a score of 70 out of 100, based on 28 critics, indicating "generally favorable reviews". Esquire Matt Miller said in 2019 "the film absolutely holds up as one of the best sci-fi satires ever made—one that challenges our obsession with massive Hollywood franchises, the nature of fandom, and some of the more problematic cliches of the genre. But it does so with a self-aware empathy that makes it an enduring and lasting entry in not only science-fiction, but American film as a whole". Acclaimed writer-director David Mamet, in his book Bambi vs. Godzilla: On the Nature, Purpose, and Practice of the Movie Business, included Galaxy Quest in a list of four "perfect" films, along with The Godfather, A Place in the Sun and Dodsworth. Accolades Impact and legacy The film proved quite popular with Star Trek fans. At the 2013 Star Trek Convention in Las Vegas, Galaxy Quest received enough support in a Star Trek Film Ranking to be included with the twelve Star Trek films
the heroes decapitate him regardless. Tablet VI begins with Gilgamesh returning to Uruk, where Ishtar (the Akkadian name for Inanna) comes to him and demands him to become her consort. Gilgamesh repudiates her, insisting that she has mistreated all her former lovers. In revenge, Ishtar goes to her father Anu and demands that he give her the Bull of Heaven, which she sends to attack Gilgamesh. Gilgamesh and Enkidu kill the Bull and offer its heart to Shamash. While Gilgamesh and Enkidu are resting, Ishtar stands up on the walls of Uruk and curses Gilgamesh. Enkidu tears off the Bull's right thigh and throws it in Ishtar's face, saying, "If I could lay my hands on you, it is this I should do to you, and lash your entrails to your side." Ishtar calls together "the crimped courtesans, prostitutes and harlots" and orders them to mourn for the Bull of Heaven. Meanwhile, Gilgamesh holds a celebration over the Bull of Heaven's defeat. Tablet VII begins with Enkidu recounting a dream in which he saw Anu, Ea, and Shamash declare either Gilgamesh or Enkidu must die as punishment for having slain the Bull of Heaven. They choose Enkidu and Enkidu soon grows sick. He has a dream of the Underworld, and then he dies. Tablet VIII describes Gilgamesh's inconsolable grief over his friend's death and the details of Enkidu's funeral. Tablets IX through XI relate how Gilgamesh, driven by grief and fear of his own mortality, travels a great distance and overcomes many obstacles to find the home of Utnapishtim, the sole survivor of the Great Flood, who was rewarded with immortality by the gods. The journey to Utnapishtim involves a series of episodic challenges, which probably originated as major independent adventures, but, in the epic, they are reduced to what Joseph Eddy Fontenrose calls "fairly harmless incidents." First, Gilgamesh encounters and slays lions in the mountain pass. Upon reaching the mountain of Mashu, Gilgamesh encounters a scorpion man and his wife; their bodies flash with terrifying radiance, but, once Gilgamesh tells them his purpose, they allow him to pass. Gilgamesh wanders through darkness for twelve days before he finally comes into the light. He finds a beautiful garden by the sea in which he meets Siduri, the divine Alewife. At first, she tries to prevent Gilgamesh from entering the garden, but later she instead attempts to persuade him to accept death as inevitable and not journey beyond the waters. When Gilgamesh refuses to do this, she directs him to Urshanabi, the ferryman of the gods, who ferries Gilgamesh across the sea to Utnapishtim's homeland. When Gilgamesh finally arrives at Utnapishtim's home, Utnapishtim tells Gilgamesh that, to become immortal, he must defy sleep. Gilgamesh fails to do this and falls asleep for seven days without waking. Next, Utnapishtim tells him that, even if he cannot obtain immortality, he can restore his youth using a plant with the power of rejuvenation. Gilgamesh takes the plant, but leaves it on the shore while swimming and a snake steals it, explaining why snakes are able to shed their skins. Despondent at this loss, Gilgamesh returns to Uruk, and shows his city to the ferryman Urshanabi. It is at this point the epic stops being a coherent narrative. Tablet XII is an appendix corresponding to the Sumerian poem of Gilgamesh, Enkidu and the Netherworld describing the loss of the pikku and mikku. Numerous elements within this narrative reveal lack of continuity with the earlier portions of the epic. At the beginning of Tablet XII, Enkidu is still alive, despite having previously died in Tablet VII, and Gilgamesh is kind to Ishtar, despite the violent rivalry between them displayed in Tablet VI. Also, while most of the parts of the epic are free adaptations of their respective Sumerian predecessors, Tablet XII is a literal, word-for-word translation of the last part of Gilgamesh, Enkidu, and the Netherworld. For these reasons, scholars conclude this narrative was probably relegated to the end of the epic because it did not fit the larger narrative. In it, Gilgamesh sees a vision of Enkidu's ghost, who promises to recover the lost items and describes to his friend the abysmal condition of the Underworld. In Mesopotamian art Although stories about Gilgamesh were wildly popular throughout ancient Mesopotamia, authentic representations of him in ancient art are uncommon. Popular works often identify depictions of a hero with long hair, containing four or six curls, as representations of Gilgamesh, but this identification is known to be incorrect. A few genuine ancient Mesopotamian representations of Gilgamesh do exist, however. These representations are mostly found on clay plaques and cylinder seals. Generally, it is only possible to identify a figure shown in art as Gilgamesh if the artistic work in question clearly depicts a scene from the Epic of Gilgamesh itself. One set of representations of Gilgamesh is found in scenes of two heroes fighting a demonic giant, certainly Humbaba. Another set is found in scenes showing a similar pair of heroes confronting a giant, winged bull, certainly the Bull of Heaven. Later influence In antiquity The Epic of Gilgamesh exerted substantial influence on the Iliad and the Odyssey, two epic poems written in ancient Greek during the eighth century BC. According to Barry B. Powell, an American classical scholar, early Greeks were probably exposed to Mesopotamian oral traditions through their extensive connections to the civilizations of the ancient Near East and this exposure resulted in the similarities that are seen between the Epic of Gilgamesh and the Homeric epics. Walter Burkert, a German classicist, observes that the scene in Tablet VI of the Epic of Gilgamesh in which Gilgamesh rejects Ishtar's advances and she complains before her mother Antu, but is mildly rebuked by her father Anu, is directly paralleled in Book V of the Iliad. In this scene, Aphrodite, the later Greek adaptation of Ishtar, is wounded by the hero Diomedes and flees to Mount Olympus, where she cries to her mother Dione and is mildly rebuked by her father Zeus. Powell observes the opening lines of the Odyssey seem to echo the opening lines of the Epic of Gilgamesh. The storyline of the Odyssey likewise bears many similarities to the Epic of Gilgamesh. Both Gilgamesh and Odysseus encounter a woman who can turn men into animals: Ishtar (for Gilgamesh) and Circe (for Odysseus). In the Odyssey, Odysseus blinds a giant Cyclops named Polyphemus, an incident which bears similarities to Gilgamesh's slaying of Humbaba in the Epic of Gilgamesh. Both Gilgamesh and Odysseus visit the Underworld and both find themselves unhappy whilst living in an otherworldly paradise in the presence of an attractive woman: Siduri (for Gilgamesh) and Calypso (for Odysseus). Finally, both heroes have an opportunity for immortality but miss it (Gilgamesh when he loses the plant, and Odysseus when he leaves Calypso's island). In the Qumran scroll known as Book of Giants (c. 100 BC) the names of Gilgamesh and Humbaba appear as two of the antediluvian giants, rendered (in consonantal form) as glgmš and ḩwbbyš. This same text was later used in the Middle East by the Manichaean sects, and the Arabic form Gilgamish/Jiljamish survives as the name of a demon according to the Egyptian cleric Al-Suyuti ( 1500). The story of Gilgamesh's birth is not recorded in any extant Sumerian or Akkadian text, but a version of it is described in De Natura Animalium (On the Nature of Animals) 12.21, a commonplace book which was written in Greek sometime around 200 AD by the Hellenized Roman orator Aelian. According to Aelian's story, an oracle told King Seuechoros (Σευεχορος) of the Babylonians that his grandson Gilgamos would overthrow him. To prevent this, Seuechoros kept his only daughter under close guard at the Acropolis of the city of Babylon, but she became pregnant nonetheless. Fearing the king's wrath, the guards hurled the infant off the top of a tall tower. An eagle rescued the boy in mid-flight and carried him to an orchard, where it carefully set him down. The caretaker of the orchard found the boy and raised him, naming him Gilgamos (Γίλγαμος). Eventually, Gilgamos returned to Babylon and overthrew his grandfather, proclaiming himself king. The birth narrative described by Aelian is in the same tradition as other Near Eastern birth legends, such as those of Sargon, Moses, and Cyrus. Theodore Bar Konai (c. AD 600), writing in Syriac, also mentions a king Gligmos, Gmigmos or Gamigos as last of a line of twelve kings who were contemporaneous with the patriarchs from Peleg to Abraham; this occurrence is also considered a vestige of Gilgamesh's former memory. Modern rediscovery The Akkadian text of the Epic of Gilgamesh was first discovered in 1849 AD by the English archaeologist Austen Henry Layard in the Library of Ashurbanipal at Nineveh. Layard was seeking evidence to confirm the historicity of the events described in the Hebrew Bible, i.e. the Christian Old Testament, which, at the time, was believed to contain the oldest texts in the world. Instead, his excavations and those of others after him revealed the existence of much older Mesopotamian texts and showed that many of the stories in the Old Testament may actually be derived from earlier myths told throughout the ancient Near East. The first translation of the Epic of Gilgamesh was produced in the early 1870s by George Smith, a scholar at the British Museum, who published the Flood story from Tablet XI in 1880 under the title The Chaldean Account of Genesis. Gilgamesh's name was originally misread as Izdubar. Early interest in the Epic of Gilgamesh was almost exclusively on account of the flood story from Tablet XI. The flood story attracted enormous public attention and drew widespread scholarly controversy, while the rest of the epic was largely ignored. Most attention towards the Epic of Gilgamesh in the late nineteenth and early twentieth centuries came from German-speaking countries, where controversy raged over the relationship between Babel und Bibel ("Babylon and Bible"). In January 1902, the German Assyriologist Friedrich Delitzsch gave a lecture at the Sing-Akademie zu Berlin in front of the Kaiser and his wife, in which he argued that the Flood story in the Book of Genesis was directly copied from the one in the Epic of Gilgamesh. Delitzsch's lecture was so controversial that, by September 1903, he had managed to collect 1,350 short articles from newspapers and journals, over 300 longer ones, and twenty-eight pamphlets, all written in response to this lecture, as well as another lecture about the relationship between the Code of Hammurabi and the Law of Moses in the Torah. These articles were overwhelmingly critical of Delitzsch. The Kaiser distanced himself from Delitzsch and his radical views and, in fall of 1904, Delitzsch was forced to give his third lecture in Cologne and Frankfurt am Main rather than in Berlin. The putative relationship between the Epic of Gilgamesh and the Hebrew Bible later became a major part of Delitzsch's argument in his 1920–21 book Die große Täuschung (The Great Deception) that the Hebrew Bible was irredeemably "contaminated" by Babylonian influence and that only by eliminating the human Old Testament entirely could Christians finally believe in the true, Aryan message of the New Testament. Early modern interpretations The first modern literary adaptation of the Epic of Gilgamesh was Ishtar and Izdubar (1884) by Leonidas
a dialogue in which Gilgamesh asks the shade of Enkidu questions about the Underworld. Subsequent poems "Gilgamesh and Agga" describes Gilgamesh's successful revolt against his overlord Agga, the king of the city-state of Kish. "Gilgamesh and Huwawa" describes how Gilgamesh and his servant Enkidu, aided by the help of fifty volunteers from Uruk, defeat the monster Huwawa, an ogre appointed by the god Enlil, the ruler of the gods, as the guardian of the Cedar Forest. In "Gilgamesh and the Bull of Heaven", Gilgamesh and Enkidu slay the Bull of Heaven, who has been sent to attack them by the goddess Inanna. The plot of this poem differs substantially from the corresponding scene in the later Akkadian Epic of Gilgamesh. In the Sumerian poem, Inanna does not seem to ask Gilgamesh to become her consort as she does in the later Akkadian epic. Furthermore, while she is coercing her father An to give her the Bull of Heaven, rather than threatening to raise the dead to eat the living as she does in the later epic, she merely threatens to let out a "cry" that will reach the earth. A poem known as the "Death of Gilgamesh" is poorly preserved, but appears to describe a major state funeral followed by the arrival of the deceased in the Underworld. It is possible that the modern scholars who gave the poem its title may have misinterpreted it, and the poem may actually be about the death of Enkidu. Epic of Gilgamesh Eventually, according to Kramer (1963): Gilgamesh became the hero par excellence of the ancient world—an adventurous, brave, but tragic figure symbolizing man's vain but endless drive for fame, glory, and immortality.By the Old Babylonian Period (), stories of Gilgamesh's legendary exploits had been woven into one or several long epics. The Epic of Gilgamesh, the most complete account of Gilgamesh's adventures, was composed in Akkadian during the Middle Babylonian Period ( 1600 – 1155 BC) by a scribe named Sîn-lēqi-unninni. The most complete surviving version of the Epic of Gilgamesh is recorded on a set of twelve clay tablets dating to the seventh century BC, found in the Library of Ashurbanipal in the Assyrian capital of Nineveh. The epic survives only in a fragmentary form, with many pieces of it missing or damaged. Some scholars and translators choose to supplement the missing parts of the epic with material from the earlier Sumerian poems or from other versions of the Epic of Gilgamesh found at other sites throughout the Near East. In the epic, Gilgamesh is introduced as "two thirds divine and one third mortal." At the beginning of the poem, Gilgamesh is described as a brutal, oppressive ruler. This is usually interpreted to mean either that he compels all his subjects to engage in forced labor or that he sexually oppresses all his subjects. As punishment for Gilgamesh's cruelty, the god Anu creates the wild man Enkidu. After being tamed by a prostitute named Shamhat, Enkidu travels to Uruk to confront Gilgamesh. In the second tablet, the two men wrestle and, although Gilgamesh wins the match in the end, he is so impressed by his opponent's strength and tenacity that they become close friends. In the earlier Sumerian texts, Enkidu is Gilgamesh's servant, but, in the Epic of Gilgamesh, they are companions of equal standing. In tablets III through IV, Gilgamesh and Enkidu travel to the Cedar Forest, which is guarded by Humbaba (the Akkadian name for Huwawa). The heroes cross the seven mountains to the Cedar Forest, where they begin chopping down trees. Confronted by Humbaba, Gilgamesh panics and prays to Shamash (the East Semitic name for Utu), who blows eight winds in Humbaba's eyes, blinding him. Humbaba begs for mercy, but the heroes decapitate him regardless. Tablet VI begins with Gilgamesh returning to Uruk, where Ishtar (the Akkadian name for Inanna) comes to him and demands him to become her consort. Gilgamesh repudiates her, insisting that she has mistreated all her former lovers. In revenge, Ishtar goes to her father Anu and demands that he give her the Bull of Heaven, which she sends to attack Gilgamesh. Gilgamesh and Enkidu kill the Bull and offer its heart to Shamash. While Gilgamesh and Enkidu are resting, Ishtar stands up on the walls of Uruk and curses Gilgamesh. Enkidu tears off the Bull's right thigh and throws it in Ishtar's face, saying, "If I could lay my hands on you, it is this I should do to you, and lash your entrails to your side." Ishtar calls together "the crimped courtesans, prostitutes and harlots" and orders them to mourn for the Bull of Heaven. Meanwhile, Gilgamesh holds a celebration over the Bull of Heaven's defeat. Tablet VII begins with Enkidu recounting a dream in which he saw Anu, Ea, and Shamash declare either Gilgamesh or Enkidu must die as punishment for having slain the Bull of Heaven. They choose Enkidu and Enkidu soon grows sick. He has a dream of the Underworld, and then he dies. Tablet VIII describes Gilgamesh's inconsolable grief over his friend's death and the details of Enkidu's funeral. Tablets IX through XI relate how Gilgamesh, driven by grief and fear of his own mortality, travels a great distance and overcomes many obstacles to find the home of Utnapishtim, the sole survivor of the Great Flood, who was rewarded with immortality by the gods. The journey to Utnapishtim involves a series of episodic challenges, which probably originated as major independent adventures, but, in the epic, they are reduced to what Joseph Eddy Fontenrose calls "fairly harmless incidents." First, Gilgamesh encounters and slays lions in the mountain pass. Upon reaching the mountain of Mashu, Gilgamesh encounters a scorpion man and his wife; their bodies flash with terrifying radiance, but, once Gilgamesh tells them his purpose, they allow him to pass. Gilgamesh wanders through darkness for twelve days before he finally comes into the light. He finds a beautiful garden by the sea in which he meets Siduri, the divine Alewife. At first, she tries to prevent Gilgamesh from entering the garden, but later she instead attempts to persuade him to accept death as inevitable and not journey beyond the waters. When Gilgamesh refuses to do this, she directs him to Urshanabi, the ferryman of the gods, who ferries Gilgamesh across the sea to Utnapishtim's homeland. When Gilgamesh finally arrives at Utnapishtim's home, Utnapishtim tells Gilgamesh that, to become immortal, he must defy sleep. Gilgamesh fails to do this and falls asleep for seven days without waking. Next, Utnapishtim tells him that, even if he cannot obtain immortality, he can restore his youth using a plant with the power of rejuvenation. Gilgamesh takes the plant, but leaves it on the shore while swimming and a snake steals it, explaining why snakes are able to shed their skins. Despondent at this loss, Gilgamesh returns to Uruk, and shows his city to the ferryman Urshanabi. It is at this point the epic stops being a coherent narrative. Tablet XII is an appendix corresponding to the Sumerian poem of Gilgamesh, Enkidu and the Netherworld describing the loss of the pikku and mikku. Numerous elements within this narrative reveal lack of continuity with the earlier portions of the epic. At the beginning of Tablet XII, Enkidu is still alive, despite having previously died in Tablet VII, and Gilgamesh is kind to Ishtar, despite the violent rivalry between them displayed in Tablet VI. Also, while most of the parts of the epic are free adaptations of their respective Sumerian predecessors, Tablet XII is a literal, word-for-word translation of the last part of Gilgamesh, Enkidu, and the Netherworld. For these reasons, scholars conclude this narrative was probably relegated to the end of the epic because it did not fit the larger narrative. In it, Gilgamesh sees a vision of Enkidu's ghost, who promises to recover the lost items and describes to his friend the abysmal condition of the Underworld. In Mesopotamian art Although stories about Gilgamesh were wildly popular throughout ancient Mesopotamia, authentic representations of him in ancient art are uncommon. Popular works often identify depictions of a hero with long hair, containing four or six curls, as representations of Gilgamesh, but this identification is known to be incorrect. A few genuine ancient Mesopotamian representations of Gilgamesh do exist, however. These representations are mostly found on clay plaques and cylinder seals. Generally, it is only possible to identify a figure shown in art as Gilgamesh if the artistic work in question clearly depicts a scene from the Epic of Gilgamesh itself. One set of representations of Gilgamesh is found in scenes of two heroes fighting a demonic giant, certainly Humbaba. Another set is found in scenes showing a similar pair of heroes confronting a giant, winged bull, certainly the Bull of Heaven. Later influence In antiquity The Epic of Gilgamesh exerted substantial influence on the Iliad and the Odyssey, two epic poems written in ancient Greek during the eighth century BC. According to Barry B. Powell, an American classical scholar, early Greeks were probably exposed to Mesopotamian oral traditions through their extensive connections to the civilizations of the ancient Near East and this exposure resulted in the similarities that are seen between the Epic of Gilgamesh and the Homeric epics. Walter Burkert, a German classicist, observes that the scene in Tablet VI of the Epic of Gilgamesh in which Gilgamesh rejects Ishtar's advances and she complains before her mother Antu, but is mildly rebuked by her father Anu, is directly paralleled in Book V of the Iliad. In this scene, Aphrodite, the later Greek adaptation of Ishtar, is wounded by the hero Diomedes and flees to Mount Olympus, where she cries to her mother Dione and is mildly rebuked by her father Zeus. Powell observes the opening lines of the Odyssey seem to echo the opening lines of the Epic of Gilgamesh. The storyline of the Odyssey likewise bears many similarities to the Epic of Gilgamesh. Both Gilgamesh and Odysseus encounter a woman who can turn men into animals: Ishtar (for Gilgamesh) and Circe (for Odysseus). In the Odyssey, Odysseus blinds a giant Cyclops named Polyphemus, an incident which bears similarities to Gilgamesh's slaying of Humbaba in the Epic of Gilgamesh. Both Gilgamesh and Odysseus visit the Underworld and both find themselves unhappy whilst living in an otherworldly paradise in the presence of an attractive woman: Siduri (for Gilgamesh) and Calypso (for Odysseus). Finally, both heroes have an opportunity for immortality but miss it (Gilgamesh when he loses the plant, and Odysseus when he leaves Calypso's island). In the Qumran scroll known as Book of Giants (c. 100 BC) the names of Gilgamesh and Humbaba appear as two of the antediluvian giants, rendered (in consonantal form) as glgmš and ḩwbbyš. This same text was later used in the Middle East by the Manichaean sects, and the Arabic form Gilgamish/Jiljamish survives as the name of a demon according to the Egyptian cleric Al-Suyuti ( 1500). The story of Gilgamesh's birth is not recorded in any extant Sumerian or Akkadian text, but a version of it is described in De Natura Animalium (On the Nature of Animals) 12.21, a commonplace book which was written in Greek sometime around 200 AD by the Hellenized Roman orator Aelian. According to Aelian's story, an oracle told King Seuechoros (Σευεχορος) of the Babylonians that his grandson Gilgamos would overthrow him. To prevent this, Seuechoros kept his only daughter under close guard at the Acropolis of the city of Babylon, but she became pregnant nonetheless. Fearing the king's wrath, the guards hurled the infant off the top of a tall tower. An eagle rescued the boy in mid-flight and carried him to an orchard, where it carefully set him down. The caretaker of the orchard found the boy and raised him, naming him Gilgamos (Γίλγαμος). Eventually, Gilgamos returned to Babylon and overthrew his grandfather, proclaiming himself king. The birth narrative described by Aelian is in the same tradition as other Near Eastern birth legends, such as those of Sargon, Moses, and Cyrus. Theodore Bar Konai (c. AD 600), writing in Syriac, also mentions a king Gligmos, Gmigmos or Gamigos as last of a line of twelve kings who were contemporaneous with the patriarchs from Peleg to Abraham; this occurrence is also considered a vestige of Gilgamesh's former memory. Modern rediscovery The Akkadian text of the Epic of Gilgamesh was first discovered in 1849 AD by the English archaeologist Austen Henry Layard in the Library of Ashurbanipal at Nineveh. Layard was seeking evidence to confirm the historicity of the events described in the Hebrew Bible, i.e. the Christian Old Testament, which, at the time, was believed to contain the oldest texts in the world. Instead, his excavations and those of others after him revealed the existence of much older Mesopotamian texts and showed that many of the stories in the Old Testament may actually be derived from earlier myths told throughout the ancient Near East. The first translation of the Epic of Gilgamesh was produced in the early 1870s by George Smith, a scholar at the British Museum, who published the Flood story from Tablet XI in 1880 under the title The Chaldean Account of Genesis. Gilgamesh's name was originally misread as Izdubar. Early interest in the Epic of Gilgamesh was almost exclusively on account of the flood story from Tablet XI. The flood story attracted enormous public attention and drew widespread scholarly controversy, while the rest of the epic was largely ignored. Most attention towards the Epic of Gilgamesh in the late nineteenth and early twentieth centuries came from German-speaking countries, where controversy raged over the relationship between Babel und Bibel ("Babylon and Bible"). In January 1902, the German Assyriologist Friedrich Delitzsch gave a lecture at the
of prolamins which vary among oat varieties. In addition, oat products may be cross-contaminated with the other gluten-containing cereals. Incidence , gluten-related disorders were increasing in frequency in different geographic areas. Some suggested explanations for this increase include the following: the growing westernization of diets, the increasing use of wheat-based foods included in the Mediterranean diet, the progressive replacement of rice by wheat in many countries in Asia, the Middle East, and North Africa, the development in recent years of new types of wheat with a higher amount of cytotoxic gluten peptides, and the higher content of gluten in bread and bakery products due to the reduction of dough fermentation time. Celiac disease Celiac disease (CD) is a chronic, multiple-organ autoimmune disorder primarily affecting the small intestine caused by the ingestion of wheat, barley, rye, oats, and derivatives, that appears in genetically predisposed people of all ages. CD is not only a gastrointestinal disease, because it may involve several organs and cause an extensive variety of non-gastrointestinal symptoms, and most importantly, it may be apparently asymptomatic. Many asymptomatic people become accustomed to living with a chronic bad health status as if it were normal, but they are able to recognize that they actually had symptoms related to celiac disease after starting a gluten-free diet and improvement occurs. Added difficulties for diagnosis are the fact that serological markers (anti-tissue transglutaminase [TG2]) are not always present and many people may have minor mucosal lesions, without atrophy of the intestinal villi. CD affects approximately 1–2% of the general population, but most cases remain unrecognized, undiagnosed and untreated, and at risk for serious long-term health complications. People may suffer severe disease symptoms and be subjected to extensive investigations for many years, before a proper diagnosis is achieved. Untreated CD may cause malabsorption, reduced quality of life, iron deficiency, osteoporosis, an increased risk of intestinal lymphomas, and greater mortality. CD is associated with some other autoimmune diseases, such as diabetes mellitus type 1, thyroiditis, gluten ataxia, psoriasis, vitiligo, autoimmune hepatitis, dermatitis herpetiformis, primary sclerosing cholangitis, and more. CD with "classic symptoms", which include gastrointestinal manifestations such as chronic diarrhea and abdominal distention, malabsorption, loss of appetite, and impaired growth, is currently the least common presentation form of the disease and affects predominantly small children generally younger than two years of age. CD with "non-classic symptoms" is the most common clinical type and occurs in older children (over 2 years old), adolescents, and adults. It is characterized by milder or even absent gastrointestinal symptoms and a wide spectrum of non-intestinal manifestations that can involve any organ of the body, and very frequently may be completely asymptomatic both in children (at least in 43% of the cases) and adults. Asymptomatic CD (ACD) is present in the majority of affected patients and is characterized by the absence of classical gluten-intolerance signs, such as diarrhea, bloating, and abdominal pain. Nevertheless, these individuals very often develop diseases that can be related with gluten intake. Gluten can be degraded into several morphine-like substances, named gluten exorphins. These compounds have proven opioid effects and could mask the deleterious effects of gluten protein on gastrointestinal lining and function. Non-celiac gluten sensitivity Non-celiac gluten sensitivity (NCGS) is described as a condition of multiple symptoms that improves when switching to a gluten-free diet, after celiac disease and wheat allergy are excluded. Recognized since 2010, it is included among gluten-related disorders. Its pathogenesis is not yet well understood, but the activation of the innate immune system, the direct negative effects of gluten and probably other wheat components, are implicated. NCGS is the most common syndrome of gluten intolerance, with a prevalence estimated to be 6-10%. NCGS is becoming a more common diagnosis, but its true prevalence is difficult to determine because many people self-diagnose and start a gluten-free diet, without having previously tested for celiac disease or having the dietary prescription from a physician. People with NCGS and gastrointestinal symptoms remain habitually in a "no man's land", without being recognized by the specialists and lacking the adequate medical care and treatment. Most of these people have a long history of health complaints and unsuccessful consultations with numerous physicians, trying to get a diagnosis of celiac disease, but they are only labeled as irritable bowel syndrome. A consistent although undefined number of people eliminate gluten because they identify it as responsible for their symptoms and these improve with the gluten-free diet, so they self-diagnose as NCGS. People with NCGS may develop gastrointestinal symptoms, which resemble those of irritable bowel syndrome or wheat allergy, or a wide variety of non-gastrointestinal symptoms, such as headache, chronic fatigue, fibromyalgia, atopic diseases, allergies, neurological diseases, or psychiatric disorders, among others. The results of a 2017 study suggest that NCGS may be a chronic disorder, as is the case with celiac disease. Besides gluten, additional components present in wheat, rye, barley, oats, and their derivatives, including other proteins called amylase-trypsin inhibitors (ATIs) and short-chain carbohydrates known as FODMAPs, may cause NCGS symptoms. As of 2019, reviews conclude that although FODMAPs present in wheat and related grains may play a role in non-celiac gluten sensitivity, they only explain certain gastrointestinal symptoms, such as bloating, but not the extra-digestive symptoms that people with non-celiac gluten sensitivity may develop, such as neurological disorders, fibromyalgia, psychological disturbances, and dermatitis. ATIs may cause toll-like receptor 4 (TLR4)-mediated intestinal inflammation in humans. Wheat allergy People can also experience adverse effects of wheat as result of a wheat allergy. As with most allergies, a wheat allergy causes the immune system to respond abnormally to a component of wheat that it treats as a threatening foreign body. This immune response is often time-limited and does not cause lasting harm to body tissues. Wheat allergy and celiac disease are different disorders. Gastrointestinal symptoms of wheat allergy are similar to those of celiac disease and non-celiac gluten sensitivity, but there is a different interval between exposure to wheat and onset of symptoms. An allergic reaction to wheat has a fast onset (from minutes to hours) after the consumption of food containing wheat and could include anaphylaxis. Gluten ataxia Gluten ataxia is an autoimmune disease triggered by the ingestion of gluten. With gluten ataxia, damage takes place in the cerebellum, the balance center of the brain that controls coordination and complex movements like walking, speaking and swallowing, with loss of Purkinje cells. People with gluten ataxia usually present gait abnormality or incoordination and tremor of the upper limbs. Gaze-evoked nystagmus and other ocular signs of cerebellar dysfunction are common. Myoclonus, palatal tremor, and opsoclonus-myoclonus may also appear. Early diagnosis and treatment with a gluten-free diet can improve ataxia and prevent its progression.
some people. The spectrum of gluten related disorders includes celiac disease in 1–2% of the general population, non-celiac gluten sensitivity in 0.5–13% of the general population, as well as dermatitis herpetiformis, gluten ataxia and other neurological disorders. These disorders are treated by a gluten-free diet. Uses Bread products Gluten forms when glutenin molecules cross-link via disulfide bonds to form a submicroscopic network attached to gliadin, which contributes viscosity (thickness) and extensibility to the mix. If this dough is leavened with yeast, fermentation produces carbon dioxide bubbles, which, trapped by the gluten network, cause the dough to rise. Baking coagulates the gluten, which, along with starch, stabilizes the shape of the final product. Gluten content has been implicated as a factor in the staling of bread, possibly because it binds water through hydration. The formation of gluten affects the texture of the baked goods. Gluten's attainable elasticity is proportional to its content of glutenins with low molecular weights, as this portion contains the preponderance of the sulfur atoms responsible for the cross-linking in the gluten network. Further refining of the gluten leads to chewier doughs such as those found in pizza and bagels, while less refining yields tender baked goods such as pastry products. Generally, bread flours are high in gluten (hard wheat); pastry flours have a lower gluten content. Kneading promotes the formation of gluten strands and cross-links, creating baked products that are chewier (as opposed to more brittle or crumbly). The "chewiness" increases as the dough is kneaded for longer times. An increased moisture content in the dough enhances gluten development, and very wet doughs left to rise for a long time require no kneading (see no-knead bread). Shortening inhibits formation of cross-links and is used, along with diminished water and less kneading, when a tender and flaky product, such as a pie crust, is desired. The strength and elasticity of gluten in flour is measured in the baking industry using a farinograph. This gives the baker a measurement of quality for different varieties of flours when developing recipes for various baked goods. Added gluten In industrial production, a slurry of wheat flour is kneaded vigorously by machinery until the gluten agglomerates into a mass. This mass is collected by centrifugation, then transported through several stages integrated in a continuous process. About 65% of the water in the wet gluten is removed by means of a screw press; the remainder is sprayed through an atomizer nozzle into a drying chamber, where it remains at an elevated temperature for a short time to allow the water to evaporate without denaturing the gluten. The process yields a flour-like powder with a 7% moisture content, which is air cooled and pneumatically transported to a receiving vessel. In the final step, the processed gluten is sifted and milled to produce a uniform product. This flour-like powder, when added to ordinary flour dough, may help improve the dough's ability to increase in volume. The resulting mixture also increases the bread's structural stability and chewiness. Gluten-added dough must be worked vigorously to induce it to rise to its full capacity; an automatic bread machine or food processor may be required for high-gluten kneading. Generally, higher gluten levels are associated with higher overall protein content. Imitation meats Gluten, especially wheat gluten, is often the basis for imitation meats resembling beef, chicken, duck (see mock duck), fish and pork. When cooked in broth, gluten absorbs some of the surrounding liquid (including the flavor) and becomes firm to the bite. This use of gluten is a popular means of adding supplemental protein to many vegetarian diets. In home or restaurant cooking, wheat gluten is prepared from flour by kneading the flour under water, agglomerating the gluten into an elastic network known as a dough, and then washing out the starch. Other consumer products Gluten is often present in beer and soy sauce, and can be used as a stabilizing agent in more unexpected food products, such as ice cream and ketchup. Foods of this kind may therefore present problems for a small number of consumers because the hidden gluten constitutes a hazard for people with coeliac disease and gluten sensitivities. The protein content of some pet foods may also be enhanced by adding gluten. Gluten is also used in cosmetics, hair products and other dermatological preparations. Disorders "Gluten-related disorders" is the umbrella term for all diseases triggered by gluten, which include celiac disease (CD), non-celiac gluten sensitivity (NCGS), wheat allergy, gluten ataxia and dermatitis herpetiformis (DH). Pathophysiological research The gluten peptides are responsible for triggering gluten-related disorders. In people who have celiac disease, the peptides cause injury of the intestines, ranging from inflammation to partial or total destruction of the intestinal villi. To study mechanisms of this damage, laboratory experiments are done in vitro and in vivo. Among the gluten peptides, gliadin has been studied extensively. In vitro and in vivo studies In the context of celiac disease, gliadin peptides are classified in basic and clinical research as toxic or immunogenic, depending on their mechanism of action: The toxic peptides are those capable of directly affecting cells and intestinal preparations in vitro, producing cellular damage in vivo and eliciting the innate immune response. In vitro, the peptides promote cell apoptosis (a form of programmed cell death) and inhibit the synthesis of nucleic acids (DNA and RNA) and proteins, reducing the viability of cells. Experiments in vivo with normal mice showed that they cause an increase in cell death and the production of interferon type I (an inflammatory mediator). In vitro, gluten alters cellular morphology and motility, cytoskeleton organization, oxidative balance, and tight junctions. The immunogenic peptides are those able to activate T cells in vitro. At least 50 epitopes of gluten may produce cytotoxic, immunomodulatory, and gut-permeating activities. The effect of oat peptides (avenins) in celiac people depends on the oat cultivar consumed because of prolamin genes, protein amino acid sequences, and the immunotoxicity of prolamins which vary among oat varieties. In addition, oat products may be cross-contaminated with the other gluten-containing cereals. Incidence , gluten-related disorders were increasing in frequency in different geographic areas. Some suggested explanations for
The narrative explains that Glen is a transvestite, but not a homosexual. He hides his cross-dressing from his fiancée, Barbara, fearing that she will reject him. She voices her suspicion that there is another woman in his life, unaware that the woman is his feminine alter ego, Glenda. The scene shifts from a speechless Glen to footage of a stampeding herd of bison, while the Scientist calls for Glen to "Pull the string. Dance to that for which one is made!", referring to the narrator pulling the strings of a hapless puppet who is not in control of his own destiny. Alton narrates that Glen is torn between the idea of being honest with Barbara before their wedding, or waiting until after. The narrative shifts briefly from Glen's story to how society reacts to sex change operations. A conversation between two "average joes", concludes that society should be more "lenient" when it comes to people with tranvestite tendencies. The story returns to Glen, who confides in a transvestite friend of his, John, whose wife left him after catching him wearing her clothes. Later, Glen/Glenda is walking the city streets at night. He returns home, when the sound of thunder causes him to collapse to the floor; an extended dream sequence begins. Barbara is depicted trapped under a tree. Glenda fails to lift the tree, then is replaced by Glen, who completes the task with ease. The dream then depicts Glen and Barbara getting married, where the best man is a devil. The sequence continues with a series of erotic vignettes containing BDSM, striptease, lesbian, autoerotic, and rape fantasy themes. Throughout these vignettes, the faces of Glen and the Scientist appear, silently reacting to the various images. The dream returns to Glen in the midst of a jury of public opinion. A blackboard appears, with messages recording what the Scientist or the mocking voices said in previous scenes. The Devil and the various spectres on the jury menacingly approach Glen. Then the Devil departs, Glen turns into Glenda, and the spectres retreat. A victorious Glenda sees Barbara and approaches her, but she turns into a mocking Devil. Barbara starts appearing and disappearing, always evading Glenda's embrace. The dream sequence ends. Glen/Glenda wakes and stares at his mirror reflection. He decides to tell Barbara the truth. She initially reacts with distress, but ultimately decides to stay with him. She offers him an angora sweater as a sign of acceptance. The scene effectively concludes their story. Back in Dr. Alton's office, he starts another narrative. This one concerns another tranvestite, called Alan/Anne. Anne was born Alan, a boy, but her mother wanted a girl and raised her as such. Her father did not care either way. She was an outsider as a child, trying to be one of the girls and consequently rejected by schoolmates of both sexes. As a teenager, she self-identified as a woman. She was conscripted in World War II, maintaining a secret life throughout her military service. She first heard of sex change operations during the War while recovering from combat wounds in a hospital. She eventually did have a sex change operation, enduring the associated pains to fulfill her dreams. The World War II veteran becomes a "lovely young lady". Following a brief epilogue, the film ends. Cast Ed Wood as Glen/Glenda Timothy Farrell as Dr. Alton/Narrator Dolores Fuller as Barbara Bela Lugosi as Scientist/Spirit 'Tommy' Haynes as Alan/Anne Lyle Talbot as
Lugosi and Wood's then-girlfriend Dolores Fuller. It was produced by George Weiss who also made the exploitation film Test Tube Babies that same year. The film is a docudrama about cross-dressing and transvestism, and is semi-autobiographical in nature. Wood himself was a cross-dresser, and the film is a plea for tolerance. It is widely considered one of the worst films ever made. However, it has become a cult film due to its low-budget production values and idiosyncratic style. Plot Glen or Glenda begins with a narrator, called The Scientist (Bela Lugosi), making cryptic comments about humanity. He first comments that humanity's constant search for the unknown results in startling things coming to light. The cries of a newborn baby are followed by the sirens of an ambulance. One is a sign that a new life has begun, the other that a life has ended. This last comment starts the narrative of the film. The life which has ended is that of a transvestite named Patrick/Patricia, who has committed suicide. A suicide note explains the reasons behind the suicide. Patrick/Patricia had been arrested four times for cross-dressing in public, and had spent time in prison, so he ended his own life and wished to be buried with his women's clothing. "Let my body rest in death forever, in the things I cannot wear in life." Inspector Warren is puzzled and wants to know more about cross-dressing, so he seeks the office of Dr. Alton, who narrates for him the story of Glen/Glenda. Glen is shown studying women's clothes in a shop window. A flashback scene reveals that a young Glen started out by asking to wear his sister's dress for a Halloween party. The narrative explains that Glen is a transvestite, but not a homosexual. He hides his cross-dressing from his fiancée, Barbara, fearing that she will reject him. She voices her suspicion that there is another woman in his life, unaware that the woman is his feminine alter ego, Glenda. The scene shifts from a speechless Glen to footage of a stampeding herd of bison, while the Scientist calls for Glen to "Pull the string. Dance to that for which one is made!", referring to the narrator pulling the strings of a hapless puppet who is not in control of his own destiny. Alton narrates that Glen is torn between the idea of being honest with Barbara before their wedding, or waiting until after. The narrative shifts briefly from Glen's story to how society reacts to sex change operations. A conversation between two "average joes", concludes that society should be more "lenient" when it comes to people with tranvestite tendencies. The story returns to Glen, who confides in a transvestite friend of his, John, whose wife left him after catching him wearing her clothes. Later, Glen/Glenda is walking the city streets at night. He returns home, when the sound of thunder causes him to collapse to the floor; an extended dream sequence begins. Barbara is depicted trapped under a tree. Glenda fails to lift the tree, then is replaced by Glen, who completes the task with ease. The dream then depicts Glen and Barbara getting married, where the best man is a devil. The sequence continues with a series of erotic vignettes containing BDSM, striptease, lesbian, autoerotic, and rape fantasy themes. Throughout these vignettes, the faces of Glen and the Scientist appear, silently reacting to the various images. The dream returns to Glen in the midst of a jury of public opinion. A blackboard appears, with messages recording what the Scientist or the mocking voices said in previous scenes. The Devil and the various spectres on the jury menacingly approach Glen. Then the Devil departs, Glen turns into Glenda, and the spectres retreat. A victorious Glenda sees Barbara and approaches her, but she turns into a mocking Devil. Barbara starts appearing and disappearing, always evading Glenda's embrace. The dream sequence ends. Glen/Glenda wakes and stares at his mirror reflection. He decides to tell Barbara the truth. She initially reacts with distress, but ultimately decides to stay with him. She offers him an angora sweater as a sign of acceptance. The scene effectively concludes their story. Back in Dr. Alton's office, he starts another narrative. This one concerns another tranvestite, called Alan/Anne. Anne was born Alan, a boy, but her mother wanted a girl and raised her as such. Her father did not care either way. She was an outsider as a child, trying to be one of the girls and consequently rejected by schoolmates of both sexes. As a teenager, she self-identified as a woman. She was conscripted in World War II, maintaining a secret life throughout her military service. She first heard of sex change operations during the War while recovering from combat wounds in a hospital. She eventually did have a sex change operation, enduring the associated pains to fulfill her dreams. The World War II veteran becomes a "lovely young lady". Following a brief epilogue, the film ends. Cast Ed Wood as Glen/Glenda Timothy Farrell as Dr. Alton/Narrator Dolores
David Kory in Dondi Worst Film You Never Saw (category for films never completed or only released in a limited fashion): Billy Jack Goes to Washington Most Inane Technical Advance: Percepto, designed by William Castle for his 1959 film, The Tingler starring Vincent Price. At certain times in the film small vibrators attached to the underside of some seats within the auditorium were activated to give some audience members a tingle. Worst Line of Romantic Dialogue: an exchange between Gary Cooper and Madeleine Carroll in Northwest Mounted Police Worst Director: Ed Wood Worst Actress: Raquel Welch Worst Actor: Richard Burton (a highly controversial choice, considering that he was a seven-time Oscar nominee, noted Shakespearean performer and widely considered one of the world's greatest actors, but made because Burton starred in so many bad films) In addition, the Golden Turkey Awards had a reader's choice category for Worst Film of All Time, voted upon by readers of The Fifty Worst Films of All Time. First Runner-Up: Exorcist II: The Heretic Worst Film: Plan 9 from Outer Space Hoax film One of the films nominated in the book was in fact an invention of the authors, and the book's readers were challenged by them to figure out which film was actually fake. The fake film was Dog of Norway featuring "Muki the Wonder Hound". This film was illustrated using a photo of a co-author's pet dog. The giveaway was that the same dog was in the photo of the authors in the back of the book. Another film in the book, the now-lost 1974 porn film Him, has also been cited as the hoax, though it is definitely known to have existed. No formal clarification of the hoax film was provided by the subsequent release, The Hollywood Hall of Shame. That book again features the same dog pictured with the authors (as did the subsequent Son of Golden Turkey Awards). In The Hollywood Hall of Shame, in reference to the dish barbecued dog, the authors explain that it was "a snack which produced a mixed reaction among the representatives of an industry that had given the world Lassie, Rin Tin Tin, Benji, Phyllis Diller, and Muki the Wonder Hound." The "Acknowledgements" page of The Fifty Worst Films of All Time ends with: And love, most of all, to Muki, who was there to understand when the going got rough. Reception Betsa Marsh wrote for the Gannett News Service, "In their breezy, irreverent style, bristling with puns and sarcasm, the Medveds take us from one debacle to another... It's a great book to keep with your TV Guide, in your bathroom or even on your coffee table, to impress your friends with your impeccably bad taste." Some critics took exception to the book's style; Kenneth Tucker wrote, "The line between the witty and the arrogant is indeed hard to draw. At times to me, however, the commentary degenerates into smugness or becomes unnecessarily waspish." In Film Comment, J. Hoberman was quite hostile, describing The Fifty Worst Films of All Time and The Golden Turkey Awards as "a pair of humorous non-books researched by teenaged Harry Medved and written by his older brother Michael. The Medved position — if we discount its patina of Mad magazine masochism and resolve to stomach their facetious tone — also suggests that the best bad movies are akin to masterpieces." See also Golden Raspberry Awards Stinkers Bad Movie Awards List of films considered the worst Notes References Medved, Harry, and Randy Dreyfuss. The Fifty Worst Films of All Time (And How They Got That Way). 1978, Warner Books. . Medved, Michael, and Harry Medved. The Golden Turkey Awards. 1980, Putnam. . Medved, Michael, and Harry Medved. The Hollywood Hall of Shame: The Most Expensive Flops in Movie History, 1984, , (paperback) Medved, Harry and Michael. Son of Golden Turkey Awards, 1986, Villard Books. . External links The list on Letterboxd American film awards
We further recognize that the number of bad films is so enormous and the competition for the very worst is so intense, that all decisions reached here are subject to considerable second-guessing. Nevertheless, we have researched the subject thoroughly—sitting through more than 2,000 wretched films in the last few years—and we believe that our nominees and award winners can stand the test of time." The Medveds had previously celebrated bad cinema in the 1978 The Fifty Worst Films of All Time, many of which were also featured in the various Golden Turkey Awards categories. Subsequently, they turned their attention to box office bombs in The Hollywood Hall of Shame. They also published a sequel to The Golden Turkey Awards, Son of Golden Turkey Awards, in 1986. They declared that Son of Golden Turkey Awards "is our last word...we hereby solemnly pledge that the years ahead will produce no further Golden Turkey publications by the Medved Brothers...we now pass the torch to whichever brave souls feel ready to take up the challenge." Son of Golden Turkey Awards also listed a "Who's Who in the World of Bad Movies" at the end of its awards presentations. The Golden Turkey Awards formed the basis of a 1983 television series The Worst of Hollywood hosted by Michael Medved. Awards given In the book The Fifty Worst Films of All Time the authors invited readers to write in nominating their favorite "worst films". More than 3,000 ballots were received. Based on these votes, the Worst Film of All Time award was given to Plan 9 from Outer Space by Ed Wood. Wood is also awarded the title of Worst Director of All Time, judged by the authors. Raquel Welch is judged the Worst Actress of All Time over nominees including Candice Bergen and Mamie van Doren. Richard Burton is judged as the Worst Actor of All Time over nominees John Agar, Tony Curtis and Victor Mature. While conceding he is sometimes brilliant, the authors claim Burton's "occasional triumphs only serve to highlight the pathetic waste in most of his films; for every Equus in which he appears there are at least a half-dozen Cleopatras or Boom!s. The authors state that "when he is bad ... well, he's just the pits" and list several "bad" films in which he has appeared: The Sandpiper, Hammersmith Is Out, The Voyage, The Medusa Touch and The Assassination of Trotsky. Another Burton film, Exorcist II: The Heretic, is the book's first runner up in the Worst Film of All Time award based on reader response. List of Golden Turkey winners Most Embarrassing Movie Debut: Paul Newman in The Silver Chalice Most Ridiculous Movie Monster: Ro-Man from Robot Monster Worst Performance by a Popular Singer: Tony Bennett in The Oscar Worst Title: Rat Pfink a Boo Boo Most Brainless Brain Movie: They Saved Hitler's Brain Most 'Badly Bumbled Bee' Movie: The Swarm Worst Casting: John Wayne as Genghis Khan in The Conqueror Worst Performance by a Politician: United States Congressman and New York City Mayor John Lindsay in Rosebud Worst Two-Headed Transplant Movie: The Thing with Two Heads Worst Rodent Movie: The Food of the Gods Worst Performance by a Novelist: Norman Mailer in Wild 90 P.T. Barnum Award for Worst Cinematic Exploitation of a Physical Deformity: The Terror of Tiny Town, a Western film with an all-dwarf cast. Worst Musical Extravaganza: At Long Last Love Worst Performance as a Clergyman or Nun: Mary Tyler Moore in Change of Habit Worst Performance as Jesus Christ: Ted Neeley in Jesus Christ Superstar Worst Blaxploitation Movie: Scream Blacula Scream Biggest Rip-off in Hollywood History: The 1976 version of King Kong Worst Credit Line: The 1929 version of William Shakespeare's The Taming of the Shrew, "with additional dialogue by Sam Taylor" (this credit does not appear in the surviving prints of the film). Most Unerotic Concept in Pornography: Him, a porn film about a priest with a sexual fixation on Jesus Christ Worst Performance by an Animal: Dinky the Chimp in Tarzan and the Great River. (During filming, Dinky attacked and injured lead actor Mike Henry.) Worst Vegetable Movie: Attack of the Mushroom People (mushrooms are actually fungi, not vegetables) Worst Performance by Sonny Tufts: Government Girl Most Ludicrous Racial Impersonation: Marlon Brando as a native of Okinawa in The Teahouse of the August Moon Most Obnoxious Child Performer: David Kory in Dondi Worst Film You
Later that year, they met for a second time at Whitehall. On a personal level, the meeting went well; despite disagreements between the two men, they had a certain rapport. Fox invited Cromwell to "lay down his crown at the feet of Jesus" – which Cromwell declined to do. Fox met Cromwell again twice in March 1657. Their last meeting was in 1658 at Hampton Court, though they could not speak for long or meet again because of the Protector's worsening illness – Fox even wrote that "he looked like a dead man". Cromwell died in September of that year. James Nayler One early Quaker convert, the Yorkshireman James Nayler, arose as a prominent preacher in London around 1655. A breach began to form between Fox's and Nayler's followers. As Fox was held prisoner at Launceston, Nayler moved south-westwards towards Launceston intending to meet Fox and heal any rift. On the way he was arrested himself and held at Exeter. After Fox was released from Launceston gaol in 1656, he preached throughout the West Country. Arriving at Exeter late in September, Fox was reunited with Nayler. Nayler and his followers refused to remove their hats while Fox prayed, which Fox took as both a personal slight and a bad example. When Nayler refused to kiss Fox's hand, Fox told Nayler to kiss his foot instead. Nayler was offended and the two parted acrimoniously. Fox wrote that "there was now a wicked spirit risen amongst Friends". After Nayler's own release later the same year he rode into Bristol triumphantly playing the part of Jesus Christ in a re-enactment of Palm Sunday. He was arrested and taken to London, where Parliament defeated a motion to execute him by 96–82. Instead, they ordered that he be pilloried and whipped through both London and Bristol, branded on his forehead with the letter B (for blasphemer), bored through the tongue with a red-hot iron and imprisoned in solitary confinement with hard labour. Nayler was released in 1659, but he was a broken man. On meeting Fox in London, he fell to his knees and begged Fox's forgiveness. Shortly afterward, Nayler was attacked by thieves while travelling home to his family, and died. Suffering and growth The persecutions of these years – with about a thousand Friends in prison by 1657 – hardened Fox's opinions of traditional religious and social practices. In his preaching, he often emphasised the Quaker rejection of baptism by water; this was a useful way of highlighting how the focus of Friends on inward transformation differed from what he saw as the superstition of outward ritual. It was also a deliberate provocation of adherents of those practices, so providing opportunities for Fox to argue with them on matters of scripture. The same pattern appeared in his court appearances: when a judge challenged him to remove his hat, Fox replied by asking where in the Bible such an injunction could be found. The Society of Friends became increasingly organised towards the end of the decade. Large meetings were held, including a three-day event in Bedfordshire, the precursor of the present Britain Yearly Meeting system. Fox commissioned two Friends to travel around the country collecting the testimonies of imprisoned Quakers, as evidence of their persecution; this led to the establishment in 1675 of Meeting for Sufferings, which has continued to the present day. The 1650s, when the Friends were at their most confrontational, was one of the most creative periods of their history. Under the Commonwealth, Fox had hoped that the movement would become the major church in England. Disagreements, persecution and increasing social turmoil, however, led Fox to suffer from severe depression, which left him deeply troubled at Reading, Berkshire, for ten weeks in 1658 or 1659. In 1659, he sent parliament his most politically radical pamphlet, Fifty nine Particulars laid down for the Regulating things, but the year was so chaotic that it never considered these; the document was not reprinted until the 21st century. The Restoration With the restoration of the monarchy, Fox's dreams of establishing the Friends as the dominant religion seemed at an end. He was again accused of conspiracy, this time against Charles II, and fanaticism – a charge he resented. He was imprisoned in Lancaster for five months, during which he wrote to the king offering advice on governance: Charles should refrain from war and domestic religious persecution, and discourage oath-taking, plays, and maypole games. These last suggestions reveal Fox's Puritan leanings, which continued to influence Quakers for centuries after his death. Once again, Fox was released after demonstrating that he had no military ambitions. At least on one point, Charles listened to Fox. The 700 Quakers who had been imprisoned under Richard Cromwell were released, though the government remained uncertain about the group's links with other, more violent, movements. A revolt by the Fifth Monarchists in January 1661 led to the suppression of that sect and the repression of other Nonconformists, including Quakers. In the aftermath of this attempted coup, Fox and eleven other Quakers issued a broadside proclaiming what became known among Friends in the 20th century as the "peace testimony", committing themselves to oppose all outward wars and strife as contrary to the will of God. Not all his followers accepted this commitment; Isaac Penington, for example, dissented for a time, arguing that the state had a duty to protect the innocent from evil, if necessary by using military force. Despite the testimony, persecution against Quakers and other dissenters continued. Penington and others such as John Perrot and John Pennyman were uneasy at Fox's increasing power within the movement. Like Nayler before them, they saw no reason why men should remove their hats for prayer, arguing that men and women should be treated as equals, and if, as according to the apostle Paul, women should cover their heads, then so could men. Perrot and Penington lost the argument. Perrot emigrated to the New World, and Fox retained leadership of the movement. Parliament enacted laws which forbade non-Anglican religious meetings of more than five people, essentially making Quaker meetings illegal. Fox counselled his followers to violate openly laws that attempted to suppress the movement, and many Friends, including women and children, were jailed over the next quarter-century. Meanwhile, Quakers in New England had been banished (and some executed), and Charles was advised by his councillors to issue a mandamus condemning this practice and allowing them to return. Fox was able to meet some of the New England Friends when they came to London, stimulating his interest in the colonies. Fox was unable to travel there immediately: he was imprisoned again in 1664 for his refusal to swear the oath of allegiance, and on his release in 1666 was preoccupied with organizational matters — he normalised the system of monthly and quarterly meetings throughout the country, and extended it to Ireland. Visiting Ireland also gave him a chance to preach against what he saw as the excesses of the Roman Catholic Church, in particular the use of ritual. More recent Quaker commentators have noted points of contact between the denominations: both claim the actual presence of God in their meetings, and both allow the collective opinion of the church to augment Biblical teaching. Fox, however, did not perceive this, brought up as he had been in a wholly Protestant environment hostile to "Popery". Fox married Margaret Fell of Swarthmoor Hall, a lady of high social position and one of his early converts, on 27 October 1669 at a meeting in Bristol. She was ten years his senior and had eight children (all but one of them Quakers) by her first husband, Thomas Fell, who had died in 1658. She was herself very active in the movement, and had campaigned for equality and the acceptance of women as preachers. As there were no priests at Quaker weddings to perform the ceremony, the union took the form of a civil marriage approved by the principals and the witnesses at a meeting. Ten days after the marriage, Margaret returned to Swarthmoor to continue her work there, while George went back to London. Their shared religious work was at the heart of their life together, and they later collaborated on much of the administration the Society required. Shortly after the marriage, Margaret was imprisoned in Lancaster; George remained in the south-east of England, becoming so ill and depressed that for a time he lost his sight. Travels in North America and Europe By 1671 Fox had recovered and Margaret had been released by order of the King. Fox resolved to visit the English settlements in North America and the West Indies, remaining there for two years, possibly to counter any remnants of Perrot's teaching there. After a voyage of seven weeks, during which dolphins were caught and eaten, the party arrived in Barbados on 3 October 1671. From there, Fox sent an epistle to Friends spelling out the role of women's meetings in the Quaker marriage ceremony, a point of controversy when he returned home. One of his proposals suggested that the prospective couple should be interviewed by an all-female meeting prior to the marriage to determine whether there were any financial or other impediments. Though women's meetings had been held in London for the last ten years, this was an innovation in Bristol and the north-west of England, which many there felt went too far. Fox wrote a letter to the governor and assembly of the island in which he refuted charges that Quakers were stirring up the slaves to revolt and tried to affirm the orthodoxy of Quaker beliefs. After a stay in Jamaica, Fox's first landfall on the North American continent was at Maryland, where he participated in a four-day meeting of local Quakers. He remained there while various of his English companions travelled to the other colonies, because he wished to meet some Native Americans who were interested in Quaker ways—though he relates that they had "a great dispute" among themselves about whether to participate in the meeting. Fox was impressed by their general demeanour, which he saw as "courteous and loving". He resented the suggestion (from a man in North Carolina) that "the Light and Spirit of God ... was not in the Indians", a proposition which Fox rejected. Fox left no record of encountering slaves on the mainland. Elsewhere in the colonies, Fox helped to establish organizational systems for the Friends, along the same lines as he had done in Britain. He also preached to many non-Quakers, some but not all of whom were converted. After extensive travels round the various American colonies, George Fox returned to England in June 1673 confident that his movement was firmly established there. Back in England, however, he found his movement sharply divided among provincial Friends (such as William Rogers, John Wilkinson and John Story) who resisted establishment of women's meetings and the power of those who resided in or near London. With William Penn and Robert Barclay as allies of Fox, the challenge to Fox's leadership was eventually put down. But in the midst of the dispute, Fox was imprisoned again for refusing to swear oaths after being captured at Armscote, Worcestershire. His mother died shortly after hearing of his arrest and Fox's health began to suffer. Margaret Fell petitioned the king for his release, which was granted, but Fox felt too weak to take up his travels immediately. Recuperating at Swarthmoor, he began dictating what would be published after his death as his journal and devoted his time to his written output: letters, both public and private, as well as books and essays. Much of his energy was devoted to the topic of oaths, having become convinced of its importance to Quaker ideas. By refusing to swear, he felt that he could bear witness to the value of truth in everyday life, as well as to God, whom he associated with truth and the inner light. For three months in 1677 and a month in 1684, Fox visited the Friends in the Netherlands, and organised their meetings for discipline. The first trip was the more extensive, taking him into what is now Germany, proceeding along the coast to Friedrichstadt and back again over several days. Meanwhile, Fox was participating in a dispute among Friends in Britain over the role of women in meetings, a struggle which took much of his energy and left him exhausted. Returning to England, he stayed in the south to try to end the dispute. He followed with interest the foundation of the colony of Pennsylvania, where Penn had given him over of land. Persecution continued, with Fox arrested briefly in October 1683. Fox's health was worsening, but he continued his activities – writing to leaders in Poland, Denmark, Germany and elsewhere about his beliefs and their treatment of Quakers. Last years In the last years of his life, Fox continued to participate in the London Meetings, and still made representations to Parliament about the sufferings of Friends. The new King, James II, pardoned religious dissenters jailed for failure to attend the established church, leading to the release of about 1,500 Friends. Though the Quakers lost influence after the Glorious Revolution, which deposed James II, the Act of Toleration 1689 put an end to the uniformity laws under which Quakers had been persecuted, permitting them to assemble freely. Two days after preaching as usual at the Gracechurch Street Meeting House in London, George Fox died between 9 and 10 p.m. on 13 January 1690 O.S. (23 January 1691 N.S.). He was interred three days later in the Quaker Burying Ground, in the presence of thousands of mourners. Book of Miracles George Fox performed hundreds of healings throughout his preaching ministry, the records of which were collected in a notable but now lost book entitled Book of Miracles. This book was listed in the catalogue of George Fox’s work maintained by the Friends Library in Friends House, London. In 1932, Henry Cadbury found a reference
a preacher. Conflict with civil authority was inevitable. Fox was imprisoned several times, the first at Nottingham in 1649. At Derby in 1650 he was imprisoned for blasphemy; a judge mocked Fox's exhortation to "tremble at the word of the Lord", calling him and his followers "Quakers". After he refused to fight against the return of the monarchy (or to take up arms for any reason), his sentence was doubled. The refusal to swear oaths or take up arms came to be much more important in his public statements. Refusal to take oaths meant that Quakers could be prosecuted under laws compelling subjects to pledge allegiance and made testifying in court problematic. In a letter of 1652 (That which is set up by the sword), he urged Friends not to use "carnal weapons" but "spiritual weapons", saying, "let the waves [the power of nations] break over your heads". In 1652, Fox preached for several hours under a walnut tree at Balby, where his disciple Thomas Aldham was instrumental in setting up the first meeting in the Doncaster area. In the same year Fox felt that God led him to ascend Pendle Hill, where he had a vision of many souls coming to Christ. From there he travelled to Sedbergh, where he had heard a group of Seekers was meeting, and preached to over a thousand people on Firbank Fell, convincing many, including Francis Howgill, to accept that Christ might speak to people directly. At the end of the month he stayed at Swarthmoor Hall, near Ulverston, the home of Thomas Fell, vice-chancellor of the Duchy of Lancaster, and his wife, Margaret. Around that time, the ad hoc meetings of Friends began to be formalised and a monthly meeting was set up in County Durham. Margaret became a Quaker, and although Thomas did not convert, his familiarity with the Friends proved influential when Fox was arrested for blasphemy in October. Fell was one of three presiding judges, and the charges were dismissed on a technicality. Fox remained at Swarthmoor until the summer of 1653, then left for Carlisle, where he was arrested again for blasphemy. It was even proposed to put him to death, but Parliament requested his release rather than have "a young man ... die for religion". Further imprisonments came in London in 1654, Launceston in 1656, Lancaster in 1660, Leicester in 1662, Lancaster again and Scarborough in 1664–1666 and Worcester in 1673–1675. Charges usually included causing a disturbance and travelling without a pass. Quakers fell foul of irregularly enforced laws forbidding unauthorised worship, while actions motivated by belief in social equality – refusing to use or acknowledge titles, take hats off in court or bow to those who considered themselves socially superior – were seen as disrespectful. While imprisoned at Launceston, Fox wrote, "Christ our Lord and master saith 'Swear not at all, but let your communications be yea, yea, and nay, nay, for whatsoever is more than these cometh of evil.' ... the Apostle James saith, 'My brethren, above all things swear not, neither by heaven, nor by earth, nor by any other oath. Lest ye fall into condemnation.'" In prison George Fox continued writing and preaching, feeling that imprisonment brought him into contact with people who needed his help—the jailers as well as his fellow prisoners. In his journal, he told his magistrate, "God dwells not in temples made with hands." He also sought to set an example by his actions there, turning the other cheek when being beaten and refusing to show his captors any dejected feelings. Encounters with Cromwell Parliamentarians grew suspicious of monarchist plots and fearful that the group travelling with Fox aimed to overthrow the government: by this time his meetings were regularly attracting crowds of over a thousand. In early 1655 he was arrested at Whetstone, Leicestershire and taken to London under armed guard. In March he was brought before the Lord Protector, Oliver Cromwell. After affirming that he had no intention of taking up arms, Fox was able to speak to Cromwell for most of the morning about the Friends. He advised him to listen to God's voice and obey it, so that as Fox left, Cromwell "with tears in his eyes said, 'Come again to my house; for if thou and I were but an hour of a day together, we should be nearer one to the other'; adding that he wished [Fox] no more ill than he did to his own soul." This episode was later recalled as an example of "speaking truth to power", a preaching technique by which subsequent Quakers hoped to influence the powerful. Although not used until the 20th century, the phrase is related to the ideas of plain speech and simplicity which Fox practised, but motivated by the more worldly goal of eradicating war, injustice and oppression. Fox petitioned Cromwell over the course of 1656 to alleviate the persecution of Quakers. Later that year, they met for a second time at Whitehall. On a personal level, the meeting went well; despite disagreements between the two men, they had a certain rapport. Fox invited Cromwell to "lay down his crown at the feet of Jesus" – which Cromwell declined to do. Fox met Cromwell again twice in March 1657. Their last meeting was in 1658 at Hampton Court, though they could not speak for long or meet again because of the Protector's worsening illness – Fox even wrote that "he looked like a dead man". Cromwell died in September of that year. James Nayler One early Quaker convert, the Yorkshireman James Nayler, arose as a prominent preacher in London around 1655. A breach began to form between Fox's and Nayler's followers. As Fox was held prisoner at Launceston, Nayler moved south-westwards towards Launceston intending to meet Fox and heal any rift. On the way he was arrested himself and held at Exeter. After Fox was released from Launceston gaol in 1656, he preached throughout the West Country. Arriving at Exeter late in September, Fox was reunited with Nayler. Nayler and his followers refused to remove their hats while Fox prayed, which Fox took as both a personal slight and a bad example. When Nayler refused to kiss Fox's hand, Fox told Nayler to kiss his foot instead. Nayler was offended and the two parted acrimoniously. Fox wrote that "there was now a wicked spirit risen amongst Friends". After Nayler's own release later the same year he rode into Bristol triumphantly playing the part of Jesus Christ in a re-enactment of Palm Sunday. He was arrested and taken to London, where Parliament defeated a motion to execute him by 96–82. Instead, they ordered that he be pilloried and whipped through both London and Bristol, branded on his forehead with the letter B (for blasphemer), bored through the tongue with a red-hot iron and imprisoned in solitary confinement with hard labour. Nayler was released in 1659, but he was a broken man. On meeting Fox in London, he fell to his knees and begged Fox's forgiveness. Shortly afterward, Nayler was attacked by thieves while travelling home to his family, and died. Suffering and growth The persecutions of these years – with about a thousand Friends in prison by 1657 – hardened Fox's opinions of traditional religious and social practices. In his preaching, he often emphasised the Quaker rejection of baptism by water; this was a useful way of highlighting how the focus of Friends on inward transformation differed from what he saw as the superstition of outward ritual. It was also a deliberate provocation of adherents of those practices, so providing opportunities for Fox to argue with them on matters of scripture. The same pattern appeared in his court appearances: when a judge challenged him to remove his hat, Fox replied by asking where in the Bible such an injunction could be found. The Society of Friends became increasingly organised towards the end of the decade. Large meetings were held, including a three-day event in Bedfordshire, the precursor of the present Britain Yearly Meeting system. Fox commissioned two Friends to travel around the country collecting the testimonies of imprisoned Quakers, as evidence of their persecution; this led to the establishment in 1675 of Meeting for Sufferings, which has continued to the present day. The 1650s, when the Friends were at their most confrontational, was one of the most creative periods of their history. Under the Commonwealth, Fox had hoped that the movement would become the major church in England. Disagreements, persecution and increasing social turmoil, however, led Fox to suffer from severe depression, which left him deeply troubled at Reading, Berkshire, for ten weeks in 1658 or 1659. In 1659, he sent parliament his most politically radical pamphlet, Fifty nine Particulars laid down for the Regulating things, but the year was so chaotic that it never considered these; the document was not reprinted until the 21st century. The Restoration With the restoration of the monarchy, Fox's dreams of establishing the Friends as the dominant religion seemed at an end. He was again accused of conspiracy, this time against Charles II, and fanaticism – a charge he resented. He was imprisoned in Lancaster for five months, during which he wrote to the king offering advice on governance: Charles should refrain from war and domestic religious persecution, and discourage oath-taking, plays, and maypole games. These last suggestions reveal Fox's Puritan leanings, which continued to influence Quakers for centuries after his death. Once
virtuosic violinist, Gilles is also known for his interpretations of traditional music from Eastern Europe to America, such as gypsy, Irish, swing or bluegrass. He recorded three CDs in the 1990s with Sony Classical Records, then formed his own company, Apapaziz Productions. Since 1999, Apapaziz has recorded eight Gilles Apap CDs. Discography 1994 Gilles Apap and the Transylvanian Mountain Boys: Who? (Sony) 1996 Gilles Apap and the Transylvanian Mountain Boys: Gilles Apap & the Transylvanian Mountain Boys (Sony) 1997 Gilles Apap and the Transylvanian Mountain Boys: d'Ici & d'Ailleurs (Sony) 1999 Enescu, Debussy and Ravel – Sonatas for violin and piano
career as a soloist with orchestras around the world. A virtuosic violinist, Gilles is also known for his interpretations of traditional music from Eastern Europe to America, such as gypsy, Irish, swing or bluegrass. He recorded three CDs in the 1990s with Sony Classical Records, then formed his own company, Apapaziz Productions. Since 1999, Apapaziz has recorded eight Gilles Apap CDs. Discography 1994 Gilles Apap and the Transylvanian Mountain Boys: Who? (Sony) 1996 Gilles Apap and the Transylvanian Mountain Boys: Gilles Apap & the Transylvanian Mountain Boys (Sony) 1997 Gilles Apap and the Transylvanian Mountain Boys: d'Ici & d'Ailleurs (Sony) 1999 Enescu, Debussy and Ravel – Sonatas for violin and piano (Apapaziz) 2001 No Piano on That One (Apapaziz) 2002 Vivaldi's Four Seasons (Apapaziz) 2003 Gilles Apap and The Sinfonia Varsovia (Apapaziz) 2006 Gilles Apap: Music for
absolute confidentiality of the confessional. Although anti-Catholic legislation was introduced soon after the discovery of the plot, many important and loyal Catholics retained high office during King James I's reign. The thwarting of the Gunpowder Plot was commemorated for many years afterwards by special sermons and other public events such as the ringing of church bells, which evolved into the British variant of Bonfire Night of today. Background Religion in England Between 1533 and 1540, King Henry VIII took control of the English Church from Rome, the start of several decades of religious tension in England. English Catholics struggled in a society dominated by the newly separate and increasingly Protestant Church of England. Henry's daughter, Queen Elizabeth I, responded to the growing religious divide by introducing the Elizabethan Religious Settlement, which required anyone appointed to a public or church office to swear allegiance to the monarch as head of the Church and state. The penalties for refusal were severe; fines were imposed for recusancy, and repeat offenders risked imprisonment and execution. Catholicism became marginalised, but despite the threat of torture or execution, priests continued to practise their faith in secret. Succession Queen Elizabeth, unmarried and childless, steadfastly refused to name an heir. Many Catholics believed that her Catholic cousin, Mary, Queen of Scots, was the legitimate heir to the English throne, but she was executed for treason in 1587. The English Secretary of State, Robert Cecil, negotiated secretly with Mary's son and successor, King James VI of Scotland. In the months before Elizabeth's death on 24 March 1603, Cecil prepared the way for James to succeed her. Some exiled Catholics favoured Philip II of Spain's daughter, Isabella, as Elizabeth's successor. More moderate Catholics looked to James's and Elizabeth's cousin Arbella Stuart, a woman thought to have Catholic sympathies. As Elizabeth's health deteriorated, the government detained those they considered to be the "principal papists", and the Privy Council grew so worried that Arbella Stuart was moved closer to London to prevent her from being kidnapped by papists. Despite competing claims to the English throne, the transition of power following Elizabeth's death went smoothly. James's succession was announced by a proclamation from Cecil on 24 March, which was generally celebrated. Leading papists, rather than causing trouble as anticipated, reacted to the news by offering their enthusiastic support for the new monarch. Jesuit priests, whose presence in England was punishable by death, also demonstrated their support for James, who was widely believed to embody "the natural order of things". James ordered a ceasefire in the conflict with Spain, and even though the two countries were still technically at war, King Philip III sent his envoy, Don Juan de Tassis, to congratulate James on his accession. In the following year both countries signed the Treaty of London. For decades, the English had lived under a monarch who refused to provide an heir, but James arrived with a family and a clear line of succession. His wife, Anne of Denmark, was the daughter of a king. Their eldest child, the nine-year-old Henry, was considered a handsome and confident boy, and their two younger children, Elizabeth and Charles, were proof that James was able to provide heirs to continue the Protestant monarchy. Early reign of James I James's attitude towards Catholics was more moderate than that of his predecessor, perhaps even tolerant. He swore that he would not "persecute any that will be quiet and give an outward obedience to the law", and believed that exile was a better solution than capital punishment: "I would be glad to have both their heads and their bodies separated from this whole island and transported beyond seas." Some Catholics believed that the martyrdom of James's mother, Mary, Queen of Scots, would encourage James to convert to the Catholic faith, and the Catholic houses of Europe may also have shared that hope. James received an envoy from Albert VII, ruler of the remaining Catholic territories in the Netherlands after over 30 years of war in the Dutch Revolt by English-supported Protestant rebels. For the Catholic expatriates engaged in that struggle, the restoration by force of a Catholic monarchy was an intriguing possibility, but following the failed Spanish invasion of England in 1588 the papacy had taken a longer-term view on the return of a Catholic monarch to the English throne. During the late 16th century, Catholics made several assassination attempts on Protestant rulers in Europe and in England, including plans to poison Elizabeth I. The Jesuit Juan de Mariana's 1598 On Kings and the Education of Kings explicitly justified the assassination of the French king Henry III—who had been stabbed to death by a Catholic fanatic in 1589—and until the 1620s, some English Catholics believed that regicide was justifiable to remove 'tyrants' from power. Much of the "rather nervous" James's political writing was "concerned with the threat of Catholic assassination and refutation of the [Catholic] argument that 'faith did not need to be kept with heretics'". Early plots In the absence of any sign that James would move to end the persecution of Catholics, as some had hoped for, several members of the clergy (including two anti-Jesuit priests) decided to take matters into their own hands. In what became known as the Bye Plot, the priests William Watson and William Clark planned to kidnap James and hold him in the Tower of London until he agreed to be more tolerant towards Catholics. Cecil received news of the plot from several sources, including the Archpriest George Blackwell, who instructed his priests to have no part in any such schemes. At about the same time, Lord Cobham, Lord Grey de Wilton, Griffin Markham and Walter Raleigh hatched what became known as the Main Plot, which involved removing James and his family and supplanting them with Arbella Stuart. Amongst others, they approached Philip III of Spain for funding, but were unsuccessful. All those involved in both plots were arrested in July and tried in autumn 1603; George Brooke was executed, but James, keen not to have too bloody a start to his reign, reprieved Cobham, Grey, and Markham while they were at the scaffold. Raleigh, who had watched while his colleagues sweated, and who was due to be executed a few days later, was also pardoned. Arbella Stuart denied any knowledge of the Main Plot. The two priests, condemned and "very bloodily handled", were executed. The Catholic community responded to news of these plots with shock. That the Bye Plot had been revealed by Catholics was instrumental in saving them from further persecution, and James was grateful enough to allow pardons for those recusants who sued for them, as well as postponing payment of their fines for a year. On 19 February 1604, shortly after he discovered that his wife, Queen Anne, had been sent a rosary from the pope via one of James's spies, Sir Anthony Standen, James denounced the Catholic Church. Three days later, he ordered all Jesuits and all other Catholic priests to leave the country, and reimposed the collection of fines for recusancy. James changed his focus from the anxieties of English Catholics to the establishment of an Anglo-Scottish union. He also appointed Scottish nobles such as George Home to his court, which proved unpopular with the Parliament of England. Some Members of Parliament made it clear that in their view, the "effluxion of people from the Northern parts" was unwelcome, and compared them to "plants which are transported from barren ground into a more fertile one". Even more discontent resulted when the King allowed his Scottish nobles to collect the recusancy fines. There were 5,560 convicted of recusancy in 1605, of whom 112 were landowners. The very few Catholics of great wealth who refused to attend services at their parish church were fined £20 per month. Those of more moderate means had to pay two-thirds of their annual rental income; middle class recusants were fined one shilling a week, although the collection of all these fines was "haphazard and negligent". When James came to power, almost £5,000 a year (equivalent to almost £12 million in 2020) was being raised by these fines. On 19 March, the King gave his opening speech to his first English Parliament in which he spoke of his desire to secure peace, but only by "profession of the true religion". He also spoke of a Christian union and reiterated his desire to avoid religious persecution. For the Catholics, the King's speech made it clear that they were not to "increase their number and strength in this Kingdom", that "they might be in hope to erect their Religion again". To Father John Gerard, these words were almost certainly responsible for the heightened levels of persecution the members of his faith now suffered, and for the priest Oswald Tesimond they were a rebuttal of the early claims that the King had made, upon which the papists had built their hopes. A week after James's speech, Lord Sheffield informed the king of over 900 recusants brought before the Assizes in Normanby, and on 24 April a Bill was introduced in Parliament which threatened to outlaw all English followers of the Catholic Church. Plot The conspirators' principal aim was to kill King James, but many other important targets would also be present at the State Opening, including the monarch's nearest relatives and members of the Privy Council. The senior judges of the English legal system, most of the Protestant aristocracy, and the bishops of the Church of England would all have attended in their capacity as members of the House of Lords, along with the members of the House of Commons. Another important objective was the kidnapping of the King's daughter, Elizabeth. Housed at Coombe Abbey near Coventry, she lived only ten miles north of Warwick—convenient for the plotters, most of whom lived in the Midlands. Once the King and his Parliament were dead, the plotters intended to install Elizabeth on the English throne as a titular Queen. The fate of her brothers, Henry and Charles, would be improvised; their role in state ceremonies was, as yet, uncertain. The plotters planned to use Henry Percy, 9th Earl of Northumberland, as Elizabeth's regent, but most likely never informed him of this. Initial recruitment Robert Catesby (1573–1605), a man of "ancient, historic and distinguished lineage", was the inspiration behind the plot. He was described by contemporaries as "a good-looking man, about six feet tall, athletic and a good swordsman". Along with several other conspirators, he took part in the Essex Rebellion in 1601, during which he was wounded and captured. Queen Elizabeth allowed him to escape with his life after fining him 4,000 marks (equivalent to more than £6 million in 2008), after which he sold his estate in Chastleton. In 1603 Catesby helped to organise a mission to the new king of Spain, Philip III, urging Philip to launch an invasion attempt on England, which they assured him would be well supported, particularly by the English Catholics. Thomas Wintour (1571–1606) was chosen as the emissary, but the Spanish king, although sympathetic to the plight of Catholics in England, was intent on making peace with James. Wintour had also attempted to convince the Spanish envoy Don Juan de Tassis that "3,000 Catholics" were ready and waiting to support such an invasion. Concern was voiced by Pope Clement VIII that using violence to achieve a restoration of Catholic power in England would result in the destruction of those that remained. According to contemporary accounts, in February 1604 Catesby invited Thomas Wintour to his house in Lambeth, where they discussed Catesby's plan to re-establish Catholicism in England by blowing up the House of Lords during the State Opening of Parliament. Wintour was known as a competent scholar, able to speak several languages, and he had fought with the English army in the Netherlands. His uncle, Francis Ingleby, had been executed for being a Catholic priest in 1586, and Wintour later converted to Catholicism. Also present at the meeting was John Wright, a devout Catholic said to be one of the best swordsmen of his day, and a man who had taken part with Catesby in the Earl of Essex's rebellion three years earlier. Despite his reservations over the possible repercussions should the attempt fail, Wintour agreed to join the conspiracy, perhaps persuaded by Catesby's rhetoric: "Let us give the attempt and where it faileth, pass no further." Wintour travelled to Flanders to enquire about Spanish support. While there he sought out Guy Fawkes (1570–1606), a committed Catholic who had served as a soldier in the Southern Netherlands under the command of William Stanley, and who in 1603 was recommended for a captaincy. Accompanied by John Wright's brother Christopher, Fawkes had also been a member of the 1603 delegation to the Spanish court pleading for an invasion of England. Wintour told Fawkes that "some good frends of his wished his company in Ingland", and that certain gentlemen "were uppon a resolution to doe some whatt in Ingland if the pece with Spain healped us nott". The two men returned to England late in April 1604, telling Catesby that Spanish support was unlikely. Thomas Percy, Catesby's friend and John Wright's brother-in-law, was introduced to the plot several weeks later. Percy had found employment with his kinsman the Earl of Northumberland, and by 1596 was his agent for the family's northern estates. About 1600–1601 he served with his patron in the Low Countries. At some point during Northumberland's command in the Low Countries, Percy became his agent in his communications with James. Percy was reputedly a "serious" character who had converted to the Catholic faith. His early years were, according to a Catholic source, marked by a tendency to rely on "his sword and personal courage". Northumberland, although not a Catholic himself, planned to build a strong relationship with James I in order to better the prospects of English Catholics, and to reduce the family disgrace caused by his separation from his wife Martha Wright, a favourite of Elizabeth I. Thomas Percy's meetings with James seemed to go well. Percy returned with promises of support for the Catholics, and Northumberland believed that James would go so far as to allow Mass in private houses, so as not to cause public offence. Percy, keen to improve his standing, went further, claiming that the future King would guarantee the safety of English Catholics. Initial planning The first meeting between the five conspirators took place on 20 May 1604, probably at the Duck and Drake Inn, just off the Strand, Thomas Wintour's usual residence when staying in London. Catesby, Thomas Wintour, and John Wright were in attendance, joined by Guy Fawkes and Thomas Percy. Alone in a private room, the five plotters swore an oath of secrecy on a prayer book. By coincidence, and ignorant of the plot, Father John Gerard (a friend of Catesby's) was celebrating Mass in another room, and the five men subsequently received the Eucharist. Further recruitment Following their oath, the plotters left London and returned to their homes. The adjournment of Parliament gave them, they thought, until February 1605 to finalise their plans. On 9 June, Percy's patron, the Earl of Northumberland, appointed him to the Honourable Corps of Gentlemen at Arms, a mounted troop of 50 bodyguards to the King. This role gave Percy reason to seek a base in London, and a small property near the Prince's Chamber owned by Henry Ferrers, a tenant of John Whynniard, was chosen. Percy arranged for the use of the house through Northumberland's agents, Dudley Carleton and John Hippisley. Fawkes, using the pseudonym "John Johnson", took charge of the building, posing as Percy's servant. The building was occupied by Scottish commissioners appointed by the King to consider his plans for the unification of England and Scotland, so the plotters hired Catesby's lodgings in Lambeth, on the opposite bank of the Thames, from where their stored gunpowder and other supplies could be conveniently rowed across each night. Meanwhile, King James continued with his policies against the Catholics, and Parliament pushed through anti-Catholic legislation, until its adjournment on 7 July. The conspirators returned to London in October 1604, when Robert Keyes, a "desperate man, ruined and indebted", was admitted to the group. His responsibility was to take charge of Catesby's house in Lambeth, where the gunpowder and other supplies were to be stored. Keyes's family had notable connections; his wife's employer was the Catholic Lord Mordaunt. Tall, with a red beard, he was seen as trustworthy and, like Fawkes, capable of looking after himself. In December Catesby recruited his servant, Thomas Bates, into the plot, after the latter accidentally became aware of it. It was announced on 24 December that the re-opening of Parliament would be delayed. Concern over the plague meant that rather than sitting in February, as the plotters had originally planned for, Parliament would not sit again until 3 October 1605. The contemporaneous account of the prosecution claimed that during this delay the conspirators were digging a tunnel beneath Parliament. This may have been a government fabrication, as no evidence for the existence of a tunnel was presented by the prosecution, and no trace of one has ever been found. The account of a tunnel comes directly from Thomas Wintour's confession, and Guy Fawkes did not admit the existence of such a scheme until his fifth interrogation. Logistically, digging a tunnel would have proved extremely difficult, especially as none of the conspirators had any experience of mining. If the story is true, by 6 December the Scottish commissioners had finished their work, and the conspirators were busy tunnelling from their rented house to the House of Lords. They ceased their efforts when, during tunnelling, they heard a noise from above. The noise turned out to be the then-tenant's widow, who was clearing out the undercroft directly beneath the House of Lords—the room where the plotters eventually stored the gunpowder. By the time the plotters reconvened at the start of the old style new year on Lady Day, 25 March, three more had been admitted to their ranks; Robert Wintour, John Grant, and Christopher Wright. The additions of Wintour and Wright were obvious choices. Along with a small fortune, Robert Wintour inherited Huddington Court (a known refuge for priests) near Worcester, and was reputedly a generous and well-liked man. A devout Catholic, he married Gertrude, the daughter of John Talbot of Grafton, from a prominent Worcestershire family of recusants. Christopher Wright (1568–1605), John's brother, had also taken part in the Earl of Essex's revolt and had moved his family to Twigmore in Lincolnshire, then known as something of a haven for priests. John Grant was married to Wintour's sister, Dorothy, and was lord of the manor of Norbrook near Stratford-upon-Avon. Reputed to be an intelligent, thoughtful man, he sheltered Catholics at his home at Snitterfield, and was another who had been involved in the Essex revolt of 1601. Undercroft In addition, 25 March was the day on which the plotters purchased the lease to the undercroft they had supposedly tunnelled near to, owned by John Whynniard. The Palace of Westminster in the early 17th century was a warren of buildings clustered around the medieval chambers, chapels, and halls of the former royal palace that housed both Parliament and the various royal law courts. The old palace was easily accessible; merchants, lawyers, and others lived and worked in the lodgings, shops and taverns within its precincts. Whynniard's building was along a right-angle to the House of Lords, alongside a passageway called Parliament Place, which itself led to Parliament Stairs and the River Thames. Undercrofts were common features at the time, used to house a variety of materials including food and firewood. Whynniard's undercroft, on the ground floor, was directly beneath the first-floor House of Lords, and may once have been part of the palace's medieval kitchen. Unused and filthy, its location was ideal for what the group planned to do. In the second week of June Catesby met in London the principal Jesuit in England, Father Henry Garnet, and asked him about the morality of entering into an undertaking which might involve the destruction of the innocent, together with the guilty. Garnet answered that such actions could often be excused, but according to his own account later admonished Catesby during a second meeting in July in Essex, showing him a letter from the pope which forbade rebellion. Soon after, the Jesuit priest Oswald Tesimond told Garnet he had taken Catesby's confession, in the course of which he had learnt of the plot. Garnet and Catesby met for a third time on 24 July 1605, at the house of the wealthy catholic Anne Vaux in Enfield Chase. Garnet decided that Tesimond's account had been given under the seal of the confessional, and that canon law therefore forbade him to repeat what he had heard. Without acknowledging that he was aware of the precise nature of the plot, Garnet attempted to dissuade Catesby from his course, to no avail. Garnet wrote to a colleague in Rome, Claudio Acquaviva, expressing his concerns about open rebellion in England. He also told Acquaviva that "there is a risk that some private endeavour may commit treason or use force against the King", and urged the pope to issue a public brief against the use of force. According to Fawkes, 20 barrels of gunpowder were brought in at first, followed by 16 more on 20 July. The supply of gunpowder was theoretically controlled by the government, but it was easily obtained from illicit sources. On 28 July, the ever-present threat of the plague again delayed the opening of Parliament, this time until Tuesday 5 November. Fawkes left the country for a short time. The King, meanwhile, spent much of the summer away from the city, hunting. He stayed wherever was convenient, including on occasion at the houses of prominent Catholics. Garnet, convinced that the threat of an uprising had receded, travelled the country on a pilgrimage. It is uncertain when Fawkes returned to England, but he was back in London by late August, when he and Wintour discovered that the gunpowder stored in the undercroft had decayed. More gunpowder was brought into the room, along with firewood to conceal it. The final three conspirators were recruited in late 1605. At Michaelmas, Catesby persuaded the staunchly Catholic Ambrose Rookwood to rent Clopton House near Stratford-upon-Avon. Rookwood was a young man with recusant connections, whose stable of horses at Coldham Hall in Stanningfield, Suffolk was an important factor in his enlistment. His parents, Robert Rookwood and Dorothea Drury, were wealthy landowners, and had educated their son at a Jesuit school near Calais. Everard Digby was a young man who was generally well liked, and lived at Gayhurst House in Buckinghamshire. He had been knighted by the King in April 1603, and was converted to Catholicism by Gerard. Digby and his wife, Mary Mulshaw, had accompanied the priest on his pilgrimage, and the two men were reportedly close friends. Digby was asked by Catesby to rent Coughton Court near Alcester. Digby also promised £1,500 after Percy failed to pay the rent due for the properties he had taken in Westminster. Finally, on 14 October Catesby invited Francis Tresham into the conspiracy. Tresham was the son of the Catholic Thomas Tresham, and a cousin to Robert Catesby—the two had been raised together. He was also the heir to his father's large fortune, which had been depleted by recusant fines, expensive tastes, and by Francis and Catesby's involvement in the Essex revolt. Catesby and Tresham met at the home of Tresham's brother-in-law and cousin, Lord Stourton. In his confession, Tresham claimed that he had asked Catesby if the plot would damn their souls, to which Catesby had replied it would not, and that the plight of England's Catholics required that it be done. Catesby also apparently asked for £2,000, and the use of Rushton Hall in Northamptonshire. Tresham declined both offers (although he did give £100 to Thomas Wintour), and told his interrogators that he had moved his family from Rushton to London in advance of the plot; hardly the actions of a guilty man, he claimed. Monteagle letter The details of the plot were finalised in October, in a series of taverns across London and Daventry. Fawkes would be left to light the fuse and then escape across the Thames, while simultaneously a revolt in the Midlands would help to ensure the capture of the King's daughter, Elizabeth. Fawkes would leave for the continent, to explain events in England to the European Catholic powers. The wives of those involved and Anne Vaux (a friend of Garnet who often shielded priests at her home) became increasingly concerned by what they suspected was about to happen. Several of the conspirators expressed worries about the safety of fellow Catholics who would be present in Parliament on the day of the planned explosion. Percy was concerned for his patron, Northumberland, and the young Earl of Arundel's name was brought up; Catesby suggested that a minor wound might keep him from the chamber on that day. The Lords Vaux, Montagu, Monteagle, and Stourton were also mentioned. Keyes suggested warning Lord Mordaunt, his wife's employer, to derision from Catesby. On Saturday 26 October, Monteagle (Tresham's brother-in-law) arranged a meal in a long-disused house at Hoxton. Suddenly a servant appeared saying he had been handed a letter for Lord Monteagle from a stranger in the road. Monteagle ordered it to be read aloud to the company. "By this prearranged manoeuvre Francis Tresham sought at the same time to prevent the Plot and forewarn his friends" (H Trevor-Roper). Uncertain of the letter's meaning, Monteagle promptly rode to Whitehall and handed it to Cecil (then Earl of Salisbury). Salisbury informed the Earl of Worcester, considered to have recusant sympathies, and the suspected Catholic Henry Howard, 1st Earl of Northampton, but kept news of the plot from the King, who was busy hunting in Cambridgeshire and not expected back for several days. Monteagle's servant, Thomas Ward, had family connections with the Wright brothers, and sent a message to Catesby about the betrayal. Catesby, who had been due to go hunting with the King, suspected that Tresham was responsible for the letter, and with Thomas Wintour confronted the recently recruited conspirator. Tresham managed to convince the pair that he had not written the letter, but urged them to abandon the plot. Salisbury was already aware of certain stirrings before he received the letter, but did not yet know the exact nature of the plot, or who exactly was involved. He therefore elected to wait, to see how events unfolded. Discovery The letter was shown to the King on Friday 1 November following his arrival back in London. Upon reading it, James immediately seized upon the word "blow" and felt that it hinted at "some strategem of fire and powder", perhaps an explosion exceeding in violence the one that killed his father, Lord Darnley, at Kirk o' Field in 1567. Keen not to seem too intriguing, and wanting to allow the King to take the credit for unveiling the conspiracy, Salisbury feigned ignorance. The following day members of the Privy Council visited the King at the Palace of Whitehall and informed him that, based on the information that Salisbury had given them a week earlier, on Monday the Lord Chamberlain Thomas Howard, 1st Earl of Suffolk would undertake a search of the Houses of Parliament, "both above and below". On Sunday 3 November Percy, Catesby and Wintour had a final meeting, where Percy told his colleagues that they should "abide the uttermost triall", and reminded them of their ship waiting at anchor on the Thames. By 4 November Digby was ensconced with
the Habingtons, where he wrote a letter to the Privy Council protesting his innocence. The foiling of the Gunpowder Plot initiated a wave of national relief at the delivery of the King and his sons, and inspired in the ensuing parliament a mood of loyalty and goodwill, which Salisbury astutely exploited to extract higher subsidies for the King than any (bar one) granted in Elizabeth I's reign. Walter Raleigh, who was languishing in the Tower owing to his involvement in the Main Plot, and whose wife was a first cousin of Lady Catesby, declared he had had no knowledge of the conspiracy. The Bishop of Rochester gave a sermon at St. Paul's Cross, in which he condemned the plot. In his speech to both Houses on 9 November, James expounded on two emerging preoccupations of his monarchy: the divine right of kings and the Catholic question. He insisted that the plot had been the work of only a few Catholics, not of the English Catholics as a whole, and he reminded the assembly to rejoice at his survival, since kings were divinely appointed and he owed his escape to a miracle. Salisbury wrote to his English ambassadors abroad, informing them of what had occurred, and also reminding them that the King bore no ill will to his Catholic neighbours. The foreign powers largely distanced themselves from the plotters, calling them atheists and Protestant heretics. Interrogations Sir Edward Coke was in charge of the interrogations. Over a period of about ten weeks, in the Lieutenant's Lodgings at the Tower of London (now known as the Queen's House) he questioned those who had been implicated in the plot. For the first round of interrogations, no real proof exists that these people were tortured, although on several occasions Salisbury certainly suggested that they should be. Coke later revealed that the threat of torture was in most cases enough to elicit a confession from those caught up in the aftermath of the plot. Only two confessions were printed in full: Fawkes's confession of 8 November, and Wintour's of 23 November. Having been involved in the conspiracy from the start (unlike Fawkes), Wintour was able to give extremely valuable information to the Privy Council. The handwriting on his testimony is almost certainly that of the man himself, but his signature was markedly different. Wintour had previously only ever signed his name as such, but his confession is signed "Winter", and since he had been shot in the shoulder, the steady hand used to write the signature may indicate some measure of government interference—or it may indicate that writing a shorter version of his name was less painful. Wintour's testimony makes no mention of his brother, Robert. Both were published in the so-called King's Book, a hastily written official account of the conspiracy published in late November 1605. Henry Percy, Earl of Northumberland, was in a difficult position. His midday dinner with Thomas Percy on 4 November was damning evidence against him, and after Thomas Percy's death there was nobody who could either implicate him or clear him. The Privy Council suspected that Northumberland would have been Princess Elizabeth's protector had the plot succeeded, but there was insufficient evidence to convict him. Northumberland remained in the Tower and on 27 June 1606 was finally charged with contempt. He was stripped of all public offices, fined £30,000 (about £ in ), and kept in the Tower until June 1621. The Lords Mordaunt and Stourton were tried in the Star Chamber. They were condemned to imprisonment in the Tower, where they remained until 1608, when they were transferred to the Fleet Prison. Both were also given significant fines. Several other people not involved in the conspiracy, but known or related to the conspirators, were also questioned. Northumberland's brothers, Sir Allen and Sir Josceline Percy, were arrested. Lord Montagu had employed Fawkes at an early age, and had also met Catesby on 29 October, and was therefore of interest; he was released several months later. Agnes Wenman was from a Catholic family, and related to Elizabeth Vaux. She was examined twice but the charges against her were eventually dropped. Percy's secretary and later the controller of Northumberland's household, Dudley Carleton, had leased the vault where the gunpowder was stored, and consequently he was imprisoned in the Tower. Salisbury believed his story, and authorised his release. Jesuits Thomas Bates confessed on 4 December, providing much of the information that Salisbury needed to link the Catholic clergy to the plot. Bates had been present at most of the conspirators' meetings, and under interrogation he implicated Father Tesimond in the plot. On 13 January 1606 he described how he had visited Garnet and Tesimond on 7 November to inform Garnet of the plot's failure. Bates also told his interrogators of his ride with Tesimond to Huddington, before the priest left him to head for the Habingtons at Hindlip Hall, and of a meeting between Garnet, Gerard, and Tesimond in October 1605. At about the same time in December, Tresham's health began to deteriorate. He was visited regularly by his wife, a nurse, and his servant William Vavasour, who documented his strangury. Before he died Tresham had also told of Garnet's involvement with the 1603 mission to Spain, but in his last hours he retracted some of these statements. Nowhere in his confession did he mention the Monteagle letter. He died early on the morning of 23 December, and was buried in the Tower. Nevertheless he was attainted along with the other plotters, his head was set on a pike either (accounts differ) at Northampton or London Bridge, and his estates confiscated. On 15 January a proclamation named Father Garnet, Father Gerard, and Father Greenway (Tesimond) as wanted men. Tesimond and Gerard escaped the country and lived out their days in freedom. Several days earlier, on 9 January, Robert Wintour and Stephen Littleton were captured. They had been hiding at Hagley, the home of Humphrey Littleton, brother of MP John Littleton, imprisoned for treason in 1601 for his part in the Essex revolt. They were betrayed by a cook, who grew suspicious of the amount of food sent up for his master's consumption. Humphrey denied the presence of the two fugitives, but another servant led the authorities to their hiding place. On 20 January the local Justice of the Peace and his retainers arrived at Thomas Habington's home, Hindlip Hall, to arrest the Jesuits. Despite Thomas Habington's protests, the men spent the next four days searching the house. On 24 January, starving, two priests left their hiding places and were discovered. Humphrey Littleton, who had escaped from the authorities at Hagley, got as far as Prestwood in Staffordshire before he was captured. He was imprisoned, and then condemned to death at Worcester. On 26 January, in exchange for his life, he told the authorities where they could find Father Garnet. Worn down by hiding for so long, Garnet, accompanied by another priest, emerged from his priest hole the next day. Trials By coincidence, on the same day that Garnet was found, the surviving conspirators were arraigned in Westminster Hall. Seven of the prisoners were taken from the Tower to the Star Chamber by barge. Bates, who was considered lower class, was brought from the Gatehouse Prison. Some of the prisoners were reportedly despondent, but others were nonchalant, even smoking tobacco. The King and his family, hidden from view, were among the many who watched the trial. The Lords Commissioners present were the Earls of Suffolk, Worcester, Northampton, Devonshire, and Salisbury. Sir John Popham was Lord Chief Justice, Sir Thomas Fleming was Lord Chief Baron of the Exchequer, and two Justices, Sir Thomas Walmsley and Sir Peter Warburton, sat as Justices of the Common Pleas. The list of traitors' names was read aloud, beginning with those of the priests: Garnet, Tesimond, and Gerard. The first to speak was the Speaker of the House of Commons (later Master of the Rolls), Sir Edward Philips, who described the intent behind the plot in lurid detail. He was followed by the Attorney-General Sir Edward Coke, who began with a long speech—the content of which was heavily influenced by Salisbury—that included a denial that the King had ever made any promises to the Catholics. Monteagle's part in the discovery of the plot was welcomed, and denunciations of the 1603 mission to Spain featured strongly. Fawkes's protestations that Gerard knew nothing of the plot were omitted from Coke's speech. The foreign powers, when mentioned, were accorded due respect, but the priests were accursed, their behaviour analysed and criticised wherever possible. There was little doubt, according to Coke, that the plot had been invented by the Jesuits. Garnet's meeting with Catesby, at which the former was said to have absolved the latter of any blame in the plot, was proof enough that the Jesuits were central to the conspiracy; according to Coke the Gunpowder Plot would always be known as the Jesuit Treason. Coke spoke with feeling of the probable fate of the Queen and the rest of the King's family, and of the innocents who would have been caught up in the explosion. Each of the condemned, said Coke, would be drawn backwards to his death, by a horse, his head near the ground. He was to be "put to death halfway between heaven and earth as unworthy of both". His genitals would be cut off and burnt before his eyes, and his bowels and heart then removed. Then he would be decapitated, and the dismembered parts of his body displayed so that they might become "prey for the fowls of the air". Confessions and declarations from the prisoners were then read aloud, and finally the prisoners were allowed to speak. Rookwood claimed that he had been drawn into the plot by Catesby, "whom he loved above any worldy man". Thomas Wintour begged to be hanged for himself and his brother, so that his brother might be spared. Fawkes explained his not guilty plea as ignorance of certain aspects of the indictment. Keyes appeared to accept his fate, Bates and Robert Wintour begged for mercy, and Grant explained his involvement as "a conspiracy intended but never effected". Only Digby, tried on a separate indictment, pleaded guilty, insisting that the King had reneged upon promises of toleration for Catholics, and that affection for Catesby and love of the Catholic cause mitigated his actions. He sought death by the axe and begged mercy from the King for his young family. His defence was in vain; his arguments were rebuked by Coke and Northumberland, and along with his seven co-conspirators, he was found guilty by the jury of high treason. Digby shouted "If I may but hear any of your lordships say, you forgive me, I shall go more cheerfully to the gallows." The response was short: "God forgive you, and we do." Garnet may have been questioned on as many as 23 occasions. His response to the threat of the rack was "Minare ista pueris [Threats are only for boys]", and he denied having encouraged Catholics to pray for the success of the "Catholic Cause". His interrogators resorted to the forgery of correspondence between Garnet and other Catholics, but to no avail. His jailers then allowed him to talk with another priest in a neighbouring cell, with eavesdroppers listening to every word. Eventually Garnet let slip a crucial piece of information, that there was only one man who could testify that he had any knowledge of the plot. Under torture Garnet admitted that he had heard of the plot from fellow Jesuit Oswald Tesimond, who had learnt of it in confession from Catesby. Garnet was charged with high treason and tried in the Guildhall on 28 March, in a trial lasting from 8 am until 7 pm. According to Coke, Garnet instigated the plot: "[Garnet] hath many gifts and endowments of nature, by art learned, a good linguist and, by profession, a Jesuit and a Superior as indeed he is Superior to all his predecessors in devilish treason, a Doctor of Dissimulation, Deposing of Princes, Disposing of Kingdoms, Daunting and deterring of subjects, and Destruction." Garnet refuted all the charges against him, and explained the Catholic position on such matters, but he was nevertheless found guilty and sentenced to death. Executions Although Catesby and Percy escaped the executioner, their bodies were exhumed and decapitated, and their heads exhibited on spikes outside the House of Lords. On a cold 30 January, Everard Digby, Robert Wintour, John Grant, and Thomas Bates, were tied to hurdles – wooden panels – and dragged through the crowded streets of London to St Paul's Churchyard. Digby, the first to mount the scaffold, asked the spectators for forgiveness, and refused the attentions of a Protestant clergyman. He was stripped of his clothing, and wearing only a shirt, climbed the ladder to place his head through the noose. He was quickly cut down, and while still fully conscious was castrated, disembowelled, and then quartered, along with the three other prisoners. The following day, Thomas Wintour, Ambrose Rookwood, Robert Keyes, and Guy Fawkes were hanged, drawn and quartered, opposite the building they had planned to blow up, in the Old Palace Yard at Westminster. Keyes did not wait for the hangman's command and jumped from the gallows, but he survived the drop and was led to the quartering block. Although weakened by his torture, Fawkes managed to jump from the gallows and break his neck, thus avoiding the agony of the gruesome latter part of his execution. Steven Littleton was executed at Stafford. His cousin Humphrey, despite his co-operation with the authorities, met his end at Red Hill near Worcester. Henry Garnet's execution took place on 3 May 1606. Aftermath Greater freedom for Roman Catholics to worship as they chose seemed unlikely in 1604, but the discovery of such a wide-ranging conspiracy, the capture of those involved, and the subsequent trials, led Parliament to consider introducing new anti-Catholic legislation. The event also destroyed all hope that the Spanish would ever secure tolerance of the Catholics in England. In the summer of 1606, laws against recusancy were strengthened; the Popish Recusants Act returned England to the Elizabethan system of fines and restrictions, introduced a sacramental test, and an Oath of Allegiance, requiring Catholics to abjure as a "heresy" the doctrine that "princes excommunicated by the Pope could be deposed or assassinated". Catholic Emancipation took another 200 years, but many important and loyal Catholics retained high office during King James I's reign. Although there was no "golden time" of "toleration" of Catholics, which Father Garnet had hoped for, James's reign was nevertheless a period of relative leniency for Catholics, and few were subject to prosecution. The playwright William Shakespeare had already used the family history of Northumberland's family in his Henry IV series of plays, and the events of the Gunpowder Plot seem to have featured alongside the earlier Gowrie conspiracy in Macbeth, written some time between 1603 and 1607. Interest in the demonic was heightened by the Gunpowder Plot. The King had become engaged in the great debate about other-worldly powers in writing his Daemonologie in 1599, before he became King of England as well as Scotland. Inversions seen in such lines as "fair is foul and foul is fair" are used frequently, and another possible reference to the plot relates to the use of equivocation; Garnet's A Treatise of Equivocation was found on one of the plotters. Another writer influenced by the plot was John Milton, who in 1626 wrote what one commentator has called a "critically vexing poem", In Quintum Novembris. Reflecting "partisan public sentiment on an English-Protestant national holiday", in the published editions of 1645 and 1673 the poem is preceded by five epigrams on the subject of the Gunpowder Plot, apparently written by Milton in preparation for the larger work. The plot may also have influenced his later work, Paradise Lost. The Gunpowder Plot was commemorated for years by special sermons and other public acts, such as the ringing of church bells. It added to an increasingly full calendar of Protestant celebrations that contributed to the national and religious life of 17th-century England, and has evolved into the Bonfire Night of today. In What If the Gunpowder Plot Had Succeeded? historian Ronald Hutton considered the events which might have followed a successful implementation of the plot, and the destruction of the House of Lords and all those within it. He concluded that a severe backlash against suspected Catholics would have followed, and that without foreign assistance a successful rebellion would have been unlikely; despite differing religious convictions, most Englishmen were loyal to the institution of the monarchy. England might have become a more "Puritan absolute monarchy", as "existed in Sweden, Denmark, Saxony, and Prussia in the seventeenth century", rather than following the path of parliamentary and civil reform that it did. Accusations of state conspiracy Many at the time felt that Salisbury had been involved in the plot to gain favour with the King and enact more stridently anti-Catholic legislation. Such conspiracy theories alleged that Salisbury had either actually invented the plot or allowed it to continue when his agents had already infiltrated it, for the purposes of propaganda. The Popish Plot of 1678 sparked renewed interest in the Gunpowder Plot, resulting in a book by Thomas Barlow, Bishop of Lincoln, which refuted "a bold and groundless surmise that all this was a contrivance of Secretary Cecil". In 1897 Father John Gerard of Stonyhurst College, namesake of John Gerard (who, following the plot's discovery, had evaded capture), wrote an account called What was the Gunpowder Plot?, alleging Salisbury's culpability. This prompted a refutation later that year by Samuel Gardiner, who argued that Gerard had gone too far in trying to "wipe away the reproach" which the plot had exacted on generations of English Catholics. Gardiner portrayed Salisbury as guilty of nothing more than opportunism. Subsequent attempts to prove Salisbury's involvement, such as Francis Edwards's 1969 work Guy Fawkes: the real story of the gunpowder plot?, have similarly foundered on the lack of any clear evidence. The cellars under the Houses of Parliament continued to be leased out to private individuals until 1678, when news of the Popish Plot broke. It was then considered prudent to search the cellars on the day before each State Opening of Parliament, a ritual that survives to this day. Bonfire Night In January 1606, during the first sitting of Parliament since the plot, the Observance of 5th November Act 1605 was passed, making services and sermons commemorating the event an annual feature of English life; the act remained in force until 1859. The tradition of marking the day with the ringing of church bells and bonfires started soon after the Plot's discovery, and fireworks were included in some of the earliest celebrations. In Britain, 5 November is variously called Bonfire Night, Fireworks Night, or Guy Fawkes Night. It remains the custom in Britain, on or around 5 November, to let off fireworks. Traditionally, in the weeks running up to the 5th, children made "guys"—effigies supposedly of Fawkes—usually made from old clothes stuffed with newspaper, and fitted with a grotesque mask, to be burnt on 5 November bonfire. These guys were exhibited in the street to collect money for fireworks, although this custom has become less common. The word guy thus came in the 19th century to mean an oddly dressed person, and hence in the 20th and 21st centuries to mean any male person. 5 November firework displays and bonfire parties are common throughout Britain, in major public displays and in private gardens. In some areas, particularly in Sussex, there are extensive processions, large bonfires and firework displays organised by local bonfire societies, the most elaborate of which take place in Lewes. According to the biographer Esther Forbes, the Guy Fawkes Day celebration in the pre-revolutionary American colonies was a very popular holiday. In Boston, the revelry on "Pope Night" took on anti-authoritarian overtones, and often became so dangerous that many would not venture out of their homes. Reconstructing the explosion In the 2005 ITV programme The Gunpowder Plot: Exploding The Legend, a full-size replica of the House of Lords was built and destroyed with barrels of gunpowder, totalling 1 tonne of explosives. The experiment was conducted on the Advantica-owned Spadeadam test site and demonstrated that the explosion, if the gunpowder was in good order, would have killed all those in the building. The power of the explosion was such that of the deep concrete walls making up the undercroft (replicating how archives suggest the walls of the old House of Lords were constructed), the end wall where the barrels were placed by, under the throne, was reduced to rubble, and the adjacent surviving portions of wall were shoved away. Measuring devices placed in the chamber to calculate the force of the blast were recorded as going off the scale just before their destruction by the explosion; a piece of the head of the dummy representing King James, which had been placed on a throne inside the chamber surrounded by courtiers, peers and bishops, was found a considerable distance from its initial location. According to the findings of the programme, no one within of the blast could have survived, and all of the stained glass windows in Westminster Abbey would have been shattered, as would all of the windows in the vicinity of the Palace. The explosion would have been seen from miles away and heard from further away still. Even if only half of the gunpowder had gone off, which Fawkes was apparently prepared for, everyone in the House of Lords and its environs would have been killed instantly. The programme also disproved claims that some deterioration in the quality of the gunpowder would have prevented the explosion. A portion of deliberately deteriorated gunpowder, of such low quality as to make it unusable in firearms, when placed in a heap and ignited, still managed to create a large explosion. The impact of even deteriorated gunpowder would have been magnified by its containment in wooden barrels, compensating for the quality of the contents. The compression would have created a cannon effect, with the powder first blowing up from the top of the barrel before, a millisecond later, blowing out. Calculations showed that Fawkes, who was skilled in the use of gunpowder, had deployed double the amount needed. In a test detonation of all of period-accurate gunpowder available in the UK inside the same size of barrel Fawkes had used, the experts for the project were surprised at how much more powerful an effect that compression had in creating an explosion. Some of the gunpowder
the skin, bones, and connective tissues of animals such as domesticated cattle, chicken, pigs, and fish. During hydrolysis, some of the bonds between and within component proteins are broken. Its chemical composition is, in many aspects, closely similar to that of its parent collagen. Photographic and pharmaceutical grades of gelatin generally are sourced from cattle bones and pig skin. Gelatin is classified as a hydrogel. Gelatin is nearly tasteless and odorless with a colorless or slightly yellow appearance. It is transparent and brittle, and it can come as sheets, flakes, or as a powder. Polar solvents like hot water, glycerol, and acetic acid can dissolve gelatin, but it is insoluble in organic solvents like alcohol. Gelatin absorbs 5–10 times its weight in water to form a gel. The gel formed by gelatin can be melted by reheating, and it has an increasing viscosity under stress (thixotropic). The upper melting point of gelatin is below human body temperature, a factor that is important for mouthfeel of foods produced with gelatin. The viscosity of the gelatin-water mixture is greatest when the gelatin concentration is high and the mixture is kept cool at about . Commercial gelatin will have a gel strength of around 90 to 300 grams Bloom using the Bloom test of gel strength. Gelatin's strength (but not viscosity) declines if it is subjected to temperatures above , or if it is held at temperatures near 100 °C for an extended period of time. Gelatins have diverse melting points and gelation temperatures, depending on the source. For example, gelatin derived from fish has a lower melting and gelation point than gelatin derived from beef or pork. Composition When dry, gelatin consists of 98–99% protein, but it is not a nutritionally complete protein since it is missing tryptophan and is deficient in isoleucine, threonine, and methionine. The amino acid content of hydrolyzed collagen is the same as collagen. Hydrolyzed collagen contains 19 amino acids, predominantly glycine (Gly) 26–34%, proline (Pro) 10–18%, and hydroxyproline (Hyp) 7–15%, which together represent around 50% of the total amino acid content. Glycine is responsible for close packing of the chains. Presence of proline restricts the conformation. This is important for gelation properties of gelatin. Other amino acids that contribute highly include: alanine (Ala) 8–11%; arginine (Arg) 8–9%; aspartic acid (Asp) 6–7%; and glutamic acid (Glu) 10–12%. Research Digestibility A 2005 study in humans found hydrolyzed collagen absorbed as small peptides in the blood. Effects on skin Ingestion of hydrolyzed collagen may affect the skin by increasing the density of collagen fibrils and fibroblasts, thereby stimulating collagen production. It has been suggested, based on mouse and in vitro studies, that hydrolyzed collagen peptides have chemotactic properties on fibroblasts or an influence on growth of fibroblasts. Joint effects Some clinical studies report that the oral ingestion of hydrolyzed collagen decreases joint pain, those with the most severe symptoms showing the most benefit. However, other clinical trials have yielded mixed results. In 2011, the European Food Safety Authority Panel on Dietetic Products, Nutrition and Allergies concluded that "a cause and effect relationship has not been established between the consumption of collagen hydrolysate and maintenance of joints". Four other studies reported benefit with no side effects; however, the studies were not extensive, and all recommended further controlled study. One study found that oral collagen only improved symptoms in a minority of patients and reported nausea as a side effect. Another study reported no improvement in disease activity in patients with rheumatoid arthritis. Another study found that collagen treatment may actually cause an exacerbation of rheumatoid arthritis symptoms. Safety concerns Hydrolyzed collagen, like gelatin, is made from animal by-products from the meat industry or sometimes animal carcasses removed and cleared by knackers, including skin, bones, and connective tissue. In 1997, the U.S. Food and Drug Administration (FDA), with support from the TSE (transmissible spongiform encephalopathy) Advisory Committee, began monitoring the potential risk of transmitting animal diseases, especially bovine spongiform encephalopathy (BSE), commonly known as mad cow disease. An FDA study from that year stated: "...steps such as heat, alkaline treatment, and filtration could be effective in reducing the level of contaminating TSE agents; however, scientific evidence is insufficient at this time to demonstrate that these treatments would effectively remove the BSE infectious agent if present in the source material." On 18 March 2016 the FDA finalized three previously-issued interim final rules designed to further reduce the potential risk of BSE in human food. The final rule clarified that "gelatin is not considered a prohibited cattle material if it is manufactured using the customary industry processes specified." The Scientific Steering Committee (SSC) of the European Union in 2003 stated that the risk associated with bovine bone gelatin is very low or zero. In 2006, the European Food Safety Authority stated that the SSC opinion was confirmed, that the BSE risk of bone-derived gelatin was small, and that it recommended removal of the 2003 request to exclude the skull, brain, and vertebrae of bovine origin older than 12 months from the material used in gelatin manufacturing. Production The worldwide demand of gelatin was about in 2019. On a commercial scale, gelatin is made from by-products of the meat and leather industries. Most gelatin is derived from pork skins, pork and cattle bones, or split cattle hides. Gelatin made from fish by-products avoids some of the religious objections to gelatin consumption. The raw materials are prepared by different curing, acid, and alkali processes that are employed to extract the dried collagen hydrolysate. These processes may take several weeks, and differences in such processes have great effects on the properties of the final gelatin products. Gelatin also can be prepared at home. Boiling certain cartilaginous cuts of meat or bones results in gelatin being dissolved into the water. Depending on the concentration, the resulting stock (when cooled) will form a jelly or gel naturally. This process is used for aspic. While many processes exist whereby collagen may be converted to gelatin, they all have several factors in common. The intermolecular and intramolecular bonds that stabilize insoluble collagen must be broken, and also, the hydrogen bonds that stabilize the collagen helix must be broken. The manufacturing processes of gelatin consists of several main stages: Pretreatments to make the raw materials ready for the main extraction step and to remove impurities that may have negative effects on physicochemical properties of the final gelatin product. Hydrolysis of collagen into gelatin. Extraction of gelatin from the hydrolysis mixture, which usually is done with hot water or dilute acid solutions as a multistage process. The refining and recovering treatments including filtration,
colorless, flavorless food ingredient, commonly derived from collagen taken from animal body parts. It is brittle when dry and rubbery when moist. It may also be referred to as hydrolyzed collagen, collagen hydrolysate, gelatine hydrolysate, hydrolyzed gelatine, and collagen peptides after it has undergone hydrolysis. It is commonly used as a gelling agent in food, beverages, medications, drug and vitamin capsules, photographic films and papers, and cosmetics. Substances containing gelatin or functioning in a similar way are called gelatinous substances. Gelatin is an irreversibly hydrolyzed form of collagen, wherein the hydrolysis reduces protein fibrils into smaller peptides; depending on the physical and chemical methods of denaturation, the molecular weight of the peptides falls within a broad range. Gelatin is in gelatin desserts, most gummy candy and marshmallows, ice creams, dips, and yogurts. Gelatin for cooking comes as powder, granules, and sheets. Instant types can be added to the food as they are; others must soak in water beforehand. Characteristics Properties Gelatin is a collection of peptides and proteins produced by partial hydrolysis of collagen extracted from the skin, bones, and connective tissues of animals such as domesticated cattle, chicken, pigs, and fish. During hydrolysis, some of the bonds between and within component proteins are broken. Its chemical composition is, in many aspects, closely similar to that of its parent collagen. Photographic and pharmaceutical grades of gelatin generally are sourced from cattle bones and pig skin. Gelatin is classified as a hydrogel. Gelatin is nearly tasteless and odorless with a colorless or slightly yellow appearance. It is transparent and brittle, and it can come as sheets, flakes, or as a powder. Polar solvents like hot water, glycerol, and acetic acid can dissolve gelatin, but it is insoluble in organic solvents like alcohol. Gelatin absorbs 5–10 times its weight in water to form a gel. The gel formed by gelatin can be melted by reheating, and it has an increasing viscosity under stress (thixotropic). The upper melting point of gelatin is below human body temperature, a factor that is important for mouthfeel of foods produced with gelatin. The viscosity of the gelatin-water mixture is greatest when the gelatin concentration is high and the mixture is kept cool at about . Commercial gelatin will have a gel strength of around 90 to 300 grams Bloom using the Bloom test of gel strength. Gelatin's strength (but not viscosity) declines if it is subjected to temperatures above , or if it is held at temperatures near 100 °C for an extended period of time. Gelatins have diverse melting points and gelation temperatures, depending on the source. For example, gelatin derived from fish has a lower melting and gelation point than gelatin derived from beef or pork. Composition When dry, gelatin consists of 98–99% protein, but it is not a nutritionally complete protein since it is missing tryptophan and is deficient in isoleucine, threonine, and methionine. The amino acid content of hydrolyzed collagen is the same as collagen. Hydrolyzed collagen contains 19 amino acids, predominantly glycine (Gly) 26–34%, proline (Pro) 10–18%, and hydroxyproline (Hyp) 7–15%, which together represent around 50% of the total amino acid content. Glycine is responsible for close packing of the chains. Presence of proline restricts the conformation. This is important for gelation properties of gelatin. Other amino acids that contribute highly include: alanine (Ala) 8–11%; arginine (Arg) 8–9%; aspartic acid (Asp) 6–7%; and glutamic acid (Glu) 10–12%. Research Digestibility A 2005 study in humans found hydrolyzed collagen absorbed as small peptides in the blood. Effects on skin Ingestion of hydrolyzed collagen may affect the skin by increasing the density of collagen fibrils and fibroblasts, thereby stimulating collagen production. It has been suggested, based on mouse and in vitro studies, that hydrolyzed collagen peptides have chemotactic properties on fibroblasts or an influence on growth of fibroblasts. Joint effects Some clinical studies report that the oral ingestion of hydrolyzed collagen decreases joint pain, those with the most severe symptoms showing the most benefit. However, other clinical trials have yielded mixed results. In 2011, the European Food Safety Authority Panel on Dietetic Products, Nutrition and Allergies concluded that "a cause and effect relationship has not been established between the consumption of collagen hydrolysate and maintenance of joints". Four other studies reported benefit with no side effects; however, the studies were not extensive, and all recommended further controlled study. One study found that oral collagen only improved symptoms in a minority of patients and reported nausea as a side effect. Another study reported no improvement in disease activity in patients with rheumatoid arthritis. Another study found that collagen treatment may actually cause an exacerbation of rheumatoid arthritis symptoms. Safety concerns Hydrolyzed collagen, like gelatin, is made from animal by-products from the meat industry or sometimes animal carcasses removed and cleared by knackers, including skin, bones, and connective tissue. In 1997, the U.S. Food and Drug Administration (FDA), with support from the TSE (transmissible spongiform encephalopathy) Advisory Committee, began monitoring the potential risk of transmitting animal diseases, especially bovine spongiform encephalopathy (BSE), commonly known as mad cow disease. An FDA study from that year stated: "...steps such as heat, alkaline treatment, and filtration could be effective in reducing the level of contaminating TSE agents; however, scientific evidence is insufficient at this time to demonstrate that these treatments would effectively remove the BSE infectious agent if present in the source material." On 18 March 2016 the FDA finalized three previously-issued interim final rules designed to further reduce the potential risk of BSE in human food. The final rule clarified that "gelatin is not considered a prohibited cattle material if it is manufactured using the customary industry processes specified." The Scientific Steering Committee (SSC) of the European Union in 2003 stated that the risk associated with bovine bone gelatin is very low or zero. In 2006, the European Food Safety Authority stated that the SSC opinion was confirmed, that the BSE risk of bone-derived gelatin was small, and that it recommended removal of the 2003 request to exclude the skull, brain, and vertebrae of bovine origin older than 12 months from the material used in gelatin manufacturing. Production The worldwide demand of gelatin was about in 2019. On a commercial scale, gelatin is made from by-products of the meat and leather industries. Most gelatin is derived from pork skins, pork and cattle bones, or split cattle hides. Gelatin made from fish by-products avoids some of the religious objections to gelatin consumption. The raw materials are prepared by different curing, acid, and alkali processes that are employed to extract the dried collagen hydrolysate. These processes may take several weeks, and differences in such processes have great effects on the properties of the final gelatin products. Gelatin also can be prepared at home. Boiling certain cartilaginous cuts of meat or bones results in gelatin being dissolved into the water. Depending on the concentration, the resulting stock (when cooled) will form a jelly or gel naturally. This process is used for aspic. While many processes exist whereby collagen may be converted to gelatin, they all have several factors in common. The intermolecular and intramolecular bonds that stabilize insoluble collagen must be broken, and also, the hydrogen bonds that stabilize the collagen helix must be broken. The manufacturing processes of gelatin consists of several main stages: Pretreatments to make the raw materials ready for the main extraction step and to remove impurities that may have negative effects on physicochemical properties of the final gelatin product. Hydrolysis of collagen into gelatin. Extraction of gelatin from the hydrolysis mixture, which usually is done with hot water or dilute acid solutions as a multistage process. The refining and recovering treatments including filtration, clarification, evaporation, sterilization, drying, rutting, grinding, and sifting to remove the water from the gelatin solution, to
standard 6.67% w/v gelatin gel at 10 °C. The Bloom Strength of a gel is useful to know when determining the possibility of substituting a gelatin of one Bloom Strength for a gelatin of another. One can use the following equation: C x B½ = k or C1(B1)½÷(B2)½ = C2 Where C = concentration, B = Bloom strength and k = constant. For example, when making gummies, it's important to know that a 250 Bloom gelatin has a much shorter (more thick) texture than a 180 Bloom gelatin. Gelatin shots A gelatin shot (usually called a Jell-O shot in North America and vodka jelly or jelly shot in the UK and Australia) is a shooter in which one or more liquors, usually vodka, rum, tequila, or neutral grain spirit, replaces some of the water or fruit juice that is used to congeal the gel. The American satirist and mathematician Tom Lehrer claims to have invented the gelatin shot in the 1950s while working for the National Security Agency, where he developed vodka gelatin as a way to circumvent a restriction of alcoholic beverages on base. An early published recipe for an alcoholic gelatin drink dates from 1862, found in How to Mix Drinks, or The Bon Vivant's Companion by Jerry Thomas: his recipe for "Punch Jelly" calls for the addition of isinglass or other gelatin to a punch made from cognac, rum, and lemon juice. Gelatin art desserts Gelatin art desserts, also known as 3D gelatin desserts, are made by injecting colorful shapes into a flavored gelatin base. This 3D gelation art technique originated from Mexico and has spread along to Western and Pacific countries. These desserts are made using high quality gelatin that has a high bloom value and low odor and taste. The clear gelatin base is prepared using gelatin, water, sugar, citric acid and food flavoring. When the clear gelatin base sets, colorful shapes are injected using a syringe. The injected material usually consists of a sweetener (most commonly sugar), some type of edible liquid (milk, cream, water, etc.), food coloring and a thickening agent such as starch or additional gelatin. The shapes are drawn by making incisions in the clear gelatin base using sharp objects. Colored liquid is then allowed to fill the crevice and make the cut shape visible. Most commonly, the shapes are drawn using sterile medical needles or specialized precut gelatin art tools that allow the shape to be cut and filled with color at the same time. Gelatin art tools are attached to a syringe and used to inject a predetermined shape into gelatin. When combined with other ingredients, such as whipping cream or mousse, gelatin art desserts can be assembled into visually impressive formations resembling a cake. Gelatin substitutes Other culinary gelling agents can be used instead of animal-derived gelatin. These plant-derived substances are more similar to pectin and other gelling plant carbohydrates than to gelatin proteins; their physical properties are slightly different, creating different constraints for the preparation and storage conditions. These other gelling agents may also be preferred for certain traditional cuisines or dietary restrictions. Agar, a product made from red algae, is the traditional gelling agent in many Asian desserts. Agar is a popular gelatin substitute in quick jelly powder mix and prepared dessert gels that can be stored at room temperature. Compared to gelatin, agar preparations require a higher dissolving temperature, but the resulting gels congeal more quickly and remain solid at higher temperatures, , as opposed to for gelatin. Vegans and vegetarians can use agar to replace animal-derived gelatin. Another common seaweed-based gelatin substitute is carrageenan, which has been used as a food additive since ancient times. It was first industrially-produced in the Philippines, which pioneered the cultivation of tropical red seaweed species (primarily Eucheuma and Kappaphycus spp.) from where carrageenan is extracted. The Philippines produces 80% of the world's carrageenan supply. Carrageenan gelatin substitute are traditionally known as gulaman in the Philippines. It is widely used in various traditional desserts and are sold as dried bars or in powder form. Unlike gelatin, gulaman sets at room temperature and is uniquely thermo-reversible. If melted at higher temperatures, it can revert to its original shape once cooled down. Carrageenan jelly also sets more firmly than agar and lacks agar's occasionally unpleasant smell during cooking. The use of carrageenan as a gelatin substitute has spread to other parts of the world, particularly in cuisines with dietary restrictions against gelatin, like kosher and halal cooking. It has also been used in prepackaged Jello shots to make them shelf stable at room temperatures. Konjac is a gelling agent used in
for the preparation and storage conditions. These other gelling agents may also be preferred for certain traditional cuisines or dietary restrictions. Agar, a product made from red algae, is the traditional gelling agent in many Asian desserts. Agar is a popular gelatin substitute in quick jelly powder mix and prepared dessert gels that can be stored at room temperature. Compared to gelatin, agar preparations require a higher dissolving temperature, but the resulting gels congeal more quickly and remain solid at higher temperatures, , as opposed to for gelatin. Vegans and vegetarians can use agar to replace animal-derived gelatin. Another common seaweed-based gelatin substitute is carrageenan, which has been used as a food additive since ancient times. It was first industrially-produced in the Philippines, which pioneered the cultivation of tropical red seaweed species (primarily Eucheuma and Kappaphycus spp.) from where carrageenan is extracted. The Philippines produces 80% of the world's carrageenan supply. Carrageenan gelatin substitute are traditionally known as gulaman in the Philippines. It is widely used in various traditional desserts and are sold as dried bars or in powder form. Unlike gelatin, gulaman sets at room temperature and is uniquely thermo-reversible. If melted at higher temperatures, it can revert to its original shape once cooled down. Carrageenan jelly also sets more firmly than agar and lacks agar's occasionally unpleasant smell during cooking. The use of carrageenan as a gelatin substitute has spread to other parts of the world, particularly in cuisines with dietary restrictions against gelatin, like kosher and halal cooking. It has also been used in prepackaged Jello shots to make them shelf stable at room temperatures. Konjac is a gelling agent used in many Asian foods, including the popular konnyaku fruit jelly candies. Chemistry Gelatin consists of partially hydrolyzed collagen, a protein which is highly abundant in animal tissues such as bone and skin. Collagen is a protein made up of three strands of polypeptide chains that form in a helical structure. To make a gelatin dessert, such as Jello, the collagen is mixed with water and heated, disrupting the bonds that hold the three strands of polypeptides together. As the gelatin cools, these bonds try to reform in the same structure as before, but now with small bubbles of liquid in between. This gives gelatin its semisolid, gel-like texture. Because gelatin is a protein that contains both acid and base amino groups, it acts as an amphoteric molecule, displaying both acidic and basic properties. This allows it to react with different compounds, such as sugars and other food additives. These interactions give gelatin a versatile nature in the roles that it plays in different foods. It can stabilize foams in foods such as marshmallows, it can help maintain small ice crystals in ice cream, and it can even serve as an emulsifier for foods like toffee and margarine. Although many gelatin desserts incorporate fruit, some fresh fruits contain proteolytic enzymes; these enzymes cut the gelatin molecule into peptides (protein fragments) too small to form a firm gel. The use of such fresh fruits in a gelatin recipe results in a dessert that never "sets". Specifically, pineapple contains the protease (protein cutting enzyme) bromelain, kiwifruit contains actinidin, figs contain ficain, and papaya contains papain. Cooking or canning denatures and deactivates the proteases, so canned pineapple, for example, works fine in a gelatin dessert. Legal definitions and regulations China Gelatin dessert in China is defined as edible jelly-like food prepared from a mixture of water, sugar and gelling agent. The preparation processes include concocting, gelling, sterilizing and packaging. In China, around 250 legal additives are allowed in gelatin desserts as gelling agents, colors, artificial sweeteners, emulsifiers and antioxidants. Gelatin desserts are classified into 5 categories according to the different flavoring substances they contain. Five types of flavoring substance include artificial fruit flavored type (less than 15% of natural fruit juice), natural fruit flavored type (above 15% of natural fruit juice), natural flavored with fruit pulp type and dairy type products, which includes dairy ingredients. The last type (“others”) summarizes gelatin desserts not mentioned above. It is typically sold in single-serving plastic cups or plastic food bags. Safety Although eating tainted beef can lead to New Variant Creutzfeldt–Jakob disease (the human variant of mad-cow disease, bovine spongiform encephalopathy), there is no known case of BSE having been transmitted through collagen products such as gelatin. Jelly worldwide Aam papad, a mango preserve from Indian subcontinent Almond jelly, a sweet dessert from Hong Kong Cedrate fruit, from Northern Iran, is made into a jam called morabbā-ye bālang Chakkavaratti, a Southern Indian jackfruit preserve made with jaggery. Coffee jelly features in many desserts in Japan Jellied cranberry sauce is primarily a holiday treat in the U.S. and the UK. Götterspeise, a German dessert made of gelatine or other gelling agent Grass jelly, a food from China and Southeast Asia, often served in drinks Bocadillo, a Colombian confectionery made with guava pulp and panela Hitlerszalonna ('Hitler's bacon'), sold today as gyümölcs íz. The original name comes from the scarcity of real bacon during wartime. This dense fruit jam was eaten by Hungarian troops and civilians during World War II. It was made from mixed fruits such as plum and sold in brick-shaped blocks. Konjac, a variety of Japanese jelly made from konnyaku Jell-O was named the official snack food of the U.S. state of Utah in 2001. A bowl of lime flavored gelatin was featured on a pin for the 2002 Winter Olympics held in Salt Lake City. Mayhaw jelly is a delicacy in parts of the American South. Muk, a variety of Korean jelly, seasoned and eaten as a cold salad Nata de coco, jelly made from coconuts originating from the Philippines Turkish delight,
containing a list of "grievances" concerning the condition of the Church, George added for himself twelve specific complaints referring mainly to the abuse of Indulgences and the annates. In 1525, he combined with his Lutheran son-in-law, Landgrave Philip of Hesse, and his cousin, the Elector Frederick the Wise, to suppress the revolt of the peasants, who were defeated near Frankenhausen in Thuringia. Some years later, he wrote a forcible preface to a translation of the New Testament issued at his command by his private secretary, Hieronymus Emser, as an offset to Luther's version. Lutheran books were confiscated by his order, wherever found, though he refunded the cost of the books. He proved himself in every way a vigorous opponent of the Lutherans, decreeing that Christian burial was to be refused to apostates, and recreant ecclesiastics were to be delivered to the bishop of Merseburg. For those, however, who merely held anti-catholic opinions, the punishment was only expulsion from the duchy. The duke deeply regretted the constant postponement of the ardently desired council, from the action of which so much was expected. While awaiting its convocation, he thought to remove the more serious defects by a reform of the monasteries, which had become exceedingly worldly in spirit and from which many of the inmates were departing. He vainly sought to obtain from the Curia the right, which was sometimes granted by Rome, to make official visitations to the conventual institutions of his realm. His reforms were confined mainly to uniting the almost vacant monasteries and to matters of economic management, the control of the property being entrusted in most cases to the secular authorities. In 1525, Duke George formed, with some other German rulers, the League of Dessau, for the protection of Catholic interests. In the same way he was the animating spirit of the League of Halle, formed in 1533, from which sprang in 1538 the Holy League of Nuremberg for the maintenance of the religious Peace of Nuremberg. The vigorous activity displayed by the duke in so many directions was not attended with much success. Most of his political measures stood the test of experience, but in ecclesiastico-political matters he witnessed with sorrow the gradual decline of Catholicism and the spread of Lutheranism within his dominions, in spite of his earnest efforts and forcible prohibition of the new doctrine. Furthermore, during George's lifetime his nearest relations his son-in-law Philip of Hesse, and his brother Heinrich, joined the Reformers. He spent the last years of his reign in endeavours to secure a Catholic successor, thinking by this step to check the dissemination of Lutheran opinions. The only one of George's sons then living was the weak-minded and unmarried Frederick. The intention of his father was that Frederick should rule with the aid of a council. Early in 1539, Frederick was married to Elizabeth of Mansfeld, but he died shortly afterwards, leaving no prospect of an heir. According to the act of settlement of 1499, George's Protestant brother Heinrich was now heir prospective; but George, disregarding his father's will, sought to disinherit his brother and to bequeath the duchy to Ferdinand, brother of Charles V. His sudden death prevented the carrying out of this intention. Character George was an industrious and energetic, if somewhat irascible ruler in the furtherance of the interests of his land and people. A faithful adherent of the Emperor and Empire, he accomplished much for his domain by economy, love of order and wise direction of activities of his state officials. The grief of his life was Luther's Reformation and what he regarded to be apostasy from the Old Faith. Of a strictly religious, although not narrow, disposition, he sought at any cost to keep his subjects from falling away from the Church, but his methods were sometimes questionable. Ancestry See also Anna II, Abbess of Quedlinburg Bibliography Heinrich Freiherr von Welck: Georg der Bärtige, Herzog von Sachsen. Sein Leben und Wirken. Verlag Richard Sattler, Braunschweig 1900 (Digitalisat) Christoph Volkmar:
December 1510). Portraits Duke of Saxony In 1498, the emperor granted Albert the Brave the hereditary governorship of Friesland. At Maastricht, 14 February 1499, Albert settled the succession to his possessions, and endeavoured by this arrangement to prevent further partition of his domain. He died 12 September 1500, and was succeeded in his German territories by George as the head of the Albertine line, while George's brother Heinrich became hereditary governor of Friesland. The Saxon occupation of Friesland, however, was by no means secure and was the source of constant revolts in that province. Consequently, Heinrich, who was of a rather inert disposition, relinquished his claims to the governorship, and in 1505 an agreement was made between the brothers by which Friesland was transferred to George, while Heinrich received an annuity and the districts of Freiberg and Wolkenstein. But this arrangement did not restore peace in Friesland, which remained a source of trouble to Saxony. In 1515 George sold Friesland to the future Emperor Charles V (then Duke of Burgundy) for the very moderate price of 100,000 florins. He tried to keep the newmade lands of het Bildt which weren't granted him by Charles V. These troubles outside of his Saxon possessions did not prevent George from bestowing much care on the government of the ducal territory proper. When regent, during the lifetime of his father, the difficulties arising from conflicting interests and the large demands on his powers had often brought the young prince to the verge of despair. In a short time, however, he developed decided ability as a ruler; on entering upon his inheritance he divided the duchy into governmental districts, took measures to suppress the robber-knights, and regulated the judicial system by defining and readjusting the jurisdiction of the various law courts. In his desire to achieve good order, severity, and the amelioration of the condition of the people, he sometimes ventured to infringe even on the rights of the cities. His court was better regulated than that of any other German prince, and he bestowed a paternal care on the University of Leipzig, where a number of reforms were introduced, and Humanism, as opposed to Scholasticism, was encouraged. Opposition to the Reformation From the beginning of the Reformation in 1517, Duke George directed his energies chiefly to ecclesiastical affairs. Hardly one of the secular German princes held as firmly as he to the Church, he defended its rights and vigorously condemned every innovation except those countenanced by the highest ecclesiastical authorities. At first he was not opposed to Luther, but as time went on and Luther's aim became clear to him, he turned more and more from the Reformer, and was finally, in consequence of this change of attitude, drawn into an acrimonious correspondence in which Luther, according to some without any justification, heavily criticized the duke. The duke was not blind to the undeniable abuses existing at that time in the Church. In 1519, despite the opposition of the theological faculty of the university, he originated the Disputation of Leipzig, with the idea of helping forward the cause of truth, and was present at all the discussions. In 1521, at the Diet of Worms, when the German princes handed in a paper containing a list of "grievances" concerning the condition of the Church, George added for himself twelve specific complaints referring mainly to the abuse of Indulgences and the annates. In 1525, he combined with his Lutheran son-in-law, Landgrave Philip of Hesse, and his cousin, the Elector Frederick the Wise, to suppress the revolt of the peasants, who were defeated near Frankenhausen in Thuringia. Some years later, he wrote a forcible preface to a translation of the New Testament issued at his command by his private secretary, Hieronymus Emser, as an offset to Luther's version. Lutheran books were confiscated by his order, wherever found, though he refunded the cost of the books. He proved himself in every way a vigorous opponent of the Lutherans, decreeing that Christian burial was to be refused to apostates, and recreant ecclesiastics were to be delivered to the bishop of Merseburg. For those, however, who merely held anti-catholic opinions, the punishment was only expulsion from the duchy. The duke deeply regretted the constant postponement of the ardently desired council, from the action of which so much was expected. While awaiting its convocation, he thought to remove the more serious defects by a reform of
as the Acasta Gneiss. Description In traditional English and North American usage, a gneiss is a coarse-grained metamorphic rock showing compositional banding (gneissic banding) but poorly developed schistosity and indistinct cleavage. In other words, it is a metamorphic rock composed of mineral grains easily seen with the unaided eye, which form obvious compositional layers, but which has only a weak tendency to fracture along these layers. In Europe, the term has been more widely applied to any coarse, mica-poor, high-grade metamorphic rock. The British Geological Survey and the IUGS both use gneiss as a broad textural category for medium- to coarse-grained metamorphic rock that shows poorly developed schistosity, with compositional layering over thick and tending to split into plates over thick. Neither definition depends on composition or origin, though rocks poor in platy minerals are more likely to produce gneissose texture. Gneissose rocks thus are largely recrystallized but do not carry large quantities of micas, chlorite or other platy minerals. Metamorphic rock showing stronger schistosity is classified as schist, while metamorphic rock devoid of schistosity is called a granofels. Gneisses that are metamorphosed igneous rocks or their equivalent are termed granite gneisses, diorite gneisses, and so forth. Gneiss rocks may also be named after a characteristic component such as garnet gneiss, biotite gneiss, albite gneiss, and so forth. Orthogneiss designates a gneiss derived from an igneous rock, and paragneiss is one from a sedimentary rock. Both the BGS and the IUGS use gneissose to describe rocks with the texture of gneiss, though gneissic also remains in common use. For example, a gneissose metagranite or a gneissic metagranite both mean a granite that has been metamorphosed and thereby acquired gneissose texture. Gneissic banding The minerals in gneiss are arranged into layers that appear as bands in cross section. This is called gneissic banding. The darker bands have relatively more mafic minerals (those containing more magnesium and iron). The lighter bands contain relatively more felsic minerals (minerals such as feldspar or quartz, which contain more of the lighter elements, such as aluminium, sodium, and potassium). The banding is developed at high temperature when the rock is more strongly compressed in one direction than in other directions (nonhydrostatic stress). The bands develop perpendicular to the direction of greatest compression, also called the shortening direction, as platy minerals are rotated or recrystallized into parallel layers. A common cause of nonhydrodynamic stress is the subjection of the protolith (the original rock material that undergoes metamorphism) to extreme shearing force, a sliding force similar to the pushing of the top of a deck of cards in one direction, and the bottom of the deck in the other direction. These forces stretch out the rock like a plastic, and the original material is spread out into sheets. Per the polar decomposition theorem, the deformation produced by such shearing force is equivalent to rotation of the rock combined with shortening in one direction and extension in another. Some banding is formed from original rock material (protolith) that is subjected to extreme temperature and pressure and is composed of alternating layers of sandstone (lighter) and shale (darker), which is metamorphosed into bands of quartzite and mica. Another cause of banding is "metamorphic differentiation", which separates different materials into different layers through chemical reactions, a process not fully understood. Augen gneiss Augen gneiss, from the , meaning "eyes", is a gneiss resulting from metamorphism of granite, which contains characteristic elliptic or lenticular shear-bound grains (porphyroclasts), normally
Some banding is formed from original rock material (protolith) that is subjected to extreme temperature and pressure and is composed of alternating layers of sandstone (lighter) and shale (darker), which is metamorphosed into bands of quartzite and mica. Another cause of banding is "metamorphic differentiation", which separates different materials into different layers through chemical reactions, a process not fully understood. Augen gneiss Augen gneiss, from the , meaning "eyes", is a gneiss resulting from metamorphism of granite, which contains characteristic elliptic or lenticular shear-bound grains (porphyroclasts), normally feldspar, surrounded by finer grained material. The finer grained material deforms around the more resistant feldspar grains to produce this texture. Migmatite Migmatite is a gneiss consisting of two or more distinct rock types, one of which has the appearance of an ordinary gneiss (the mesosome), and another of which has the appearance of an intrusive rock such pegmatite, aplite, or granite the (leucosome). The rock may also contain a melanosome of mafic rock complementary to the leucosome. Migmatites are often interpreted as rock that has been partially melted, with the leucosome representing the silica-rich melt, the melanosome the residual solid rock left after partial melting, and the mesosome the original rock that has not yet experienced partial melting. Occurrences Gneisses are characteristic of areas of regional metamorphism that reaches the middle amphibolite to granulite metamorphic facies. In other words, the rock was metamorphosed at a temperature in excess of at pressures between about 2 to 24 kbar. Many different varieties of rock can be metamorphosed to gneiss, so geologists are careful to add descriptions of the color and mineral composition to the name of any gneiss, such as garnet-biotite paragneiss or grayish-pink orthogneiss. Granite-greenstone belts Continental shields are regions of exposed ancient rock that make up the stable cores of continents. The rock exposed in the oldest regions of shields, which is of Archean age (over 2500 million years old), mostly belong to granite-greenstone belts. The greenstone belts contain metavolcanic and metasedimentary rock that has
widely known as the "mother of the nation." Brundtland received the 1994 Charlemagne Prize, and has received many other awards and recognitions. Early life Brundtland was born in Oslo in 1939, the daughter of physician and politician Gudmund Harlem and Inga Margareta Elisabet Brynolf (1918-2005). She has a younger brother, Lars and a younger sister, Hanne. In 1963, Brundtland graduated with a medical degree, a cand.med. from the University of Oslo. She took her master's degree at Harvard University in 1965, as a Master of Public Health. From 1966 to 1969, she worked as a physician at the Directorate of Health (Helsedirektoratet), and from 1969 she worked as a doctor in Oslo's public school health service. Political career She was Norwegian Minister for Environmental Affairs from 1974 to 1979. Prime Minister of Norway Brundtland became Norway's first female Prime Minister in 1981. She served as Prime Minister from February to October. Brundtland became Norwegian Prime Minister for two further, and more durable, terms. The second ministry was from 9 May 1986 until 16 October 1989 and this cabinet became known worldwide for its high proportion of female ministers: nearly half, or eight of the total eighteen ministers, were female. The third ministry was from 3 November 1990 to 25 October 1996. Brundtland became leader of the Labour Party in 1981 and held the office until resigning in 1992, during her third term as Prime Minister. In 1996, she resigned as Prime Minister and retired completely from Norwegian politics. Her successor as both Labour Party leader in 1992 and as Prime Minister in 1996 was Thorbjørn Jagland. International career In 1983, Brundtland was invited by then United Nations Secretary-General Javier Pérez de Cuéllar to establish and chair the World Commission on Environment and Development (WCED), widely referred to as the Brundtland Commission. She developed the broad political concept of sustainable development in the course of extensive public hearings, that were distinguished by their inclusiveness. The commission, which published its report, Our Common Future, in April 1987, provided the momentum for the 1992 Earth Summit/UNCED, which was headed by Maurice Strong, who had been a prominent member of the commission. The Brundtland Commission also provided momentum for Agenda 21. During her third ministry, the Norwegian government in 1993 took the initiative to sponsor secret peace talks between the Government of Israel led by Yitzchak Rabin – like Brundtland, leader of a Labour Party – and the PLO led by Yasser Arafat. This culminated with the signing of the Oslo Accords. For several years afterwards Norway continued to have a high-profile involvement in promoting Israeli-Palestinian peace, though increasingly displaced by the United States from its role as the mediator. After the end of her term as PM, Brundtland was then elected Director-General of the World Health Organization in May 1998. In this capacity, Brundtland adopted a far-reaching approach to public health, establishing a Commission on Macroeconomics and Health, chaired by Jeffrey Sachs, and addressing violence as a major public health issue. Brundtland spearheaded the movement, now worldwide, to achieve the abolition of cigarette smoking by education, persuasion, and increased taxation. Under her leadership, the World Health Organization was one of the first major employers to make quitting smoking a condition of employment. Under Brundtland's leadership, the World Health Organization was criticized for increased drug-company influence on the agency. Brundtland was recognized in 2003 by Scientific American as their 'Policy Leader of the Year' for coordinating a rapid worldwide response to stem outbreaks of SARS. Brundtland was succeeded on 21 July 2003 by Jong-Wook Lee. In 1994, Brundtland was awarded the Charlemagne Prize of the city of Aachen. In 2006 Brundtland was a member of the Panel of Eminent Persons who reviewed the work of the United Nations Conference on Trade and Development (UNCTAD).
Rabin – like Brundtland, leader of a Labour Party – and the PLO led by Yasser Arafat. This culminated with the signing of the Oslo Accords. For several years afterwards Norway continued to have a high-profile involvement in promoting Israeli-Palestinian peace, though increasingly displaced by the United States from its role as the mediator. After the end of her term as PM, Brundtland was then elected Director-General of the World Health Organization in May 1998. In this capacity, Brundtland adopted a far-reaching approach to public health, establishing a Commission on Macroeconomics and Health, chaired by Jeffrey Sachs, and addressing violence as a major public health issue. Brundtland spearheaded the movement, now worldwide, to achieve the abolition of cigarette smoking by education, persuasion, and increased taxation. Under her leadership, the World Health Organization was one of the first major employers to make quitting smoking a condition of employment. Under Brundtland's leadership, the World Health Organization was criticized for increased drug-company influence on the agency. Brundtland was recognized in 2003 by Scientific American as their 'Policy Leader of the Year' for coordinating a rapid worldwide response to stem outbreaks of SARS. Brundtland was succeeded on 21 July 2003 by Jong-Wook Lee. In 1994, Brundtland was awarded the Charlemagne Prize of the city of Aachen. In 2006 Brundtland was a member of the Panel of Eminent Persons who reviewed the work of the United Nations Conference on Trade and Development (UNCTAD). In May 2007, UN Secretary-General Ban Ki-moon named Brundtland, as well as Ricardo Lagos (the former president of Chile), and Han Seung-soo (the former foreign minister of South Korea), to serve as UN Special Envoys for Climate Change. Brundtland's hallmark political activities have been chronicled by her husband, , in his two bestsellers, Married to Gro () and Still married to Gro (). In 2007, Brundtland was working for Pepsi as a consultant. Brundtland is a member of the Council of Women World Leaders, an international network of current and former women presidents and prime ministers whose mission is to mobilize collective action on issues of critical importance to women and equitable development. Brundtland is also a member of the Club of Madrid, an independent organization of former leaders of democratic states, which works to strengthen democratic governance and leadership. Brundtland is a founding member of The Elders, a group of world leaders originally convened by Nelson Mandela, Graça Machel and Desmond Tutu in order to tackle some of the world's toughest problems. Mandela announced the launch of the group on 18 July 2007 in Johannesburg, South Africa. Brundtland has been active in The Elders' work, participating in a broad range of the group's initiatives. She has travelled with Elders delegations to Cyprus, the Korean Peninsula, Ethiopia, India and the Middle East. Brundtland has also been involved in The Elders' initiative on child marriage, including the founding of Girls Not Brides: The Global Partnership to End Child Marriage. She was appointed Deputy Chair of the group in 2013 and was succeeded in this role by Ban Ki-moon and Graça Machel in 2018. Brundtland attended the Bilderberg meetings in 1982 and 1983. Her husband attended in 1991. In 2019, Brundtland served
Athens, he developed a close friendship with his fellow student Basil of Caesarea, and also made the acquaintance of Flavius Claudius Julianus, who would later become the emperor known as Julian the Apostate. In Athens, Gregory studied under the famous rhetoricians Himerius and Proaeresius. He may have been baptized there, or shortly after his return to Cappadocia. Priesthood In 361 Gregory returned to Nazianzus and was ordained a presbyter by his father's wish, who wanted him to assist with caring for local Christians. The younger Gregory, who had been considering a monastic existence, resented his father's decision to force him to choose between priestly services and a solitary existence, calling it an "act of tyranny". Leaving home after a few days, he met his friend Basil at Annesoi, where the two lived as ascetics. However, Basil urged him to return home to assist his father, which he did for the next year. Arriving at Nazianzus, Gregory found the local Christian community split by theological differences and his father accused of heresy by local monks. Gregory helped to heal the division through a combination of personal diplomacy and oratory. By this time Emperor Julian had publicly declared himself in opposition to Christianity. In response to the emperor's rejection of the Christian faith, Gregory composed his Invectives Against Julian between 362 and 363. Invectives asserts that Christianity will overcome imperfect rulers such as Julian through love and patience. This process as described by Gregory is the public manifestation of the process of deification (theosis), which leads to a spiritual elevation and mystical union with God. Julian resolved, in late 362, to vigorously prosecute Gregory and his other Christian critics; however, the emperor perished the following year during a campaign against the Persians. With the death of the emperor, Gregory and the Eastern churches were no longer under the threat of persecution, as the new emperor Jovian was an avowed Christian and supporter of the church. Gregory spent the next few years combating Arianism, which threatened to divide the region of Cappadocia. In this tense environment, Gregory interceded on behalf of his friend Basil with Bishop Eusebius of Caesarea (Mazaca). The two friends then entered a period of close fraternal cooperation as they participated in a great rhetorical contest of the Caesarean church precipitated by the arrival of accomplished Arian theologians and rhetors. In the subsequent public debates, presided over by agents of the Emperor Valens, Gregory and Basil emerged triumphant. This success confirmed for both Gregory and Basil that their futures lay in administration of the Church. Basil, who had long displayed inclinations to the episcopacy, was elected bishop of the see of Caesarea in Cappadocia in 370. Episcopate in Sasima and Nazianzus Gregory was ordained Bishop of Sasima in 372 by Basil. Basil created this see in order to strengthen his position in his dispute with Anthimus, bishop of Tyana. The ambitions of Gregory's father to have his son rise in the Church hierarchy and the insistence of his friend Basil convinced Gregory to accept this position despite his reservations. Gregory would later refer to his episcopal ordination as forced upon him by his strong-willed father and Basil. Describing his new bishopric, Gregory lamented how it was nothing more than an "utterly dreadful, pokey little hole; a paltry horse-stop on the main road ... devoid of water, vegetation, or the company of gentlemen ... this was my Church of Sasima!" He made little effort to administer his new diocese, complaining to Basil that he preferred instead to pursue a contemplative life. By late 372 Gregory returned to Nazianzus to assist his dying father with the administration of his diocese. This strained his relationship with Basil, who insisted that Gregory resume his post at Sasima. Gregory retorted that he had no intention to continue to play the role of pawn to advance Basil's interests. He instead focused his attention on his new duties as coadjutor of Nazianzus. It was here that Gregory preached the first of his great episcopal orations. Following the deaths of his mother and father in 374, Gregory continued to administer the Diocese of Nazianzus but refused to be named bishop. Donating most of his inheritance to the needy, he lived an austere existence. At the end of 375 he withdrew to a monastery at Seleukia, living there for three years. Near the end of this period his friend Basil died. Although Gregory's health did not permit him to attend the funeral, he wrote a heartfelt letter of condolence to Basil's brother, Gregory of Nyssa, and composed twelve memorial poems dedicated to the memory of his departed friend. (The Greek Anthology, book I epigram 86 and book VIII epigrams 2–11). Gregory at Constantinople Upon the death of Emperor Valens in 378, the accession of Theodosius I, a steadfast supporter of Nicene orthodoxy, was good news to those who wished to purge Constantinople of Arian and Apollinarian domination. The exiled Nicene party gradually returned to the city. From his deathbed, Basil reminded them of Gregory's capabilities and likely recommended his friend to champion the Trinitarian cause in Constantinople. In 379, the Antioch synod and its archbishop, Meletios, asked Gregory to go to Constantinople to lead a theological campaign to win over that city to Nicene orthodoxy. After much hesitation, Gregory agreed. His cousin Theodosia offered him a villa for his residence; Gregory immediately transformed much of it into a church, naming it Anastasia, "a scene for the resurrection of the faith". From this little chapel he delivered five powerful discourses on Nicene doctrine, explaining the nature of the Trinity and the unity of the Godhead. Refuting the Eunomion denial of the Holy Spirit's divinity, Gregory offered this argument: Gregory's homilies were well received and attracted ever-growing crowds to Anastasia. Fearing his popularity, his opponents decided to strike. On the vigil of Easter in 379, an Arian mob burst into his church during worship services, wounding Gregory and killing another bishop. Escaping the mob, Gregory next found himself betrayed by his erstwhile friend, the philosopher Maximus the Cynic. Maximus, who was in secret alliance with Peter, bishop of Alexandria, attempted to seize Gregory's position and have himself ordained bishop of Constantinople. Shocked, Gregory decided to resign his office, but the faction faithful to him induced him to stay and ejected Maximus. This episode left Gregory embarrassed, and exposed him to criticism as a provincial simpleton unable to cope with the intrigues of the imperial city. Affairs in Constantinople remained confused as Gregory's position was still unofficial, and Arian priests yet occupied many important churches. The arrival of the emperor Theodosius in 380 settled matters in Gregory's favor. The emperor, determined to eliminate Arianism, expelled Bishop Demophilus. Gregory was subsequently enthroned as bishop of Constantinople at the Basilica of the Apostles, replacing Demophilus. Second Ecumenical Council and retirement to Nazianzus Theodosius wanted to further unify the entire empire behind the orthodox position and decided to convene a church council to resolve matters of faith and discipline. Gregory was of similar mind in wishing to unify Christianity. In the spring of 381 they convened the Second Ecumenical Council in Constantinople, which was attended by 150 Eastern bishops. After the death of the presiding bishop, Meletius of Antioch, Gregory was selected to lead the Council. Hoping to reconcile the West with the East, he offered to recognize Paulinus as Patriarch of Antioch. The Egyptian and Macedonian bishops who had supported Maximus's ordination arrived late for the Council. Once there, they refused to recognise Gregory's position as head of the church of Constantinople, arguing that his transfer from the See of Sasima was canonically illegitimate. Gregory was physically exhausted and worried that he was losing the confidence of the bishops and the emperor. Rather than press his case and risk further division, he decided to resign his office: "Let me be as the Prophet Jonah! I was responsible for the storm, but I would sacrifice myself for the salvation of the ship. Seize me and throw me ... I was not happy when I ascended the throne, and gladly would I descend it." He shocked the Council with his surprise resignation and then delivered a dramatic speech to Theodosius asking to be released from his offices. The emperor, moved by his words, applauded, commended his labor, and granted his resignation. The Council asked him to appear once more for a farewell ritual and celebratory orations. Gregory used this occasion to deliver a final address ( 42) and then departed. Returning to his homeland of Cappadocia, Gregory once again resumed his position as bishop of Nazianzus. He spent the next year combating the local Apollinarian heretics and struggling with periodic illness. He also began composing De Vita Sua, his autobiographical poem. By the end of 383 he found his health too feeble to cope with episcopal duties. Gregory established Eulalius as bishop of Nazianzus and then withdrew into the solitude of Arianzum. After enjoying six peaceful years in retirement at his family estate, he died on 25 January in 390. Gregory faced stark choices throughout his life: Should he pursue studies as a rhetor or philosopher? Would a monastic life be more appropriate than public ministry? Was it better to blaze his own path or follow the course mapped for him by his father and Basil? Gregory's writings illuminate the conflicts which both tormented and motivated him. Biographers suggest that it was this dialectic which defined him, forged his character, and inspired his search for meaning and truth. Legacy Theological and other works Gregory's most significant theological contributions arose from his defense of the doctrine of the Trinity. He is especially noted for his contributions to the field of pneumatology—that is, theology concerning the nature of the Holy Spirit. In this regard, Gregory is the first to use the idea of procession to describe the relationship between the Spirit and the Godhead: "The Holy Spirit is truly Spirit, coming forth from the Father indeed but not after the manner of the Son, for it is not by generation but by procession, since I must coin a word for the sake of clearness." Although Gregory does not fully develop the concept, the idea of procession would shape most later thought about the Holy Spirit. He emphasized that Jesus did not cease to be God when he became a man, nor
the Cappadocian Fathers. Gregory of Nazianzus is a saint in both Eastern and Western Christianity. In the Catholic Church he is numbered among the Doctors of the Church; in the Eastern Orthodox Church and the Eastern Catholic Churches he is revered as one of the Three Holy Hierarchs, along with Basil the Great and John Chrysostom. He is considered one of the Great Fathers in both Eastern and Western Christianity. He was considered the patron saint of Kotromanić dynasty and medieval Bosnia during the first half of the 15th century, while Saint George, the Miracle-worker, has been the patron saint since at least mid-13th century, although confirmed by papacy much later, in 1461. St. Gregory the Great was also considered the patron of both, the state and dynasty in the late 15th century. He is also one of only three men in the life of the Orthodox Church who have been officially designated "Theologian" by epithet, the other two being John the Theologian (the Evangelist), and Symeon the New Theologian. Biography Early life and education Gregory was born to Greek parents in the family estate of Karbala outside the village of Arianzus, near Nazianzus, in southwest Cappadocia. His parents, Gregory and Nonna, were wealthy land-owners. In AD 325 Nonna converted her husband, a Hypsistarian, to Christianity; he was subsequently ordained as bishop of Nazianzus in 328 or 329. The young Gregory and his brother, Caesarius, first studied at home with their uncle Amphylokhios. Gregory went on to study advanced rhetoric and philosophy in Nazianzus, Caesarea, Alexandria, and Athens. On the way to Athens his ship encountered a violent storm, and the terrified Gregory prayed to Christ that if He would deliver him, he would dedicate his life to His service. While at Athens, he developed a close friendship with his fellow student Basil of Caesarea, and also made the acquaintance of Flavius Claudius Julianus, who would later become the emperor known as Julian the Apostate. In Athens, Gregory studied under the famous rhetoricians Himerius and Proaeresius. He may have been baptized there, or shortly after his return to Cappadocia. Priesthood In 361 Gregory returned to Nazianzus and was ordained a presbyter by his father's wish, who wanted him to assist with caring for local Christians. The younger Gregory, who had been considering a monastic existence, resented his father's decision to force him to choose between priestly services and a solitary existence, calling it an "act of tyranny". Leaving home after a few days, he met his friend Basil at Annesoi, where the two lived as ascetics. However, Basil urged him to return home to assist his father, which he did for the next year. Arriving at Nazianzus, Gregory found the local Christian community split by theological differences and his father accused of heresy by local monks. Gregory helped to heal the division through a combination of personal diplomacy and oratory. By this time Emperor Julian had publicly declared himself in opposition to Christianity. In response to the emperor's rejection of the Christian faith, Gregory composed his Invectives Against Julian between 362 and 363. Invectives asserts that Christianity will overcome imperfect rulers such as Julian through love and patience. This process as described by Gregory is the public manifestation of the process of deification (theosis), which leads to a spiritual elevation and mystical union with God. Julian resolved, in late 362, to vigorously prosecute Gregory and his other Christian critics; however, the emperor perished the following year during a campaign against the Persians. With the death of the emperor, Gregory and the Eastern churches were no longer under the threat of persecution, as the new emperor Jovian was an avowed Christian and supporter of the church. Gregory spent the next few years combating Arianism, which threatened to divide the region of Cappadocia. In this tense environment, Gregory interceded on behalf of his friend Basil with Bishop Eusebius of Caesarea (Mazaca). The two friends then entered a period of close fraternal cooperation as they participated in a great rhetorical contest of the Caesarean church precipitated by the arrival of accomplished Arian theologians and rhetors. In the subsequent public debates, presided over by agents of the Emperor Valens, Gregory and Basil emerged triumphant. This success confirmed for both Gregory and Basil that their futures lay in administration of the Church. Basil, who had long displayed inclinations to the episcopacy, was elected bishop of the see of Caesarea in Cappadocia in 370. Episcopate in Sasima and Nazianzus Gregory was ordained Bishop of Sasima in 372 by Basil. Basil created this see in order to strengthen his position in his dispute with Anthimus, bishop of Tyana. The ambitions of Gregory's father to have his son rise in the Church hierarchy and the insistence of his friend Basil convinced Gregory to accept this position despite his reservations. Gregory would later refer to his episcopal ordination as forced upon him by his strong-willed father and Basil. Describing his new bishopric, Gregory lamented how it was nothing more than an "utterly dreadful, pokey little hole; a paltry horse-stop on the main road ... devoid of water, vegetation, or the company of gentlemen ... this was my Church of Sasima!" He made little effort to administer his new diocese, complaining to Basil that he preferred instead to pursue a contemplative life. By late 372 Gregory returned to Nazianzus to assist his dying father with the administration of his diocese. This strained his relationship with Basil, who insisted that Gregory resume his post at Sasima. Gregory retorted that he had no intention to continue to play the role of pawn to advance Basil's interests. He instead focused his attention on his new duties as coadjutor of Nazianzus. It was here that Gregory preached the first of his great episcopal orations. Following the deaths of his mother and father in 374, Gregory continued to administer the Diocese of Nazianzus but refused to be named bishop. Donating most of his inheritance to the needy, he lived an austere existence. At the end of 375 he withdrew to a monastery at Seleukia, living there for three years. Near the end of this period his friend Basil died. Although Gregory's health did not permit him to attend the funeral, he wrote a heartfelt letter of condolence to Basil's brother, Gregory of Nyssa, and composed twelve memorial poems dedicated to the memory of his departed friend. (The Greek Anthology, book I epigram 86 and book VIII epigrams 2–11). Gregory at Constantinople Upon the death of Emperor Valens in 378, the accession of Theodosius I, a steadfast supporter of Nicene orthodoxy, was good news to those who wished to purge Constantinople of Arian
built its business on the Web by extending HTML features." January 2008 HTML5 was published as a Working Draft by the W3C. Although its syntax closely resembles that of SGML, HTML5 has abandoned any attempt to be an SGML application and has explicitly defined its own "html" serialization, in addition to an alternative XML-based XHTML5 serialization. 2011 HTML5 – Last Call On 14 February 2011, the W3C extended the charter of its HTML Working Group with clear milestones for HTML5. In May 2011, the working group advanced HTML5 to "Last Call", an invitation to communities inside and outside W3C to confirm the technical soundness of the specification. The W3C developed a comprehensive test suite to achieve broad interoperability for the full specification by 2014, which was the target date for recommendation. In January 2011, the WHATWG renamed its "HTML5" living standard to "HTML". The W3C nevertheless continues its project to release HTML5. 2012 HTML5 – Candidate Recommendation In July 2012, WHATWG and W3C decided on a degree of separation. W3C will continue the HTML5 specification work, focusing on a single definitive standard, which is considered as a "snapshot" by WHATWG. The WHATWG organization will continue its work with HTML5 as a "Living Standard". The concept of a living standard is that it is never complete and is always being updated and improved. New features can be added but functionality will not be removed. In December 2012, W3C designated HTML5 as a Candidate Recommendation. The criterion for advancement to W3C Recommendation is "two 100% complete and fully interoperable implementations". 2014 HTML5 – Proposed Recommendation and Recommendation In September 2014, W3C moved HTML5 to Proposed Recommendation. On 28 October 2014, HTML5 was released as a stable W3C Recommendation, meaning the specification process is complete. XHTML versions XHTML is a separate language that began as a reformulation of HTML 4.01 using XML 1.0. It is no longer being developed as a separate standard. XHTML 1.0 was published as a W3C Recommendation on January 26, 2000, and was later revised and republished on August 1, 2002. It offers the same three variations as HTML 4.0 and 4.01, reformulated in XML, with minor restrictions. XHTML 1.1 was published as a W3C Recommendation on May 31, 2001. It is based on XHTML 1.0 Strict, but includes minor changes, can be customized, and is reformulated using modules in the W3C recommendation "Modularization of XHTML", which was published on April 10, 2001. XHTML 2.0 was a working draft, work on it was abandoned in 2009 in favor of work on HTML5 and XHTML5. XHTML 2.0 was incompatible with XHTML 1.x and, therefore, would be more accurately characterized as an XHTML-inspired new language than an update to XHTML 1.x. An XHTML syntax, known as "XHTML5.1", is being defined alongside HTML5 in the HTML5 draft. Transition of HTML Publication to WHATWG On 28 May 2019, the W3C announced that WHATWG would be the sole publisher of the HTML and DOM standards. The W3C and WHATWG had been publishing competing standards since 2012. While the W3C standard was identical to the WHATWG in 2007 the standards have since progressively diverged due to different design decisions. The WHATWG "Living Standard" had been the de facto web standard for some time. Markup HTML markup consists of several key components, including those called tags (and their attributes), character-based data types, character references and entity references. HTML tags most commonly come in pairs like and , although some represent empty elements and so are unpaired, for example . The first tag in such a pair is the start tag, and the second is the end tag (they are also called opening tags and closing tags). Another important component is the HTML document type declaration, which triggers standards mode rendering. The following is an example of the classic "Hello, World!" program: <!DOCTYPE html> <html> <head> <title>This is a title</title> </head> <body> <div> <p>Hello world!</p> </div> </body> </html> The text between and describes the web page, and the text between and is the visible page content. The markup text defines the browser page title shown on browser tabs and window titles, and the tag defines a division of the page used for easy styling. Additionally, a element is used in between and , which can be used to define the webpage’s metadata. The Document Type Declaration is for HTML5. If a declaration is not included, various browsers will revert to "quirks mode" for rendering. Elements HTML documents imply a structure of nested HTML elements. These are indicated in the document by HTML tags, enclosed in angle brackets thus: . In the simple, general case, the extent of an element is indicated by a pair of tags: a "start tag" and "end tag" . The text content of the element, if any, is placed between these tags. Tags may also enclose further tag markup between the start and end, including a mixture of tags and text. This indicates further (nested) elements, as children of the parent element. The start tag may also include element's attributes within the tag. These indicate other information, such as identifiers for sections within the document, identifiers used to bind style information to the presentation of the document, and for some tags such as the used to embed images, the reference to the image resource in the format like this: Some elements, such as the line break , or do not permit any embedded content, either text or further tags. These require only a single empty tag (akin to a start tag) and do not use an end tag. Many tags, particularly the closing end tag for the very commonly used paragraph element , are optional. An HTML browser or other agent can infer the closure for the end of an element from the context and the structural rules defined by the HTML standard. These rules are complex and not widely understood by most HTML coders. The general form of an HTML element is therefore: . Some HTML elements are defined as empty elements and take the form . Empty elements may enclose no content, for instance, the tag or the inline tag. The name of an HTML element is the name used in the tags. Note that the end tag's name is preceded by a slash character, /, and that in empty elements the end tag is neither required nor allowed. If attributes are not mentioned, default values are used in each case. Element examples Header of the HTML document: . The title is included in the head, for example: <head> <title>The Title</title> <link rel="stylesheet" href="stylebyjimbowales.css" /> <!-- Imports Stylesheets --> </head> Headings HTML headings are defined with the to tags with H1 being the highest (or most important) level and H6 the least: <h1>Heading level 1</h1> <h2>Heading level 2</h2> <h3>Heading level 3</h3> <h4>Heading level 4</h4> <h5>Heading level 5</h5> <h6>Heading level 6</h6> The effects are: <blockquote> Heading Level 1 Heading Level 2 Heading Level 3 Heading Level 4 Heading Level 5 Heading Level 6 </blockquote> Note that CSS can drastically change the rendering. Paragraphs:<p>Paragraph 1</p> <p>Paragraph 2</p> Line breaks: . The difference between and is that breaks a line without altering the semantic structure of the page, whereas sections the page into paragraphs. The element is an empty element in that, although it may have attributes, it can take no content and it may not have an end tag. <p>This <br> is a paragraph <br> with <br> line breaks</p> This is a link in HTML. To create a link the tag is used. The href attribute holds the URL address of the link. <a href="https://www.wikipedia.org/">A link to Wikipedia!</a> Inputs: There are many possible ways a user can give input/s like:<input type="text" /> <!-- This is for text input --> <input type="file" /> <!-- This is for uploading files --> <input type="checkbox" /> <!-- This is for checkboxes --> Comments: <!-- This is a comment --> Comments can help in the understanding of the markup and do not display in the webpage. There are several types of markup elements used in HTML: Structural markup indicates the purpose of text For example, establishes "Golf" as a second-level heading. Structural markup does not denote any specific rendering, but most web browsers have default styles for element formatting. Content may be further styled using Cascading Style Sheets (CSS). Presentational markup indicates the appearance of the text, regardless of its purpose For example, indicates that visual output devices should render "boldface" in bold text, but gives little indication what devices that are unable to do this (such as aural devices that read the text aloud) should do. In the case of both and , there are other elements that may have equivalent visual renderings but that are more semantic in nature, such as and respectively. It is easier to see how an aural user agent should interpret the latter two elements. However, they are not equivalent to their presentational counterparts: it would be undesirable for a screen-reader to emphasize the name of a book, for instance, but on a screen such a name would be italicized. Most presentational markup elements have become deprecated under the HTML 4.0 specification in favor of using CSS for styling. Hypertext markup makes parts of a document into links to other documents An anchor element creates a hyperlink in the document and its href attribute sets the link's target URL. For example, the HTML markup , will render the word "Wikipedia" as a hyperlink. To render an image as a hyperlink, an img element is inserted as content into the a element. Like br, img is an empty element with attributes but no content or closing tag. . Attributes Most of the attributes of an element are name-value pairs, separated by = and written within the start tag of an element after the element's name. The value may be enclosed in single or double quotes, although values consisting of certain characters can be left unquoted in HTML (but not XHTML). Leaving attribute values unquoted is considered unsafe. In contrast with name-value pair attributes, there are some attributes that affect the element simply by their presence in the start tag of the element, like the ismap attribute for the img element. There are several common attributes that may appear in many elements : The id attribute provides a document-wide unique identifier for an element. This is used to identify the element so that stylesheets can alter its presentational properties, and scripts may alter, animate or delete its contents or presentation. Appended to the URL of the page, it provides a globally unique identifier for the element, typically a sub-section of the page. For example, the ID "Attributes" in https://en.wikipedia.org/wiki/HTML#Attributes. The class attribute provides a way of classifying similar elements. This can be used for semantic or presentation purposes. For example, an HTML document might semantically use the designation to indicate that all elements with this class value are subordinate to the main text of the document. In presentation, such elements might be gathered together and presented as footnotes on a page instead of appearing in the place where they occur in the HTML source. Class attributes are used semantically in microformats. Multiple class values may be specified; for example puts the element into both the notation and the important classes. An author may use the style attribute to assign presentational properties to a particular element. It is considered better practice to use an element's id or class attributes to select the element from within a stylesheet, though sometimes this can be too cumbersome for a simple, specific, or ad hoc styling. The title attribute is used to attach subtextual explanation to an element. In most browsers this attribute is displayed as a tooltip. The lang attribute identifies the natural language of the element's contents, which may be different from that of the rest of the document. For example, in an English-language document: <p>Oh well, <span lang="fr">c'est la vie</span>, as they say in France.</p> The abbreviation element, abbr, can be used to demonstrate some of these attributes:
of early text formatting languages such as that used by the RUNOFF command developed in the early 1960s for the CTSS (Compatible Time-Sharing System) operating system: these formatting commands were derived from the commands used by typesetters to manually format documents. However, the SGML concept of generalized markup is based on elements (nested annotated ranges with attributes) rather than merely print effects, with also the separation of structure and markup; HTML has been progressively moved in this direction with CSS. Berners-Lee considered HTML to be an application of SGML. It was formally defined as such by the Internet Engineering Task Force (IETF) with the mid-1993 publication of the first proposal for an HTML specification, the "Hypertext Markup Language (HTML)" Internet Draft by Berners-Lee and Dan Connolly, which included an SGML Document type definition to define the grammar. The draft expired after six months, but was notable for its acknowledgment of the NCSA Mosaic browser's custom tag for embedding in-line images, reflecting the IETF's philosophy of basing standards on successful prototypes. Similarly, Dave Raggett's competing Internet-Draft, "HTML+ (Hypertext Markup Format)", from late 1993, suggested standardizing already-implemented features like tables and fill-out forms. After the HTML and HTML+ drafts expired in early 1994, the IETF created an HTML Working Group, which in 1995 completed "HTML 2.0", the first HTML specification intended to be treated as a standard against which future implementations should be based. Further development under the auspices of the IETF was stalled by competing interests. the HTML specifications have been maintained, with input from commercial software vendors, by the World Wide Web Consortium (W3C). However, in 2000, HTML also became an international standard (ISO/IEC 15445:2000). HTML 4.01 was published in late 1999, with further errata published through 2001. In 2004, development began on HTML5 in the Web Hypertext Application Technology Working Group (WHATWG), which became a joint deliverable with the W3C in 2008, and completed and standardized on 28 October 2014. HTML versions timeline HTML 2 November 24, 1995 HTML 2.0 was published as . Supplemental RFCs added capabilities: November 25, 1995: (form-based file upload) May 1996: (tables) August 1996: (client-side image maps) January 1997: (internationalization) HTML 3 January 14, 1997 HTML 3.2 was published as a W3C Recommendation. It was the first version developed and standardized exclusively by the W3C, as the IETF had closed its HTML Working Group on September 12, 1996. Initially code-named "Wilbur", HTML 3.2 dropped math formulas entirely, reconciled overlap among various proprietary extensions and adopted most of Netscape's visual markup tags. Netscape's blink element and Microsoft's marquee element were omitted due to a mutual agreement between the two companies. A markup for mathematical formulas similar to that in HTML was not standardized until 14 months later in MathML. HTML 4 December 18, 1997 HTML 4.0 was published as a W3C Recommendation. It offers three variations: Strict, in which deprecated elements are forbidden Transitional, in which deprecated elements are allowed Frameset, in which mostly only frame related elements are allowed. Initially code-named "Cougar", HTML 4.0 adopted many browser-specific element types and attributes, but at the same time sought to phase out Netscape's visual markup features by marking them as deprecated in favor of style sheets. HTML 4 is an SGML application conforming to ISO 8879 – SGML. April 24, 1998 HTML 4.0 was reissued with minor edits without incrementing the version number. December 24, 1999 HTML 4.01 was published as a W3C Recommendation. It offers the same three variations as HTML 4.0 and its last errata were published on May 12, 2001. May 2000 ISO/IEC 15445:2000 ("ISO HTML", based on HTML 4.01 Strict) was published as an ISO/IEC international standard. In the ISO this standard falls in the domain of the ISO/IEC JTC1/SC34 (ISO/IEC Joint Technical Committee 1, Subcommittee 34 – Document description and processing languages). After HTML 4.01, there was no new version of HTML for many years as development of the parallel, XML-based language XHTML occupied the W3C's HTML Working Group through the early and mid-2000s. HTML 5 October 28, 2014 HTML5 was published as a W3C Recommendation. November 1, 2016 HTML 5.1 was published as a W3C Recommendation. December 14, 2017 HTML 5.2 was published as a W3C Recommendation. HTML draft version timeline October 1991 HTML Tags, an informal CERN document listing 18 HTML tags, was first mentioned in public. June 1992 First informal draft of the HTML DTD, with seven subsequent revisions (July 15, August 6, August 18, November 17, November 19, November 20, November 22) November 1992 HTML DTD 1.1 (the first with a version number, based on RCS revisions, which start with 1.1 rather than 1.0), an informal draft June 1993 Hypertext Markup Language was published by the IETF IIIR Working Group as an Internet Draft (a rough proposal for a standard). It was replaced by a second version one month later. November 1993 HTML+ was published by the IETF as an Internet Draft and was a competing proposal to the Hypertext Markup Language draft. It expired in July 1994. November 1994 First draft (revision 00) of HTML 2.0 published by IETF itself (called as "HTML 2.0" from revision 02), that finally led to publication of in November 1995. April 1995 (authored March 1995) HTML 3.0 was proposed as a standard to the IETF, but the proposal expired five months later (28 September 1995) without further action. It included many of the capabilities that were in Raggett's HTML+ proposal, such as support for tables, text flow around figures and the display of complex mathematical formulas. W3C began development of its own Arena browser as a test bed for HTML 3 and Cascading Style Sheets, but HTML 3.0 did not succeed for several reasons. The draft was considered very large at 150 pages and the pace of browser development, as well as the number of interested parties, had outstripped the resources of the IETF. Browser vendors, including Microsoft and Netscape at the time, chose to implement different subsets of HTML 3's draft features as well as to introduce their own extensions to it. (see Browser wars). These included extensions to control stylistic aspects of documents, contrary to the "belief [of the academic engineering community] that such things as text color, background texture, font size and font face were definitely outside the scope of a language when their only intent was to specify how a document would be organized." Dave Raggett, who has been a W3C Fellow for many years, has commented for example: "To a certain extent, Microsoft built its business on the Web by extending HTML features." January 2008 HTML5 was published as a Working Draft by the W3C. Although its syntax closely resembles that of SGML, HTML5 has abandoned any attempt to be an SGML application and has explicitly defined its own "html" serialization, in addition to an alternative XML-based XHTML5 serialization. 2011 HTML5 – Last Call On 14 February 2011, the W3C extended the charter of its HTML Working Group with clear milestones for HTML5. In May 2011, the working group advanced HTML5 to "Last Call", an invitation to communities inside and outside W3C to confirm the technical soundness of the specification. The W3C developed a comprehensive test suite to achieve broad interoperability for the full specification by 2014, which was the target date for recommendation. In January 2011, the WHATWG renamed its "HTML5" living standard to "HTML". The W3C nevertheless continues its project to release HTML5. 2012 HTML5 – Candidate Recommendation In July 2012, WHATWG and W3C decided on a degree of separation. W3C will continue the HTML5 specification work, focusing on a single definitive standard, which is considered as a "snapshot" by WHATWG. The WHATWG organization will continue its work with HTML5 as a "Living Standard". The concept of a living standard is that it is never complete and is always being updated and improved. New features can be added but functionality will not be removed. In December 2012, W3C designated HTML5 as a Candidate Recommendation. The criterion for advancement to W3C Recommendation is "two 100% complete and fully interoperable implementations". 2014 HTML5 – Proposed Recommendation and Recommendation In September 2014, W3C moved HTML5 to Proposed Recommendation. On 28 October 2014, HTML5 was released as a stable W3C Recommendation, meaning the specification process is complete. XHTML versions XHTML is a separate language that began as a reformulation of HTML 4.01 using XML 1.0. It is no longer being developed as a separate standard. XHTML 1.0 was published as a W3C Recommendation on January 26, 2000, and was later revised and republished on August 1, 2002. It offers the same three variations as HTML 4.0 and 4.01, reformulated in XML, with minor restrictions. XHTML 1.1 was published as a W3C Recommendation on May 31, 2001. It is based on XHTML 1.0 Strict, but includes minor changes, can be customized, and is reformulated using modules in the W3C recommendation "Modularization of XHTML", which was published on April 10, 2001. XHTML 2.0 was a working draft, work on it was abandoned in 2009 in favor of work on HTML5 and XHTML5. XHTML 2.0 was incompatible with XHTML 1.x and, therefore, would be more accurately characterized as an XHTML-inspired new language than an update to XHTML 1.x. An XHTML syntax, known as "XHTML5.1", is being defined alongside HTML5 in the HTML5 draft. Transition of HTML Publication to WHATWG On 28 May 2019, the W3C announced that WHATWG would be the sole publisher of the HTML and DOM standards. The W3C and WHATWG had been publishing competing standards since 2012. While the W3C standard was identical to the WHATWG in 2007 the standards have since progressively diverged due to different design decisions. The WHATWG "Living Standard" had been the de facto web standard for some time. Markup HTML markup consists of several key components, including those called tags (and their attributes), character-based data types, character references and entity references. HTML tags most commonly come in pairs like and , although some represent empty elements and so are unpaired, for example . The first tag in such a pair is the start tag, and the second is the end tag (they are also called opening tags and closing tags). Another important component is the HTML document type declaration, which triggers standards mode rendering. The following is an example of the classic "Hello, World!" program: <!DOCTYPE html> <html> <head> <title>This is a title</title> </head> <body> <div> <p>Hello world!</p> </div> </body> </html> The text between and describes the web page, and the text between and is the visible page content. The markup text defines the browser page title shown on browser tabs and window titles, and the tag defines a division of the page used for easy styling. Additionally, a element is used in between and , which can be used to define the webpage’s metadata. The Document Type Declaration is for HTML5. If a declaration is not included, various browsers will revert to "quirks mode" for rendering. Elements HTML documents imply a structure of nested HTML elements. These are indicated in the document by HTML tags, enclosed in angle brackets thus: . In the simple, general case, the extent of an element is indicated by a pair of tags: a "start tag" and "end tag" . The text content of the element, if any, is placed between these tags. Tags may also enclose further tag markup between the start and end, including a mixture of tags and text. This indicates further (nested) elements, as children of the parent element. The start tag may also include element's attributes within the tag. These indicate other information, such as identifiers for sections within the document, identifiers used to bind style information to the presentation of the document, and for some tags such as the used to embed images, the reference to the image resource in the format like this: Some elements, such as the line break , or do not permit any embedded content, either text or further tags. These require only a single empty tag (akin to a start tag) and do not use an end tag. Many tags, particularly the closing end tag for the very commonly used paragraph element , are optional. An HTML browser or other agent can infer the closure for the end of an element from the context and the structural rules defined by the HTML standard. These rules are complex and not widely understood by most HTML coders. The general form of an HTML element is therefore: . Some HTML elements are defined as empty elements and take the form . Empty elements may enclose no content, for instance, the tag or the inline tag. The name of an HTML element is the name used in the tags. Note that the end tag's name is preceded by a slash character, /, and that in empty elements the end tag is neither required nor allowed. If attributes are not mentioned, default values are used in each case. Element examples Header of the HTML document: . The title is included in the head, for example: <head> <title>The Title</title> <link rel="stylesheet" href="stylebyjimbowales.css" /> <!-- Imports Stylesheets --> </head> Headings HTML headings are defined with the to tags with H1 being the highest (or most important) level and H6 the least: <h1>Heading level 1</h1> <h2>Heading level 2</h2> <h3>Heading level 3</h3> <h4>Heading level 4</h4> <h5>Heading level 5</h5> <h6>Heading level 6</h6> The effects are: <blockquote> Heading Level 1 Heading Level 2 Heading Level 3 Heading Level 4 Heading Level 5 Heading Level 6 </blockquote> Note that CSS can drastically change the rendering. Paragraphs:<p>Paragraph 1</p> <p>Paragraph 2</p> Line breaks: . The difference between and is that breaks a line without altering the semantic structure of the page, whereas sections the page into paragraphs. The element is an empty element in that, although it may have attributes, it can take no content and it may not have an end tag. <p>This <br> is a paragraph <br> with <br> line breaks</p> This is a link in HTML. To create a link the tag is used. The href attribute holds the URL address of the link. <a href="https://www.wikipedia.org/">A link to Wikipedia!</a> Inputs: There are many possible ways a user can give input/s like:<input type="text" /> <!-- This is for text input --> <input type="file" /> <!-- This is for uploading files --> <input type="checkbox" /> <!-- This is for checkboxes --> Comments: <!-- This is a comment --> Comments can help in the understanding of the markup and do not display in the webpage. There are several types of markup elements used in HTML: Structural markup indicates the purpose of text For example, establishes "Golf" as a second-level heading. Structural markup does not denote any specific rendering, but most web browsers have default styles for element formatting. Content may be further styled using Cascading Style Sheets (CSS). Presentational markup indicates the appearance of the text, regardless of its purpose For example, indicates that visual output devices should render "boldface" in bold text, but gives little indication what devices that are unable to do this (such as aural devices that read the text aloud) should do. In the case of both and , there are other elements that may have equivalent visual renderings but that are more semantic in nature, such as and respectively. It is easier to see how an aural user agent should interpret the latter two elements. However, they are not equivalent to their presentational counterparts: it would be undesirable for a screen-reader to emphasize the name of a book, for instance, but on a screen such a name would be italicized. Most presentational markup elements have become deprecated under the HTML 4.0 specification in favor of using CSS for styling. Hypertext markup makes parts of a document into links to other documents An anchor element creates a hyperlink in the document and its href attribute sets the link's target URL. For example, the HTML markup , will render the word
British barrister and peer Sports Hacking (falconry), the practice of raising falcons in captivity then later releasing into the wild Hacking (rugby), tripping an opposing player Pleasure riding, horseback riding for purely recreational purposes, also called hacking Shin-kicking, an English martial art also called hacking Technology Hacker, a computer expert with advanced technical knowledge Hacker culture, activity
recreational purposes, also called hacking Shin-kicking, an English martial art also called hacking Technology Hacker, a computer expert with advanced technical knowledge Hacker culture, activity within the computer programmer subculture Security hacker, someone who breaches defenses in a computer system Cybercrime, which involves security hacking Phone hacking, gaining unauthorized access to phones ROM hacking, the process of
war. Patroclus, Achilles' closest companion, disguised in the armor of Achilles, enters the combat leading the Myrmidons and the rest of the Achaeans to force a Trojan withdrawal. After Patroclus has routed the Trojan army, Hector, with the aid of Apollo and Euphorbus, kills Patroclus, vaunting over him: The dying Patroclus foretells Hector's death: Hector's last fight Hector strips the armor of Achilles off the fallen Patroclus and gives it to his men to take back to the city. Glaucus accuses Hector of cowardice for not challenging Ajax. Stung, Hector calls for the armor, puts it on, and uses it to rally the Trojans. Zeus regards the donning of a hero's armor as an act of insolence by a fool about to die, but it makes Hector strong for now. The next day, the enraged Achilles renounces the wrath that kept him out of action and routs the Trojans, forcing them back to the city. Hector chooses to remain outside the gates of Troy to face Achilles, partly because had he listened to Polydamas and retreated with his troops the previous night, Achilles would not have killed so many Trojans. When he sees Achilles, however, Hector is seized by fear and turns to flee. Achilles chases him around the city three times before Hector masters his fear and turns to face Achilles. But Athena, in the disguise of Hector's brother Deiphobus, has deluded Hector. He requests from Achilles that the victor should return the other's body after the duel, (though Hector himself made it clear he planned to throw the body of Patroclus to the dogs) but Achilles refuses. Achilles hurls his spear at Hector, who dodges it, but Athena brings it back to Achilles' hands without Hector noticing. Hector then throws his own spear at Achilles; it hits his shield and does no injury. When Hector turns to face his supposed brother to retrieve another spear, he sees no one there. At that moment he realizes that he is doomed. Hector decides that he will go down fighting and that men will talk about his bravery in years to come. Hector pulls out his sword, now his only weapon, and charges. But Achilles grabbed his thrown spears that were delivered to him by the unseen Athena who wore the Hades helmet. Achilles then aimed his spear and pierced the collar bone section of Hector, the only part of the stolen Armor of Achilles that did not protect Hector. The wound was fatal yet allowed Hector to speak to Achilles. In his final moments, Hector begs Achilles for an honorable funeral, but Achilles replies that he will let the dogs and vultures devour Hector's flesh. (Throughout the Homeric poems, several references are made to dogs, vultures, and other creatures that devour the dead. It can be seen as another way of saying one will die.) Hector dies, prophesying that Achilles' death will follow soon: Be careful now; for I might be made into the gods' curse ... upon you, on that day when Paris and Phoibos Apollo...destroy you in the Skainan gates, for all your valor. After his death, Achilles slits Hector's heels and passes the girdle that Ajax had given Hector through the slits. He then fastens the girdle to his chariot and drives his fallen enemy through the dust to the Danaan camp. For the next twelve days, Achilles mistreats the body, but it remains preserved from all injury by Apollo and Aphrodite. After these twelve days, the gods can no longer stand watching it and send down two messengers: Iris, another messenger god, and Thetis, the mother of Achilles. Thetis has told Achilles to allow King Priam to come and take the body for ransom. Once King Priam has been notified that Achilles will allow him to claim the body, he goes to his strongroom to withdraw the ransom. The ransom King Priam offers includes twelve fine robes, twelve white mantles, several richly embroidered tunics, ten bars of yellow gold, a special gold cup, and several cauldrons. Priam himself goes to claim his son's body, and Hermes grants him safe passage by casting a charm that will make anyone who looks at him fall asleep. Achilles, moved by Priam's actions and following his mother's orders sent by Zeus, returns Hector's body to Priam and promises him a truce of twelve days to allow the Trojans to perform funeral rites for Hector. Priam returns to Troy with the body of his son, and it is given full funeral honors. Even Helen mourns Hector, for he had always been kind to her and protected her from spite. The last lines of the Iliad are dedicated to Hector's funeral. Homer concludes by referring to the Trojan prince as the "Breaker of Horses." In Virgil's Aeneid, the dead Hector appears to Aeneas in a dream urging him to flee Troy. Historical references The most valuable historical evidence for the Battle of Troy are treaties and letters mentioned in Hittite cuneiform texts of the same approximate era, which mention an unruly Western Anatolian warlord named Piyama-Radu (possibly Priam) and his successor Alaksandu (possibly Alexander, the nickname of Paris) both based in Wilusa (possibly Ilion/Ilios), as well as the god Apaliunas (possibly Apollo). Other such pieces of evidence are names of Trojan heroes in Linear B tablets. Twenty out of fifty-eight men's names also known from Homer, including , E-ko-to (Hector), are Trojan warriors and some, including Hector, are in a servile capacity. No such conclusion that they are the offspring of Trojan captive women is warranted. Generally the public has to be content with the knowledge that these names existed in Greek in Mycenaean times, although Page hypothesizes that Hector "may very well be ... a familiar Greek form impressed on a similar-sounding foreign name." When Pausanias visited Thebes in Boeotia, in the second century AD, he was shown Hector's tomb and was told that the bones had been transported to Thebes according to a Delphic oracle. Moses I. Finley observes "this typical bit of fiction must mean that there was an old Theban hero Hector, a Greek, whose myths antedated the Homeric poems. Even after Homer had located Hector in Troy for all time, the Thebans held on to their hero, and the Delphic
when faced with his attack, described him as what Robert Fagles translated as an 'incredible dynamite' and a 'maniac'. Duel with Protesilaus In the Iliad, Hector's exploits in the war prior to the events of the book are recapitulated. He had fought the Greek champion Protesilaus in single combat at the start of the war and killed him. A prophecy had stated that the first Greek to land on Trojan soil would die. Thus, Protesilaus, Ajax, and Odysseus would not land. Finally, Odysseus threw his shield out and landed on that, and Protesilaus jumped next from his own ship. In the ensuing fight, Hector killed him, fulfilling the prophecy. Duel with Ajax As described by Homer in the Iliad at the advice of Hector’s brother Helenus (who also was divinely inspired) and being told by him that he was not destined to die yet, Hector managed to get both armies seated and challenged any one of the Greek warriors to single combat. The Argives were initially reluctant to accept the challenge. However, after Nestor's chiding, nine Greek heroes stepped up to the challenge and drew by lot to see who was to face Hector. Ajax won and fought Hector. Hector was unable to pierce Ajax's famous shield, but Ajax crushed Hector's shield with a rock and stabbed through his armor with a spear, drawing blood, upon which the god Apollo intervened and the duel was ended as the sun was setting. Hector gave Ajax his sword, which Ajax later used to kill himself. Ajax gave Hector his girdle that Achilles later attached to his chariot to drag Hector's corpse around the walls of Troy. The Greeks and the Trojans made a truce to bury the dead. In the early dawn the next day, the Greeks took advantage of the truce to build a wall and ditch around the ships while Zeus watched in the distance. Duel with Achilles Another mention of Hector's exploits in the early years of war was given in the Iliad in book IX. During the embassy to Achilles, Odysseus, Phoenix and Ajax all try to persuade Achilles to rejoin the fight. In his response, Achilles points out that while Hector was terrorizing the Greek forces now, and that while he himself had fought in their front lines, Hector had 'no wish' to take his force far beyond the walls and out from the Skaian Gate and nearby oak tree. He then claims, 'There he stood up to me alone one day, and he barely escaped my onslaught.' Another duel that took place, although Hector received help from Aeneas (his cousin) and Deiphobus, was when Hector rushed to try to save his brother Troilus from Achilles' hands. But he came too late and Troilus had already perished. All Hector could do was to take the lifeless body of Troilus while Achilles escaped after he fought his way through from the Trojan reinforcements. In the tenth year of the war, observing Paris avoiding combat with Menelaus, Hector scolds him with having brought trouble on his whole country and now refusing to fight. Paris therefore proposes single combat between himself and Menelaus, with Helen to go to the victor, ending the war. The duel, however, leads to inconclusive results due to intervention by Aphrodite who leads Paris off the field. After Pandarus wounds Menelaus with an arrow, the fight begins again. The Greeks attack and drive the Trojans back. Hector must now go out to lead a counter-attack. According to Homer his wife Andromache, carrying in her arms her son Astyanax, intercepts Hector at the gate, pleading with him not to go out for her sake as well as his son's. Hector knows that Troy and the house of Priam are doomed to fall and that the gloomy fate of his wife and infant son will be to die or go into slavery in a foreign land. With understanding, compassion, and tenderness he explains that he cannot personally refuse to fight, and comforts her with the idea that no one can take him until it is his time to go. The gleaming bronze helmet frightens Astyanax and makes him cry. Hector takes it off, embraces his wife and son, and for his sake prays aloud to Zeus that his son might be chief after him, become more glorious in battle than he, to bring home the blood of his enemies, and make his mother proud. Once he left for battle, those in the house began to mourn as they knew he would not return. Hector and Paris pass through the gate and rally the Trojans, raising havoc among the Greeks. Trojan counter-attack Zeus weighs the fates of the two armies in the balance, and that of the Greeks sinks down. The Trojans press the Greeks into their camp over the ditch and wall and would have laid hands on the ships, but Agamemnon rallies the Greeks in person. The Trojans are driven off, night falls, and Hector resolves to take the camp and burn the ships the next day. The Trojans bivouac in the field. The next day Agamemnon rallies the Greeks and drives the Trojans Hector refrains from battle until Agamemnon leaves the field, wounded in the arm by a spear. Then Hector rallies the Trojans: Diomedes and Odysseus hinder Hector and win the Greeks some time to retreat, but the Trojans sweep down upon the wall and rain blows
a plank in Samos." Epithets Hera bore several epithets in the mythological tradition, including: Ἀλέξανδρος (Alexandros) 'Protector of Men' (Alexandros) (among the Sicyonians) Αἰγοφάγος (Aigophágos) 'Goat-Eater' (among the Lacedaemonians) Ἀκραῖα (Akráia) '(She) of the Heights' Ἀμμωνία (Ammonia) Ἄνθεια (Antheia), meaning flowery Ἀργεία (Argéia) '(She) of Argos' Βασίλεια (Basíleia) 'Queen' Βουναία (Bounáia) '(She) of the Mound' (in Corinth) Βοῶπις (Boṓpis) 'Cow-Eyed' or 'Cow-Faced' Λευκώλενος (Leukṓlenos) 'White-Armed' Παῖς (Pais) 'Child' (in her role as virgin) Παρθένος (Parthénos) 'Virgin' Τελεία (Teléia) (as goddess of marriage) Χήρη (Chḗrē) 'Widowed' Τελχινία (Telchinia), Diodorus Siculus write that she was worshiped by the Ialysians and the Cameirans (both were on the island of Rhodes). She was named liked that because according to a legend, Telchines (Τελχῖνες) were the first inhabitants of the island and also the first who created statues of gods. Mythology Birth Hera is the daughter of the youngest Titan Cronus and his wife, and sister, Rhea. Cronus was fated to be overthrown by one of his children; to prevent this, he swallowed all of his newborn children whole until Rhea tricked him into swallowing a stone instead of her youngest child, Zeus. Zeus grew up in secret and when he grew up he tricked his father into regurgitating his siblings, including Hera. Zeus then led the revolt against the Titans, banished them, and divided the dominion over the world with his brothers Poseidon and Hades. Marriage with Zeus Hera is the goddess of marriage and childbirth rather more than of motherhood, and much of her mythology revolves around her marriage with her brother Zeus. She is charmed by him and she seduces him; he cheats on her and has many children by other goddesses and mortal women; she is intensely jealous and vindictive towards his children and their mothers; he is threatening and violent to her. In the Iliad, Zeus implies their marriage was some sort of elopement, as they lay secretly from their parents. Pausanias records a tale of how they came to be married in which Zeus transformed into a cuckoo bird to woo Hera. She caught the bird and kept it as her pet; this is why the cuckoo is seated on her sceptre. According to a scholion on Theocritus' Idylls, when Hera was heading toward Mount Thornax alone, Zeus created a terrible storm and transformed himself into a cuckoo bird who flew down and sat on her lap. When Hera saw him, she covered him with her cloak. Zeus then transformed back and took hold of her; because she was refusing to sleep with him due to their mother, he promised to marry her. In one account Hera refused to marry Zeus and hid in a cave to avoid him; an earthborn man named Achilles convinced her to give him a chance, and thus the two had their first sexual intercourse. According to Callimachus, their wedding feast lasted three thousand years. The Apples of the Hesperides that Heracles was tasked by Eurystheus to take were a wedding gift by Gaia to the couple. Heracles Hera is the stepmother and enemy of Heracles. The name Heracles means "Glory of Hera". In Homer's Iliad, when Alcmene was about to give birth to Heracles, Zeus announced to all the gods that on that day a child by Zeus himself, would be born and rule all those around him. Hera, after requesting Zeus to swear an oath to that effect, descended from Olympus to Argos and made the wife of Sthenelus (son of Perseus) give birth to Eurystheus after only seven months, while at the same time preventing Alcmene from delivering Heracles. This resulted in the fulfilment of Zeus's oath in that it was Eurystheus rather than Heracles. In Pausanias' recounting, Hera sent witches (as they were called by the Thebans) to hinder Alcmene's delivery of Heracles. The witches were successful in preventing the birth until Historis, daughter of Tiresias, thought of a trick to deceive the witches. Like Galanthis, Historis announced that Alcmene had delivered her child; having been deceived, the witches went away, allowing Alcmene to give birth. Hera's wrath against Zeus' son continues and while Heracles is still an infant, Hera sends two serpents to kill him as he lies in his cot. Heracles throttles the snakes with his bare hands and is found by his nurse playing with their limp bodies as if they were a child's toy. One account of the origin of the Milky Way is that Zeus had tricked Hera into nursing the infant Heracles: discovering who he was, she pulled him from her breast, and a spurt of her milk formed the smear across the sky that can be seen to this day. Unlike any Greeks, the Etruscans instead pictured a full-grown bearded Heracles at Hera's breast: this may refer to his adoption by her when he became an Immortal. He had previously wounded her severely in the breast. When Heracles reached adulthood, Hera drove him mad, which led him to murder his family and this later led to him undertaking his famous labours. Hera assigned Heracles to labour for King Eurystheus at Mycenae. She attempted to make almost all of Heracles' twelve labours more difficult. When he fought the Lernaean Hydra, she sent a crab to bite at his feet in the hopes of distracting him. Later Hera stirred up the Amazons against him when he was on one of his quests. When Heracles took the cattle of Geryon, he shot Hera in the right breast with a triple-barbed arrow: the wound was incurable and left her in constant pain, as Dione tells Aphrodite in the Iliad, Book V. Afterwards, Hera sent a gadfly to bite the cattle, irritate them and scatter them. Hera then sent a flood which raised the water level of a river so much that Heracles could not ford the river with the cattle. He piled stones into the river to make the water shallower. When he finally reached the court of Eurystheus, the cattle were sacrificed to Hera. Eurystheus also wanted to sacrifice the Cretan Bull to Hera. She refused the sacrifice because it reflected glory on Heracles. The bull was released and wandered to Marathon, becoming known as the Marathonian Bull. Some myths state that in the end, Heracles befriended Hera by saving her from Porphyrion, a giant who tried to rape her during the Gigantomachy, and that she even gave her daughter Hebe as his bride. Whatever myth-making served to account for an archaic representation of Heracles as "Hera's man" it was thought suitable for the builders of the Heraion at Paestum to depict the exploits of Heracles in bas-reliefs. Leto and the Twins: Apollo and Artemis When Hera discovered that Leto was pregnant and that Zeus was the father, she convinced the nature spirits to prevent Leto from giving birth on terra-firma, the mainland, any island at sea, or any place under the sun. Poseidon gave pity to Leto and guided her to the floating island of Delos, which was neither mainland nor a real island where Leto was able to give birth to her children. Afterwards, Zeus secured Delos to the bottom of the ocean. The island later became sacred to Apollo. Alternatively, Hera kidnapped Eileithyia, the goddess of childbirth, to prevent Leto from going into labor. The other gods bribed Hera with a beautiful necklace nobody could resist and she finally gave in. Either way, Artemis was born first and then assisted with the birth of Apollo. Some versions say Artemis helped her mother give birth to Apollo for nine days. Another variation states that Artemis was born one day before Apollo, on the island of Ortygia and that she helped Leto cross the sea to Delos the next day to give birth to Apollo. Later, Tityos attempted to rape Leto at the behest of Hera. He was slain by Artemis and Apollo. This account of the birth of Apollo and Artemis is contradicted by Hesiod in Theogony, as the twins are born prior to Zeus’ marriage to Hera. Io and Argus The myth of Io has many forms and embellishments. Generally, Io was a priestess of Hera at the Heraion of Argos. Zeus lusted after her and either Hera turned Io into a heifer to hide her from Zeus, or Zeus did so to hide her from Hera but was discovered. Hera had Io tethered to an olive-tree and set Argus Panoptes () to watch over her, but Zeus sent Hermes to kill him. Infuriated, Hera then sent a gadfly (Greek , compare oestrus) to pursue and constantly sting Io, who fled into Asia and eventually reached Egypt. There Zeus restored her to human form and she gave birth to his son Epaphus. Judgment of Paris A prophecy stated that a son of the sea-nymph Thetis, with whom Zeus fell in love after gazing upon her in the oceans off the Greek coast, would become greater than his father. Possibly for this reasons, Thetis was betrothed to an elderly human king, Peleus son of Aeacus, either upon Zeus' orders, or because she wished to please Hera, who had raised her. All the gods and goddesses as well as various mortals were invited to the marriage of Peleus and Thetis (the eventual parents of Achilles) and brought many gifts. Only Eris, goddess of discord, was not invited and was stopped at the door by Hermes, on Zeus' order. She was annoyed at this, so she threw from the door a gift of her own: a golden apple inscribed with the word καλλίστῃ (kallistēi, "To the fairest"). Aphrodite, Hera, and Athena all claimed to be the fairest, and thus the rightful owner of the apple. The goddesses quarreled bitterly over it, and none of the other gods would venture an opinion favoring one, for fear of earning the enmity of the other two. They chose to place the matter before Zeus, who, not wanting to favor one of the goddesses, put the choice into the hands of Paris, a Trojan prince. After bathing in the spring of Mount Ida where Troy was situated, they appeared before Paris to have him choose. The goddesses undressed before him, either at his request or for the sake of winning. Still, Paris could not decide, as all three were ideally beautiful, so they resorted to bribes. Hera offered Paris political power and control of all of Asia, while Athena offered wisdom, fame, and glory in battle, and Aphrodite offered the most beautiful mortal woman in the world as a wife, and he accordingly chose her. This woman was Helen, who was, unfortunately for Paris, already married to King Menelaus of Sparta. The other two goddesses were enraged by this and through Helen's abduction by Paris, they brought about the Trojan War. The Iliad Hera plays a substantial role in The Iliad, appearing in a number of books throughout the epic poem. She hates the Trojans because of Paris' decision that Aphrodite was the most beautiful goddess, and so supports the Greeks during the war. Throughout the epic Hera makes many attempts to thwart the Trojan army. In books 1 and 2, Hera declares that the Trojans must be destroyed. Hera persuades Athena to aid the Achaeans in battle and she agrees to assist with interfering on their behalf. In book 5, Hera and Athena plot to harm Ares, who had been seen by Diomedes in assisting the Trojans. Diomedes called for his soldiers to fall back slowly. Hera, Ares' mother, saw Ares' interference and asked Zeus, Ares' father, for permission to drive Ares away from the battlefield. Hera encouraged Diomedes to attack Ares and he threw his spear at the god. Athena drove the spear into Ares' body, and he bellowed in pain and fled to Mount Olympus, forcing the Trojans to fall back. In book 8, Hera tries to persuade Poseidon to disobey Zeus and help the Achaean army. He refuses, saying he doesn't want to go against Zeus. Determined to intervene in the war, Hera and Athena head to the battlefield. However, seeing the two flee, Zeus sent Iris to intercept them and make them return to Mount Olympus or face grave consequences. After prolonged fighting, Hera sees Poseidon aiding the Greeks and giving them motivation to keep fighting. In book 14 Hera devises a plan to deceive Zeus. Zeus set a decree that the gods were not allowed to interfere in the mortal war. Hera is on the side of the Achaeans, so she plans a Deception of Zeus where she seduces him, with help from Aphrodite, and tricks him into a deep sleep, with the help of Hypnos, so that the
to Hera was the Heraion of Samos, in the Greek mainland Hera was especially worshipped as "Argive Hera" (Hera Argeia) at her sanctuary that stood between the former Mycenaean city-states of Argos and Mycenae, where the festivals in her honor called Heraia were celebrated. "The three cities I love best," the ox-eyed Queen of Heaven declares in the Iliad, book iv, "are Argos, Sparta and Mycenae of the broad streets." There were also temples to Hera in Olympia, Corinth, Tiryns, Perachora and the sacred island of Delos. In Magna Graecia, two Doric temples to Hera were constructed at Paestum, about 550 BCE and about 450 BCE. One of them, long called the Temple of Poseidon was identified in the 1950s as a second temple there of Hera. In Euboea, the festival of the Great Daedala, sacred to Hera, was celebrated on a sixty-year cycle. Hera's importance in the early archaic period is attested by the large building projects undertaken in her honor. The temples of Hera in the two main centers of her cult, the Heraion of Samos and the Heraion of Argos in the Argolis, were the very earliest monumental Greek temples constructed, in the 8th century BCE. Importance According to Walter Burkert, both Hera and Demeter have many characteristic attributes of Pre-Greek Great Goddesses. In the same vein, British scholar Charles Francis Keary suggests that Hera had some sort of "Earth Goddess" worship in ancient times, connected to her possible origin as a Pelasgian goddess (as mentioned by Herodotus). According to Homeric Hymn III to Delian Apollo, Hera detained Eileithyia to prevent Leto from going into labor with Artemis and Apollo, since the father was Zeus. The other goddesses present at the birthing on Delos sent Iris to bring her. As she stepped upon the island, the divine birth began. In the myth of the birth of Heracles, it is Hera herself who sits at the door, delaying the birth of Heracles until her protégé, Eurystheus, had been born first. The Homeric Hymn to Pythian Apollo makes the monster Typhaon the offspring of archaic Hera in her Minoan form, produced out of herself, like a monstrous version of Hephaestus, and whelped in a cave in Cilicia. She gave the creature to Python to raise. In the Temple of Hera, Olympia, Hera's seated cult figure was older than the warrior figure of Zeus that accompanied it. Homer expressed her relationship with Zeus delicately in the Iliad, in which she declares to Zeus, "I am Cronus' eldest daughter, and am honourable not on this ground only, but also because I am your wife, and you are king of the gods." Matriarchy There has been considerable scholarship, reaching back to Johann Jakob Bachofen in the mid-nineteenth century, about the possibility that Hera, whose early importance in Greek religion is firmly established, was originally the goddess of a matriarchal people, presumably inhabiting Greece before the Hellenes. In this view, her activity as goddess of marriage established the patriarchal bond of her own subordination: her resistance to the conquests of Zeus is rendered as Hera's "jealousy", the main theme of literary anecdotes that undercut her ancient cult. However, it remains a controversial claim that an ancient matriarchy or a cultural focus on a monotheistic Great Goddess existed among the ancient Greeks or elsewhere. The claim is generally rejected by modern scholars as insufficiently evidenced. Youth Hera was most known as the matron goddess, Hera Teleia; but she presided over weddings as well. In myth and cult, fragmentary references and archaic practices remain of the sacred marriage of Hera and Zeus. At Plataea, there was a sculpture of Hera seated as a bride by Callimachus, as well as the matronly standing Hera. Hera was also worshipped as a virgin: there was a tradition in Stymphalia in Arcadia that there had been a triple shrine to Hera the Girl (Παις [Pais]), the Adult Woman (Τελεια [Teleia]), and the Separated (Χήρη [Chḗrē] 'Widowed' or 'Divorced'). In the region around Argos, the temple of Hera in Hermione near Argos was to Hera the Virgin. At the spring of Kanathos, close to Nauplia, Hera renewed her virginity annually, in rites that were not to be spoken of (arrheton). The Female figure, showing her "Moon" over the lake is also appropriate, as Hebe, Hera, and Hecate; new moon, full moon, and old moon in that order and otherwise personified as the Virgin of Spring, The Mother of Summer, and the destroying Crone of Autumn. Emblems In Hellenistic imagery, Hera's chariot was pulled by peacocks, birds not known to Greeks before the conquests of Alexander. Alexander's tutor, Aristotle, refers to it as "the Persian bird." The peacock motif was revived in the Renaissance iconography that unified Hera and Juno, and which European painters focused on. A bird that had been associated with Hera on an archaic level, where most of the Aegean goddesses were associated with "their" bird, was the cuckoo, which appears in mythic fragments concerning the first wooing of a virginal Hera by Zeus. Her archaic association was primarily with cattle, as a Cow Goddess, who was especially venerated in "cattle-rich" Euboea. On Cyprus, very early archaeological sites contain bull skulls that have been adapted for use as masks (see Bull (mythology)). Her familiar Homeric epithet Boôpis, is always translated "cow-eyed". In this respect, Hera bears some resemblance to the Ancient Egyptian deity Hathor, a maternal goddess associated with cattle. Scholar of Greek mythology Walter Burkert writes in Greek Religion, "Nevertheless, there are memories of an earlier aniconic representation, as a pillar in Argos and as a plank in Samos." Epithets Hera bore several epithets in the mythological tradition, including: Ἀλέξανδρος (Alexandros) 'Protector of Men' (Alexandros) (among the Sicyonians) Αἰγοφάγος (Aigophágos) 'Goat-Eater' (among the Lacedaemonians) Ἀκραῖα (Akráia) '(She) of the Heights' Ἀμμωνία (Ammonia) Ἄνθεια (Antheia), meaning flowery Ἀργεία (Argéia) '(She) of Argos' Βασίλεια (Basíleia) 'Queen' Βουναία (Bounáia) '(She) of the Mound' (in Corinth) Βοῶπις (Boṓpis) 'Cow-Eyed' or 'Cow-Faced' Λευκώλενος (Leukṓlenos) 'White-Armed' Παῖς (Pais) 'Child' (in her role as virgin) Παρθένος (Parthénos) 'Virgin' Τελεία (Teléia) (as goddess of marriage) Χήρη (Chḗrē) 'Widowed' Τελχινία (Telchinia), Diodorus Siculus write that she was worshiped by the Ialysians and the Cameirans (both were on the island of Rhodes). She was named liked that because according to a legend, Telchines (Τελχῖνες) were the first inhabitants of the island and also the first who created statues of gods. Mythology Birth Hera is the daughter of the youngest Titan Cronus and his wife, and sister, Rhea. Cronus was fated to be overthrown by one of his children; to prevent this, he swallowed all of his newborn children whole until Rhea tricked him into swallowing a stone instead of her youngest child, Zeus. Zeus grew up in secret and when he grew up he tricked his father into regurgitating his siblings, including Hera. Zeus then led the revolt against the Titans, banished them, and divided the dominion over the world with his brothers Poseidon and Hades. Marriage with Zeus Hera is the goddess of marriage and childbirth rather more than of motherhood, and much of her mythology revolves around her marriage with her brother Zeus. She is charmed by him and she seduces him; he cheats on her and has many children by other goddesses and mortal women; she is intensely jealous and vindictive towards his children and their mothers; he is threatening and violent to her. In the Iliad, Zeus implies their marriage was some sort of elopement, as they lay secretly from their parents. Pausanias records a tale of how they came to be married in which Zeus transformed into a cuckoo bird to woo Hera. She caught the bird and kept it as her pet; this is why the cuckoo is seated on her sceptre. According to a scholion on Theocritus' Idylls, when Hera was heading toward Mount Thornax alone, Zeus created a terrible storm and transformed himself into a cuckoo bird who flew down and sat on her lap. When Hera saw him, she covered him with her cloak. Zeus then transformed back and took hold of her; because she was refusing to sleep with him due to their mother, he promised to marry her. In one account Hera refused to marry Zeus and hid in a cave to avoid him; an earthborn man named Achilles convinced her to give him a chance, and thus the two had their first sexual intercourse. According to Callimachus, their wedding feast lasted three thousand years. The Apples of the Hesperides that Heracles was tasked by Eurystheus to take were a wedding gift by Gaia to the couple. Heracles Hera is the stepmother and enemy of Heracles. The name Heracles means "Glory of Hera". In Homer's Iliad, when Alcmene was about to give birth to Heracles, Zeus announced to all the gods that on that day a child by Zeus himself, would be born and rule all those around him. Hera, after requesting Zeus to swear an oath to that effect, descended from Olympus to Argos and made the wife of Sthenelus (son of Perseus) give birth to Eurystheus after only seven months, while at the same time preventing Alcmene from delivering Heracles. This resulted in the fulfilment of Zeus's oath in that it was Eurystheus rather than Heracles. In Pausanias' recounting, Hera sent witches (as they were called by the Thebans) to hinder Alcmene's delivery of Heracles. The witches were successful in preventing the birth until Historis, daughter of Tiresias, thought of a trick to deceive the witches. Like Galanthis, Historis announced that Alcmene had delivered her child; having been deceived, the witches went away, allowing Alcmene to give birth. Hera's wrath against Zeus' son continues and while Heracles is still an infant, Hera sends two serpents to kill him as he lies in his cot. Heracles throttles the snakes with his bare hands and is found by his nurse playing with their limp bodies as if they were a child's toy. One account of the origin of the Milky Way is that Zeus had tricked Hera into nursing the infant Heracles: discovering who he was, she pulled him from her breast, and a spurt of her milk formed the smear across the sky that can be seen to this day. Unlike any Greeks, the Etruscans instead pictured a full-grown bearded Heracles at Hera's breast: this may refer to his adoption by her when he became an Immortal. He had previously wounded her severely in the breast. When Heracles reached adulthood, Hera drove him mad, which led him to murder his family and this later led to him undertaking his famous labours. Hera assigned Heracles to labour for King Eurystheus at Mycenae. She attempted to make almost all of Heracles' twelve labours more difficult. When he fought the Lernaean Hydra, she sent a
Carmel in modern-day Israel during the Middle Paleolithic dating from . These migrants out of Africa seem to have been unsuccessful, and by in the Levant, Neanderthal groups seem to have benefited from the worsening climate and replaced Homo sapiens, who were possibly confined once more to Africa. A second move out of Africa is demonstrated by the Boker Tachtit Upper Paleolithic culture, from 52,000 to 50,000 BC, with humans at Ksar Akil XXV level being modern humans. This culture bears close resemblance to the Badoshan Aurignacian culture of Iran, and the later Sebilian I Egyptian culture of . Stephen Oppenheimer suggests that this reflects a movement of modern human (possibly Caucasian) groups back into North Africa, at this time. It would appear this sets the date by which Homo sapiens Upper Paleolithic cultures begin replacing Neanderthal Levalo-Mousterian, and by Palestine was occupied by the Levanto-Aurignacian Ahmarian culture, lasting from 39,000 to 24,000 BC. This culture was quite successful spreading as the Antelian culture (late Aurignacian), as far as Southern Anatolia, with the Atlitan culture. Epi-Palaeolithic After the Late Glacial Maxima, a new Epipaleolithic culture appears in Southern Palestine. The appearance of the Kebaran culture, of microlithic type implies a significant rupture in the cultural continuity of Levantine Upper Paleolithic. The Kebaran culture, with its use of microliths, is associated with the use of the bow and arrow and the domestication of the dog. Extending from 18,000 to 10,500 BC, the Kebaran culture shows clear connections to the earlier Microlithic cultures using the bow and arrow, and using grinding stones to harvest wild grains, that developed from the Halfan culture of Egypt, that came from the still earlier Aterian tradition of the Sahara. Some linguists see this as the earliest arrival of Nostratic languages in the Middle East. Kebaran culture was quite successful, and was ancestral to the later Natufian culture (12,500–9,500 BC), which extended throughout the whole of the Levantine region. These people pioneered the first sedentary settlements, and may have supported themselves from fishing and the harvest of wild grains plentiful in the region at that time. the oldest remains of bread were discovered at the archaeological site of Shubayqa 1, once home of the Natufian hunter-gatherers, roughly 4,000 years before the advent of agriculture. Natufian culture also demonstrates the earliest domestication of the dog, and the assistance of this animal in hunting and guarding human settlements may have contributed to the successful spread of this culture. In the northern Syrian, eastern Anatolian region of the Levant, Natufian culture at Cayonu and Mureybet developed the first fully agricultural culture with the addition of wild grains, later being supplemented with domesticated sheep and goats, which were probably domesticated first by the Zarzian culture of Northern Iraq and Iran (which like the Natufian culture may have also developed from Kebaran). Neolithic and Chalcolithic By 8500–7500 BC, the Pre-Pottery Neolithic A (PPNA) culture developed out of the earlier local tradition of Natufian in Southern Palestine, dwelling in round houses, and building the first defensive site at Tell es-Sultan (ancient Jericho) (guarding a valuable fresh water spring). This was replaced in 7500 BC by Pre-Pottery Neolithic B (PPNB), dwelling in square houses, coming from Northern Syria and the Euphrates bend. During the period of 8500–7500 BC, another hunter-gatherer group, showing clear affinities with the cultures of Egypt (particularly the Outacha retouch technique for working stone) was in Sinai. This Harifian culture may have adopted the use of pottery from the Isnan culture and Helwan culture of Egypt (which lasted from 9000 to 4500 BC), and subsequently fused with elements from the PPNB culture during the climatic crisis of 6000 BC to form what Juris Zarins calls the Syro-Arabian pastoral technocomplex, which saw the spread of the first Nomadic pastoralists in the Ancient Near East. These extended southwards along the Red Sea coast and penetrating the Arabian bifacial cultures, which became progressively more Neolithic and pastoral, and extending north and eastwards, to lay the foundations for the tent-dwelling Martu and Akkadian peoples of Mesopotamia. In the Amuq valley of Syria, PPNB culture seems to have survived, influencing further cultural developments further south. Nomadic elements fused with PPNB to form the Minhata Culture and Yarmukian Culture, which were to spread southwards, beginning the development of the classic mixed farming Mediterranean culture, and from 5600 BC were associated with the Ghassulian culture of the region, the first Chalcolithic culture of the Levant. This period also witnessed the development of megalithic structures, which continued into the Bronze Age. Kish civilization The Kish civilization or Kish tradition is a concept created by Ignace Gelb and discarded by more recent scholarship, which Gelb placed in what he called the early East Semitic era in Mesopotamia and the Levant, starting in the early 4th millennium BC. The tradition encompasses the sites of Ebla and Mari in the Levant, Nagar in the north, and the proto-Akkadian sites of Abu Salabikh and Kish in central Mesopotamia, which constituted the Uri region as it was known to the Sumerians. The Kish civilisation is considered to end with the rise of the Akkadian empire in the 24th century BC. Bronze Age Syria and Palestine: between Mesopotamia and Anatolia Some recent scholars dealing with the Syrian part of the Levant during the Bronze Age are using Syria-specific subdivision: "Early/Proto Syrian" for the Early Bronze Age (c. 3300-2000 BC); "Old Syrian" for the Middle Bronze Age (c. 2000-1550 BC); and "Middle Syrian" for the Late Bronze Age (c. 1550-1200 BC). "Neo-Syrian" corresponds to the Early Iron Age. The Early Syrian period was dominated by the East Semitic-speaking Eblaite first kingdom (3000 BC - 2300 BC), Kingdom of Nagar (2600 BC - 2300 BC) and the Mariote second kingdom (2500 BC - 2290 BC). The Akkadian Empire conquered large areas of the Levant, but collapsed due to the 4.2 kiloyear event circa 2200 BC. This event prompted movement of populations from Upper Mesopotamia to the northern Levant. The Akkadians were followed by a long period of Amorite dominance in Syria ca. 2200-1600 BC. The Amorites established powerful kingdoms and city-states throughout the Fertile Crescent, including Yamhad, Eblaite third kingdom, Alalakh, and Qatna in the Levant, and Babylon, Mari, Apum, Kurda, Ekallatum, Andarig and Shamshi-Adad I's kingdom in Mesopotamia. After the collapse of the Akkadian empire, Hurrians settlements commenced westwards, and by the 17th century BC the Hurrians made up a significant portion of the population in Aleppo, Alalakh and Ugarit. Also following the Akkadians was the extension of Khirbet Kerak Ware culture, showing affinities with the Caucasus, and possibly linked to the later appearance of the Hurrians. Around the 16th and 15th centuries BC most of the older centers had been overrun. In northern Mesopotamia, the era ended with the defeat and expulsion of the Amorites and Amorite-dominated Babylonians from Assyria by Puzur-Sin and king Adasi between 1740 and 1735 BC, and in the far south, by the rise of the native Sealand Dynasty BC. Babylon was taken over by the Kassites in 1595 BC. Mitanni emerged in northern Syria as a powerful player in the 16th century, and were under constant threat from their surrounding neighbors, Hittites and Assyria, prompting them to forge close ties with Egypt. Mitanni was predominantly made up of Hurrian, Akkadian and Amorite speaking populations. After the fall of Mitanni in the 14th century, Syria came under the domination of the Hittites and the Middle Assyrian Empire (1365–1050). The Amorites were displaced or absorbed by a semi-nomadic West Semitic-speaking peoples known collectively as the Ahlamu, during the Late Bronze Age collapse. The Arameans rose to be the prominent group amongst the Ahlamu, and from c. 1200 BC on, the Amorites disappeared from the pages of history. Egypt: Hyksos; expansion In the mid-17th century BC, the Hyksos overran Egypt, either by coup or an invasion, and founded the Fifteenth Dynasty of Egypt in Avaris. The origins of the Hyksos are unknown, but they were potentially linked to the Amorites of Syria. The Hyksos were later expelled, leaving the empire of the New Kingdom to develop in their wake. Around the beginning of the New Kingdom period, Egypt exerted rule over much of the Levant. From 1550 until 1100, much of the Levant was conquered by Egypt, which in the latter half of this period contested Syria with the Hittite Empire. Rule remained strong during the Eighteenth Dynasty, but Egypt's rule became precarious during the Nineteenth and Twentieth Dynasties. Ramses II was able to maintain control over it in the stalemated battle against the Hittites at Kadesh in 1275 BC, but soon thereafter, the Hittites successfully took over the northern Levant (Syria and Amurru). Ramses II, obsessed with his own building projects while neglecting Asiatic contacts, allowed control over the region to continue dwindling. During the reign of his successor Merneptah, the Merneptah Stele was issued which claimed to have destroyed
throughout the Fertile Crescent, including Yamhad, Eblaite third kingdom, Alalakh, and Qatna in the Levant, and Babylon, Mari, Apum, Kurda, Ekallatum, Andarig and Shamshi-Adad I's kingdom in Mesopotamia. After the collapse of the Akkadian empire, Hurrians settlements commenced westwards, and by the 17th century BC the Hurrians made up a significant portion of the population in Aleppo, Alalakh and Ugarit. Also following the Akkadians was the extension of Khirbet Kerak Ware culture, showing affinities with the Caucasus, and possibly linked to the later appearance of the Hurrians. Around the 16th and 15th centuries BC most of the older centers had been overrun. In northern Mesopotamia, the era ended with the defeat and expulsion of the Amorites and Amorite-dominated Babylonians from Assyria by Puzur-Sin and king Adasi between 1740 and 1735 BC, and in the far south, by the rise of the native Sealand Dynasty BC. Babylon was taken over by the Kassites in 1595 BC. Mitanni emerged in northern Syria as a powerful player in the 16th century, and were under constant threat from their surrounding neighbors, Hittites and Assyria, prompting them to forge close ties with Egypt. Mitanni was predominantly made up of Hurrian, Akkadian and Amorite speaking populations. After the fall of Mitanni in the 14th century, Syria came under the domination of the Hittites and the Middle Assyrian Empire (1365–1050). The Amorites were displaced or absorbed by a semi-nomadic West Semitic-speaking peoples known collectively as the Ahlamu, during the Late Bronze Age collapse. The Arameans rose to be the prominent group amongst the Ahlamu, and from c. 1200 BC on, the Amorites disappeared from the pages of history. Egypt: Hyksos; expansion In the mid-17th century BC, the Hyksos overran Egypt, either by coup or an invasion, and founded the Fifteenth Dynasty of Egypt in Avaris. The origins of the Hyksos are unknown, but they were potentially linked to the Amorites of Syria. The Hyksos were later expelled, leaving the empire of the New Kingdom to develop in their wake. Around the beginning of the New Kingdom period, Egypt exerted rule over much of the Levant. From 1550 until 1100, much of the Levant was conquered by Egypt, which in the latter half of this period contested Syria with the Hittite Empire. Rule remained strong during the Eighteenth Dynasty, but Egypt's rule became precarious during the Nineteenth and Twentieth Dynasties. Ramses II was able to maintain control over it in the stalemated battle against the Hittites at Kadesh in 1275 BC, but soon thereafter, the Hittites successfully took over the northern Levant (Syria and Amurru). Ramses II, obsessed with his own building projects while neglecting Asiatic contacts, allowed control over the region to continue dwindling. During the reign of his successor Merneptah, the Merneptah Stele was issued which claimed to have destroyed various sites in the southern Levant, including a people named as "Israel". However, archaeological findings show no destruction at any of the sites mentioned in the Merneptah stele and so it is considered to be an exercise in propaganda, and the campaign most likely avoided the central highlands in the southern Levant. Over the course of the reign of Ramses III (1186-1155 BC), Egyptian control over the southern Levant completely collapsed in the wake of the invasion of the Sea Peoples, more specifically, the Philistines who settled into the southwestern Coastal Plain. Collapse At the end of the 13th century BC, all of these powers suddenly collapsed. Cities all around the eastern Mediterranean were sacked within a span of a few decades by assorted raiders known as the Sea Peoples, a confederation of both local and foreign warriors and tribes that settled in the Levant after the Late Bronze Age collapse. The Hittite empire was destroyed and its capital was razed to the ground. Egypt repelled its attackers with only a major effort, and over the next century shrank to its territorial core, its central authority permanently weakened. Multiple cities like Ugarit, Alalakh and other Canaanite cities were destroyed by the Sea Peoples. Iron Age The destruction at the end of the Bronze Age left a number of tiny kingdoms and city-states behind. Semitic, Hittite and Luwian-speaking centres were established in northern Syria, the Syro-Hittite states, after the main Hittite state fell in 1180 BC, along with some Phoenician ports in Canaan that escaped destruction and developed into great commercial powers. In the 12th century BC, most of the interior, as well as Babylonia and Upper Mesopotamia, was overrun by Arameans, Chaldeans and Suteans from the west forming kingdoms all along central and northern Syria reaching Upper Mesopotamia, while the shoreline around today's Gaza Strip was settled by Philistines. The Israelites emerged as a rural culture, mainly in the Canaanite hill-country and the Eastern Galilee, quickly spreading throughout Palestine and forming an alliance in the struggle for the land against the Philistines to the west, Moab and Ammon to the east, and Edom to the south. A mysterious group (or groups) of people called the 'Aribi', possibly Arabs, appeared in historical record c. 8th century BC inhabiting inner Syria, Jordan and northern Arabia, and formed kingdoms and tribal confederations, most notably Qedarites in northern Arabia and southern Syria, and the Nabatu, potential precursors of the Nabataeans, in Palmyra, Damascus and al-Leja in south and central Syria. In this period a number of technological innovations spread, most notably iron working and the Phoenician alphabet, the latter developed by the Phoenicians or the Canaanites around the 11th century BC from the Old Canaanite script. In 612 BC Cilicia, ruled by the Syennesis dynasty, became an independent kingdom and managed to remain so until 549 BC. It had previously been autonomous under the Assyrians, and would remain so afterwards under the Achaemenid Empire. During the 9th century BC, the Assyrians began to reassert themselves against the incursions of the Aramaeans, and over the next few centuries developed into a powerful and well-organised empire. Their armies were among the first to employ cavalry, which took the place of chariots, and had a reputation for both prowess and brutality. They launched campaigns against the Arameans and Sutean tribes living in central Syria and Upper Mesopotamia, expelling them and destroying their city-states and confederations. At their height, the Assyrians dominated all of the Levant, Egypt, and Mesopotamia. However, the empire began to collapse toward the end of the 7th century BC, and was obliterated by an alliance between a resurgent New Kingdom of Babylonia and the Iranian Medes. After the Battle of Carchemish (c. 605 BC), Nebuchadnezzar II besieged Jerusalem and destroyed the Temple (597 BC), starting the period of the Babylonian captivity, which lasted about half a century. The subsequent balance of power was short-lived, though. In the 550s BC the Persians revolted against the Medes and gained control of their empire, and over the next few decades annexed to it the realms of Lydia in Anatolia, Damascus, Babylonia, and Egypt, as well as consolidating their control over the Iranian plateau nearly as far as India. This vast kingdom was divided
Davies has argued that Freemasonry was a powerful force on behalf of Liberalism and Enlightenment ideas in Europe, from about 1700 to the 20th century. It expanded rapidly during the Age of Enlightenment, reaching practically every country in Europe. Prominent members included Montesquieu, Voltaire, Sir Robert Walpole, Wolfgang Amadeus Mozart, Johann Wolfgang von Goethe, Benjamin Franklin, and George Washington. Steven C. Bullock notes that in the late 18th century, English lodges were headed by the Prince of Wales, Prussian lodges by king Frederick the Great, and French lodges by royal princes. Emperor Napoleon selected as Grand Master of France his own brother. The great enemy of Freemasonry was the Roman Catholic Church, so that in countries with a large Catholic element, such as France, Italy, Austria, Spain and Mexico, much of the ferocity of the political battles involve the confrontation between supporters of the Church versus active Masons. 20th-century totalitarian and revolutionary movements, especially the Fascists and Communists, crushed the Freemasons. From revolution to imperialism (1789–1914) The "long 19th century", from 1789 to 1914 saw the drastic social, political and economic changes initiated by the Industrial Revolution, the French Revolution and the Napoleonic Wars. Following the reorganisation of the political map of Europe at the Congress of Vienna in 1815, Europe experienced the rise of Nationalism, the rise of the Russian Empire and the peak of the British Empire, as well as the decline of the Ottoman Empire. Finally, the rise of the German Empire and the Austro-Hungarian Empire initiated the course of events that culminated in the outbreak of the First World War in 1914. Industrial Revolution The Industrial Revolution was a period in the late 18th century and early 19th century when major changes in agriculture, manufacturing, and transport impacted Britain and subsequently spread to the United States and Western Europe, a process that continues as industrialisation. Technological advancements, most notably the utilization of the steam engine, were major catalysts in the industrialisation process. It started in England and Scotland in the mid-18th century with the mechanisation of the textile industries, the development of iron-making techniques and the increased use of coal as the main fuel. Trade expansion was enabled by the introduction of canals, improved roads and railways. The introduction of steam power (fuelled primarily by coal) and powered machinery (mainly in textile manufacturing) underpinned the dramatic increases in production capacity. The development of all-metal machine tools in the first two decades of the 19th century facilitated the manufacture of more production machines for manufacturing in other industries. The effects spread throughout Western Europe and North America during the 19th century, eventually affecting most of the world. The impact of this change on society was enormous. Era of the French Revolution Historians R.R. Palmer and Joel Colton argue: In 1789 France fell into revolution, and the world has never since been the same. The French Revolution was by far the most momentous upheaval of the whole revolutionary age. It replaced the "old regime" with "modern society," and at its extreme phase became very radical, so much so that all later revolutionary movements have looked back to it as a predecessor to themselves.... From the 1760s to 1848, the role of France was decisive. The era of the French Revolution and the subsequent Napoleonic wars was a difficult time for monarchs. Tsar Paul I of Russia was assassinated; King Louis XVI of France was executed, as was his queen Marie Antoinette. Furthermore, kings Charles IV of Spain, Ferdinand VII of Spain and Gustav IV Adolf of Sweden were deposed as were ultimately the Emperor Napoleon and all of the relatives he had installed on various European thrones. King Frederick William III of Prussia and Emperor Francis II of Austria barely clung to their thrones. King George III of Great Britain lost the better part of the First British Empire. The American Revolution (1775–1783) was the first successful revolt of a colony against a European power. It proclaimed, in the words of Thomas Jefferson, that "all men are created equal," a position based on the principles of the Enlightenment. It rejected aristocracy and established a republican form of government under George Washington that attracted worldwide attention. The French Revolution (1789–1804) was a product of the same democratic forces in the Atlantic World and had an even greater impact. French historian François Aulard says: From the social point of view, the Revolution consisted in the suppression of what was called the feudal system, in the emancipation of the individual, in greater division of landed property, the abolition of the privileges of noble birth, the establishment of equality, the simplification of life.... The French Revolution differed from other revolutions in being not merely national, for it aimed at benefiting all humanity." French intervention in the American Revolutionary War had nearly bankrupted the state. After repeated failed attempts at financial reform, King Louis XVI had to convene the Estates-General, a representative body of the country made up of three estates: the clergy, the nobility, and the commoners. The third estate, joined by members of the other two, declared itself to be a National Assembly and swore an oath not to dissolve until France had a constitution and created, in July, the National Constituent Assembly. At the same time the people of Paris revolted, famously storming the Bastille prison on 14 July 1789. At the time the assembly wanted to create a constitutional monarchy, and over the following two years passed various laws including the Declaration of the Rights of Man and of the Citizen, the abolition of feudalism, and a fundamental change in the relationship between France and Rome. At first the king agreed with these changes and enjoyed reasonable popularity with the people. As anti-royalism increased along with threat of foreign invasion, the king tried to flee and join France's enemies. He was captured and on 21 January 1793, having been convicted of treason, he was guillotined. On 20 September 1792 the National Convention abolished the monarchy and declared France a republic. Due to the emergency of war, the National Convention created the Committee of Public Safety, controlled by Maximilien de Robespierre of the Jacobin Club, to act as the country's executive. Under Robespierre, the committee initiated the Reign of Terror, during which up to 40,000 people were executed in Paris, mainly nobles and those convicted by the Revolutionary Tribunal, often on the flimsiest of evidence. Internal tensions at Paris drove the Committee towards increasing assertions of radicalism and increasing suspicions, fueling new terror: A few months into this phase, more and more prominent revolutionaries were being sent to the guillotine by Robespierre and his faction, for example Madame Roland and Georges Danton. Elsewhere in the country, counter-revolutionary insurrections were brutally suppressed. The regime was overthrown in the coup of 9 Thermidor (27 July 1794) and Robespierre was executed. The regime which followed ended the Terror and relaxed Robespierre's more extreme policies. Napoleon Napoleon Bonaparte was one of the world's most famous soldiers and statesmen, leading France to great victories over numerous European enemies. Despite modest origins he became Emperor and restructured much of European diplomacy, politics and law, until he was forced to abdicate in 1814. His 100-day comeback in 1815 failed at the Battle of Waterloo, and he died in exile on a remote island, remembered as a great hero by many Frenchmen and as a great villain by British and other enemies. Napoleon, despite his youth, was France's most successful general in the Revolutionary wars, having conquered large parts of Italy and forced the Austrians to sue for peace. In 1799 on 18 Brumaire (9 November) he overthrew the feeble government, replacing it with the Consulate, which he dominated. He gained popularity in France by restoring the Church, keeping taxes low, centralizing power in Paris, and winning glory on the battlefield. In 1804 he crowned himself Emperor. In 1805, Napoleon planned to invade Britain, but a renewed British alliance with Russia and Austria (Third Coalition), forced him to turn his attention towards the continent, while at the same time the French fleet was demolished by the British at the Battle of Trafalgar, ending any plan to invade Britain. On 2 December 1805, Napoleon defeated a numerically superior Austro-Russian army at Austerlitz, forcing Austria's withdrawal from the coalition (see Treaty of Pressburg) and dissolving the Holy Roman Empire. In 1806, a Fourth Coalition was set up. On 14 October Napoleon defeated the Prussians at the Battle of Jena-Auerstedt, marched through Germany and defeated the Russians on 14 June 1807 at Friedland. The Treaties of Tilsit divided Europe between France and Russia and created the Duchy of Warsaw. On 12 June 1812 Napoleon invaded Russia with a Grande Armée of nearly 700,000 troops. After the measured victories at Smolensk and Borodino Napoleon occupied Moscow, only to find it burned by the retreating Russian army. He was forced to withdraw. On the march back his army was harassed by Cossacks, and suffered disease and starvation. Only 20,000 of his men survived the campaign. By 1813 the tide had begun to turn from Napoleon. Having been defeated by a seven nation army at the Battle of Leipzig in October 1813, he was forced to abdicate after the Six Days' Campaign and the occupation of Paris. Under the Treaty of Fontainebleau he was exiled to the island of Elba. He returned to France on 1 March 1815 (see Hundred Days), raised an army, but was finally defeated by a British and Prussian force at the Battle of Waterloo on 18 June 1815 and exiled to a small British island in the South Atlantic. Impact of the French Revolution Roberts finds that the Revolutionary and Napoleonic wars, from 1793 to 1815, caused 4 million deaths (of whom 1 million were civilians); 1.4 million were French deaths. Outside France the Revolution had a major impact. Its ideas became widespread. Roberts argues that Napoleon was responsible for key ideas of the modern world, so that, "meritocracy, equality before the law, property rights, religious toleration, modern secular education, sound finances, and so on-were protected, consolidated, codified, and geographically extended by Napoleon during his 16 years of power." Furthermore, the French armies in the 1790s and 1800s directly overthrew feudal remains in much of western Europe. They liberalised property laws, ended seigneurial dues, abolished the guild of merchants and craftsmen to facilitate entrepreneurship, legalised divorce, closed the Jewish ghettos and made Jews equal to everyone else. The Inquisition ended as did the Holy Roman Empire. The power of church courts and religious authority was sharply reduced and equality under the law was proclaimed for all men. In foreign affairs, the French Army down to 1812 was quite successful. Roberts says that Napoleon fought 60 battles, losing only seven. France conquered Belgium and turned it into another province of France. It conquered the Netherlands, and made it a puppet state. It took control of the German areas on the left bank of the Rhine River and set up a puppet regime. It conquered Switzerland and most of Italy, setting up a series of puppet states. The result was glory for France, and an infusion of much needed money from the conquered lands, which also provided direct support to the French Army. However the enemies of France, led by Britain and funded by the inexhaustible British Treasury, formed a Second Coalition in 1799 (with Britain joined by Russia, the Ottoman Empire and Austria). It scored a series of victories that rolled back French successes, and trapped the French Army in Egypt. Napoleon himself slipped through the British blockade in October 1799, returning to Paris, where he overthrew the government and made himself the ruler. Napoleon conquered most of Italy in the name of the French Revolution in 1797–99. He consolidated old units and split up Austria's holdings. He set up a series of new republics, complete with new codes of law and abolition of old feudal privileges. Napoleon's Cisalpine Republic was centered on Milan; Genoa became a republic; the Roman Republic was formed as well as the small Ligurian Republic around Genoa. The Neapolitan Republic was formed around Naples, but it lasted only five months. He later formed the Kingdom of Italy, with his brother as King. In addition, France turned the Netherlands into the Batavian Republic, and Switzerland into the Helvetic Republic. All these new countries were satellites of France, and had to pay large subsidies to Paris, as well as provide military support for Napoleon's wars. Their political and administrative systems were modernized, the metric system introduced, and trade barriers reduced. Jewish ghettos were abolished. Belgium and Piedmont became integral parts of France. Most of the new nations were abolished and returned to prewar owners in 1814. However, Artz emphasizes the benefits the Italians gained from the French Revolution: For nearly two decades the Italians had excellent codes of law, a fair system of taxation, a better economic situation, and more religious and intellectual toleration than they had known for centuries.... Everywhere old physical, economic, and intellectual barriers had been thrown down and the Italians had begun to be aware of a common nationality. Likewise in Switzerland the long-term impact of the French Revolution has been assessed by Martin: It proclaimed the equality of citizens before the law, equality of languages, freedom of thought and faith; it created a Swiss citizenship, basis of our modern nationality, and the separation of powers, of which the old regime had no conception; it suppressed internal tariffs and other economic restraints; it unified weights and measures, reformed civil and penal law, authorized mixed marriages (between Catholics and Protestants), suppressed torture and improved justice; it developed education and public works. The greatest impact came of course in France itself. In addition to effects similar to those in Italy and Switzerland, France saw the introduction of the principle of legal equality, and the downgrading of the once powerful and rich Catholic Church to just a bureau controlled by the government. Power became centralized in Paris, with its strong bureaucracy and an army supplied by conscripting all young men. French politics were permanently polarized – new names were given, "left" and "right" for the supporters and opponents of the principles of the Revolution. British historian Max Hastings says there is no question that as a military genius Napoleon ranks with Alexander the Great and Julius Caesar in greatness. However, in the political realm, historians debate whether Napoleon was "an enlightened despot who laid the foundations of modern Europe or, instead, a megalomaniac who wrought greater misery than any man before the coming of Hitler". Religion By the 19th century, governments increasingly took over traditional religious roles, paying much more attention to efficiency and uniformity than to religiosity. Secular bodies took control of education away from the churches, abolished taxes and tithes for the support of established religions, and excluded bishops from the upper houses. Secular laws increasingly regulated marriage and divorce, and maintaining birth and death registers became the duty of local officials. Although the numerous religious denominations in the United States founded many colleges and universities, that was almost exclusively a state function across Europe. Imperial powers protected Christian missionaries in African and Asian colonies. In France and other largely Catholic nations, anti-clerical political movements tried to reduce the role of the Catholic Church. Likewise briefly in Germany in the 1870s there was a fierce Kulturkampf (culture war) against Catholics, but the Catholics successfully fought back. The Catholic Church concentrated more power in the papacy and fought against secularism and socialism. It sponsored devotional reforms that gained wide support among the churchgoers. Protestantism Historian Kenneth Scott Latourette argues that the outlook for Protestantism at the start of the 19th century was discouraging. It was a regional religion based in northwestern Europe, with an outpost in the sparsely settled United States. It was closely allied with government, as in Scandinavia, the Netherlands, Prussia, and especially Great Britain. The alliance came at the expense of independence, as the government made the basic policy decisions, down to such details as the salaries of ministers and location of new churches. The dominant intellectual currents of the Enlightenment promoted rationalism, and most Protestant leaders preached a sort of deism. Intellectually, the new methods of historical and anthropological study undermine automatic acceptance of biblical stories, as did the sciences of geology and biology. Industrialization was a strongly negative factor, as workers who moved to the city seldom joined churches. The gap between the church and the unchurched grew rapidly, and secular forces, based both in socialism and liberalism undermine the prestige of religion. Despite the negative forces, Protestantism demonstrated a striking vitality by 1900. Shrugging off Enlightenment rationalism, Protestants embraced romanticism, with the stress on the personal and the invisible. Entirely fresh ideas as expressed by Friedrich Schleiermacher, Soren Kierkegaard, Albrecht Ritschl and Adolf von Harnack restored the intellectual power of theology. There was more attention to historic creeds such as the Augsburg, the Heidelberg, and the Westminster confessions. In England, Anglicans emphasize the historically Catholic components of their heritage, as the High Church element reintroduced vestments and incense into their rituals. The stirrings of pietism on the Continent, and evangelicalism in Britain expanded enormously, leading the devout away from an emphasis on formality and ritual and toward an inner sensibility toward personal relationship to Christ. Social activities, in education and in opposition to social vices such as slavery, alcoholism and poverty provided new opportunities for social service. Above all, worldwide missionary activity became a highly prized goal, proving quite successful in close cooperation with European colonialists, particularly during the New Imperialism period. Nations rising Emerging nationalism The political development of nationalism and the push for popular sovereignty culminated with the ethnic/national revolutions of Europe. During the 19th century nationalism became one of the most significant political and social forces in history; it is typically listed among the top causes of World War I. Napoleon's conquests of the German and Italian states around 1800–1806 played a major role in stimulating nationalism and the demands for national unity. Germany In the German states east of Prussia Napoleon abolished many of the old or medieval relics, such as dissolving the Holy Roman Empire in 1806. He imposed rational legal systems and demonstrated how dramatic changes were possible. For example, his organization of the Confederation of the Rhine in 1806 promoted a feeling of nationalism. Nationalists sought to encompass masculinity in their quest for strength and unity. In the 1860s it was Prussian chancellor Otto von Bismarck who achieved German unification in 1870 after the many smaller states followed Prussia's leadership in wars against Denmark, Austria and France. Italy Italian nationalism emerged in the 19th century and was the driving force for Italian unification or the "Risorgimento" (meaning the Resurgence or revival). It was the political and intellectual movement that consolidated different states of the Italian peninsula into the single state of the Kingdom of Italy in 1860. The memory of the Risorgimento is central to both Italian nationalism and Italian historiography. Serbia For centuries the Orthodox Christian Serbs were ruled by the Muslim-controlled Ottoman Empire. The success of the Serbian revolution (1804–1817) against Ottoman rule in 1817 marked the foundation of modern Principality of Serbia. It achieved de facto independence in 1867 and finally gained recognition by the Great Powers in the Berlin Congress of 1878. The Serbs developed a larger vision for nationalism in Pan-Slavism and with Russian support sought to pull the other Slavs out of the Austro-Hungarian Empire. Austria, with German backing, tried to crush Serbia in 1914 but Russia intervened, thus igniting the First World War in which Austria dissolved into nation states. In 1918, the region of Vojvodina proclaimed its secession from Austria-Hungary to unite with the pan-Slavic State of Slovenes, Croats and Serbs; the Kingdom of Serbia joined the union on 1 December 1918, and the country was named Kingdom of Serbs, Croats, and Slovenes. It was renamed Yugoslavia, which was never able to tame the multiple nationalities and religions and it flew apart in civil war in the 1990s. Greece The Greek drive for independence from the Ottoman Empire inspired supporters across Christian Europe, especially in Britain. France, Russia and Britain intervened to make this nationalist dream become reality with the Greek War of Independence (1821-1829/1830). Bulgaria Bulgarian modern nationalism emerged under Ottoman rule in the late 18th and early 19th century, under the influence of western ideas such as liberalism and nationalism, which trickled into the country after the French revolution, mostly via Greece, although there were stirrings in the 18th century. Russia, as a World Great Power of fellow Orthodox Slavs, could appeal to the Bulgarians in a way that Austria could not. An autonomous Bulgarian Exarchate was established in 1870/1872 for the diocese of Bulgaria as well as for those, wherein at least two-thirds of Orthodox Christians were willing to join it. The April Uprising in 1876 indirectly resulted in the re-establishment of Bulgaria in 1878. Poland The cause of Polish nationalism was repeatedly frustrated before 1918. In the 1790s, Germany, Russia and Austria partitioned Poland. Napoleon set up the Duchy of Warsaw, a new Polish state that ignited a spirit of nationalism. Russia took it over in 1815 as Congress Poland with the tsar as King of Poland. Large-scale nationalist revolts erupted in 1830 and 1863–64 but were harshly crushed by Russia, which tried to Russify the Polish language, culture and religion. The collapse of the Russian Empire in the First World War enabled the major powers to reestablish an independent Poland, which survived until 1939. Meanwhile, Poles in areas controlled by Germany moved into heavy industry but their religion came under attack by Bismarck in the Kulturkampf of the 1870s. The Poles joined German Catholics in a well-organized new Centre Party, and defeated Bismarck politically. He responded by stopping the harassment and cooperating with the Centre Party. Education An important component of nationalism was the study of the nation's heritage, emphasizing the national language and literary culture. This stimulated, and was in turn strongly supported by, the emergence of national educational systems reaching the general population. Latin gave way to the national language, and compulsory education, with strong support from modernizers and the media, became standard in Germany and eventually the other West European nations. Voting reforms extended the franchise to the previously excluded elements. A strong sentiment among the elites was the necessity for compulsory public education, so that the new electorate could understand and handle its duties. Every country developed a sense of national origins – the historical accuracy was less important than the motivation toward patriotism. Universal compulsory education was extended as well to girls, at least at the elementary level. By the 1890s, strong movements emerged in some countries, including France, Germany and the United States, to extend compulsory education to the secondary level. Ideological coalitions After the defeat of revolutionary France, the great powers tried to restore the situation which existed before 1789. In 1815 at the Congress of Vienna, the major powers of Europe managed to produce a peaceful balance of power among the various European empires. This was known as the Metternich system. The powerbase of their support was the aristocracy, with its great landed wealth and control of the government, the church, and the military in most countries. However, their reactionary efforts were unable to stop the spread of revolutionary movements: the middle classes had been deeply influenced by the ideals of the French revolution, and the Industrial Revolution brought important economical and social changes. Radical intellectuals looked to the working classes for a base for socialist, communist and anarchistic ideas. Widely influential was the 1848 pamphlet by Karl Marx and Friedrich Engels The Communist Manifesto. The middle classes and businessmen promoted liberalism, free trade and capitalism. Aristocratic elements concentrated in government service, the military and the established churches. Nationalist movements (in Germany, Italy, Poland, Hungary, and elsewhere) called upon the "racial" unity (which usually meant a common language and an imagined common ethnicity) to seek national unification and/or liberation from foreign rule. As a result, the period between 1815 and 1871 saw a large number of revolutionary attempts and independence wars. Greece successfully revolted against Ottoman rule in the 1820s. European diplomats and intellectuals saw the Greek struggle for independence, with its accounts of Turkish atrocities, in a romantic light. France under Napoleon III Napoleon III, nephew of Napoleon I, parlayed his famous name and to widespread popularity across France . He returned from exile in 1848, promising to stabilize the chaotic political situation. He was elected president and maneuvered successfully to name himself Emperor, a move approved later by a large majority of the French electorate. The first part of his Imperial term brought many important reforms, facilitated by Napoleon's control of the lawmaking body, the government, and the Army. Hundreds of old Republican leaders were arrested and deported. Napoleon controlled the media and censored the news. In compensation for the loss of freedom, Napoleon gave the people new hospitals and asylums, beautified and modernized Paris, and built a modern railroad and transportation system that dramatically improved commerce, and helped the many small farmers as well. The economy grew, but industrialization was not as rapid as Britain, and France depended largely on small family-oriented firms as opposed to the large companies that were emerging in the United States and Germany. France was on the winning side in the Crimean war (1854–56), but after 1858 Napoleon's foreign-policy was less and less successful. He antagonized Great Britain and failed to appreciate the danger of war with Prussia. Foreign-policy blunders finally destroyed his reign in 1870–71. He gained worldwide attention for his aggressive foreign policy in Europe, Mexico, and worldwide. He helped in the unification of Italy by fighting the Austrian Empire and joined the Crimean War on the side of Great Britain to defend the Ottoman Empire against Russia. His empire collapsed after being defeated in the Franco-Prussian War. France became a republic, but until the 1880s there was a strong popular demand for return to monarchy. That never happened because of the blunders made by the available monarchs. Hostility to the Catholic Church became a major issue, as France battle between secular and religious forces well into the 20th century, with the secular elements usually more successful. The French Third Republic emerged in 1871, was on the winning side of the first world war, and was finally overthrown when it was defeated in 1940 in World War II. Major powers Most European states had become constitutional (rather than absolute) monarchies by 1871, and Germany and Italy merged many small city-states to become united nation-states. Germany in particular increasingly dominated the continent in terms of economics and political power. Meanwhile, on a global scale, Great Britain, with its far-flung British Empire, unmatched Royal Navy, and powerful bankers, became the world's first global power. The sun never set on its territories, while an informal empire operated through British financiers, entrepreneurs, traders and engineers who established operations in many countries, and largely dominated Latin America. The British were especially famous for financing and constructing railways around the world. Bismarck's Germany From his base in Prussia, Otto von Bismarck in the 1860s engineered a series of short, decisive wars, that unified most of the German states (excluding Austria) into a powerful German Empire under Prussian leadership. He humiliated France in the process, but kept on good terms with Austria-Hungary. With that accomplished by 1871 he then skillfully used balance of power diplomacy to preserve Germany's new role and keep Europe at peace. The new German Empire industrialized rapidly and challenged Britain for economic leadership. Bismarck disliked colonies but public and elite opinion forced him to build an overseas empire. He was removed from office in 1890 by an aggressive young Kaiser Wilhelm II, who pursued a disruptive foreign policy that polarized Europe into rival camps. These rival camps went to war with each other in 1914. Austrian and Russian empires The power of nationalism to create new states was irresistible in the 19th century, and the process could lead to collapse in the absence of a strong nationalism. Austria-Hungary had the advantage of size, but multiple disadvantages. There were rivals on four sides, its finances were unstable, the population was fragmented into multiple ethnicities and languages that served as the bases for separatist nationalisms. It had a large army with good forts, but its industrial base was thin. Its naval resources were so minimal that it did not attempt to build an overseas empire. It did have the advantage of good diplomats, typified by Metternich (Foreign Minister 1809–1848, Prime Minister, 1821–1848)). They employed a grand strategy for survival that balanced out different forces, set up buffer zones, and kept the Habsburg empire going despite wars with the Ottomans, Frederick the Great, Napoleon and Bismarck, until the final disaster of the First World War. The Empire overnight disintegrated into multiple states based on ethnic nationalism and the principle of self-determination. The Russian Empire likewise brought together a multitude of languages and cultures, so that its military defeat in the First World War led to multiple splits that created independent Finland, Latvia, Lithuania, Estonia, and Poland, and for a brief spell, independent Ukraine, Armenia, Georgia, and Azerbaijan. Growth of European armies 1871 to 1904 Table: European armies on active duty in 1871, 1904 Imperialism Colonial empires were the product of the European Age of Discovery from the 15th century. The initial impulse behind these dispersed maritime empires and those that followed was trade, driven by the new ideas and the capitalism that grew out of the Renaissance. Both the Portuguese Empire and Spanish Empire quickly grew into the first global political and economic systems with territories spread around the world. Subsequent major European colonial empires included the French, Dutch, and British empires. The latter, consolidated during the period of British maritime hegemony in the 19th century, became the largest empire in history because of the improved ocean transportation technologies of the time as well as electronic communication through the telegraph, cable, and radio. At its height in 1920, the British Empire covered a quarter of the Earth's land area and comprised a quarter of its population. Other European countries, such as Belgium, Germany, and Italy, pursued colonial empires as well (mostly in Africa), but they were smaller. Ignoring the oceans, Russia built its Russian Empire through conquest by land in Eastern Europe, and Asia. By the mid-19th century, the Ottoman Empire had declined enough to become a target for other global powers (see History of the Balkans). This instigated the Crimean War in 1854 and began a tenser period of minor clashes among the globe-spanning empires of Europe that eventually set the stage for the First World War. In the second half of the 19th century, the Kingdom of Sardinia and the Kingdom of Prussia carried out a series of wars that resulted in the creation of Italy and Germany as nation-states, significantly changing the balance of power in Europe. From 1870, Otto von Bismarck engineered a German hegemony of Europe that put France in a critical situation. It slowly rebuilt its relationships, seeking alliances with Russia and Britain to control the growing power of Germany. In this way, two opposing sides – the Triple Alliance of 1882 (Germany, Austria-Hungary and Italy) and the Triple Entente of 1907 (Britain, France and Russia) – formed in Europe, improving their military forces and alliances year-by-year. 1914–1945: two world wars German-American historian Konrad Jarausch, asked if he agreed that "the European record of the past century [was] just one gigantic catastrophe", argues: It is true that the first half of the 20th century was full of internecine warfare, economic depression, ethnic cleansing and racist genocide that killed tens of millions of people, more than any other period in human history. But looking only at the disasters creates an incomplete perception, because the second half of the century witnessed a much more positive development in spite of the Cold War. After the defeat of Fascism in 1945, the peaceful revolution of 1989/90 also liberated the East from Communist control in a quite unexpected fashion. As a result, Europeans generally live more free, prosperous and healthy lives than ever before. The "short twentieth century", from 1914 to 1991, included the First World War, the Second World War and the Cold War. The First World War used modern technology to kill millions of soldiers. Victory by Britain, France, the United States and other allies drastically changed the map of Europe, ending four major land empires (the Russian, German, Austro-Hungarian and Ottoman empires) and leading to the creation of nation-states across Central and Eastern Europe. The October Revolution in Russia led to the creation of the Soviet Union (1917–1991) and the rise of the international communist movement. Widespread economic prosperity was typical of the period before 1914, and 1920–1929. After the onset of the Great Depression in 1929, however, democracy collapsed in most of Europe. Fascists took control in Italy, and the even more aggressive Nazi movement led by Adolf Hitler took control of Germany, 1933–45. The Second World War was fought on an even larger scale than the First war, killing many more people, and using even more advanced technology. It ended with the division of Europe between East and West, with the East under the control of the Soviet Union and the West dominated by NATO. The two sides engaged in the Cold War, with actual conflict taking place not in Europe but in Asia in the Korean War and the Vietnam War. The Imperial system collapsed. The remaining colonial empires ended through the decolonisation of European rule in Africa and Asia. The fall of Soviet Communism (1989–1991) left the West dominant and enabled the reunification of Germany. It accelerated the process of a European integration to include Eastern Europe. The European Union continues today, but with German economic dominance. Since the worldwide Great Recession of 2008, European growth has been slow, and financial crises have hit Greece and other countries. Modern-day Russia is weaker by military might, compared to when it was a superpower as a part of the Soviet Union, but has retained its historical status as both a great power and a regional power, confronting Ukraine and other post-Soviet states. World War I After the relative peace of most of the 19th century, the rivalry between European powers, compounded by a rising nationalism among ethnic groups, exploded in August 1914, when the First World War started. Over 65 million European soldiers were mobilised from 1914 to 1918; 20 million soldiers and civilians died, and 21 million were seriously wounded. On one side were Germany, Austria-Hungary, the Ottoman Empire and Bulgaria (the Central Powers/Triple Alliance), while on the other side stood Serbia and the Triple Entente – the coalition of France, Britain and Russia, which were joined by Italy in 1915, Romania in 1916 and by the United States in 1917. The Western Front involved especially brutal combat without any territorial gains by either side. Single battles like Verdun and the Somme killed hundreds of thousands of men while leaving the stalemate unchanged. Heavy artillery and machine guns caused most of the casualties, supplemented by poison gas. Czarist Russia collapsed in the February Revolution of 1917 and Germany claimed victory on the Eastern Front. After eight months of liberal rule, the October Revolution brought Vladimir Lenin and the Bolsheviks to power, leading to the creation of the Soviet Union in place of the disintegrated Russian Empire. With American entry into the war in 1917 on the Allied side, and the failure of Germany's spring 1918 offensive, Germany had run out of manpower, while an average of 10,000 American troops were arriving in France every day in the summer of 1918. Germany's allies, Austria-Hungary and the Ottoman Empire, surrendered and dissolved, followed by Germany on 11 November 1918. The victors forced Germany to assume responsibility for the conflict and pay war reparations. One factor in determining the outcome of the war was that the Allies had significantly more economic resources they could spend on the war. One estimate (using 1913 US dollars) is that the Allies spent $58 billion on the war and the Central Powers only $25 billion. Among the Allies, Britain spent $21 billion and the U.S. $17 billion; among the Central Powers Germany spent $20 billion. Paris Peace Conference The world war was settled by the victors at the Paris Peace Conference in 1919. Two dozen nations sent delegations, and there were many nongovernmental groups, but the defeated powers were not invited. The "Big Four" were President Woodrow Wilson of the United States, Prime Minister David Lloyd George of Great Britain, Georges Clemenceau of France, and, of least importance, Italian Prime Minister Vittorio Orlando. Each has a large staff of experts. They met together informally 145 times and made all the major decisions, which in turn were ratified by the others. The major decisions were the creation of the League of Nations; the six peace treaties with defeated enemies, most notable the Treaty of Versailles with Germany; the awarding of German and Ottoman overseas possessions as "mandates", chiefly to Britain and France; and the drawing of new national boundaries (sometimes with plebiscites) to better reflect the forces of nationalism. The Big Four implemented sweeping changes to the political geography of the world. Most famously, the Treaty of Versailles itself weakened Germany's military power and placed full blame for the war and costly reparations on its shoulders – the humiliation and resentment in Germany was probably one of the causes of Nazi success and indirectly a cause of World War II. At the insistence of President Wilson, the Big Four required Poland to sign a treaty on 28 June 1919 that guaranteed minority rights in the new nation. Poland signed under protest, and made little effort to enforce the specified rights for Germans, Jews, Ukrainians, and other minorities. Similar treaties were signed by Czechoslovakia, Romania, Yugoslavia, Greece, Austria, Hungary, Bulgaria, and later by Latvia, Estonia and Lithuania. Finland and Germany were not asked to sign a minority rights treaty. Interwar In the Treaty of Versailles (1919) the winners recognised the new states (Poland, Czechoslovakia, Hungary, Austria, Yugoslavia, Finland, Estonia, Latvia, Lithuania) created in central Europe from the defunct German, Austro-Hungarian and Russian empires, based on national (ethnic) self-determination. It was a peaceful era with a few small wars before 1922 such as the Ukrainian–Soviet War (1917–1921) and the Polish–Soviet War (1919–1921). Prosperity was widespread, and the major cities sponsored a youth culture called the "Roaring Twenties" or "Jazz Age" that was often featured in the cinema, which attracted very large audiences. The Allied victory in the First World War seemed to mark the triumph of liberalism, not just in the Allied countries themselves, but also in Germany and in the new states of Eastern Europe, as well as Japan. Authoritarian militarism as typified by Germany had been defeated and discredited. Historian Martin Blinkhorn argues that the liberal themes were ascendant in terms of "cultural pluralism, religious and ethnic toleration, national self-determination, free-market economics, representative and responsible government, free trade, unionism, and the peaceful settlement of international disputes through a new body, the League of Nations." However, as early as 1917, the emerging liberal order was being challenged by the new communist movement taking inspiration from the Russian Revolution. Communist revolts were beaten back everywhere else, but they did succeed in Russia. Fascism and authoritarianism Italy adopted an authoritarian dictatorship known as Fascism in 1922; it became a model for Hitler in Germany and for right wing elements in other countries. Historian Stanley G. Payne says Fascism in Italy was: A primarily political dictatorship....The Fascist Party itself had become almost completely bureaucratized and subservient to, not dominant over, the state itself. Big business, industry, and finance retained extensive autonomy, particularly in the early years. The armed forces also enjoyed considerable autonomy....The Fascist militia was placed under military control....The judicial system was left largely intact and relatively autonomous as well. The police continued to be directed by state officials and were not taken over by party leaders...nor was a major new police elite created....There was never any question of bringing the Church under overall subservience.... Sizable sectors of Italian cultural life retained extensive autonomy, and no major state propaganda-and-culture ministry existed....The Mussolini regime was neither especially sanguinary nor particularly repressive. Authoritarian regimes replaced democracy in the 1930s in Nazi Germany, Portugal, Austria, Poland, Greece, the Baltic countries and Francoist Spain. By 1940, there were only four liberal democracies left on the European continent: France, Finland, Switzerland and Sweden. Great Depression: 1929–1939 After the Wall Street Crash of 1929, nearly the whole world sank into a Great Depression, as money stopped flowing from New York to Europe, prices fell, profits fell, and unemployment soared. The worst hit sectors included heavy industry, export-oriented agriculture, mining and lumbering, and construction. World trade fell by two-thirds. Liberalism and democracy were discredited. In most of Europe, as well as in Japan and most of Latin America, nation after nation turned to dictators and authoritarian regimes. The most momentous change of government came when Hitler and his Nazis took power in Germany in 1933. The main institution that was meant to bring stability was the League of Nations, created in 1919. However the League failed to resolve any major crises and by 1938 it was no longer a major player. The League was undermined by the bellicosity of Nazi Germany, Imperial Japan, the Soviet Union, and Mussolini's Italy, and by the non-participation of the United States. By 1937 it was largely ignored. A major civil war took place in Spain, with the nationalists winning. The League of Nations was helpless as Italy conquered Ethiopia and Japan seized Manchuria in 1931 and took over most of China starting in 1937. The Spanish Civil War (1936–1939) was marked by numerous small battles and sieges, and many atrocities, until the rebels (the Nationalists), led by Francisco Franco, won in 1939. There was military intervention as Italy sent land forces, and Germany sent smaller elite air force and armoured units to the Nationalists. The Soviet Union sold armaments to the leftist Republicans on the other side, while the Communist parties in numerous countries sent soldiers to the "International Brigades." The civil war did not escalate into a larger conflict, but did become a worldwide ideological battleground that pitted the left, the communist movement and many liberals against Catholics, conservatives, and fascists. Britain, France and the US remained neutral and refused to sell military supplies to either side. Worldwide there was a decline in pacifism and a growing sense that another world war was imminent, and that it would be worth fighting for. World War II In the Munich Agreement of 1938, Britain and France adopted a policy of appeasement as they gave Hitler what he wanted out of Czechoslovakia in the hope that it would bring peace. It did not. In 1939 Germany took over the rest of Czechoslovakia and appeasement policies gave way to hurried rearmament as Hitler next turned his attention to Poland. After allying with Japan in the Anti-Comintern Pact and then also with Benito Mussolini's Italy in the "Pact of Steel", and finally signing a non-aggression treaty with the Soviet Union in August 1939, Hitler launched the Second World War on 1 September 1939 by attacking Poland. To his surprise Britain and France declared war on Germany, but there was little fighting during the "Phoney War" period. War began in earnest in spring 1940 with the successful Blitzkrieg conquests of Denmark, Norway, the Low Countries, and France. Britain remained alone but refused to negotiate, and defeated Germany's air attacks in the Battle of Britain. Hitler's goal was to control Eastern Europe but because of his failure to defeat Britain and the Italian failures in North Africa and the Balkans, the great attack on the Soviet Union was delayed until June 1941. Despite initial successes, the German army was stopped close to Moscow in December 1941. Over the next year the tide was turned and the Germans started to suffer a series of defeats, for example in the siege of Stalingrad and at Kursk. Meanwhile, Japan (allied to Germany and Italy since September 1940) attacked Britain and the United States on 7 December 1941; Germany then completed its over-extension by declaring war on the United States. War raged between the Axis Powers (Germany, Italy, and Japan) and the Allied Forces (British Empire, Soviet Union, and the United States). The Allied Forces won in North Africa, invaded Italy in 1943, and recaptured France in 1944. In the spring of 1945 Germany itself was invaded from the east by the Soviet Union and from the west by the other Allies. As the Red Army conquered the Reichstag in Berlin, Hitler committed suicide and Germany surrendered in early May. World War II was the deadliest conflict in human history, causing between 50 and 80 million deaths, the majority of whom were civilians (approximately 38 to 55 million). This period was also marked by systematic genocide. In 1942–45, separately from the war-related deaths, the Nazis killed an additional number of over 11 million civilians identified through IBM-enabled censuses, including the majority of the Jews and Gypsies of Europe, millions of Polish and Soviet Slavs, and also homosexuals, Jehovah's Witnesses, misfits, disabled, and political enemies. Meanwhile, in the 1930s the Soviet system of forced labour, expulsions and allegedly engineered famine had a similar death toll. During and after the war millions of civilians were affected by forced population transfers. Cold War era The world wars ended the pre-eminent position of Britain, France and Germany in Europe and the world. At the Yalta Conference, Europe was divided into spheres of influence between the victors of World War II, and soon became the principal zone of contention in the Cold War between the two power blocs, the Western countries and the Communist bloc. The United States and the majority of European liberal democracies at the time (United Kingdom, France, Italy, Netherlands, West Germany etc.) established the NATO military alliance. Later, the Soviet Union and its satellites (Bulgaria, Czechoslovakia, East Germany, Hungary, Poland, and Romania) in 1955 established the Warsaw Pact as a counterpoint to NATO. The Warsaw Pact had a much larger ground force, but the American-French-British nuclear umbrellas protected NATO. Communist states were imposed by the Red Army in the East, while parliamentary democracy became the dominant form of government in the West. Most historians point to its success as the product of exhaustion with war and dictatorship, and the promise of continued economic prosperity. Martin Conway also adds that an important impetus came from the anti-Nazi wartime political coalitions. Economic recovery The United States gave away about $20 billion in Marshall Plan grants and other grants and low-interest long-term loans to Western Europe, 1945 to 1951. Historian Michael J. Hogan argues that American aid was critical in stabilizing the economy and politics of Western Europe. It brought in modern management that dramatically increased productivity, and encouraged cooperation between labor and management, and among the member states. Local Communist parties were opposed, and they lost prestige and influence and a role in government. In strategic terms, says Hogan, the Marshall Plan strengthened the West against The possibility of a Communist invasion or political takeover. However, the Marshall Plan's role in the rapid recovery has been debated. Most reject the idea that it only miraculously revived Europe, since the evidence shows that a general recovery was already under way thanks to other aid programs from the United States. Economic historians Bradford De Long and Barry Eichengreen conclude it was, " History's Most Successful Structural Adjustment Program." They state: It was not large enough to have significantly accelerated recovery by financing investment, aiding the reconstruction of damaged infrastructure, or easing commodity bottlenecks. We argue, however, that the Marshall Plan did play a major role in setting the stage for post-World War II Western Europe's rapid growth. The conditions attached to Marshall Plan aid pushed European political economy in a direction that left its post World War II "mixed economies" with more "market" and less "controls" in the mix. The Soviet Union concentrated on its own recovery. It seized and transferred most of Germany's industrial plants and it exacted war reparations from East Germany, Hungary, Romania, and Bulgaria, using Soviet-dominated joint enterprises. It used trading arrangements deliberately designed to favor the Soviet Union. Moscow controlled the Communist parties that ruled the satellite states, and they followed orders from the Kremlin. Historian Mark Kramer concludes: The net outflow of resources from eastern Europe to the Soviet Union was approximately $15 billion to $20 billion in the first decade after World War II, an amount roughly equal to the total aid provided by the United States to western Europe under the Marshall Plan. Western Europe began economic and then political integration, with the aim to unite the region and defend it. This process included organisations such as the European Coal and Steel Community, which grew and evolved into the European Union, and the Council of Europe. The Solidarność movement in the 1980s weakened the Communist government in Poland. At the time the Soviet leader Mikhail Gorbachev initiated perestroika and glasnost, which weakened Soviet influence in Europe, particularly in the USSR. In 1989 after the Pan-European Picnic the Iron Curtain and the Berlin Wall came down and Communist governments outside the Soviet Union were deposed. In 1990 the Federal Republic of Germany absorbed East Germany, after making large cash payments to the USSR. In 1991 the Communist Party in Moscow collapsed, ending the USSR, which split into fifteen independent states. The largest, Russia, took the Soviet Union's seat on the United Nations Security Council. The most violent dissolution happened in Yugoslavia, in the Balkans. Four (Slovenia, Croatia, Bosnia and Herzegovina and North Macedonia) out of six Yugoslav republics declared independence and for most of them a violent war ensued, in some parts lasting until 1995. In 2006 Montenegro seceded and became an independent state. In the post–Cold War era, NATO and the EU have been gradually admitting most of the former members of the Warsaw Pact. Looking at the half century after the war historian Walter Lacquer concluded: "The postwar generations of European elites aimed to create more democratic societies. They wanted to reduce the extremes of wealth and poverty and provide essential social services in a way that prewar generations had not. They had had quite enough of unrest and conflict. For decades many Continental societies had more or less achieved these aims and had every reason to be proud of their progress. Europe was quiet and civilized. Europe's success was based on recent painful experience: the horrors of two world wars; the lessons of dictatorship; the experiences of fascism and communism. Above all, it was based on a feeling of European identity and common values – or so it appeared at the time." The post-war period also witnessed a significant rise in the standard of living of the Western European working class. As noted by one historical text, "within a single generation, the working classes of Western Europe came to enjoy the multiple pleasures of the consumer society." Western Europe's industrial nations in the 1970s were hit by a global economic crisis. They had obsolescent heavy industry, and suddenly had to pay very high energy prices which caused sharp inflation. Some of them also had inefficient nationalized railways and heavy industries. In the important field of computer technology, European nations lagged behind the United States. They also faced high government deficits and growing unrest led by militant labour unions. There was an urgent need for new economic directions. Germany and Sweden sought to create a social consensus behind a gradual restructuring. Germany's efforts proved highly successful. In Britain under the leadership of Margaret Thatcher, the solution was shock therapy, high interest rates, austerity, and selling off inefficient corporations as well as the public housing, which was sold off to the tenants. One result was escalating social tensions in Britain, led by the militant coal miners. Thatcher eventually defeated her opponents and radically changed the British economy, but the controversy never went away as shown by the hostile demonstrations at the time of her death in 2013. Recent history The end of the Cold War came in a series of events from 1979 to 1991, mainly in Eastern Europe. In the end, these brought the fall of the Iron Curtain, the German reunification and the end of Soviet control over their Eastern European satellites and their worldwide network of communist parties in a friendly chain reaction from the Pan-European Picnic in 1989. The finals brought the division of the Soviet Union into 15 non-communist states in 1991. Italian historian Federico Romero reports that observers at the time emphasized that,: The systemic and ideological confrontation between capitalism and communism had faded away. The geopolitical partition of Europe was no more. Nuclear deterrence was morphing into a less armed, almost hypothetical version of its previous self. Superpower rivalry was rapidly wound up with cascading effects in various areas of the world. Following the end of the Cold War, the European Economic Community pushed for closer integration, co-operation in foreign and home affairs, and started to increase its membership into the neutral and former communist countries. In 1993, the Maastricht Treaty established the European Union, succeeding the EEC and furthering political co-operation. The neutral countries of Austria, Finland and Sweden acceded to the EU, and those that didn't join were tied into the EU's economic market via the European Economic Area. These countries also entered the Schengen Agreement which lifted border controls between member states. The Maastricht Treaty created a single currency for most EU members. The euro was created in 1999 and replaced all previous currencies in participating states in 2002. The most notable exception to the currency union, or eurozone, was the United Kingdom, which also did not sign the Schengen Agreement. EU did not participate in the Yugoslav Wars, and was divided on supporting the United States in the 2003–2011 Iraq War. NATO has been part of the war in Afghanistan, but at a much lower level of involvement than the United States. In 2004, the EU gained 10 new members. (Estonia, Latvia, and Lithuania, which had been part of the Soviet Union; Czech Republic, Hungary, Poland, Slovakia, and Slovenia, five former-communist countries; Malta, and the divided island of Cyprus.) These were followed by Bulgaria and Romania in 2007. Russia's regime had interpreted these expansions as violations against NATO's promise to not expand "one inch to the east" in 1990. Russia engaged in a number of bilateral disputes about gas supplies with Belarus and Ukraine which endangered gas supplies to Europe. Russia also engaged in a minor war with Georgia in 2008. Supported by the United States and some European countries, Kosovo's government unilaterally declared independence from Serbia on 17 February 2008. Public opinion in the EU turned against enlargement, partially due to what was seen as over-eager expansion including Turkey gaining candidate status. The European Constitution was rejected in France and the Netherlands, and then (as the Treaty of Lisbon) in Ireland, although a second vote passed in Ireland in 2009. The financial crisis of 2007–08 affected Europe, and government responded with austerity measures. Limited ability of the smaller EU nations (most notably Greece) to handle their debts led to social unrest, government liquidation, and financial insolvency. In May 2010, the German parliament agreed to loan 22.4 billion euros to Greece over three years, with the stipulation that Greece follow strict austerity measures. See European sovereign-debt crisis. Beginning in 2014, Ukraine has been in a state of revolution and unrest with two breakaway regions (Donetsk and Lugansk) attempting to join Russia as full federal subjects. (See War in Donbass.) On 16 March, a referendum was held in Crimea leading to the de facto secession of Crimea and its largely internationally unrecognized annexation to the Russian Federation as the Republic of Crimea. In June 2016, in a referendum in the United Kingdom on the country's membership in the European Union, 52% of voters voted to leave the EU, leading to the complex Brexit separation process and negotiations, which led to political and economic changes for both the UK and the remaining European Union countries. The UK left the EU on 31 January 2020. Later that year, Europe was affected by the COVID-19 pandemic. According to the Wall Street Journal in 2021 as Angela Merkel stepped down as the highly popular Chancellor of Germany after 16 years: Ms. Merkel leaves in her wake a weakened Europe, a region whose aspirations to act as a third superpower have come to seem ever more unrealistic. When she became chancellor in 2005, the EU was at a high point: It had adopted the euro, which was meant to rival the dollar as a global currency, and had just expanded by absorbing former members of the Soviet bloc. Today’s EU, by contrast, is geographically and economically diminished. Having lost the U.K. because of Brexit, it faces deep political and cultural divisions, lags behind in the global race for innovation and technology and is increasingly squeezed by the mounting U.S.-China strategic rivalry. Europe has endured thanks in part to Ms. Merkel’s pragmatic stewardship, but it has been battered by crises during her entire time in office. Chronology 700 BC: Homer composes The Iliad, an epic poem that represents the first extended work of European literature. 440 BC: Herodotus defends Athenian political freedom in the Histories. 323 BC: Alexander the Great dies and his Macedonian Empire (reaching far into Asia) fragments. 44 BC: Julius Caesar is murdered. The Roman Republic enters its terminal crisis. 27 BC: Establishment of the Roman Empire under Octavian. AD 30 or 33 AD: Jesus, a popular religious leader, is crucified. 45–55 (ca): First Christian congregations in mainland Greece and in Rome. 293: Diocletian reorganizes the Empire by creating the Tetrarchy. 330: Constantine makes Constantinople into his capital, a new Rome. 395: Following the death of Theodosius I, the Empire is permanently split into the Eastern Roman Empire (later Byzantium) and the Western Roman Empire. 476: Odoacer captures Ravenna and deposes the last Roman emperor in the west: traditionally seen as the end date of the Western Roman Empire. 527: Justinian I is crowned emperor of Byzantium. Orders the editing of Corpus Juris Civilis, Digest (Roman law). 597: Beginning of Roman Catholic Christianization of Anglo-Saxon England (missions and churches had been in existence well before this date, but their contacts with Rome had been loose or nonexistent) 600: Saint Columbanus uses the term "Europe" in a letter. 655: Jus patronatus. 681: Khan Asparukh leads the Bulgars and in a union with the numerous local Slavs invades the Byzantine empire in the Battle of Ongal, creating Bulgaria. 718: Tervel of Bulgaria helps the Byzantine Empire stop the Arabic invasion of Europe, and breaks the siege of Constantinople. 722: Battle of Covadonga in the Iberian Peninsula. Pelayo, a noble Visigoth, defeats a Muslim army that tried to conquer the Cantabrian coast. This helps establish the Christian Kingdom of Asturias, and marks the beginning of the Reconquista. 732: At the Battle of Tours, the Franks stop the advance of the Arabs into Europe. 800: Coronation of Charlemagne as Holy Roman Emperor. 813: Third Council of Tours: Priests are ordered to preach in the native language of the population. 843: Treaty of Verdun. 863: Saints Cyril and Methodius arrive in Great Moravia, initiating Christian mission among the Slav peoples. 864: Boris I of Bulgaria officially baptises the whole nation, converting the non-Christian population from Tengrism, Slavic and other paganism to Christianity, and officially founding the Bulgarian Church 872: Unification of Norway. 886: Bulgarian students of Cyril and Methodius – Sava, Kliment, Naum, Gorazd, Angelariy – arrive back to Bulgaria, creating the Preslav and Ohrid Literary Schools. 893: The Cyrillic alphabet, developed during the 9th century AD at the Preslav Literary School in the First Bulgarian Empire, becomes the official Bulgarian alphabet. 895: Hungarian people led by Árpád start to settle in the Carpathian Basin. 917: In the Battle of Achelous (917) Bulgaria defeats the Byzantine empire, and Simeon I of Bulgaria is proclaimed as emperor, thus Bulgaria becomes an empire. 962: Otto I of East Francia is crowned as "Emperor" by the Pope, beginning the Holy Roman Empire. 988 Kievan Rus adopts Christianity, often seen as the origin of the Russian Orthodox Church. 1054: Start of the East–West Schism, which divides the Christian church for centuries. 1066: Successful Norman Invasion of England by William the Conqueror. 1095: Pope Urban II calls for the First Crusade. 12th century: The 12th century in literature saw an increase in the number of texts. The Renaissance of the 12th century occurs. 1128: Battle of São Mamede, formation of Portuguese sovereignty. 1185: Bulgarian sovereignty was reestablished with the anti-Byzantine uprising of the Bulgarians and Vlachs 1250: Death of emperor Frederick II; end of effective ability of German emperors to exercise control in Italy. 1303: The period of the Crusades is over. 1309–1378: The Avignon Papacy 1315–1317: The Great Famine of 1315–1317 in Northern Europe 1341: Petrarch, the "Father of Humanism", becomes the first poet laureate since antiquity. 1337–1453: The Hundred Years' War between England and France. 1348–1351: Black Death kills about one-third of Europe's population. 1439: Johannes Gutenberg invents first movable type and the first printing press for books, starting the Printing Revolution. 1453: Fall of Constantinople to the Ottoman Turks. 1492: The Reconquista ends in the Iberian Peninsula. A Spanish expeditionary group, commanded by Christopher Columbus, lands in the New World. 1497: Vasco da Gama departs to India starting direct trade with Asia. 1498: Leonardo da Vinci paints The Last Supper in Milan as the Renaissance flourishes. 1508: Maximilian I the last ruling "King of the Romans" and the first "elected Emperor of the Romans". 1517: Martin Luther nails his 95 theses on indulgences to the door of the church in Wittenberg, triggering discussions which would soon lead to the Reformation 1519: Ferdinand Magellan and Juan Sebastián Elcano begin first global circumnavigation. Their expedition returns in 1522. 1519: Hernán Cortés begins conquest of Mexico for Spain. 1532: Francisco Pizarro begins the conquest of Peru (the Inca Empire) for Spain. 1543: Nicolaus Copernicus publishes De revolutionibus orbium coelestium (On the Revolutions of the Celestial Spheres). 1547: The Grand Duchy of Moscow becomes the Tsardom of Russia. 1582: The introduction of the Gregorian calendar; Russia refuses to adopt it until 1918. 1610: Galileo Galilei uses his telescope to discover the moons of Jupiter. 1618: The Thirty Years' War brings massive devastation to central Europe. 1648: The Peace of Westphalia ends the Thirty Years' War, and introduces the principle of the integrity of the nation state. 1687: Isaac Newton publishes Principia Mathematica, having a profound impact on The Enlightenment. 1699: Treaty of Karlowitz concludes the Austro-Ottoman War. This marks the end of Ottoman control of Central Europe and the beginning of Ottoman stagnation, establishing the Habsburg Monarchy as the dominant power in Central and Southeastern Europe. 1700: Outbreak of the War of the Spanish Succession and the Great Northern War. The first would check the aspirations of Louis XIV, king of France to dominate European affairs; the second would lead to Russia's emergence as a great power and a recognizably European state. 18th century: Age of Enlightenment spurs an intellectual renaissance across Europe. 1707: The Kingdom of Great Britain is formed by the union of the Kingdom of England and the Kingdom of Scotland. 1712: Thomas Newcomen invents first practical steam engine which begins Industrial Revolution in Britain. 1721: Foundation of the Russian Empire. 1775: James Watt invents a new efficient steam engine accelerating the Industrial Revolution in Britain. 1776: Adam Smith publishes The Wealth of Nations. 1784: Immanuel Kant publishes Answering the Question: What Is Enlightenment?. 1789: Beginning of the French Revolution and end of the absolute monarchy in France. 1792–1802: French Revolutionary Wars. 1799: Napoleon comes to power, eventually consolidating his position as Emperor of the French. 1803–1815: Napoleonic Wars end in defeat of Napoleon. 1806: Napoleon abolishes the Holy Roman Empire. 1814–1815: Congress of Vienna; Treaty of Vienna; France is reduced to 1789 boundaries; Reactionary forces dominate across Europe. 1825: George Stephenson opens the Stockton and Darlington Railway the first steam train railway for passenger traffic in the world. 1836: Louis Daguerre invents first practical photographic method, in effect the first camera. 1838: , the first steamship built for regularly scheduled transatlantic crossings enters service. 1848: Revolutions of 1848 and publication of The Communist Manifesto. 1852: Start of the Crimean War, which ends in 1855 in a defeat for Russia. 1859: Charles Darwin publishes On the Origin of Species. 1861: Unification of Italy after victories by Giuseppe Garibaldi. 1866: First commercially successful transatlantic telegraph cable is completed. 1860s: Russia emancipates its serfs and Karl Marx completes the first volume of Das Kapital. 1870: Franco-Prussian War and the fall of the Second French Empire. 1871: Unification of Germany under the direction of Otto von Bismarck. 1873: Panic of 1873 occurs. The Long Depression begins. 1878: Re-establishment of Bulgaria, independence of Serbia, Montenegro, Romania 1885: Karl Benz invents Benz Patent-Motorwagen, the world's first automobile. 1885: First permanent citywide electrical tram system in Europe (in Sarajevo). 1895: Auguste and Louis Lumière begin exhibitions of projected films before the paying public with their cinematograph, a portable camera, printer, and projector. 1902: Guglielmo Marconi sends first transatlantic radio transmission. 1914: Archduke Franz Ferdinand of Austria is assassinated; World War I begins. 1917: Vladimir Lenin and the Bolsheviks seize power in the Russian Revolution. The ensuing Russian Civil War lasts until 1922. 1918: World War I ends with the defeat of Germany and the Central Powers. Ten million soldiers killed; collapse of Russian, German, Austrian, and Ottoman empires. 1918: Collapse of the German Empire and monarchic system; founding of Weimar Republic. 1918: Worldwide Spanish flu epidemic kills millions in Europe. 1918: Austro-Hungarian Empire dissolves. 1919: Versailles Treaty strips Germany of its colonies, several provinces and its navy and air force; limits army; Allies occupy western areas; reparations ordered. 1920: League of Nations begins operations; largely ineffective; defunct by 1939. 1921–22: Ireland divided; Irish Free State becomes independent and civil war erupts. 1922: Benito Mussolini and the Fascists take power in Italy. 1929: Worldwide Great Depression begins with stock market crash in New York City. 1933: Adolf Hitler and the Nazis take power in Germany. 1935: Italy conquers Ethiopia; League sanctions are ineffective. 1936: Start of the Spanish Civil War; ends in 1939 with victory of Nationalists who are aided by Germany and Italy. 1938: Germany escalates the persecution of Jews with Kristallnacht. 1938: Appeasement of Germany by Britain and France; Munich agreement splits Czechoslovakia; Germany seized the remainder in 1939. 1939: Britain and France hurriedly rearm; failed to arrange treaty with USSR. 1939: Adolf Hitler and Joseph Stalin agree partition of Eastern Europe in Molotov–Ribbentrop Pact. 1939: Nazi Germany invades Poland, starting the Second World War. 1940: Great Britain under Winston Churchill becomes the last nation to hold out against the Nazis after winning the Battle of Britain. 1941: U.S. begins large-scale lend-lease aid to Britain, Free France, the USSR and other Allies; Canada also provides financial aid. 1941: Germany invades the Soviet Union in Operation Barbarossa; fails to capture Moscow or Leningrad. 1942: Adolf Hitler and Nazi Germany commence the Holocaust – a Final Solution, with the murder of 6 million Jews. 1943: After Stalingrad and Kursk, Soviet forces begin recapturing Nazi-occupied territory in the East. 1944: U.S., British and Canadian armed forces invade Nazi-occupied France at Normandy. 1945: Hitler commits suicide, Mussolini is murdered. World War II ends with Europe in ruins and Germany defeated. 1945: United Nations formed. 1947: The British Empire begins a process of voluntarily dismantling with the granting of independence to India and Pakistan. 1947: Cold War begins as Europe is polarized East versus West. 1948–1951: U.S. provides large sums to rebuild Western Europe through the Marshall Plan; stimulates large-scale modernization of European industries and reduction of trade restrictions. 1949: The NATO alliance is established. 1955: USSR creates a rival military coalition, the Warsaw Pact. 1950: The Schuman Declaration begins the process of European integration. 1954: The French Empire begins to be dismantled; Withdraws from Vietnam. 1956: Suez Crisis signals the end of the effective power of the British Empire. 1956: Hungarian Uprising defeated by Soviet military forces. 1957: Treaties of Rome establish the European Economic Community from 1958. 1968: The May 1968 events in France lead France to the brink of revolution. 1968: The Prague Spring is defeated by Warsaw Pact military forces. The Club of Rome is founded. 1980: The Solidarność movement under Lech Wałęsa begins open, overground opposition to the Communist rule in Poland. 1985: Mikhail Gorbachev becomes leader of the Soviet Union and begins reforms which inadvertently leads to the fall of Communism and the Soviet Union. 1986: Chernobyl disaster occurs, the worst nuclear disaster in history. 1989: Communism overthrown in all the Warsaw Pact countries except the Soviet Union. Fall of the Berlin Wall (opening of unrestrained border crossings between east and west, which effectively deprived the wall of any relevance). 1990: Reunification of Germany. 1991: Breakup of Yugoslavia and the beginning of the Yugoslav Wars. 1991: Dissolution of the Soviet Union and the creation of the Commonwealth of Independent States. 1993: Maastricht Treaty establishes the European Union. 1997–99: End of European colonial empires in Asia with the handover of Hong Kong and Macau to China. 2004: Slovenia, Hungary, the Czech Republic, Slovakia, Poland, Lithuania, Latvia, Estonia, Cyprus and Malta join the European Union. 2007: Romania and Bulgaria join the European Union. 2008: The Great Recession begins. Unemployment rises in some parts of Europe. 2013: Croatia joins the European Union. 2014: Revolution of Dignity in Ukraine and serious tensions between Russia, Ukraine and the European Union. 2015: European migrant crisis starts. 2020: The United Kingdom leaves the European Union. 2020-ongoing: COVID-19 pandemic in Europe, countries with the most cases are Russia, the United Kingdom, France, Spain, and Italy. 2022: Russian invasion of Ukraine opens with some of the most intense combat operations in Europe since the end of the Cold War. See also Prehistoric Europe Hellenistic period Roman Empire Byzantine Empire Middle Ages Renaissance Age of Discovery Major explorations after the Age of Discovery Colonialism Age of Enlightenment Atlantic Revolutions Rise of nationalism in Europe Industrial Revolution House of European History, Museum scheduled to open in 2016 in Brussels List of historians, inclusive of most major historians List of history journals#Europe List of largest European cities in history List of predecessors of sovereign states in Europe List of sovereign states by date of formation § Europe Timeline of sovereign states in Europe List of empires List of medieval great powers List of modern great powers Atlantic World History of the Mediterranean region History of Western civilization History of the Balkans Timeline of European Union history Genetic history of Europe History of the Romani people References Bibliography Surveys Blum, Jerome et al. The European World (2 vol. 2nd ed. 1970) university textbook; online Davies, Norman. Europe: A History (1998), advanced university textbook Gay, Peter and R.K. Webb Modern Europe: To 1815 (1973) online, university textbook Gay, Peter and R.K. Webb Modern Europe: Since 1815 (1973), university textbook Gooch, Brison D. ed. Interpreting European history. 1: From the renaissance to Napoleon (1967) online and Interpreting European history 2: from Metternich to Present (1967). online; readings by scholars McKay, John P. et al. A History of Western Society (13th ed.; 2 vol 2020) 1300 pp; university textbook Moncure, James A. ed. Research Guide to European Historical Biography: 1450–Present (4 vol 1992); 2140 pp; historiographical guide to 200 major political and military leaders Roberts, J.M. The Penguin History of Europe (1998), survey; excerpt Simms, Brendan. Europe: The Struggle for Supremacy, from 1453 to the Present (2013), survey, with emphasis on Germany Stearns, Peter, ed. The Encyclopedia of World History (2001); comprehensive global coverage Geography and atlases Cambridge Modern History Atlas (1912) online free. 141 maps Catchpole, Brian. Map History of the Modern World (1982) Darby, H. C., and H. Fullard, eds. The New Cambridge Modern History, Vol. 14: Atlas (1970) East, W. Gordon. An Historical Geography of Europe (4th ed. 1950) Haywood, John. Atlas of world history (1997) online free Horrabin, J.F. An Atlas History of the Second Great War (9 vol 1941–45) 7 vol online free Kinder, Hermann and Werner Hilgemann. Anchor Atlas of World History (2 vol. 1978); advanced analytical maps, mostly of Europe O'Brian, Patrick K. Atlas of World History (2007) Online free Rand McNally Atlas of World History (1983), maps #76-81. Published in Britain as the Hamlyn Historical Atlas online free Robertson, Charles Grant. An historical atlas of modern Europe from 1789 to 1922 with an historical and explanatory text (1922) online free Schenk, Frithjof Benjamin, Mental Maps: The Cognitive Mapping of the Continent as an Object of Research of European History, EGO – European History Online, Mainz: Institute of European History, 2013, retrieved: March 4, 2020 Talbert, Richard J.A. Barrington Atlas of the Greek and Roman World for iPad (Princeton UP 2014) ; 102 interactive color maps from archaic Greece to the Late Roman Empire. Historical Atlas Wikipedia maps; no copyright Atlas of Germany Wikipedia maps; no copyright Major nations Carr, Raymond, ed. Spain: A history (2000) Clark, Christopher M. Iron kingdom: the rise and downfall of Prussia, 1600-1947 (2006) Davies, Norman. The Isles: A History (2001), Britain and Ireland Fraser, Rebecca. The Story of Britain: From the Romans to the Present: A Narrative History (2006) Holborn, Hajo. vol 1: A History of Modern Germany: The Reformation; vol 2: A History of Modern Germany: 1648-1840; vol 3: A history of modern Germany: 1840–1945 (1959). a standard scholarly survey. Kamen, Henry. A concise history of Spain ( 1973) Holmes, George, ed. The Oxford illustrated history of medieval Europe (2001). Holmes, George, ed. The Oxford illustrated history of Italy (1997) Jones, Colin. The Cambridge Illustrated History of France (1999) Kitchen, Martin The Cambridge Illustrated History of Germany (1996). Morgan, Kenneth O., ed. The
the subject territories ended in the 3rd century, when a series of civil wars undermined Rome's economic and social strength. In the 4th century, the emperors Diocletian and Constantine were able to slow down the process of decline by splitting the empire into a Western part with a capital in Rome and an Eastern part with the capital in Byzantium, or Constantinople (now Istanbul). Constantinople is generally considered to be the center of "Eastern Orthodox civilization". Whereas Diocletian severely persecuted Christianity, Constantine declared an official end to state-sponsored persecution of Christians in 313 with the Edict of Milan, thus setting the stage for the Church to become the state church of the Roman Empire in about 380. Decline of the Roman Empire The Roman Empire had been repeatedly attacked by invading armies from Northern Europe and in 476, Rome finally fell. Romulus Augustus, the last emperor of the Western Roman Empire, surrendered to the Germanic King Odoacer. The British historian Edward Gibbon argued in The History of the Decline and Fall of the Roman Empire (1776) that the Romans had become decadent and had lost civic virtue. Gibbon said that the adoption of Christianity meant belief in a better life after death, and therefore made people lazy and indifferent to the present. "From the eighteenth century onward", Glen W. Bowersock has remarked, "we have been obsessed with the fall: it has been valued as an archetype for every perceived decline, and, hence, as a symbol for our own fears." It remains one of the greatest historical questions, and has a tradition rich in scholarly interest. Some other notable dates are the Battle of Adrianople in 378, the death of Theodosius I in 395 (the last time the Roman Empire was politically unified), the crossing of the Rhine in 406 by Germanic tribes after the withdrawal of the legions to defend Italy against Alaric I, the death of Stilicho in 408, followed by the disintegration of the western legions, the death of Justinian I, the last Roman emperor who tried to reconquer the west, in 565, and the coming of Islam after 632. Many scholars maintain that rather than a "fall", the changes can more accurately be described as a complex transformation. Over time many theories have been proposed on why the Empire fell, or whether indeed it fell at all. Late Antiquity and Migration Period When Emperor Constantine had reconquered Rome under the banner of the cross in 312, he soon afterwards issued the Edict of Milan in 313 (preceded by the Edict of Serdica in 311), declaring the legality of Christianity in the Roman Empire. In addition, Constantine officially shifted the capital of the Roman Empire from Rome to the Greek town of Byzantium, which he renamed Nova Roma – it was later named Constantinople ("City of Constantine"). Theodosius I, who had made Christianity the official religion of the Roman Empire, would be the last emperor to preside over a united Roman Empire, until his death in 395. The empire was split into two-halves: the Western Roman Empire centred in Ravenna, and the Eastern Roman Empire (later to be referred to as the Byzantine Empire) centred in Constantinople. The Roman Empire was repeatedly attacked by Hunnic, Germanic, Slavic and other "barbarian" tribes (see: Migration Period), and in 476 finally the Western part fell to the Heruli chieftain Odoacer. Roman authority in the Western part of the empire had collapsed, and a power vacuum left in the wake of this collapse; the central organization, institutions, laws and power of Rome had broken down, resulting in many areas being open to invasion by migrating tribes. Over time, feudalism and manorialism arose, two interlocking institutions that provided for division of land and labour, as well as a broad if uneven hierarchy of law and protection. These localised hierarchies were based on the bond of common people to the land on which they worked, and to a lord, who would provide and administer both local law to settle disputes among the peasants, as well as protection from outside invaders. Unlike under Roman rule, with its standard laws and military across the empire and its great bureaucracy to administer them and collect taxes, each lord (although having obligations to a higher lord) was largely sovereign in his domain. A peasant's lot could vary greatly depending on the leadership skills and attitudes to justice of the lord toward his people. Tithes or rents were paid to the lord, who in turn owed resources, and armed men in times of war, to his lord, perhaps a regional prince. However, the levels of hierarchy were varied over time and place. The western provinces soon were to be dominated by three great powers: first, the Franks (Merovingian dynasty) in Francia 481–843 AD, which covered much of present France and Germany; second, the Visigothic kingdom 418–711 AD in the Iberian Peninsula (modern Spain); and third, the Ostrogothic kingdom 493–553 AD in Italy and parts of the western Balkans. The Ostrogoths were later replaced by the Kingdom of the Lombards 568–774 AD. These new powers of the west built upon the Roman traditions until they evolved into a synthesis of Roman and Germanic cultures. Although these powers covered large territories, they did not have the great resources and bureaucracy of the Roman empire to control regions and localities. The ongoing invasions and boundary disputes usually meant a more risky and varying life than that under the empire. This meant that in general more power and responsibilities were left to local lords. On the other hand, it also meant more freedom, particularly in more remote areas. In Italy, Theodoric the Great began the cultural romanisation of the new world he had constructed. He made Ravenna a centre of Romano-Greek culture of art and his court fostered a flowering of literature and philosophy in Latin. In Iberia, King Chindasuinth created the Visigothic Code. In the Eastern part the dominant state was the remaining Eastern Roman Empire. In the feudal system, new princes and kings arose, the most powerful of which was arguably the Frankish ruler Charlemagne. In 800, Charlemagne, reinforced by his massive territorial conquests, was crowned Emperor of the Romans (Imperator Romanorum) by Pope Leo III, effectively solidifying his power in western Europe. Charlemagne's reign marked the beginning of a new Germanic Roman Empire in the west, the Holy Roman Empire. Outside his borders, new forces were gathering. The Kievan Rus' were marking out their territory, a Great Moravia was growing, while the Angles and the Saxons were securing their borders. For the duration of the 6th century, the Eastern Roman Empire was embroiled in a series of deadly conflicts, first with the Persian Sassanid Empire (see Roman–Persian Wars), followed by the onslaught of the arising Islamic Caliphate (Rashidun and Umayyad). By 650, the provinces of Egypt, Palestine and Syria were lost to the Muslim forces, followed by Hispania and southern Italy in the 7th and 8th centuries (see Muslim conquests). The Arab invasion from the east was stopped after the intervention of the Bulgarian Empire (see Han Tervel). Post-classical Europe The Middle Ages are commonly dated from the fall of the Western Roman Empire (or by some scholars, before that) in the 5th century to the beginning of the early modern period in the 16th century, marked by the rise of nation states, the division of Western Christianity in the Reformation, the rise of humanism in the Italian Renaissance, and the beginnings of European overseas expansion which allowed for the Columbian Exchange. Byzantium Many consider Emperor Constantine I (reigned 306–337) to be the first "Byzantine emperor". It was he who moved the imperial capital in 324 from Nicomedia to Byzantium, which re-founded as Constantinople, or Nova Roma ("New Rome"). The city of Rome itself had not served as the capital since the reign of Diocletian (284–305). Some date the beginnings of the Empire to the reign of Theodosius I (379–395) and Christianity's official supplanting of the pagan Roman religion, or following his death in 395, when the empire was split into two parts, with capitals in Rome and Constantinople. Others place it yet later in 476, when Romulus Augustulus, traditionally considered the last western emperor, was deposed, thus leaving sole imperial authority with the emperor in the Greek East. Others point to the reorganisation of the empire in the time of Heraclius (c. 620) when Latin titles and usages were officially replaced with Greek versions. In any case, the changeover was gradual and by 330, when Constantine inaugurated his new capital, the process of hellenization and increasing Christianisation was already under way. The Empire is generally considered to have ended after the fall of Constantinople to the Ottoman Turks in 1453. The Plague of Justinian was a pandemic that afflicted the Byzantine Empire, including its capital Constantinople, in the years 541–542. It is estimated that the Plague of Justinian killed as many as 100 million people across the world. It caused Europe's population to drop by around 50% between 541 and 700. It also may have contributed to the success of the Muslim conquests. During most of its existence, the Byzantine Empire was one of the most powerful economic, cultural, and military forces in Europe, and Constantinople was one of the largest and wealthiest cities in Europe. Early Middle Ages The Early Middle Ages span roughly five centuries from 500 to 1000. In the East and Southeast of Europe new dominant states formed: the Avar Khaganate (567–after 822), Old Great Bulgaria (632–668), the Khazar Khaganate (c. 650–969) and Danube Bulgaria (founded by Asparuh in 680) were constantly rivaling the hegemony of the Byzantine Empire. From the 7th century Byzantine history was greatly affected by the rise of Islam and the Caliphates. Muslim Arabs first invaded historically Roman territory under Abū Bakr, first Caliph of the Rashidun Caliphate, who entered Roman Syria and Roman Mesopotamia. As the Byzantines and neighboring Sasanids were severely weakened by the time, amongst the most important reason(s) being the protracted, centuries-lasting and frequent Byzantine–Sasanian wars, which included the climactic Byzantine–Sasanian War of 602–628, under Umar, the second Caliph, the Muslims entirely toppled the Sasanid Persian Empire, and decisively conquered Syria and Mesopotamia, as well as Roman Palestine, Roman Egypt, and parts of Asia Minor and Roman North Africa. In the mid 7th century AD, following the Muslim conquest of Persia, Islam penetrated into the Caucasus region, of which parts would later permanently become part of Russia. This trend, which included the conquests by the invading Muslim forces and by that the spread of Islam as well continued under Umar's successors and under the Umayyad Caliphate, which conquered the rest of Mediterranean North Africa and most of the Iberian Peninsula. Over the next centuries Muslim forces were able to take further European territory, including Cyprus, Malta, Crete, and Sicily and parts of southern Italy. The Muslim conquest of Hispania began when the Moors (Berbers and Arabs) invaded the Christian Visigothic kingdom of Hispania in the year 711, under the Berber general Tariq ibn Ziyad. They landed at Gibraltar on 30 April and worked their way northward. Tariq's forces were joined the next year by those of his Arab superior, Musa ibn Nusair. During the eight-year campaign most of the Iberian Peninsula was brought under Muslim rule – save for small areas in the northwest (Asturias) and largely Basque regions in the Pyrenees. In 711, Visigothic Hispania was very weakened because it was immersed in a serious internal crisis caused by a war of succession to the throne involving two Visigoth suitors. The Muslims took advantage of the crisis within the Hispano-Visigothic society to carry out their conquests. This territory, under the Arab name Al-Andalus, became part of the expanding Umayyad empire. The second siege of Constantinople (717) ended unsuccessfully after the intervention of Tervel of Bulgaria and weakened the Umayyad dynasty and reduced their prestige. In 722 Don Pelayo, a nobleman of Visigothic origin, formed an army of 300 Astur soldiers, to confront Munuza's Muslim troops. In the battle of Covadonga, the Astures defeated the Arab-Moors, who decided to retire. The Christian victory marked the beginning of the Reconquista and the establishment of the Kingdom of Asturias, whose first sovereign was Don Pelayo. The conquerors intended to continue their expansion in Europe and move northeast across the Pyrenees, but were defeated by the Frankish leader Charles Martel at the Battle of Poitiers in 732. The Umayyads were overthrown in 750 by the 'Abbāsids, and, in 756, the Umayyads established an independent emirate in the Iberian Peninsula. Feudal Christendom The Holy Roman Empire emerged around 800, as Charlemagne, King of the Franks and part of the Carolingian dynasty, was crowned by the pope as emperor. His empire based in modern France, the Low Countries and Germany expanded into modern Hungary, Italy, Bohemia, Lower Saxony and Spain. He and his father received substantial help from an alliance with the Pope, who wanted help against the Lombards. His death marked the beginning of the end of the dynasty, which collapsed entirely by 888. The fragmentation of power led to semi-autonomy in the region, and has been defined as a critical starting point for the formation of states in Europe. To the east, Bulgaria was established in 681 and became the first Slavic country. The powerful Bulgarian Empire was the main rival of Byzantium for control of the Balkans for centuries and from the 9th century became the cultural centre of Slavic Europe. The Empire created the Cyrillic script during the 9th century AD, at the Preslav Literary School, and experienced the Golden Age of Bulgarian cultural prosperity during the reign of emperor Simeon I the Great (893–927). Two states, Great Moravia and Kievan Rus', emerged among the Slavic peoples respectively in the 9th century. In the late 9th and 10th centuries, northern and western Europe felt the burgeoning power and influence of the Vikings who raided, traded, conquered and settled swiftly and efficiently with their advanced seagoing vessels such as the longships. The Vikings had left a cultural influence on the Anglo-Saxons and Franks as well as the Scots. The Hungarians pillaged mainland Europe, the Pechenegs raided Bulgaria, Rus States and the Arab states. In the 10th century independent kingdoms were established in Central Europe including Poland and the newly settled Kingdom of Hungary. The Kingdom of Croatia also appeared in the Balkans. The subsequent period, ending around 1000, saw the further growth of feudalism, which weakened the Holy Roman Empire. In eastern Europe, Volga Bulgaria became an Islamic state in 921, after Almış I converted to Islam under the missionary efforts of Ahmad ibn Fadlan. Slavery in the early medieval period had mostly died out in western Europe by about the year 1000 AD, replaced by serfdom. It lingered longer in England and in peripheral areas linked to the Muslim world, where slavery continued to flourish. Church rules suppressed slavery of Christians. Most historians argue the transition was quite abrupt around 1000, but some see a gradual transition from about 300 to 1000. High Middle Ages The slumber of the Dark Ages was shaken by a renewed crisis in the Church. In 1054, the East–West Schism, an insoluble split, occurred between the two remaining Christian seats in Rome and Constantinople (modern Istanbul). The High Middle Ages of the 11th, 12th, and 13th centuries show a rapidly increasing population of Europe, which caused great social and political change from the preceding era. By 1250, the robust population increase greatly benefited the economy, reaching levels it would not see again in some areas until the 19th century. From about the year 1000 onwards, Western Europe saw the last of the barbarian invasions and became more politically organized. The Vikings had settled in Britain, Ireland, France and elsewhere, whilst Norse Christian kingdoms were developing in their Scandinavian homelands. The Magyars had ceased their expansion in the 10th century, and by the year 1000, the Roman Catholic Apostolic Kingdom of Hungary was recognised in central Europe. With the brief exception of the Mongol invasions, major barbarian incursions ceased. Bulgarian sovereignty was re-established with the anti-Byzantine uprising of the Bulgarians and Vlachs in 1185. The crusaders invaded the Byzantine empire, captured Constantinople in 1204 and established their Latin Empire. Kaloyan of Bulgaria defeated Baldwin I, Latin Emperor of Constantinople, in the Battle of Adrianople on 14 April 1205. The reign of Ivan Asen II of Bulgaria led to maximum territorial expansion and that of Ivan Alexander of Bulgaria to a Second Golden Age of Bulgarian culture. The Byzantine Empire was fully re-established in 1261. In the 11th century, populations north of the Alps began to settle new lands, some of which had reverted to wilderness after the end of the Roman Empire. In what is known as the "great clearances", vast forests and marshes of Europe were cleared and cultivated. At the same time settlements moved beyond the traditional boundaries of the Frankish Empire to new frontiers in Europe, beyond the Elbe river, tripling the size of Germany in the process. Crusaders founded European colonies in the Levant, the majority of the Iberian Peninsula was conquered from the Muslims, and the Normans colonised southern Italy, all part of the major population increase and resettlement pattern. The High Middle Ages produced many different forms of intellectual, spiritual and artistic works. The most famous are the great cathedrals as expressions of Gothic architecture, which evolved from Romanesque architecture. This age saw the rise of modern nation-states in Western Europe and the ascent of the famous Italian city-states, such as Florence and Venice. The influential popes of the Catholic Church called volunteer armies from across Europe to a series of Crusades against the Seljuq Turks, who occupied the Holy Land. The rediscovery of the works of Aristotle led Thomas Aquinas and other thinkers to develop the philosophy of Scholasticism. A divided church The Great Schism between the Western (Catholic) and Eastern (Orthodox) Christian Churches was sparked in 1054 by Pope Leo IX asserting authority over three of the seats in the Pentarchy, in Antioch, Jerusalem and Alexandria. Since the mid-8th century, the Byzantine Empire's borders had been shrinking in the face of Islamic expansion. Antioch had been wrested back into Byzantine control by 1045, but the resurgent power of the Roman successors in the West claimed a right and a duty for the lost seats in Asia and Africa. Pope Leo sparked a further dispute by defending the filioque clause in the Nicene Creed which the West had adopted customarily. The Orthodox today state that the XXVIIIth Canon of the Council of Chalcedon explicitly proclaimed the equality of the Bishops of Rome and Constantinople. The Orthodox also state that the Bishop of Rome has authority only over his own diocese and does not have any authority outside his diocese. There were other less significant catalysts for the Schism however, including variance over liturgy. The Schism of Roman Catholic and Orthodox followed centuries of estrangement between the Latin and Greek worlds. Holy wars After the East–West Schism, Western Christianity was adopted by the newly created kingdoms of Central Europe: Poland, Hungary and Bohemia. The Roman Catholic Church developed as a major power, leading to conflicts between the Pope and emperor. The geographic reach of the Roman Catholic Church expanded enormously due to the conversions of pagan kings (Scandinavia, Lithuania, Poland, Hungary), the Christian Reconquista of Al-Andalus, and the crusades. Most of Europe was Roman Catholic in the 15th century. Early signs of the rebirth of civilization in western Europe began to appear in the 11th century as trade started again in Italy, leading to the economic and cultural growth of independent city-states such as Venice and Florence; at the same time, nation-states began to take form in places such as France, England, Spain, and Portugal, although the process of their formation (usually marked by rivalry between the monarchy, the aristocratic feudal lords and the church) actually took several centuries. These new nation-states began writing in their own cultural vernaculars, instead of the traditional Latin. Notable figures of this movement would include Dante Alighieri and Christine de Pizan (born Christina da Pizzano), the former writing in Italian, and the latter, although an Italian (Venice), relocated to France, writing in French. (See Reconquista for the latter two countries.) Elsewhere, the Holy Roman Empire, essentially based in Germany and Italy, further fragmented into a myriad of feudal principalities or small city states, whose subjection to the emperor was only formal. The 14th century, when the Mongol Empire came to power, is often called the Age of the Mongols. Mongol armies expanded westward under the command of Batu Khan. Their western conquests included almost all of Russia (save Novgorod, which became a vassal), and the Kipchak-Cuman Confederation. Bulgaria, Hungary, and Poland managed to remain sovereign states. Mongolian records indicate that Batu Khan was planning a complete conquest of the remaining European powers, beginning with a winter attack on Austria, Italy and Germany, when he was recalled to Mongolia upon the death of Great Khan Ögedei. Most historians believe only his death prevented the complete conquest of Europe. The areas of Eastern Europe and most of Central Asia that were under direct Mongol rule became known as the Golden Horde. Under Uzbeg Khan, Islam became the official religion of the region in the early 14th century. The invading Mongols, together with their mostly Turkic subjects, were known as Tatars. In Russia, the Tatars ruled the various states of the Rus' through vassalage for over 300 years. In the Northern Europe, Konrad of Masovia gave Chelmno to the Teutonic Knights in 1226 as a base for a Crusade against the Old Prussians and Grand Duchy of Lithuania. The Livonian Brothers of the Sword were defeated by the Lithuanians, so in 1237 Gregory IX merged the remainder of the order into the Teutonic Order as the Livonian Order. By the middle of the century, the Teutonic Knights completed their conquest of the Prussians before conquering and converting the Lithuanians in the subsequent decades. The order also came into conflict with the Eastern Orthodox Church of the Pskov and Novgorod Republics. In 1240 the Orthodox Novgorod army defeated the Catholic Swedes in the Battle of the Neva, and, two years later, they defeated the Livonian Order in the Battle on the Ice. The Union of Krewo in 1386, bringing two major changes in the history of the Grand Duchy of Lithuania: conversion to Catholicism and establishment of a dynastic union between the Grand Duchy of Lithuania and the Crown of the Kingdom of Poland marked both the greatest territorial expansion of the Grand Duchy and the defeat of the Teutonic Knights in the Battle of Grunwald in 1410. Late Middle Ages The Late Middle Ages spanned the 14th and early 15th centuries. Around 1300, centuries of European prosperity and growth came to a halt. A series of famines and plagues, such as the Great Famine of 1315–1317 and the Black Death, killed people in a matter of days, reducing the population of some areas by half as many survivors fled. Kishlansky reports: The Black Death touched every aspect of life, hastening a process of social, economic, and cultural transformation already underway.... Fields were abandoned, workplaces stood idle, international trade was suspended. Traditional bonds of kinship, village, and even religion were broken amid the horrors of death, flight, and failed expectations. "People cared no more for dead men than we care for dead goats," wrote one survivor. Depopulation caused labor to become scarcer; the survivors were better paid and peasants could drop some of the burdens of feudalism. There was also social unrest; France and England experienced serious peasant risings including the Jacquerie and the Peasants' Revolt. At the same time, the unity of the Catholic Church was shattered by the Great Schism. Collectively these events have been called the Crisis of the Late Middle Ages. Beginning in the 14th century, the Baltic Sea became one of the most important trade routes. The Hanseatic League, an alliance of trading cities, facilitated the absorption of vast areas of Poland, Lithuania, and Livonia into trade with other European countries. This fed the growth of powerful states in this part of Europe including Poland-Lithuania, Hungary, Bohemia, and Muscovy later on. The conventional end of the Middle Ages is usually associated with the fall of the city of Constantinople and of the Byzantine Empire to the Ottoman Turks in 1453. The Turks made the city the capital of their Ottoman Empire, which lasted until 1922 and included Egypt, Syria, and most of the Balkans. The Ottoman wars in Europe, also sometimes referred to as the Turkish wars, marked an essential part of the history of the continent as a whole. A key 15th-century development was the advent of the movable type of printing press circa 1439 in Mainz, building upon the impetus provided by the prior introduction of paper from China via the Arabs in the High Middle Ages. Paper was already readily available in Europe by the late 14th century. While forms of moveable type of printing press had been already used in China and Korea, the technique was singularly successful in Europe given the small number of characters of the Latin alphabet, massively reducing costs of book production. The adoption of the technology across the continent at dazzling speed for the remaining part of the 15th century would usher a revolution and by 1500 over 200 cities in Europe had presses that printed between 8 and 20 million books. Homicide rates plunge over 800 years At the local level, levels of violence were extremely high by modern standards in medieval and early modern Europe. Typically, small groups would battle their neighbors, using the farm tools at hand such as knives, sickles, hammers and axes. Mayhem and death were deliberate. The vast majority of people lived in rural areas. Cities were few, and small in size, but their concentration of population was conducive to violence. Long-term studies of places such as Amsterdam, Stockholm, Venice and Zurich show the same trends as rural areas. Across Europe, homicide trends (not including military actions) show a steady long-term decline. Regional differences were small, except that Italy's decline was later and slower. From approximately 1200 AD through 1800 AD, homicide rates from violent local episodes declined by a factor of ten, from approximately 32 deaths per 100 000 people to 3.2 per 100 000. In the 20th century the homicide rate fell to 1.4 per 100 000. Police forces seldom existed outside the cities; prisons only became common after 1800. Before then harsh penalties were imposed for homicide (severe whipping or execution) but they proved ineffective at controlling or reducing the insults to honor that precipitated most of the violence. The decline does not correlate with economics. Most historians attribute the trend in homicides to a steady increase in self-control of the sort promoted by Protestantism, and necessitated by schools and factories. Historian Manuel Eisner has summarized the patterns from over 300 historical studies. Early modern Europe The Early Modern period spans the centuries between the Middle Ages and the Industrial Revolution, roughly from 1500 to 1800, or from the discovery of the New World in 1492 to the French Revolution in 1789. The period is characterised by the rise in importance of science and increasingly rapid technological progress, secularised civic politics, and the nation state. Capitalist economies began their rise, and the early modern period also saw the rise and dominance of the economic theory of mercantilism. As such, the early modern period represents the decline and eventual disappearance, in much of the European sphere, of feudalism, serfdom and the power of the Catholic Church. The period includes the Renaissance, the Protestant Reformation, the disastrous Thirty Years' War, the European colonisation of the Americas and the European witch-hunts. Renaissance Despite these crises, the 14th century was also a time of great progress within the arts and sciences. A renewed interest in ancient Greek and Roman led to the Italian Renaissance. The Renaissance was a cultural movement that profoundly affected European intellectual life in the early modern period. Beginning in Italy, and spreading to the north, west and middle Europe during a cultural lag of some two and a half centuries, its influence affected literature, philosophy, art, politics, science, history, religion, and other aspects of intellectual inquiry. The Italian Petrarch (Francesco Petrarca), deemed the first full-blooded Humanist, wrote in the 1330s: "I am alive now, yet I would rather have been born in another time." He was enthusiastic about Greek and Roman antiquity. In the 15th and 16th centuries the continuing enthusiasm for the ancients was reinforced by the feeling that the inherited culture was dissolving and here was a storehouse of ideas and attitudes with which to rebuild. Matteo Palmieri wrote in the 1430s: "Now indeed may every thoughtful spirit thank god that it has been permitted to him to be born in a new age." The renaissance was born: a new age where learning was very important. The Renaissance was inspired by the growth in the study of Latin and Greek texts and the admiration of the Greco-Roman era as a golden age. This prompted many artists and writers to begin drawing from Roman and Greek examples for their works, but there was also much innovation in this period, especially by multi-faceted artists such as Leonardo da Vinci. The Humanists saw their repossession of a great past as a Renaissance – a rebirth of civilization itself. Important political precedents were also set in this period. Niccolò Machiavelli's political writing in The Prince influenced later absolutism and realpolitik. Also important were the many patrons who ruled states and used the artistry of the Renaissance as a sign of their power. In all, the Renaissance could be viewed as an attempt by intellectuals to study and improve the secular and worldly, both through the revival of ideas from antiquity and through novel approaches to thought – the immediate past being too "Gothic" in language, thought and sensibility. Exploration and trade Toward the end of the period, an era of discovery began. The growth of the Ottoman Empire, culminating in the fall of Constantinople in 1453, cut off trading possibilities with the east. Western Europe was forced to discover new trading routes, as happened with Columbus' travel to the Americas in 1492, and Vasco da Gama's circumnavigation of India and Africa in 1498. The numerous wars did not prevent European states from exploring and conquering wide portions of the world, from Africa to Asia and the newly discovered Americas. In the 15th century, Portugal led the way in geographical exploration along the coast of Africa in search of a maritime route to India, followed by Spain near the close of the 15th century, dividing their exploration of the world according to the Treaty of Tordesillas in 1494. They were the first states to set up colonies in America and European trading posts (factories) along the shores of Africa and Asia, establishing the first direct European diplomatic contacts with Southeast Asian states in 1511, China in 1513 and Japan in 1542. In 1552, Russian tsar Ivan the Terrible conquered two major Tatar khanates, the Khanate of Kazan and the Astrakhan Khanate. The Yermak's voyage of 1580 led to the annexation of the Tatar Siberian Khanate into Russia, and the Russians would soon after conquer the rest of Siberia, steadily expanding to the east and south over the next centuries. Oceanic explorations soon followed by France, England and the Netherlands, who explored the Portuguese and Spanish trade routes into the Pacific Ocean, reaching Australia in 1606 and New Zealand in 1642. Reformation With the development of the printing press, new ideas spread throughout Europe and challenged traditional doctrines in science and theology. Simultaneously, the Protestant Reformation under German Martin Luther questioned Papal authority. The most common dating of the Reformation begins in 1517, when Luther published The Ninety-Five Theses, and concludes in 1648 with the Treaty of Westphalia that ended years of European religious wars. During this period corruption in the Catholic Church led to a sharp backlash in the Protestant Reformation. It gained many followers especially among princes and kings seeking a stronger state by ending the influence of the Catholic Church. Figures other than Martin Luther began to emerge as well like John Calvin whose Calvinism had influence in many countries and King Henry VIII of England who broke away from the Catholic Church in England and set up the Anglican Church; his daughter Queen Elizabeth finished the organization of the church. These religious divisions brought on a wave of wars inspired and driven by religion but also by the ambitious monarchs in Western Europe who were becoming more centralized and powerful. The Protestant Reformation also led to a strong reform movement in the Catholic Church called the Counter-Reformation, which aimed to reduce corruption as well as to improve and strengthen Catholic dogma. Two important groups in the Catholic Church who emerged from this movement were the Jesuits, who helped keep Spain, Portugal, Poland, and other European countries within the Catholic fold, and the Oratorians of Saint Philip Neri, who ministered to the faithful in Rome, restoring their confidence in the Church of Jesus Christ that subsisted substantially in the Church of Rome. Still, the Catholic Church was somewhat weakened by the Reformation, portions of Europe were no longer under its sway and kings in the remaining Catholic countries began to take control of the church institutions within their kingdoms. Unlike many European countries, the Polish–Lithuanian Commonwealth and Hungary were more tolerant. While still enforcing the predominance of Catholicism, they continued to allow the large religious minorities to maintain their faiths, traditions and customs. The Polish–Lithuanian Commonwealth became divided among Catholics, Protestants, Orthodox, Jews and a small Muslim population. Another development was the idea of 'European superiority'. The ideal of civilization was taken over from the ancient Greeks and Romans: Discipline, education and living in the city were required to make people civilized; Europeans and non-Europeans were judged for their civility, and Europe regarded itself as superior to other continents. There was a movement by some such as Montaigne that regarded the non-Europeans as a better, more natural and primitive people. Post services were founded all over Europe, which allowed a humanistic interconnected network of intellectuals across Europe, despite religious divisions. However, the Roman Catholic Church banned many leading scientific works; this led to an intellectual advantage for Protestant countries, where the banning of books was regionally organised. Francis Bacon and other advocates of science tried to create unity in Europe by focusing on the unity in nature.1 In the 15th century, at the end of the Middle Ages, powerful sovereign states were appearing, built by the New Monarchs who were centralising power in France, England, and Spain. On the other hand, the Parliament in the Polish–Lithuanian Commonwealth grew in power, taking legislative rights from the Polish king. The new state power was contested by parliaments in other countries especially England. New kinds of states emerged which were co-operation agreements among territorial rulers, cities, farmer republics and knights. Mercantilism and colonial expansion The Iberian states (Spain and Portugal) were able to dominate colonial activity in the 16th century. The Portuguese forged the first global empire in the 15th and 16th century, whilst during the 16th century and the first half of the 17th century, the Spanish under the crown of Castile became the most powerful global empire in the world. This dominance was increasingly challenged by British, French, and the short-lived Dutch and Swedish colonial efforts of the 17th and 18th centuries. New forms of trade and expanding horizons made new forms of government, law and economics necessary. Colonial expansion continued in the following centuries (with some setbacks, such as successful wars of independence in the British American colonies and then later Haiti, Mexico, Argentina, Brazil, and others amid European turmoil of the Napoleonic Wars). Spain had control of a large part of North America, all of Central America and a great part of South America, the Caribbean and the Philippines; Britain took the whole of Australia and New Zealand, most of India, and large parts of Africa and North America; France held parts of Canada and India (nearly all of which was lost to Britain in 1763), Indochina, large parts of Africa and the Caribbean islands; the Netherlands gained the East Indies (now Indonesia) and islands in the Caribbean; Portugal obtained Brazil and several territories in Africa and Asia; and later, powers such as Germany, Belgium, Italy and Russia acquired further colonies. This expansion helped the economy of the countries owning them. Trade flourished, because of the minor stability of the empires. By the late 16th century, American silver accounted for one-fifth of Spain's total budget. The French colony of Saint-Domingue was one of richest European colonies in the 18th century, operating on a plantation economy fueled by slave labor. During the period of French rule, cash crops produced in Saint-Domingue comprised thirty percent of total French trade while its sugar exports represented forty percent of the Atlantic market. Crisis of the 17th century The 17th century was an era of crisis. Many historians have rejected the idea, while others promote it as an invaluable insight into the warfare, politics, economics, and even art. The Thirty Years' War (1618–1648) focused attention on the massive horrors that wars could bring to entire populations. The 1640s in particular saw more state breakdowns around the world than any previous or subsequent period. The Polish-Lithuanian Commonwealth, the largest state in Europe, temporarily disappeared. In addition, there were secessions and upheavals in several parts of the Spanish empire, the world's first global empire. In Britain the entire Stuart monarchy (England, Scotland, Ireland, and its North American colonies) rebelled. Political insurgency and a spate of popular revolts seldom equalled shook the foundations of most states in Europe and Asia. More wars took place around the world in the mid-17th century than in almost any other period of recorded history. The crises spread far beyond Europe – for example Ming China, the most populous state in the world, collapsed. Across the Northern Hemisphere, the mid-17th century experienced almost unprecedented death rates. Geoffrey Parker, a British historian, suggests that environmental factors may have been in part to blame, especially global cooling. Age of absolutism The "absolute" rule of powerful monarchs such as Louis XIV (ruled France 1643–1715), Peter the Great (ruled Russia 1682–1725), Maria Theresa (ruled Habsburg lands 1740–1780) and Frederick the Great (ruled Prussia 1740–86), produced powerful centralized states, with strong armies and powerful bureaucracies, all under the control of the king. Throughout the early part of this period, capitalism (through mercantilism) was replacing feudalism as the principal form of economic organisation, at least in the western half of Europe. The expanding colonial frontiers resulted in a Commercial Revolution. The period is noted for the rise of modern science and the application of its findings to technological improvements, which animated the Industrial Revolution after 1750. The Reformation had profound effects on the unity of Europe. Not only were nations divided one from another by their religious orientation, but some states were torn apart internally by religious strife, avidly fostered by their external enemies. France suffered this fate in the 16th century in the series of conflicts known as the French Wars of Religion, which ended in the triumph of the Bourbon Dynasty. England avoided this fate for a while and settled down under Elizabeth I to a moderate Anglicanism. Much of modern-day Germany was made up of numerous small sovereign states under the theoretical framework of the Holy Roman Empire, which was further divided along internally drawn sectarian lines. The Polish–Lithuanian Commonwealth is notable in this time for its religious indifference and a general immunity to the horrors of European religious strife. Thirty Years' War 1618–1648 The Thirty Years' War was fought between 1618 and 1648, across Germany and neighbouring areas, and involved most of the major European powers except England and Russia. Beginning as a religious conflict between Protestants and Catholics in Bohemia, it quickly developed into a general war involving Catholics versus Protestants for the most part. The major impact of the war, in which mercenary armies were extensively used, was the devastation of entire regions scavenged bare by the foraging armies. Episodes of widespread famine and disease, and the breakup of family life, devastated the population of the German states and, to a lesser extent, the Low Countries, the Crown of Bohemia and northern parts of Italy, while bankrupting many of the regional powers involved. Between one-fourth and one-third of the German population perished from direct military causes or from disease and starvation, as well as postponed births. After the Peace of Westphalia, which ended the war in favour of nations deciding their own religious allegiance, absolutism became the norm of the continent, while parts of Europe experimented with constitutions foreshadowed by the English Civil War and particularly the Glorious Revolution. European military conflict did not cease, but had less disruptive effects on the lives of Europeans. In the advanced northwest, the Enlightenment gave a philosophical underpinning to the new outlook, and the continued spread of literacy, made possible by the printing press, created new secular forces in thought. From the Union of Krewo (see above) central and eastern Europe was dominated by Kingdom of Poland and Grand Duchy of Lithuania. In the 16th and 17th centuries Central and Eastern Europe was an arena of conflict for domination of the continent between Sweden, the Polish–Lithuanian Commonwealth (involved in series of wars, like Khmelnytsky uprising, Russo-Polish War, the Deluge, etc.) and the Ottoman Empire. This period saw a gradual decline of these three powers which were eventually replaced by new enlightened absolutist monarchies: Russia, Prussia and Austria (the Habsburg Monarchy). By the turn of the 19th century they had become new powers, having divided Poland between themselves, with Sweden and Turkey having experienced substantial territorial losses to Russia and Austria respectively as well as pauperisation. War of the Spanish Succession The War of the Spanish Succession (1701–1715) was a major war with France opposed by a coalition of England, the Netherlands, the Habsburg Monarchy, and Prussia. Duke of Marlborough commanded the English and Dutch victory at the Battle of Blenheim in 1704. The main issue was whether France under King Louis XIV would take control of Spain's very extensive possessions and thereby become by far the dominant power, or be forced to share power with other major nations. After initial allied successes, the long war produced a military stalemate and ended with the Treaty of Utrecht, which was based on a balance of power in Europe. Historian Russell Weigley argues that the many wars almost never accomplished more than they cost. British historian G. M. Trevelyan argues: That Treaty [of Utrecht], which ushered in the stable and characteristic period of Eighteenth-Century civilization, marked the end of danger to Europe from the old French monarchy, and it marked a change of no less significance to the world at large – the maritime, commercial and financial supremacy of Great Britain. Prussia Frederick the Great, king of Prussia 1740–86, modernized the Prussian army, introduced new tactical and strategic concepts, fought mostly successful wars (Silesian Wars, Seven Years' War) and doubled the size of Prussia. Frederick had a rationale based on Enlightenment thought: he fought total wars for limited objectives. The goal was to convince rival kings that it was better to negotiate and make peace than to fight him. Russia Russia fought numerous wars to achieve rapid expansion toward the east – i.e. Siberia, Far East, south, to the Black Sea, and south-east and to central Asia. Russia boasted a large and powerful army, a very large and complex internal bureaucracy, and a splendid court that rivaled Paris and London. However the government was living far beyond its means and seized Church lands, leaving organized religion in a weak condition. Throughout the 18th century Russia remained "a poor, backward, overwhelmingly agricultural, and illiterate country." Enlightenment The Enlightenment was a powerful, widespread cultural movement of intellectuals beginning in late 17th-century Europe emphasizing the power of reason rather than tradition; it was especially favourable to science (especially Isaac Newton's physics) and hostile to religious orthodoxy (especially of the Catholic Church). It sought to analyze and reform society using reason, to challenge ideas grounded in tradition and faith, and to advance knowledge through the scientific method. It promoted scientific thought, skepticism, and intellectual interchange. The Enlightenment was a revolution in human thought. This new way of thinking was that rational thought begins with clearly stated principles, uses correct logic to arrive at conclusions, tests the conclusions against evidence, and then revises the principles in light of the evidence. Enlightenment thinkers opposed superstition. Some Enlightenment thinkers collaborated with Enlightened despots, absolutist rulers who attempted to forcibly impose some of the new ideas about government into practice. The ideas of the Enlightenment exerted significant influence on the culture, politics, and governments of Europe. Originating in the 17th century, it was sparked by philosophers Francis Bacon (1562–1626), Baruch Spinoza (1632–1677), John Locke (1632–1704), Pierre Bayle (1647–1706), Voltaire (1694–1778), Francis Hutcheson (1694–1746), David Hume (1711–1776) and physicist Isaac Newton (1643–1727). Ruling princes often endorsed and fostered these figures and even attempted to apply their ideas of government in what was known as enlightened absolutism. The Scientific Revolution is closely tied to the Enlightenment, as its discoveries overturned many traditional concepts and introduced new perspectives on nature and man's place within it. The Enlightenment flourished until about 1790–1800, at which point the Enlightenment, with its emphasis on reason, gave way to Romanticism, which placed a new emphasis on emotion; a Counter-Enlightenment began to increase in prominence. The Romantics argued that the Enlightenment was reductionistic insofar as it had largely ignored the forces of imagination, mystery, and sentiment. In France, Enlightenment was based in the salons and culminated in the great Encyclopédie (1751–72) edited by Denis Diderot (1713–1784) and (until 1759) Jean le Rond d'Alembert (1717–1783) with contributions by hundreds of leading intellectuals who were called philosophes, notably Voltaire (1694–1778), Rousseau (1712–1778) and Montesquieu (1689–1755). Some 25,000 copies of the 35 volume encyclopedia were sold, half of them outside France. These new intellectual strains would spread to urban centres across Europe, notably England, Scotland, the German states, the Netherlands, Poland, Russia, Italy, Austria, and Spain, as well as Britain's American colonies. The political ideals of the Enlightenment influenced the American Declaration of Independence, the United States Bill of Rights, the French Declaration of the Rights of Man and of the Citizen, and the Polish–Lithuanian Constitution of 3 May 1791. Taking a long-term historical perspective, Norman Davies has argued that Freemasonry was a powerful force on behalf of Liberalism and Enlightenment ideas in Europe, from about 1700 to the 20th century. It expanded rapidly during the Age of Enlightenment, reaching practically every country in Europe. Prominent members included Montesquieu, Voltaire, Sir Robert Walpole, Wolfgang Amadeus Mozart, Johann Wolfgang von Goethe, Benjamin Franklin, and George Washington. Steven C. Bullock notes that in the late 18th century, English lodges were headed by the Prince of Wales, Prussian lodges by king Frederick the Great, and French lodges by royal princes. Emperor Napoleon selected as Grand Master of France his own brother. The great enemy of Freemasonry was the Roman Catholic Church, so that in countries with a large Catholic element, such as France, Italy, Austria, Spain and Mexico, much of the ferocity of the political battles involve the confrontation between supporters of the Church versus active Masons. 20th-century totalitarian and revolutionary movements, especially the Fascists and Communists, crushed the Freemasons. From revolution to imperialism (1789–1914) The "long 19th century", from 1789 to 1914 saw the drastic social, political and economic changes initiated by the Industrial Revolution, the French Revolution and the Napoleonic Wars. Following the reorganisation of the political map of Europe at the Congress of Vienna in 1815, Europe experienced the rise of Nationalism, the rise of the Russian Empire and the peak of the British Empire, as well as the decline of the Ottoman Empire. Finally, the rise of the German Empire and the Austro-Hungarian Empire initiated the course of events that culminated in the outbreak of the First World War in 1914. Industrial Revolution The Industrial Revolution was a period in the late 18th century and early 19th century when major changes in agriculture, manufacturing, and transport impacted Britain and subsequently spread to the United States and Western Europe, a process that continues as industrialisation. Technological advancements, most notably the utilization of the steam engine, were major catalysts in the industrialisation process. It started in England and Scotland in the mid-18th century with the mechanisation of the textile industries, the development of iron-making techniques and the increased use of coal as the main fuel. Trade expansion was enabled by the introduction of canals, improved roads and railways. The introduction of steam power (fuelled primarily by coal) and powered machinery (mainly in textile manufacturing) underpinned the dramatic increases in production capacity. The development of all-metal machine tools in the first two decades of the 19th century facilitated the manufacture of more production machines for manufacturing in other industries. The effects spread throughout Western Europe and North America during the 19th century, eventually affecting most of the world. The impact of this change on society was enormous. Era of the French Revolution Historians R.R. Palmer and Joel Colton argue: In 1789 France fell into revolution, and the world has never since been the same. The French Revolution was by far the most momentous upheaval of the whole revolutionary age. It replaced the "old regime" with "modern society," and at its extreme phase became very radical, so much so that all later revolutionary movements have looked back to it as a predecessor to themselves.... From the 1760s to 1848, the role of France was decisive. The era of the French Revolution and the subsequent Napoleonic wars was a difficult time for monarchs. Tsar Paul I of Russia was assassinated; King Louis XVI of France was executed, as was his queen Marie Antoinette. Furthermore, kings Charles IV of Spain, Ferdinand VII of Spain and Gustav IV Adolf of Sweden were deposed as were ultimately the Emperor Napoleon and all of the relatives he had installed on various European thrones. King Frederick William III of Prussia and Emperor Francis II of Austria barely clung to their thrones. King George III of Great Britain lost the better part of the First British Empire. The American Revolution (1775–1783) was the first successful revolt of a colony against a European power. It proclaimed, in the words of Thomas Jefferson, that "all men are created equal," a position based on the principles of the Enlightenment. It rejected aristocracy and established a republican form of government under George Washington that attracted worldwide attention. The French Revolution (1789–1804) was a product of the same democratic forces in the Atlantic World and had an even greater impact. French historian François Aulard says: From the social point of view, the Revolution consisted in the suppression of what was called the feudal system, in the emancipation of the individual, in greater division of landed property, the abolition of the privileges of noble birth, the establishment of equality, the simplification of life.... The French Revolution differed from other revolutions in being not merely national, for it aimed at benefiting all humanity." French intervention in the American Revolutionary War had nearly bankrupted the state. After repeated failed attempts at financial reform, King Louis XVI had to convene the Estates-General, a representative body of the country made up of three estates: the clergy, the nobility, and the commoners. The third estate, joined by members of the other two, declared itself to be a National Assembly and swore an oath not to dissolve until France had a constitution and created, in July, the National Constituent Assembly. At the same time the people of Paris revolted, famously storming the Bastille prison on 14 July 1789. At the time the assembly wanted to create a constitutional monarchy, and over the following two years passed various laws including the Declaration of the Rights of Man and of the Citizen, the abolition of feudalism, and a fundamental change in the relationship between France and Rome. At first the king agreed with these changes and enjoyed reasonable popularity with the people. As anti-royalism increased along with threat of foreign invasion, the king tried to flee and join France's enemies. He was captured and on 21 January 1793, having been convicted of treason, he was guillotined. On 20 September 1792 the National Convention abolished the monarchy and declared France a republic. Due to the emergency of war, the National Convention created the Committee of Public Safety, controlled by Maximilien de Robespierre of the Jacobin Club, to act as the country's executive. Under Robespierre, the committee initiated the Reign of Terror, during which up to 40,000 people were executed in Paris, mainly nobles and those convicted by the Revolutionary Tribunal, often on the flimsiest of evidence. Internal tensions at Paris drove the Committee towards increasing assertions of radicalism and increasing suspicions, fueling new terror: A few months into this phase, more and more prominent revolutionaries were being sent to the guillotine by Robespierre and his faction, for example Madame Roland and Georges Danton. Elsewhere in the country, counter-revolutionary insurrections were brutally suppressed. The regime was overthrown in the coup of 9 Thermidor (27 July 1794) and Robespierre was executed. The regime which followed ended the Terror and relaxed Robespierre's more extreme policies. Napoleon Napoleon Bonaparte was one of the world's most famous soldiers and statesmen, leading France to great victories over numerous European enemies. Despite modest origins he became Emperor and restructured much of European diplomacy, politics and law, until he was forced to abdicate in 1814. His 100-day comeback in 1815 failed at the Battle of Waterloo, and he died in exile on a remote island, remembered as a great hero by many Frenchmen and as a great villain by British and other enemies. Napoleon, despite his youth, was France's most
more stubbornly at least, also popularized by Quine. Some beliefs may be more useful than others, or may be implied by a large number of beliefs. Examples might be laws of logic, or the belief in an external world of physical objects. Altering such central portions of the web of beliefs would have immense, ramifying consequences, and affect many other beliefs. It is better to alter auxiliary beliefs around the edges of the web of beliefs (considered to be sense beliefs, rather than main beliefs) in the face of new evidence unfriendly to one's central principles. Thus, while
concept is hold more stubbornly at least, also popularized by Quine. Some beliefs may be more useful than others, or may be implied by a large number of beliefs. Examples might be laws of logic, or the belief in an external world of physical objects. Altering such central portions of the web of beliefs would have immense, ramifying consequences, and affect many other beliefs. It is better to alter auxiliary beliefs around the edges of the web of beliefs (considered to be sense beliefs, rather than main beliefs) in the face of new evidence unfriendly to one's central principles. Thus, while one might agree that there is no belief one can
of nature sketch in words, an approach called shasei (, "sketching from life"). He popularized his views by verse columns and essays in newspapers. Hokku up to the time of Shiki, even when appearing independently, were written in the context of renku. Shiki formally separated his new style of verse from the context of collaborative poetry. Being agnostic, he also separated it from the influence of Buddhism. Further, he discarded the term "hokku" and proposed the term haiku as an abbreviation of the phrase "haikai no ku" meaning a verse of haikai, although the term predates Shiki by some two centuries, when it was used to mean any verse of haikai. Since then, "haiku" has been the term usually applied in both Japanese and English to all independent haiku, irrespective of their date of composition. Shiki's revisionism dealt a severe blow to renku and surviving haikai schools. The term "hokku" is now used chiefly in its original sense of the opening verse of a renku, and rarely to distinguish haiku written before Shiki's time. Exposure to the West The earliest westerner known to have written haiku was the Dutchman Hendrik Doeff (1764–1837), who was the Dutch commissioner in the Dejima trading post in Nagasaki during the first years of the 19th century. One of his haiku is the following: Although there were further attempts outside Japan to imitate the "hokku" in the early 20th century, there was little understanding of its principles. Early Western scholars such as Basil Hall Chamberlain (1850–1935) and William George Aston were mostly dismissive of hokku's poetic value. Blyth R. H. Blyth was an Englishman who lived in Japan. He produced a series of works on Zen, haiku, senryū, and on other forms of Japanese and Asian literature. In 1949, with the publication in Japan of the first volume of Haiku, the four-volume work by Blyth, haiku were introduced to the post-war English-speaking world. This four-volume series (1949–52) described haiku from the pre-modern period up to and including Shiki. Blyth's History of Haiku (1964) in two volumes is regarded as a classical study of haiku. Today Blyth is best known as a major interpreter of haiku to English speakers. His works have stimulated the writing of haiku in English. Yasuda The Japanese-American scholar and translator Kenneth Yasuda published The Japanese Haiku: Its Essential Nature, History, and Possibilities in English, with Selected Examples in 1957. The book includes both translations from Japanese and original poems of his own in English, which had previously appeared in his book titled A Pepper-Pod: Classic Japanese Poems together with Original Haiku. In these books Yasuda presented a critical theory about haiku, to which he added comments on haiku poetry by early 20th-century poets and critics. His translations apply a 5–7–5 syllable count in English, with the first and third lines end-rhymed. Yasuda considered that haiku translated into English should utilize all of the poetic resources of the language. Yasuda's theory also includes the concept of a "haiku moment" based in personal experience, and provides the motive for writing a haiku (' an aesthetic moment' of a timeless feeling of enlightened harmony as the poet's nature and the environment are unified'). This notion of the haiku moment has resonated with haiku writers in English, even though the notion is not widely promoted in Japanese haiku. Henderson In 1958, An Introduction to Haiku: An Anthology of Poems and Poets from Bashô to Shiki by Harold G. Henderson was published by Doubleday Anchor Books. This book was a revision of Henderson's earlier book titled The Bamboo Broom (Houghton Mifflin, 1934). After World War II, Henderson and Blyth worked for the American Occupation in Japan and for the Imperial Household, respectively, and their shared appreciation of haiku helped form a bond between the two. Henderson translated every hokku and haiku into a rhymed tercet (ABA), whereas the Japanese originals never used rhyme. Unlike Yasuda, however, he recognized that 17 syllables in English are generally longer than the 17 on of a traditional Japanese haiku. Because the normal modes of English poetry depend on accentual meter rather than on syllabics, Henderson chose to emphasize the order of events and images in the originals. Nevertheless, many of Henderson's translations were in the five-seven-five pattern. Haiku in other languages In France, haiku was introduced by Paul-Louis Couchoud around 1906. In the early 20th century, Nobel laureate Rabindranath Tagore composed haiku in Bengali. He also translated some from Japanese. In Gujarati, Jhinabhai Desai 'Sneharashmi' popularized haiku and remained a popular haiku writer. In February 2008, the World Haiku Festival was held in Bangalore, gathering haijin from all over India and Bangladesh, as well as from Europe and the United States. In South Asia, some other poets also write Haiku from time to time, most notably including the Pakistani poet Omer Tarin, who is also active in the movement for global nuclear disarmament and some of his 'Hiroshima Haiku' have been read at various peace conferences in Japan and the UK. Indian writer in Malayalam language, Ashitha, wrote several Haiku poems which have been published as a book. Her poems helped popularise Haiku among the readers of Malayalam literature. In 1992 Nobel laureate Czesław Miłosz published the volume Haiku in which he translated from English to Polish haiku of Japanese masters and American and Canadian contemporary haiku authors. The former president of the European Council, Herman Van Rompuy, is a haijin (, haiku poet) and known as "Haiku Herman." He published a book of haiku in April 2010. English-language haiku Paul-Louis Couchoud's articles on haiku in French were read by early Imagist theoretician F. S. Flint, who passed on Couchoud's ideas to other members of the proto-Imagist Poets' Club such as Ezra Pound. Amy Lowell made a trip to London to meet Pound and learn about haiku. She returned to the United States, where she worked to interest others in this "new" form. Haiku subsequently had a considerable influence on Imagists in the 1910s, notably Pound's "In a Station of the Metro" of 1913, but, notwithstanding several efforts by Yone Noguchi to explain "the hokku spirit", there was as yet little understanding of the form and its history. One of the first advocates of English-language hokku was the Japanese poet Yone Noguchi. In "A Proposal to American Poets," published in the Reader magazine in February 1904, Noguchi gave a brief outline of the hokku and some of his English efforts, ending with the exhortation, "Pray, you try Japanese Hokku, my American poets!" At about the same time the poet Sadakichi Hartmann was publishing original English-language hokku, as well as other Japanese forms in both English and French. Spanish-language haiku In Spain, several prominent poets experimented with haiku, including Joan Alcover, Antonio Machado, Juan Ramón Jiménez and Luis Cernuda. Federico García Lorca also experimented with and learned conciseness from the form while still a student in 1921. The most persistent, however, was Isaac del Vando, whose La Sombrilla Japonesa (1924) went through several editions. The form was also used in Catalan by the avant-garde writers Josep Maria Junoy (1885–1955) and Joan Salvat-Papasseit, by the latter notably in his sequence Vibracions (1921). The Mexican poet José Juan Tablada is credited with popularising haiku in his country, reinforced by the publication of two collections composed entirely in that form: Un dia (1919), and El jarro de flores (1922). In the introduction to the latter, Tablada noted that two young Mexicans, Rafael Lozano and Carlos Gutiérrez Cruz, had also begun writing them. They were followed soon after by Carlos Pellicer, Xavier Villaurrutia, and by Jaime Torres Bodet in his collection Biombo (1925). Much later, Octavio Paz included many haiku in Piedras Sueltas (1955). Elsewhere the Ecuadorian poet and diplomat Jorge Carrera Andrade included haiku among the 31 poems contained in
syllables, but they also noted a trend toward shorter haiku. Shorter haiku are very much more common in 21st century English haiku writing. About 12 syllables in English approximates the duration of 17 Japanese on. Kigo A haiku traditionally contains a kigo, a word or phrase that symbolizes or implies the season of the poem and which is drawn from a saijiki, an extensive but prescriptive list of such words. Kigo are often in the form of metonyms and can be difficult for those who lack Japanese cultural references to spot. The Bashō examples below include "kawazu", "frog" implying spring, and "shigure", a rain shower in late autumn or early winter. Kigo are not always included in non-Japanese haiku or by modern writers of Japanese free form haiku. Examples One of the best-known Japanese haiku is Bashō's "old pond": Translated: This separates into on as: Another haiku by Bashō: Translated: This separates into on as: As another example, this haiku by Bashō illustrates that he was not always constrained to a 5-7-5 on pattern. It contains 18 on in the pattern 6-7-5 ("ō" or is treated as two on.) Translated: This separates into "on" as: This haiku by Issa illustrates that 17 Japanese on do not always equate to 17 English syllables ("nan" counts as two on and "nonda" as three.) Translated: This separates into "on" as, Origin and development From hokku to haiku Hokku is the opening stanza of an orthodox collaborative linked poem, or renga, and of its later derivative, renku (or haikai no renga). By the time of Matsuo Bashō (1644–1694), the hokku had begun to appear as an independent poem, and was also incorporated in haibun (a combination of prose and hokku), and haiga (a combination of painting with hokku). In the late 19th century, Masaoka Shiki (1867–1902) renamed the standalone hokku to haiku. The latter term is now generally applied retrospectively to all hokku appearing independently of renku or renga, irrespective of when they were written, and the use of the term hokku to describe a stand-alone poem is considered obsolete. Bashō In the 17th century, two masters arose who elevated haikai and gave it a new popularity. They were Matsuo Bashō (1644–1694) and Uejima Onitsura (1661–1738). Hokku is the first verse of the collaborative haikai or renku, but its position as the opening verse made it the most important, setting the tone for the whole composition. Even though hokku had sometimes appeared individually, they were always understood in the context of renku. The Bashō school promoted standalone hokku by including many in their anthologies, thus giving birth to what is now called "haiku". Bashō also used his hokku as torque points within his short prose sketches and longer travel diaries. This subgenre of haikai is known as haibun. His best-known work, Oku no Hosomichi, or Narrow Roads to the Interior, is counted as one of the classics of Japanese literature and has been translated into English extensively. Bashō was deified by both the imperial government and Shinto religious headquarters one hundred years after his death because he raised the haikai genre from a playful game of wit to sublime poetry. He continues to be revered as a saint of poetry in Japan, and is the one name from classical Japanese literature that is familiar throughout the world. Buson The next famous style of haikai to arise was that of Yosa Buson (1716–1784) and others such as Kitō, called the Tenmei style after the Tenmei Era (1781–1789) in which it was created. Buson is recognized as one of the greatest masters of haiga (an art form where the painting is combined with haiku or haikai prose). His affection for painting can be seen in the painterly style of his haiku. Issa No new popular style followed Buson. However, a very individualistic, and at the same time humanistic, approach to writing haiku was demonstrated by the poet Kobayashi Issa (1763–1827), whose miserable childhood, poverty, sad life, and devotion to the Pure Land sect of Buddhism are evident in his poetry. Issa made the genre immediately accessible to wider audiences. Shiki Masaoka Shiki (1867–1902) was a reformer and modernizer. A prolific writer, even though chronically ill during a significant part of his life, Shiki disliked the 'stereotype' of haikai writers of the 19th century who were known by the deprecatory term tsukinami, meaning 'monthly', after the monthly or twice-monthly haikai gatherings of the end of the 18th century (in regard to this period of haikai, it came to mean 'trite' and 'hackneyed'). Shiki also criticized Bashō. Like the Japanese intellectual world in general at that time, Shiki was strongly influenced by Western culture. He favored the painterly style of Buson and particularly the European concept of plein-air painting, which he adapted to create a style of haiku as a kind of nature sketch in words, an approach called shasei (, "sketching from life"). He popularized his views by verse columns and essays in newspapers. Hokku up to the time of Shiki, even when appearing independently, were written in the context of renku. Shiki formally separated his new style of verse from the context of collaborative poetry. Being agnostic, he also separated it from the influence of Buddhism. Further, he discarded the term "hokku" and proposed the term haiku as an abbreviation of the phrase "haikai no ku" meaning a verse of haikai, although the term predates Shiki by some two centuries, when it was used to mean any verse of haikai. Since then, "haiku" has been the term usually applied in both Japanese and English to all independent haiku, irrespective of their date of composition. Shiki's revisionism dealt a severe blow to renku and surviving haikai schools. The term "hokku" is now used chiefly in its original sense of the opening verse of a renku, and rarely to distinguish haiku written before Shiki's time. Exposure to the West The earliest westerner known to have written haiku was the Dutchman Hendrik Doeff (1764–1837), who was the Dutch commissioner in the Dejima trading post in Nagasaki during the first years of the 19th century. One of his haiku is the following: Although there were further attempts outside Japan to imitate the "hokku" in the early 20th century, there was little understanding of its principles. Early Western scholars such as Basil Hall Chamberlain (1850–1935) and William George Aston were mostly dismissive of hokku's poetic value. Blyth R. H. Blyth was an Englishman who lived in Japan. He produced a series
he would go on to collaborate on seven more films. The film stars George O'Brien as the introverted Crown Prince Michael, William Powell as his happy-go-lucky brother and Virginia Valli as Michael's flapper love interest Dolores. The characters played by Valli and O'Brien anticipate those found in later films by Hawks: a sexually aggressive showgirl, who is an early prototype of the "Hawksian woman", and a shy man disinterested in sex, found in later roles played by Cary Grant and Gary Cooper. Paid to Love was completed by September 1926, but remained unreleased until July 1927. It was financially unsuccessful. Cradle Snatchers was based on a 1925 hit stage play by Russell G. Medcraft and Norma Mitchell. The film was shot in early 1927. The film was released in May 1927 and was a minor hit. For many years it was believed to be a lost film until film director Peter Bogdanovich discovered a print in 20th Century Fox's film vaults, although the print was missing part of reel three and all of reel four. In March 1927, Hawks signed a new one-year, three-picture contract with Fox and was assigned to direct Fazil, based on the play L'Insoumise by Pierre Frondaie. Hawks again worked with Seton Miller on the script. Hawks was over schedule and over budget on the film, which began a rift between him and Sol Wurtzel that would eventually lead to Hawks leaving Fox. The film was finished in August 1927, though it was not released until June 1928. A Girl in Every Port is considered by film scholars to be the most important film of Hawks's silent career. It is the first of his films to utilize many of the Hawksian themes and characters that would define much of his subsequent work. It was his first "love story between two men," with two men bonding over their duty, skills and careers, who consider their friendship to be more important than their relationships with women. In France, Henri Langlois called Hawks "the Gropius of the cinema" and Swiss novelist and poet Blaise Cendrars said that the film "definitely marked the first appearance of contemporary cinema." Hawks went over budget once again with this film, though, and his relationship with Sol Wurtzel deteriorated. After an advance screening that received positive reviews, Wurtzel told Hawks, "This is the worst picture Fox has made in years." The Air Circus was Hawks's first film centered around aviation, one of his early passions. In 1928, Charles Lindbergh was the world's most famous person and Wings was one of the most popular films of the year. Wanting to capitalize on the country's aviation craze, Fox immediately bought Hawks' original story for The Air Circus, a variation of the male friendship plot of A Girl in Every Port about two young pilots. The film was shot from April to June 1928, but Fox ordered an additional 15 minutes of dialogue footage in order that the film could compete with the new "talkies" being released. Hawks hated the new dialogue written by Hugh Herbert and he refused to participate in the re-shoots. The film was released in September 1928 and was a moderate hit. It is one of two films directed by Hawks that are lost films. Trent's Last Case is an adaptation of British author E. C. Bentley's 1913 novel of the same name. Hawks considered the novel to be "one of the greatest detective stories of all time" and was eager to make it his first sound film. He cast Raymond Griffith in the lead role of Phillip Trent. Griffith's throat had been damaged by poison gas during World War I and his voice was a hoarse whisper, prompting Hawks to later state, "I thought he ought to be great in talking pictures because of that voice." However, after shooting only a few scenes, Fox shut Hawks down and ordered him to make a silent film, both because of Griffith's voice and because they only owned the legal rights to make a silent film. The film did have a musical score and synchronized sound effects, but no dialogue. Due to the failing business of silent films, it was never released in the US and only briefly screened in England where film critics hated it. The film was believed lost until the mid-1970s and was screened for the first time in the US at a Hawks retrospective in 1974. Hawks was in attendance of the screening and attempted to have the only print of the film destroyed. Hawks's contract with Fox ended in May 1929, and he never again signed a long-term contract with a major studio. He managed to remain an independent producer-director for the rest of his long career. Early sound films (1930–1934) By 1930, Hollywood was in upheaval over the coming of "talkies" and the careers of many actors and directors were ruined. Hollywood studios were recruiting stage actors and directors that they believed were better suited for sound films. After having worked in the industry for 14 years and directed many financially successful films, Hawks found himself having to prove himself an asset to the studios once again. Leaving Fox on sour terms didn't help his reputation, but Hawks never backed down from fights with studio heads. After several months of unemployment, Hawks renewed his career with his first sound film in 1930. Hawks' first all-sound film was The Dawn Patrol, based on an original story by John Monk Saunders and (unofficially) Hawks. Reportedly, Hawks paid Saunders to put his name on the film, so that Hawks could direct the film without arousing concern due to his lack of writing experience. Accounts vary on who came up with the idea of the film, but Hawks and Saunders developed the story together and tried to sell it to several studios before First National agreed to produce it. Shooting began in late February 1930, about the same time that Howard Hughes was finally finishing his epic World War I aviation epic Hell's Angels, which had been in production since September 1927. Shrewdly, Hawks began to hire many of the aviation experts and cameramen that had been employed by Hughes, including Elmer Dyer, Harry Reynolds and Ira Reed. When Hughes found out about the rival film, he did everything he could to sabotage The Dawn Patrol. He harassed Hawks and other studio personnel, hired a spy that was quickly caught and finally sued First National for copyright infringement. Hughes eventually dropped the lawsuit in late 1930—he and Hawks had become good friends during the legal battle. Filming was finished in late May 1930 and it premiered in July, setting a first-week box office record at the Winter Garden Theatre in New York. The film became one of the biggest hits of 1930. The success of this film allowed Hawks to gain respect in the field of filmmaking and allowed him to spend the rest of his career as an independent director without the necessity to sign any long-term contracts with specific studios. Hawks did not get along with Warner Brothers executive Hal B. Wallis and his contract allowed him to be loaned out to other studios. Hawks took the opportunity to accept a directing offer from Harry Cohn at Columbia Pictures. The film opened in January 1931 and was a hit. The film was banned in Chicago, though, and the experience of censorship which would continue in his next film project. In 1930, Howard Hughes hired Hawks to direct Scarface, a gangster film loosely based on the life of Chicago mobster Al Capone. The film was completed in September 1931, but the censorship of the Hays Code prevented it from being released as Hawks and Hughes had originally intended. The two men fought, negotiated and made compromises with the Hays Office for over a year, until the film was eventually released in 1932, after such other pivotal early gangster films as The Public Enemy and Little Caesar. Scarface was the first film in which Hawks worked with screenwriter Ben Hecht, who became a close friend and collaborator for 20 years. After filming was complete on Scarface, Hawks left Hughes to fight the legal battles and returned to First National to fulfill his contract, this time with producer Darryl F. Zanuck. For his next film, Hawks wanted to make a film about his childhood passion: car racing. Hawks developed the script for The Crowd Roars with Seton Miller for their eighth and final collaboration. Hawks used real race car drivers in the film, including the 1930 Indianapolis 500 winner Billy Arnold. The film was released in March and became a hit. Later in 1932, he directed Tiger Shark starring Edward G. Robinson as a tuna fisherman. In these early films, Hawks established the prototypical "Hawksian Man", which film critic Andrew Sarris described as "upheld by an instinctive professionalism." Tiger Shark demonstrated Hawks' ability to incorporate touches of humor into dramatic, tense, and even tragic story lines. In 1933, Hawks signed a three-picture deal at Metro-Goldwyn-Mayer Studios, the first of which was Today We Live in 1933. This World War I film was based on a short story by author William Faulkner. Hawks' next two films at MGM were the boxing drama The Prizefighter and the Lady and the bio-pic Viva Villa!. Studio interference on both films led Hawks to walk out on his MGM contract without completing either film himself. Later sound films (1935–1970) In 1934, Hawks went to Columbia Pictures to make his first screwball comedy, Twentieth Century, starring John Barrymore and Hawks's distant cousin Carole Lombard. It was based on a stage play by Ben Hecht and Charles MacArthur and, along with Frank Capra's It Happened One Night (released the same year), is considered to be the defining film of the screwball comedy genre. In 1935, Hawks made Barbary Coast with Edward G. Robinson and Miriam Hopkins. Hawks collaborated with Hecht and MacArthur on Barbary Coast and reportedly convinced them to work on the film by promising to teach them a marble game. They would switch off between working on the script and playing with marbles during work days. In 1936, he made the aviation adventure Ceiling Zero with James Cagney and Pat O'Brien. Also in 1936, Hawks began filming Come and Get It, starring Edward Arnold, Joel McCrea, Frances Farmer and Walter Brennan. But he was fired by Samuel Goldwyn in the middle of shooting and the film was completed by William Wyler. In 1938, Hawks made the screwball comedy Bringing Up Baby for RKO Pictures. It starred Cary Grant and Katharine Hepburn and was adapted by Dudley Nichols and Hagar Wilde and has been called "the screwiest of the screwball comedies" by film critic Andrew Sarris. Grant plays a near-sighted paleontologist who suffers one humiliation after another due to the lovestruck socialite played by Hepburn. Hawks's artistic direction for Bringing Up Baby revolved around the raw natural chemistry between Grant and Hepburn. With Grant portraying the paleontologist and Hepburn as an heiress, the roles only add to the movie's purpose of disintegrating the line between the real and the imaginary. Bringing Up Baby was a box office flop when initially released and, subsequently, RKO fired Hawks due to extreme losses; however, the film has become regarded as one of Hawks's masterpieces. Hawks followed this with 11 consecutive hits up to 1951, starting with the aviation drama Only Angels Have Wings, starring Cary Grant and made in 1939 for Columbia Pictures. It also starred Jean Arthur, Thomas Mitchell, Rita Hayworth, and Richard Barthelmess. In 1940, Hawks returned to the screwball comedy genre with His Girl Friday, starring Cary Grant and Rosalind Russell. The film was an adaptation of the hit Broadway play The Front Page by Ben Hecht and Charles MacArthur, which had already been made into a film in 1931. Not forgetting the influence Jesse Lasky had on his early career, in 1941, Hawks made Sergeant York, starring Gary Cooper as a pacifist farmer who becomes a decorated World War I soldier. Hawks directed the film and cast Cooper as a specific favor to Lasky. This was the highest-grossing film of 1941 and won two Academy Awards (Best Actor and Best Editing), as well as earning Hawks his only nomination for Best Director. Later that year, Hawks worked with Cooper again for Ball of Fire, which also starred Barbara Stanwyck. The film was written by Billy Wilder and Charles Brackett and is a playful take on Snow White and the Seven Dwarfs. Cooper plays a sheltered, intellectual linguist who is writing an encyclopedia with six other scientists, and hires street-wise Stanwyck to help them with modern slang terms. In 1941, Hawks began work on the Howard Hughes-produced (and later directed) film The Outlaw, based on the life of Billy the Kid and starring Jane Russell. Hawks completed initial shooting of the film in early 1941, but due to perfectionism and battles with the Hollywood Production Code, Hughes continued to re-shoot and re-edit the film until 1943, when it was finally released with Hawks uncredited as director. After making the World War II film Air Force in 1943 starring John Garfield and written by Nichols, Hawks did two films with real-life lovers Humphrey Bogart and Lauren Bacall. To Have and Have Not, made in 1944, stars Bogart, Bacall and Walter Brennan and is based on a novel by Ernest Hemingway. Hawks was a close friend of Hemingway and made a bet with the author that he could make a good film out of Hemingway's "worst book." Hawks, William Faulkner and Jules Furthman collaborated on the script about an American fishing boat captain working out of French Martinique in the Caribbean and various situations of espionage after the Fall of France in 1940. Bogart and Bacall fell in love on the set of the film and married soon afterwards. To Have and Have Not has been critiqued as having a "rambling, slapped-together feel" that contribute to an overall clumsy and dull movie. The film, however, has also been enjoyed for its romantic plot and has been compared to Casablanca in its feel. The greatest strength of the movie has been said to come from its atmosphere and use of wit that really plays on the strengths of Bacall and helps the movie solidify the theme of beauty in perpetual opposition. Hawks reteamed with Bogart and Bacall in 1946 with The Big Sleep, based on the Philip Marlowe detective novel by Raymond Chandler. The screenplay for the film also reteamed Faulkner and Furthman, in addition to Leigh Brackett. In 1948, Hawks made Red River, an epic western reminiscent of Mutiny on the Bounty starring John Wayne and Montgomery Clift in his first film. Later that year, Hawks remade his earlier film Ball of Fire as A Song Is Born, this time starring Danny Kaye and Virginia Mayo. This version follows the same plot but pays more attention to popular jazz music and includes such jazz legends as Tommy Dorsey, Benny Goodman, Louis Armstrong, Lionel Hampton, and Benny Carter playing themselves. In 1949, Hawks reteamed with Cary Grant in the screwball comedy I Was a
the Seven Dwarfs. Cooper plays a sheltered, intellectual linguist who is writing an encyclopedia with six other scientists, and hires street-wise Stanwyck to help them with modern slang terms. In 1941, Hawks began work on the Howard Hughes-produced (and later directed) film The Outlaw, based on the life of Billy the Kid and starring Jane Russell. Hawks completed initial shooting of the film in early 1941, but due to perfectionism and battles with the Hollywood Production Code, Hughes continued to re-shoot and re-edit the film until 1943, when it was finally released with Hawks uncredited as director. After making the World War II film Air Force in 1943 starring John Garfield and written by Nichols, Hawks did two films with real-life lovers Humphrey Bogart and Lauren Bacall. To Have and Have Not, made in 1944, stars Bogart, Bacall and Walter Brennan and is based on a novel by Ernest Hemingway. Hawks was a close friend of Hemingway and made a bet with the author that he could make a good film out of Hemingway's "worst book." Hawks, William Faulkner and Jules Furthman collaborated on the script about an American fishing boat captain working out of French Martinique in the Caribbean and various situations of espionage after the Fall of France in 1940. Bogart and Bacall fell in love on the set of the film and married soon afterwards. To Have and Have Not has been critiqued as having a "rambling, slapped-together feel" that contribute to an overall clumsy and dull movie. The film, however, has also been enjoyed for its romantic plot and has been compared to Casablanca in its feel. The greatest strength of the movie has been said to come from its atmosphere and use of wit that really plays on the strengths of Bacall and helps the movie solidify the theme of beauty in perpetual opposition. Hawks reteamed with Bogart and Bacall in 1946 with The Big Sleep, based on the Philip Marlowe detective novel by Raymond Chandler. The screenplay for the film also reteamed Faulkner and Furthman, in addition to Leigh Brackett. In 1948, Hawks made Red River, an epic western reminiscent of Mutiny on the Bounty starring John Wayne and Montgomery Clift in his first film. Later that year, Hawks remade his earlier film Ball of Fire as A Song Is Born, this time starring Danny Kaye and Virginia Mayo. This version follows the same plot but pays more attention to popular jazz music and includes such jazz legends as Tommy Dorsey, Benny Goodman, Louis Armstrong, Lionel Hampton, and Benny Carter playing themselves. In 1949, Hawks reteamed with Cary Grant in the screwball comedy I Was a Male War Bride, also starring Ann Sheridan. In 1951, Hawks produced, and according to some, directed, a science-fiction film, The Thing from Another World. Director John Carpenter stated: "And let's get the record straight. The movie was directed by Howard Hawks. Verifiably directed by Howard Hawks. He let his editor, Christian Nyby, take credit. But the kind of feeling between the male characters—the camaraderie, the group of men that has to fight off the evil—it's all pure Hawksian." He followed this with the 1952 western film The Big Sky, starring Kirk Douglas. Later in 1952, Hawks worked with Cary Grant for the fifth and final time in the screwball comedy Monkey Business, which also starred Marilyn Monroe and Ginger Rogers. Grant plays a scientist (reminiscent of his character in Bringing up Baby) who creates a formula that increases his vitality. Film critic John Belton called the film Hawks's "most organic comedy." Hawks's third film of 1952 was a contribution to the omnibus film O. Henry's Full House, which includes short stories by the writer O. Henry made by various directors. Hawks's short film The Ransom of Red Chief starred Fred Allen, Oscar Levant and Jeanne Crain. In 1953, Hawks made Gentlemen Prefer Blondes, which featured Marilyn Monroe famously singing "Diamonds Are a Girl's Best Friend." The film starred Monroe and Jane Russell as two cabaret performing best friends; many critics argue that the film is the only female version of the celebrated "buddy film" genre. Choreographer Jack Cole is generally credited with staging the musical numbers while Hawks is credited with directing the non-musical scenes. In 1955, Hawks shot a film atypical within the context of his other work, Land of the Pharaohs, which is a sword-and-sandal epic about ancient Egypt that stars Jack Hawkins and Joan Collins. The film was Hawks's final collaboration with longtime friend William Faulkner before the author's death. In 1959, Hawks worked with John Wayne in Rio Bravo, also starring Dean Martin, Ricky Nelson, and Walter Brennan as four lawmen "defending the fort" of their local jail in which a local criminal is awaiting a trial while his family attempt to break him out. The screenplay was written by Furthman and Leigh Brackett, who had collaborated with Hawks previously on The Big Sleep. Film critic Robin Wood has said that if he "were asked to choose a film that would justify the existence of Hollywood ... it would be Rio Bravo." In 1962, Hawks made Hatari!, again with John Wayne, who plays a wild animals catcher in Africa. It was also written by Leigh Brackett. Hawks's knowledge of mechanics allowed him to built the camera-car hybrid that allowed him to film the hunting scenes in the film. In 1964, Hawks made his final comedy, Man's Favorite Sport?, starring Rock Hudson (since Cary Grant felt he was too old for the role) and Paula Prentiss. Hawks then returned to his childhood passion for car races with Red Line 7000 in 1965, featuring a young James Caan in his first leading role. Hawks's final two films were both Western remakes of Rio Bravo starring John Wayne and written by Leigh Brackett. In 1966, Hawks directed El Dorado, starring Wayne, Robert Mitchum, and Caan, which was released the following year. He then made Rio Lobo, with Wayne in 1970. After Rio Lobo, Hawks planned a project relating to Ernest Hemingway and "Now, Mr. Gus," a comedy about two male friends seeking oil and money. He died in December 1977, before these projects were completed. Hawks died on December 26, 1977, at the age of 81, from complications arising from a fall when he tripped over his dog at his home in Palm Springs, California. He had spent two weeks in the hospital recovering from his concussion when he asked to be taken home, dying a few days later. He was working with his last protégée discovery at the time, Larraine Zax. Personal life Howard Hawks was married three times: to actress Athole Shearer, sister of Norma Shearer, from 1928 to 1940; to socialite and fashion icon Slim Keith from 1941 to 1949; and to actress Dee Hartford from 1953 to 1960. Hawks had two children with Shearer, Barbara and David. David Hawks worked as an assistant director for the television series M*A*S*H. His second daughter Kitty Hawks was a result of his second marriage to "Slim" Keith. Hawks had one son with his last wife, Dee Hartford, who was named Gregg after cinematographer Gregg Toland. Along with his love of flying machines, Hawks also had a passion for cars and motorcycles. He built the race car that won the 1936 Indianapolis 500, as well as enjoyed riding motorcycles with Barbara Stanwyck and Gary Cooper. Hawks and his son Gregg were members of Checkers Motorcycle Club. Hawks continued riding until the age of 78. His other hobbies included golf, tennis, sailing, horse racing, carpentry, and silversmithing. Hawks was also known for maintaining close friendships with many American writers such as Ben Hecht, Ernest Hemingway, and William Faulkner. Hawks credited himself with the discovery of William Faulkner and introducing the then-unknown writer to the Algonquin Round Table. Hawks and Faulkner had mutual interests in flying and drinking and Faulkner admired the films of Hawks, asking him to teach him how to write screenplays. Faulkner wrote five screenplays for Hawks, the first of them being Today We Live and the last of them being Land of the Pharaohs. With a mutual interest in fishing and skiing, Hawks was also close with Ernest Hemingway, and was almost made the director of the film adaptation of For Whom the Bell Tolls. Hawks found it difficult to forgive Hemingway for his suicide. After coming to terms with it in the 1970s, he began to plan a film project about Hemingway and his relationship with Robert Capa. He never filmed the project. Hawks supported Thomas Dewey in the 1944 United States presidential election. Style Hawks was a versatile director whose career includes comedies, dramas, gangster films, science fiction, film noir, and Westerns. Hawks's own functional definition of what constitutes a "good movie" is characteristic of his no-nonsense style: "Three great scenes, no bad ones." Hawks also defined a good director as "someone who doesn't annoy you." In Hawks's own words, his directing style is based on being enjoyable and straightforward. His style was very actor-focused and he made it a point to take as few shots as possible, thereby preserving an inherent and natural humor for his comedic pieces. While Hawks was not sympathetic to feminism, he popularized the Hawksian woman archetype, a portrayal of women in more strong, less effeminate roles. Such an emphasis had never been done in the 1920s and therefore was seen to be a rarity and, according to Naomi Wise, has been cited as a prototype of the post-feminist movement. Another notable theme carried throughout his work included the relationship of morality and human interaction. In this sense he tended to portray more dramatic elements of a concept or a plot in a humorous way. Orson Welles in an interview with Peter Bogdanovich said of Howard Hawks, in comparison with John Ford, that "Hawks is great prose; Ford is poetry." Despite Hawks's work in a variety of Hollywood genres, he still retained an independent sensibility. Film critic David Thomson wrote of Hawks: "Far from being the meek purveyor of Hollywood forms, he always chose to turn them upside down. To Have and Have Not and The Big Sleep, ostensibly an adventure and a thriller, are really love stories. Rio Bravo, apparently a Western – everyone wears a cowboy hat – is a comedy conversation piece. The ostensible comedies are shot through with exposed emotions, with the subtlest views of the sex war, and with a wry acknowledgment of the incompatibility of men and women." David Boxwell argues that the filmmaker's body of work "has been accused of a historical and adolescent escapism, but Hawks's fans rejoice in his oeuvre's remarkable avoidance of Hollywood's religiosity, bathos, flag-waving, and sentimentality. Writing and producing In addition to his career as a film director, Howard Hawks either wrote or supervised the writing for most of his films. In some cases, he would rewrite parts of the script on-set. Due to the Screen Writer's Guild's rule that the director and producer couldn't receive credit for writing, Hawks rarely received credit. Even though Sidney Howard received credit for writing Gone with the Wind (1939), the screenplay was actually written by a myriad of Hollywood screenwriters including, David O. Selznick, Ben Hecht, and Howard Hawks. Hawks was an uncredited contributor to many other screenplays such as Underworld (1927), Morocco (1930), Shanghai Express (1932), and Gunga Din (1939). Hawks also produced many of his own films, preferring not to work under major film studios, because it allowed him creative freedom in his writing, directing, and casting. Hawks would sometimes walk out on films that he wasn't producing himself. Hawks, however, never considered producing to come before his directing. For example, several of the film cards for his films show "Directed and produced by Howard Hawks" with "produced" underneath "directed" in much smaller font. Sometimes his films wouldn't credit any producer. Hawks discovered many well known film stars such as Paul Muni, George Raft, Ann Dvorak, Carole Lombard, Frances Farmer, Jane Russell, Montgomery Clift, Joanne Dru, Angie Dickinson, James Caan, and most famously Lauren Bacall. Filmography Awards and recognition Peter Bogdanovich suggested to the Museum of Modern Art to do a retrospective on Howard Hawks who was in the process of releasing Hatari!. For marketing purposes, Paramount paid for part of the exhibition which was held in 1962. The exhibition traveled to Paris and London. For the event, Bogdanovich prepared a monograph. As a result of the retrospective, a special edition of Cahiers du Cinéma was published and Hawks was featured on his own issue of Movie magazine. In 1996, Howard Hawks was voted No. 4 on Entertainment Weekly's list of 50 greatest directors. In 2007, Total Film magazine ranked Hawks as No. 4 in its "100 Greatest Film Directors Ever" list. Bringing Up Baby (1938) was listed number 97 on the American Film Institute's AFI's 100 Years...100 Movies. On the AFI's AFI's 100 Years...100 Laughs Bringing Up Baby was listed number 14, His Girl Friday (1940) was listed number 19 and Ball of Fire (1941) was listed number 92. In the 2012 Sight & Sound polls of the greatest films ever made, six films directed by Hawks were in the critics' top 250 films: Rio Bravo (number 63), Bringing Up Baby (number 110), Only Angels Have Wings (number 154), His Girl Friday (number 171), The Big Sleep (number 202) and Red River (number 235). Six of his films currently hold a 100% rating on Rotten Tomatoes. His films Ball of Fire, The Big Sleep, Bringing Up Baby, His Girl Friday, Only Angels Have Wings, Red River, Rio Bravo, Scarface, Sergeant York, The Thing from Another World and Twentieth Century were deemed "culturally, historically, or aesthetically significant" by the United States Library of Congress and inducted into the National Film Registry. With eleven films, he ties with John Ford for directing the most films that are in the registry. From the film industry, he received three nominations for Outstanding Directorial Achievement in Motion Pictures from the Directors Guild of America for Red River in 1949, The Big Sky in 1953, and Rio Bravo in 1960. He was inducted into the Online Film and Television Association's Hall of Fame for his directing in 2005. For his contribution to the motion picture industry, Howard Hawks has a star on the Hollywood Walk of Fame at 1708 Vine Street. He was nominated for Academy Award for Best Director in 1942 for Sergeant York, but he received his only Oscar in 1974 as an Honorary Award from the Academy. He was cited as, "a master filmmaker whose creative efforts hold a distinguished place in world cinema". Legacy In the 1950s, Eugene Archer, a film fan, was planning on writing a book on important American film directors such as John Ford. However, after reading Cahiers du Cinema, Archer learned that the French film scene was more interested in Alfred Hitchcock and Howard Hawks. Books were not written on Hawks until the sixties and a full biography on Hawks wasn't published until 1997, twenty years after his death. Film critic Andrew Sarris cited Howard Hawks as "the least known and least appreciated Hollywood director of any stature". According to professor of film studies Ian Brookes, Hawks is not as well known as other directors, because of his lack of association with a particular genre such as Ford with Western and Hitchcock with thriller. Hawks worked across many genres including gangster, film noir, musical comedy, romantic comedy, screwball comedy, Western, aviation, and combat. Moreover, Hawks preferred not to associate with major studios during his film production. He worked for all major studios at least once on short term contract, but many of his films were produced under his own name. The simplicity of his narratives and stories may also have contributed to his under-recognition. Commercially, his films were successful, but he received little critical acclaim except for one Academy Award nomination for Best Director for Sergeant York (he lost to John Ford for How Green Was My Valley), and an Honorary Academy Award presented to him two years before his death. Some critics limit Hawks by his action films, describing Hawks as a director who produced films with a "masculine bias", however action scenes in Hawks's films were often left to second-unit directors and Hawks actually preferred to work indoors. Howard Hawks's style is difficult to interpret, because there is no recognizable relationship between his visual and narrative style as in the films of his contemporary directors. Because his camera style was derived more from his working method rather than anecdotal or visual realization, his camera work is unobtrusive, making his films appear to have little to no cinematographic style. Hawks's style can, rather, be characterized as improvisational and collaborative. Hawks' directorial style and the use of natural, conversational dialogue in his films are cited as major influences on many noted filmmakers, including Robert Altman, John Carpenter, and Quentin Tarantino. His work
the Glorious Revolution, leaving the country's throne vacant. When Prussia suggested the Hohenzollern candidate, Prince Leopold as successor, France vehemently objected. The matter evolved into a diplomatic scandal and in July 1870, France resolved to end it in a full-scale war. The conflict was quickly decided as Prussia, joined by forces of a pan-German alliance never gave up the tactical initiative. A series of victories in north-eastern France followed and another French army group was simultaneously encircled at Metz. A few weeks later, the French army contingent under Emperor Napoleon III's personal command was finally forced to capitulate in the fortress of Sedan. Napoleon was taken prisoner and a provisional government hastily proclaimed in Paris. The new government resolved to fight on and tried to reorganize the remaining armies while the Germans settled down to besiege Paris. The starving city surrendered in January 1871 and Jules Favre signed the surrender at Versailles. France was forced to pay indemnities of 5 billion francs and cede Alsace-Lorraine to Germany. This conclusion left the French national psyche deeply humiliated and further aggravated the French–German enmity. During the Siege of Paris, the German princes assembled in the Hall of Mirrors of the Palace of Versailles on 18 January 1871 and announced the establishment of the German Empire and proclaimed the Prussian King Wilhelm I as German Emperor. The act unified all ethnic German states with the exception of Austria in the Little German solution of a federal economic, political and administrative unit. Bismarck, was appointed to serve as Chancellor. A federal empire The new empire was a federal union of 25 states that varied considerably in size, demography, constitution, economy, culture, religion and socio-political development. However, even Prussia itself, which accounted for two-thirds of the territory as well as of the population, had emerged from the empire's periphery as a newcomer. It also faced colossal cultural and economic internal divisions. The Prussian provinces of Westphalia and the Rhineland for example had been under French control during the previous decades. The local people, who had benefited from the liberal, civil reforms, that were derived from the ideas of the French Revolution, had only little in common with predominantly rural communities in authoritarian and disjointed Junker estates of Pommerania. The inhabitants of the smaller territorial lands, especially in central and southern Germany greatly rejected the Prussianized concept of the nation and preferred to associate such terms with their individual home state. The Hanseatic port cities of Hamburg, Bremen and Lübeck ranked among the most ferocious opponents of the so-called contract with Prussia. As advocates of free trade, they objected to Prussian ideas of economic integration and refused to sign the renewed Zollverein (Custom Union) treaties until 1888. The Hanseatic merchants' overseas economic success corresponded with their globalist mindset. The citizen of Hamburg, whom Bismark characterized as extremely irritating and the German ambassador in London as the worst Germans we have, were particularly appalled by Prussian militarism and its unopposed growing influence. The Prusso-German authorities were aware of necessary integration concepts as the results and the 52% voter turnout of the first imperial elections had clearly demonstrated. Historians increasingly argue, that the nation-state was forged through empire. National identity was expressed in bombastic imperial stone iconography and was to be achieved as an imperial people, with an emperor as head of state and it was to develop imperial ambitions – domestic, European and global. Bismarck's domestic policies as Chancellor of Germany were based on his effort to universally adopt the idea of the Protestant Prussian state and achieve the clear separation of church and state in all imperial principalities. In the Kulturkampf (lit.: culture struggle) from 1871 to 1878, he tried to minimize the influence of the Roman Catholic Church and its political arm, the Catholic Centre Party, via secularization of all education and introduction of civil marriage, but without success. The Kulturkampf antagonised many Protestants as well as Catholics and was eventually abandoned. The millions of non-German imperial subjects, like the Polish, Danish and French minorities, were left with no choice but to endure discrimination or accept the policies of Germanisation. A three class system Aristocracy The new Empire provided attractive top level career opportunities for the national nobility in the various branches of the consular and civil services and the army. As a consequence the aristocratic near total control of the civil sector guaranteed a dominant voice in the decision making in the universities and the churches. The 1914 German diplomatic corps consisted of 8 princes, 29 counts, 20 barons, 54 representants of the lower nobility and a mere 11 commoners. These commoners were indiscriminately recruited from elite industrialist and banking families. The consular corps employed numerous commoners, that however, occupied positions of little to no executive power. The Prussian tradition to reserve the highest military ranks for young aristocrats was adopted and the new constitution put all military affairs under the direct control of the Emperor and beyond control of the Reichstag. With its large corps of reserve officers across Germany, the military strengthened its role as "The estate which upheld the nation", and historian Hans-Ulrich Wehler added: "it became an almost separate, self-perpetuating caste". Power increasingly was centralized among the 7000 aristocrats, who resided in the national capital of Berlin and neighboring Potsdam. Berlin's rapidly increasing rich middle-class copied the aristocracy and tried to marry into it. A peerage could permanently boost a rich industrial family into the upper reaches of the establishment. However, the process tended to work in the other direction as the nobility became industrialists. For example, 221 of the 243 mines in Silesia were owned by nobles or by the King of Prussia himself. Middle class The middle class in the cities grew exponentially, although it never acquired the powerful parliamentary representation and legislative rights as in France, Britain or the United States. The Association of German Women's Organizations or BDF was established in 1894 to encompass the proliferating women's organizations that had emerged since the 1860s. From the beginning the BDF was a bourgeois organization, its members working toward equality with men in such areas as education, financial opportunities, and political life. Working-class women were not welcome and were organized by the Socialists. Working class The rise of the Socialist Workers' Party (later known as the Social Democratic Party of Germany, SPD), aimed to peacefully establish a socialist order through the transformation of the existing political and social conditions. From 1878, Bismarck tried to oppose the growing social democratic movement by outlawing the party's organisation, its assemblies and most of its newspapers. Nonetheless, the Social Democrats grew stronger and Bismarck initiated his social welfare program in 1883 in order to appease the working class. Bismarck built on a tradition of welfare programs in Prussia and Saxony that began as early as the 1840s. In the 1880s he introduced old age pensions, accident insurance, medical care, and unemployment insurance that formed the basis of the modern European welfare state. His paternalistic programs won the support of German industry because its goals were to win the support of the working classes for the Empire and reduce the outflow of immigrants to America, where wages were higher but welfare did not exist. Bismarck further won the support of both industry and skilled workers by his high tariff policies, which protected profits and wages from American competition, although they alienated the liberal intellectuals who wanted free trade. Kulturkampf Bismarck would not tolerate any power outside Germany—as in Rome—having a say in domestic affairs. He launched the Kulturkampf ("culture war") against the power of the pope and the Catholic Church in 1873, but only in the state of Prussia. This gained strong support from German liberals, who saw the Catholic Church as the bastion of reaction and their greatest enemy. The Catholic element, in turn, saw in the National-Liberals the worst enemy and formed the Center Party. Catholics, although nearly a third of the national population, were seldom allowed to hold major positions in the Imperial government, or the Prussian government. After 1871, there was a systematic purge of the remaining Catholics; in the powerful interior ministry, which handled all police affairs, the only Catholic was a messenger boy. Jews were likewise heavily discriminated against. Most of the Kulturkampf was fought out in Prussia, but Imperial Germany passed the Pulpit Law which made it a crime for any cleric to discuss public issues in a way that displeased the government. Nearly all Catholic bishops, clergy, and laymen rejected the legality of the new laws and defiantly faced the increasingly heavy penalties and imprisonments imposed by Bismarck's government. Historian Anthony Steinhoff reports the casualty totals: As of 1878, only three of eight Prussian dioceses still had bishops, some 1,125 of 4,600 parishes were vacant, and nearly 1,800 priests ended up in jail or in exile ... Finally, between 1872 and 1878, numerous Catholic newspapers were confiscated, Catholic associations and assemblies were dissolved, and Catholic civil servants were dismissed merely on the pretence of having Ultramontane sympathies. Bismarck underestimated the resolve of the Catholic Church and did not foresee the extremes that this struggle would attain. The Catholic Church denounced the harsh new laws as anti-Catholic and mustered the support of its rank and file voters across Germany. In the following elections, the Center Party won a quarter of the seats in the Imperial Diet. The conflict ended after 1879 because Pope Pius IX died in 1878 and Bismarck broke with the Liberals to put his main emphasis on tariffs, foreign policy, and attacking socialists. Bismarck negotiated with the conciliatory new pope Leo XIII. Peace was restored, the bishops returned and the jailed clerics were released. Laws were toned down or taken back (Mitigation Laws 1880–1883 and Peace Laws 1886/87), but the laws concerning education, civil registry of marriages and religious disaffiliation remained in place. The Center Party gained strength and became an ally of Bismarck, especially when he attacked socialism. Foreign policies and relations Chancellor Bismarck's imperial foreign policy basically aimed at security and the prevention of a Franco-Russian alliance, in order to avoid a likely Two-front war. The League of Three Emperors was signed in 1873 by Russia, Austria, and Germany. It stated that republicanism and socialism were common enemies and that the three powers would discuss any matters concerning foreign policy. Bismarck needed good relations with Russia in order to keep France isolated. Russia fought a victorious war against the Ottoman Empire from 1877 to 1878 and attempted to establish the Principality of Bulgaria, that was strongly opposed by France and Britain in particular, as they were long concerned with the preservation of the Ottoman Empire and Russian containment at the Bosphorus Strait and the Black Sea. Germany hosted the Congress of Berlin in 1878, where a more moderate peace settlement was agreed upon. In 1879, Germany formed the Dual Alliance with Austria-Hungary, an agreement of mutual military assistance in the case of an attack from Russia, which was not satisfied with the agreement of the Congress of Berlin. The establishment of the Dual Alliance led Russia to take a more conciliatory stance and in 1887, the so-called Reinsurance Treaty was signed between Germany and Russia. In it, the two powers agreed on mutual military support in the case that France attacked Germany or an Austrian attack on Russia. Russia turned its attention eastward to Asia and remained largely inactive in European politics for the next 25 years. In 1882, Italy, seeking supporters for its interests in North Africa against France's colonial policy, joined the Dual Alliance, which became the Triple Alliance. In return for German and Austrian support, Italy committed itself to assisting Germany in the case of a French attack. Bismarck had always argued that the acquisition of overseas colonies was impractical and the burden of administration and maintenance would outweigh the benefits. Eventually, Bismarck gave way, and a number of colonies were established in Africa (Togo, the Cameroons, German South-West Africa, and German East Africa) and in Oceania (German New Guinea, the Bismarck Archipelago, and the Marshall Islands). Consequently, Bismarck initiated the Berlin Conference of 1885, a formal meeting of the European colonial powers, who sought to "established international guidelines for the acquisition of African territory" (see Colonisation of Africa). Its outcome, the General Act of the Berlin Conference, can be seen as the formalisation of the "Scramble for Africa" and "New Imperialism". Wilhelminian Era (1888–1918) Wilhelm II Emperor William I died in 1888. His son Frederick III, open for a more liberal political course, reigned only for ninety-nine days, as he was stricken with throat cancer and died three months after his coronation. His son Wilhelm II followed him on the throne at the age of 29. Wilhelm rejected the liberal ideas of his parents and embarked on a conservative autocratic rule. He early on decided to replace the political elite and in March 1890 he forced chancellor Bismarck into retirement. Following his principle of "Personal Regiment", Wilhelm was determined to exercise maximum influence on all government affairs. Alliances and diplomacy The young Kaiser Wilhelm set out to apply his imperialist ideas of Weltpolitik (, "world politics"), as he envisaged a gratuitously aggressive political course to increase the empire's influence in and control over the world. After the removal of Bismarck, foreign policies were tackled with by the Kaiser and the Federal Foreign Office under Friedrich von Holstein. Wilhelm's increasingly erratic and reckless conduct was unmistakably related to character deficits and the lack of diplomatic skills. The foreign office's rather sketchy assessment of the current situation and its recommendations for the empire's most suitable course of action were: First a long-term coalition between France and Russia had to fall apart, secondly, Russia and Britain would never get together, and finally, Britain would eventually seek an alliance with Germany. Subsequently, Wilhelm refused to renew the Reinsurance Treaty with Russia. Russia promptly formed a closer relationship with France in the Dual Alliance of 1894, as both countries were concerned about the novel disagreeability of Germany. Furthermore, Anglo–German relations provided, from a British point of view, no basis for any consensus as the Kaiser refused to divert from his, although somewhat peculiarly desperate and anachronistic, aggressive imperial engagement and the naval arms race in particular. Von Holstein's analysis proved to be mistaken on every point, Wilhelm, however, failed too, as he did not adopt a nuanced political dialogue. Germany was left gradually isolated and dependent on the Triple Alliance with Austria-Hungary, and Italy. This agreement was hampered by differences between Austria and Italy and in 1915 Italy left the alliance. In 1897, Admiral Alfred von Tirpitz, state secretary of the German Imperial Naval Office devised his initially rather practical, yet nonetheless ambitious plan to build a sizeable naval force. Although basically posing only an indirect threat as a Fleet in being, Tirpitz theorized, that its mere existence would force Great Britain, dependent on unrestricted movement on the seas, to agree to diplomatic compromises. Tirpitz started the program of warship construction in 1898 and enjoyed the full support of Kaiser Wilhelm. Wilhelm entertained less rational ideas on the fleet, that circled around his romantic childhood dream to have a "fleet of own some day" and his obsessive adherence to direct his policies along the line of Alfred Thayer Mahan's work The Influence of Sea Power upon History. In exchange for the eastern African island of Zanzibar, Germany had bargained the island of Heligoland in the German Bight with Britain in 1890, and converted the island into a naval base and installed immense coastal defense batteries. Britain considered the imperial German endeavours to be a dangerous infringement on the century-old delicate balance of global affairs and trade on the seas under British control. The British, however, resolved to keep up the naval arms race and introduced the highly advanced new Dreadnought battleship concept in 1907. Germany quickly adopted the concept and by 1910 the arms race again escalated. In the First Moroccan Crisis of 1905, Germany nearly clashed with Britain and France when the latter attempted to establish a protectorate over Morocco. Kaiser Wilhelm II was upset at having not been informed about French intentions, and declared their support for Moroccan independence. William II made a highly provocative speech regarding this. The following year, a conference was held in which all of the European powers except Austria-Hungary (by now little more than a German satellite) sided with France. A compromise was brokered by the United States where the French relinquished some, but not all, control over Morocco. The Second Moroccan Crisis of 1911 saw another dispute over Morocco erupt when France tried to suppress a revolt there. Germany, still smarting from the previous quarrel, agreed to a settlement whereby the French ceded some territory in central Africa in exchange for Germany's renouncing any right to intervene in Moroccan affairs. This confirmed French control over Morocco, which became a full protectorate of that country in 1912. Economy By 1890, the economy continued to industrialize and grow on an even higher rate than during the previous two decades and increased dramatically in the years leading up to World War I. Growth rates for the individual branches and sectors often varied considerably, and periodical figures provided by the Kaiserliches Statistisches Amt ("Imperial Statistical Bureau) are often disputed or just assessments. Classification and naming of internationally traded commodities and exported goods was still in progress and the structure of production and export had changed during four decades. Published documents provide numbers such as: The proportion of goods manufactured by the modern industry was approximately 25% in 1900, while the proportion of consumer related products in manufactured exports stood at 40%. Reasonably exact are the figures for the entire industrial production between 1870 and 1914, which increased about 500%. Historian J. A. Perkins argued that more important than Bismarck's new tariff on imported grain was the introduction of the sugar beet as a main crop. Farmers quickly abandoned traditional, inefficient practices in favor of modern methods, including the use of artificial fertilizers and mechanical tools. Intensive methodical farming of sugar and other root crops made Germany the most efficient agricultural producer in Europe by 1914. Even so, farms were usually small in size and women did much of the field work. An unintended consequence was the increased dependence on migratory, especially foreign, labor. The basics of the modern chemical research laboratory layout and the introduction of essential equipment and instruments such as Bunsen burners, the Petri dish, the Erlenmeyer flask, task-oriented working principles and team research originated in 19th-century Germany and France. The organisation of knowledge acquisition was further refined by laboratory integration in research institutes of the universities and the industries. Germany acquired the leading role in the world's Chemical industry by the late 19th century through strictly organized methodology. In 1913, the German Chemical industry produced almost 90 percent of the global supply of dyestuffs and sold about 80 percent of its production abroad. Germany became Europe's leading steel-producing nation in the 1890s, thanks in large part to the protection from American and British competition afforded by tariffs and cartels. The leading firm was "Friedrich Krupp AG Hoesch-Krupp", run by the Krupp family. The merger of several major firms into the Vereinigte Stahlwerke (United Steel Works) in 1926 was modeled on the U.S. Steel corporation in the United States. The new company emphasized rationalization of management structures and modernization of the technology; it employed a multi-divisional structure and used return on investment as its measure of success. By 1913, American and German exports dominated the world steel market, as Britain slipped to third place. In machinery, iron and steel, and other industries, German firms avoided cut-throat competition and instead relied on trade associations. Germany was a world leader because of its prevailing "corporatist mentality", its strong bureaucratic tradition, and the encouragement of the government. These associations regulate competition and allowed small firms to function in the shadow of much larger companies. Women Germany's unification process after 1871 was heavily dominated by men and give priority to the "Fatherland" theme and related male issues, such as military prowess. Nevertheless, middle-class women enrolled in the Bund Deutscher Frauenvereine, the Union of German Feminist Organizations (BDF). Founded in 1894, it grew to include 137 separate women's rights groups from 1907 until 1933, when the Nazi regime disbanded the organization. The BDF gave national direction to the proliferating women's organizations that had sprung up since the 1860s. From the beginning the BDF was a bourgeois organization, its members working toward equality with men in such areas as education, financial opportunities, and political life. Working-class women were not welcome; they were organized by the Socialists. Formal organizations for promoting women's rights grew in numbers during the Wilhelmine period. German feminists began to network with feminists from other countries, and participated in the growth of international organizations. Colonies By the 1890s, German colonial expansion in Asia and the Pacific (Kiauchau in China, the Marianas, the Caroline Islands, Samoa) led to frictions with Britain, Russia, Japan and the United States. The construction of the Baghdad Railway, financed by German banks, was designed to eventually connect Germany with the Turkish Empire and the Persian Gulf, but it also collided with British and Russian geopolitical interests. The largest colonial enterprises were in Africa. The harsh treatment of the Nama and Herero in what is now Namibia in Africa in 1906–07 led to charges of genocide against the Germans. Historians are examining the links and precedents between the Herero and Namaqua Genocide and the Holocaust of the 1940s. World War I Causes Ethnic demands for nation states upset the balance between the empires that dominated Europe, leading to World War I, which started in August 1914. Germany stood behind its ally Austria in a confrontation with Serbia, but Serbia was under the protection of Russia, which was allied to France. Germany was the leader of the Central Powers, which included Austria-Hungary, the Ottoman Empire, and later Bulgaria; arrayed against them were the Allies, consisting chiefly of Russia, France, Britain, and in 1915 Italy. In explaining why neutral Britain went to war with Germany, author Paul M. Kennedy recognized it was critical for war that Germany become economically more powerful than Britain, but he downplays the disputes over economic trade imperialism, the Baghdad Railway, confrontations in Central and Eastern Europe, high-charged political rhetoric and domestic pressure-groups. Germany's reliance time and again on sheer power, while Britain increasingly appealed to moral sensibilities, played a role, especially in seeing the invasion of Belgium as a necessary military tactic or a profound moral crime. The German invasion of Belgium was not important because the British decision had already been made and the British were more concerned with the fate of France. Kennedy argues that by far the main reason was London's fear that a repeat of 1870 – when Prussia and the German states smashed France – would mean that Germany, with a powerful army and navy, would control the English Channel and northwest France. British policy makers insisted that would be a catastrophe for British security. Western Front In the west, Germany sought a quick victory by encircling Paris using the Schlieffen Plan. But it failed due to Belgian resistance, Berlin's diversion of troops, and very stiff French resistance on the Marne, north of Paris. The Western Front became an extremely bloody battleground of trench warfare. The stalemate lasted from 1914 until early 1918, with ferocious battles that moved forces a few hundred yards at best along a line that stretched from the North Sea to the Swiss border. The British imposed a tight naval blockade in the North Sea which lasted until 1919, sharply reducing Germany's overseas access to raw materials and foodstuffs. Food scarcity became a serious problem by 1917. The United States joined with the Allies in April 1917. The entry of the United States into the war – following Germany's declaration of unrestricted submarine warfare – marked a decisive turning-point against Germany. Total casualties on the Western Front were 3,528,610 killed and 7,745,920 wounded. Eastern Front More wide open was the fighting on the Eastern Front. In the east, there were decisive victories against the Russian army, the trapping and defeat of large parts of the Russian contingent at the Battle of Tannenberg, followed by huge Austrian and German successes. The breakdown of Russian forces – exacerbated by internal turmoil caused by the 1917 Russian Revolution – led to the Treaty of Brest-Litovsk the Bolsheviks were forced to sign on 3 March 1918 as Russia withdrew from the war. It gave Germany control of Eastern Europe. Spencer Tucker says, "The German General Staff had formulated extraordinarily harsh terms that shocked even the German negotiator." When Germany later complained that the Treaty of Versailles of 1919 was too harsh on them, the Allies responded that it was more benign than Brest-Litovsk. 1918 By defeating Russia in 1917, Germany was able to bring hundreds of thousands of combat troops from the east to the Western Front, giving it a numerical advantage over the Allies. By retraining the soldiers in new storm-trooper tactics, the Germans expected to unfreeze the Battlefield and win a decisive victory before the American army arrived in strength. However, the spring offensives all failed, as the Allies fell back and regrouped, and the Germans lacked the reserves necessary to consolidate their gains. In the summer, with the Americans arriving at 10,000 a day, and the German reserves exhausted, it was only a matter of time before multiple Allied offenses destroyed the German army. Homefront Although war was not expected in 1914, Germany rapidly mobilized its civilian economy for the war effort, the economy was handicapped by the British blockade that cut off food supplies. Steadily conditions deteriorated rapidly on the home front, with severe food shortages reported in all urban areas. Causes involved the transfer of many farmers and food workers into the military, an overburdened railroad system, shortages of coal, and especially the British blockade that cut off imports from abroad. The winter of 1916–1917 was known as the "turnip winter", because that vegetable, usually fed to livestock, was used by people as a substitute for potatoes and meat, which were increasingly scarce. Thousands of soup kitchens were opened to feed the hungry people, who grumbled that the farmers were keeping the food for themselves. Even the army had to cut the rations for soldiers. Morale of both civilians and soldiers continued to sink. According to historian William H. MacNeil: By 1917, after three years of war, the various groups and bureaucratic hierarchies which had been operating more or less independently of one another in peacetime (and not infrequently had worked at cross purposes) were subordinated to one (and perhaps the most effective) of their number: the General Staff. Military officers controlled civilian government officials, the staffs of banks, cartels, firms, and factories, engineers and scientists, workingmen, farmers-indeed almost every element in German society; and all efforts were directed in theory and in large degree also in practice to forwarding the war effort. 1918 was the year of the deadly 1918 Spanish Flu pandemic which struck hard at a population weakened by years of malnutrition. Revolution 1918 The end of October 1918, in Wilhelmshaven, in northern Germany, saw the beginning of the German Revolution of 1918–19. Units of the German Navy refused to set sail for a last, large-scale operation in a war which they saw as good as lost, initiating the uprising. On 3 November, the revolt spread to other cities and states of the country, in many of which workers' and soldiers' councils were established. Meanwhile, Hindenburg and the senior commanders had lost confidence in the Kaiser and his government. The Kaiser and all German ruling princes abdicated. On 9 November 1918, the Social Democrat Philipp Scheidemann proclaimed a Republic. On 11 November, the Compiègne armistice was signed, ending the war. The Treaty of Versailles was signed on 28 June 1919. Germany was to cede Alsace-Lorraine to France. Eupen-Malmédy would temporarily be ceded to Belgium, with a plebiscite to be held to allow the people the choice of the territory either remaining with Belgium or being returned to German control. Following a plebiscite, the territory was allotted to Belgium on 20 September 1920. The future of North Schleswig was to be decided by plebiscite. In the Schleswig Plebiscites, the Danish-speaking population in the north voted for Denmark and the southern, German speaking populace, part voted for Germany. Schleswig was thus partitioned. Holstein remained German without a referendum. Memel was ceded to the Allied and Associated powers, to decide the future of the area. On 9 January 1923, Lithuanian forces invaded the territory. Following negotiations, on 8 May 1924, the League of Nations ratified the annexation on the grounds that Lithuania accepted the Memel Statute, a power-sharing arrangement to protect non-Lithuanians in the territory and its autonomous status. Until 1929, German-Lithuanian co-operation increased and this power sharing arrangement worked. Poland was restored and most of the provinces of Posen and West Prussia, and some areas of Upper Silesia were reincorporated into the reformed country after plebiscites and independence uprisings. All German colonies were to be handed over to League of Nations, who then assigned them as Mandates to Australia, France, Japan, New Zealand, Portugal, and the United Kingdom. The new owners were required to act as a disinterested trustee over the region, promoting the welfare of its inhabitants in a variety of ways until they were able to govern themselves. The left and right banks of the Rhine were to be permanently demilitarised. The industrially important Saarland was to be governed by the League of Nations for 15 years and its coalfields administered by France. At the end of that time a plebiscite was to determine the Saar's future status. To ensure execution of the treaty's terms, Allied troops would occupy the left (German) bank of the Rhine for a period of 5–15 years. The German army was to be limited to 100,000 officers and men; the general staff was to be dissolved; vast quantities of war material were to be handed over and the manufacture of munitions rigidly curtailed. The navy was to be similarly reduced, and no military aircraft were allowed. Germany was also required to pay reparations for all civilian damage caused during the war. Weimar Republic, 1919–1933 Overview The humiliating peace terms in the Treaty of Versailles provoked bitter indignation throughout Germany, and seriously weakened the new democratic regime. In December 1918, the Communist Party of Germany (KPD) was founded, and in 1919 it tried and failed to overthrow the new republic. Adolf Hitler in 1919 took control of the new National Socialist German Workers' Party (NSDAP), which failed in a coup in Munich in 1923. Both parties, as well as parties supporting the republic, built militant auxiliaries that engaged in increasingly violent street battles. Electoral support for both parties increased after 1929 as the Great Depression hit the economy hard, producing many unemployed men who became available for the paramilitary units. The Nazis (formerly the German Workers' Party), with a mostly rural and lower middle class base, overthrew the Weimar regime and ruled Germany in 1933–1945. The early years On 11 August 1919, the Weimar constitution came into effect, with Friedrich Ebert as first President. On 30 December 1918, the Communist Party of Germany was founded by the Spartacus League, who had split from the Social Democratic Party during the war. It was headed by Rosa Luxemburg and Karl Liebknecht, and rejected the parliamentary system. In 1920, about 300,000 members from the Independent Social Democratic Party of Germany joined the party, transforming it into a mass organization. The Communist Party had a following of about 10% of the electorate. In the first months of 1920, the Reichswehr was to be reduced to 100,000 men, in accordance with the Treaty of Versailles. This included the dissolution of many Freikorps – units made up of volunteers. In an attempt at a coup d'état in March 1920, the Kapp Putsch, extreme right-wing politician Wolfgang Kapp let Freikorps soldiers march on Berlin and proclaimed himself Chancellor of the Reich. After four days the coup d'état collapsed, due to popular opposition and lack of support by the civil servants and the officers. Other cities were shaken by strikes and rebellions, which were bloodily suppressed. Germany was the first state to establish diplomatic relations with the new Soviet Union. Under the Treaty of Rapallo, Germany accorded the Soviet Union de jure recognition, and the two signatories mutually cancelled all pre-war debts and renounced war claims. When Germany defaulted on its reparation payments, French and Belgian troops occupied the heavily industrialised Ruhr district (January 1923). The German government encouraged the population of the Ruhr to passive resistance: shops would not sell goods to the foreign soldiers, coal-miners would not dig for the foreign troops, trams in which members of the occupation army had taken a seat would be left abandoned in the middle of the street. The passive resistance proved effective, insofar as the occupation became a loss-making deal for the French government. But the Ruhr fight also led to hyperinflation, and many who lost all their fortune would become bitter enemies of the Weimar Republic, and voters of the anti-democratic right. See 1920s German inflation. In September 1923, the deteriorating economic conditions led Chancellor Gustav Stresemann to call an end to the passive resistance in the Ruhr. In November, his government introduced a new currency, the Rentenmark (later: Reichsmark), together with other measures to stop the hyperinflation. In the following six years the economic situation improved. In 1928, Germany's industrial production even regained the pre-war levels of 1913. The national elections of 1924 led to a swing to the right. Field Marshal Paul von Hindenburg was elected President in 1925. In October 1925, the Treaty of Locarno was signed by Germany, France, Belgium, Britain and Italy; it recognised Germany's borders with France and Belgium. Moreover, Britain, Italy and Belgium undertook to assist France in the case that German troops marched into the demilitarised Rheinland. Locarno paved the way for Germany's admission to the League of Nations in 1926. Reparations The actual amount of reparations that Germany was obliged to pay out was not the 132 billion marks decided in the London Schedule of 1921 but rather the 50 million marks stipulated in the A and B Bonds. Historian Sally Marks says the 112 billion marks in "C bonds" were entirely chimerical—a device to fool the public into thinking Germany would pay much more. The actual total payout from 1920 to 1931 (when payments were suspended indefinitely) was 20 billion German gold marks, worth about US$5 billion or £1 billion British pounds. 12.5 billion was cash that came mostly from loans from New York bankers. The rest was goods like coal and chemicals, or from assets like railway equipment. The reparations bill was fixed in 1921 on the basis of a German capacity to pay, not on the basis of Allied claims. The highly publicized rhetoric of 1919 about paying for all the damages and all the veterans' benefits was irrelevant for the total, but it did determine how the recipients spent their share. Germany owed reparations chiefly to France, Britain, Italy and Belgium; the US received $100 million. Economic collapse and political problems, 1929–1933 The Wall Street Crash of 1929 marked the beginning of the worldwide Great Depression, which hit Germany as hard as any nation. In July 1931, the Darmstätter und Nationalbank – one of the biggest German banks – failed. In early 1932, the number of unemployed had soared to more than 6,000,000. On top of the collapsing economy came a political crisis: the political parties represented in the Reichstag were unable to build a governing majority in the face of escalating extremism from the far right (the Nazis, NSDAP). In March 1930, President Hindenburg appointed Heinrich Brüning Chancellor, invoking article 48 of Weimar's constitution, which allowed him to override the Parliament. To push through his package of austerity measures against a majority of Social Democrats, Communists and the NSDAP (Nazis), Brüning made use of emergency decrees and dissolved Parliament. In March and April 1932, Hindenburg was re-elected in the German presidential election of 1932. The Nazi Party was the largest party in the national elections of 1932. On 31 July 1932 it received 37.3% of the votes, and in the election on 6 November 1932 it received less, but still the largest share, 33.1%, making it the biggest party in the Reichstag. The Communist KPD came third, with 15%. Together, the anti-democratic parties of the far right were now able to hold a considerable share of seats in Parliament, but they were at sword's point with the political left, fighting it out in the streets. The Nazis were particularly successful among Protestants, among unemployed young voters, among the lower middle class in the cities and among the rural population. It was weakest in Catholic areas and in large cities. On 30 January 1933, pressured by former Chancellor Franz von Papen and other conservatives, President Hindenburg appointed Hitler as Chancellor. Science and culture in 19th and 20th century The Weimar years saw a flowering of German science and high culture, before the Nazi regime resulted in a decline in the scientific and cultural life in Germany and forced many renowned scientists and writers to flee. German recipients dominated the Nobel prizes in science. Germany dominated the world of physics before 1933, led by Hermann von Helmholtz, Wilhelm Conrad Röntgen, Albert Einstein, Otto Hahn, Max Planck and Werner Heisenberg. Chemistry likewise was dominated by German professors and researchers at the great chemical companies such as BASF and Bayer and persons like Justus von Liebig, Fritz Haber and Emil Fischer. Theoretical mathematicians Georg Cantor in the 19th century and David Hilbert in the 20th century. Karl Benz, the inventor of the automobile, and Rudolf Diesel were pivotal figures of engineering, and Wernher von Braun, rocket engineer. Ferdinand Cohn, Robert Koch and Rudolph Virchow were three key figures in microbiology. Among the most important German writers were Thomas Mann (1875–1955), Hermann Hesse (1877–1962) and Bertolt Brecht (1898–1956). The reactionary historian Oswald Spengler wrote The Decline of the West (1918–23) on the inevitable decay of Western Civilization, and influenced intellectuals in Germany such as Martin Heidegger, Max Scheler, and the Frankfurt School, as well as intellectuals around the world. After 1933, Nazi proponents of "Aryan physics", led by the Nobel Prize-winners Johannes Stark and Philipp Lenard, attacked Einstein's theory of relativity as a degenerate example of Jewish materialism in the realm of science. Many scientists and humanists emigrated; Einstein moved permanently to the U.S. but some of the others returned after 1945. Nazi Germany, 1933–1945 The Nazi regime restored economic prosperity and ended mass unemployment using heavy spending on the military, while suppressing labor unions and strikes. The return of prosperity gave the Nazi Party enormous popularity, with only minor, isolated and subsequently unsuccessful cases of resistance among the German population over the 12 years of rule. The Gestapo (secret police) under Heinrich Himmler destroyed the political opposition and persecuted the Jews, trying to force them into exile, while taking their property. The Party took control of the courts, local government, and all civic organizations except the Protestant and Catholic churches. All expressions of public opinion were controlled by Hitler's propaganda minister, Joseph Goebbels, who made effective use of film, mass rallies, and Hitler's hypnotic speaking. The Nazi state idolized Hitler as its Führer (leader), putting all powers in his hands. Nazi propaganda centered on Hitler and was quite effective in creating what historians called the "Hitler Myth"—that Hitler was all-wise and that any mistakes or failures by others would be corrected when brought to his attention. In fact Hitler had a narrow range of interests and decision making was diffused among overlapping, feuding power centers; on some issues he was passive, simply assenting to pressures from whoever had his ear. All top officials reported to Hitler and followed his basic policies, but they had considerable autonomy on a daily basis. Establishment of the Nazi regime In order to secure a majority for his Nazi Party in the Reichstag, Hitler called for new elections. On the evening of 27 February 1933, the Reichstag building was set afire. Hitler swiftly blamed an alleged Communist uprising, and convinced President Hindenburg to sign the Reichstag Fire Decree, which rescinded most German civil liberties, including rights of assembly and freedom of the press. The decree allowed the police to detain people indefinitely without charges or a court order. Four thousand members of the Communist Party of Germany were arrested. Communist agitation was banned, but at this time not the Communist Party itself. Communists and Socialists were brought into hastily prepared Nazi concentration camps such as Kemna concentration camp, where they were at the mercy of the Gestapo, the newly established secret police force. Communist Reichstag deputies were taken into protective custody (despite their constitutional privileges). Despite the terror and unprecedented propaganda, the last free General Elections of 5 March 1933, while resulting in 43.9% failed to give the majority for the NSDAP as Hitler had hoped. Together with the German National People's Party (DNVP), however, he was able to form a slim majority government. In March 1933, the Enabling Act, an amendment to the Weimar Constitution, passed in the Reichstag by a vote of 444 to 94. To obtain the two-thirds majority needed to pass the bill, accommodations were made to the Catholic Centre Party, and the Nazis used the provisions of the Reichstag Fire Decree to keep several Social Democratic deputies from attending, and the Communists deputies had already been banned. This amendment allowed Hitler and his cabinet to pass laws—even laws that violated the constitution—without the consent of the president or the Reichstag. The Enabling Act formed the basis for the dictatorship and the dissolution of the Länder; the trade unions and all political parties other than the Nazi Party were suppressed. A centralised totalitarian state was established, no longer based on the liberal Weimar constitution. Germany withdrew from the League of Nations shortly thereafter. The coalition parliament was rigged by defining the absence of arrested and murdered deputies as voluntary and therefore cause for their exclusion as wilful absentees. Subsequently, in July the Centre Party was voluntarily dissolved in a quid pro quo with the Pope under the anti-communist Pope Pius XI for the Reichskonkordat; and by these manoeuvres Hitler achieved movement of these Catholic voters into the Nazi Party, and a long-awaited international diplomatic acceptance of his regime. According to Professor Dick Geary the Nazis gained a larger share of their vote in Protestant areas than in Catholic areas, in the elections held between 1928 and November 1932. The Communist Party was proscribed in April 1933. Thereafter, the Chief of Staff of the SA, Ernst Röhm, demanded more political and military power for him and his men, which caused anxiety among military, industrial, and political leaders. In response, Hitler used the SS and Gestapo to purge the entire SA leadership—along with a number of Hitler's political adversaries (such as Gregor Strasser and former chancellor Kurt von Schleicher). It became known as the Night of the Long Knives and took place from 30 June to 2 July 1934. As a reward, the SS became an independent organisation under the command of the Reichsführer-SS Heinrich Himmler. He would rise to become Chief of German Police in June 1936 and already had control over the concentration camps system. Upon Hindenburg's death on 2 August 1934, Hitler's cabinet passed a law proclaiming the presidency to be vacant and transferred the role and powers of the head of state to Hitler as Chancellor and Führer (Leader). Antisemitism and the Holocaust The Nazi regime was particularly hostile towards Jews, who became the target of unending antisemitic propaganda attacks. The Nazis attempted to convince the German people to view and treat Jews as "subhumans" and immediately after winning almost 44% of parliamentary seats in the 1933 federal elections the Nazis imposed a nationwide boycott of Jewish businesses. In March 1933 the first official Nazi concentration camp was established at Dachau in Bavaria and from 1933 to 1935 the Nazi regime consolidated their power. The Law for the Restoration of the Professional Civil Service passed on 7 April 1933, which forced all Jewish civil servants to retire from the legal profession and the civil service. The Nuremberg Laws of 1935 banned sexual relations between Jews and Germans and only those of German or related blood were eligible to be considered citizens; the remainder were classed as state subjects, without citizenship rights. This stripped Jews, Roma and others of their legal rights. Jews continued to suffer persecution under the Nazi regime, exemplified by the Kristallnacht pogrom of 1938, and about half of Germany's 500,000 Jews fled the country before 1939, after which escape became almost impossible. In 1941, the Nazi leadership decided to implement a plan that they called the "Final Solution" which came to be known as the Holocaust. Under the plan, Jews and other "lesser races" along with political opponents from Germany as well as occupied countries were systematically murdered at murder sites, and starting in 1942, at extermination camps. Between 1941 and 1945 Jews, Gypsies, Slavs, communists, homosexuals, the mentally and physically disabled and members of other groups were targeted and methodically murdered – the origin of the word "genocide". In total approximately 17 million people were killed during the Holocaust including 1.5 million children Jewish children . Military In 1935, Hitler officially re-established the Luftwaffe (air force) and reintroduced universal military service. This was in breach of the Treaty of Versailles; Britain, France and Italy issued notes of protest. Hitler had the officers swear their personal allegiance to him. In 1936, German troops marched into the demilitarised Rhineland. As the territory was part of Germany, the British and French governments did not feel that attempting to enforce the treaty was worth the risk of war. The move strengthened Hitler's standing in Germany. His reputation swelled further with the 1936 Summer Olympics, which were held in the same year in Berlin, and proved another great propaganda success for the regime as orchestrated by master propagandist Joseph Goebbels. Women Historians have paid special attention to the efforts by Nazi Germany to reverse the gains women made before 1933, especially in the relatively liberal Weimar Republic. It appears the role of women in Nazi Germany changed according to circumstances. Theoretically the Nazis advocated a patriarchal society in which the German woman would recognise that her "world is her husband, her family, her children, and her home". However, before 1933, women played important roles in the Nazi organization and were allowed some autonomy to mobilize other women. After Hitler came to power in 1933, feminist groups were shut down or incorporated into the National Socialist Women's League, which coordinated groups throughout the country to promote feminine virtues, motherhood and household activities. Courses were offered on childrearing, sewing and cooking. The Nazi regime did promote a liberal code of conduct regarding heterosexual relations among Germans and was sympathetic to women who bore children out of wedlock. The Lebensborn (Fountain of Life) association, founded by Himmler in 1935, created a series of maternity homes where single mothers could be accommodated during their pregnancies. As Germany prepared for war, large numbers were incorporated into the public sector and with the need for full mobilization of factories by 1943, all women under the age of fifty were required to register with the employment office for work assignments to help the war effort. Women's wages remained unequal and women were denied positions of leadership or control. In 1944–45 more than 500,000 women were volunteer uniformed auxiliaries in the German armed forces (Wehrmacht). About the same number served in civil aerial defense, 400,000 volunteered as nurses, and many more replaced drafted men in the wartime economy. In the Luftwaffe they served in auxiliary roles helping to operate the anti-aircraft systems that shot down Allied bombers. Foreign policy Hitler's diplomatic strategy in the 1930s was to make seemingly reasonable demands, threatening war if they were not met. When opponents tried to appease him, he accepted the gains that were offered, then went to the next target. That aggressive strategy worked as Germany pulled out of the League of Nations (1933), rejected the Versailles Treaty and began to re-arm (1935), won back the Saar (1935), remilitarized the Rhineland (1936), formed an alliance ("axis") with Mussolini's Italy (1936), sent massive military aid to Franco in the Spanish Civil War (1936–39), annexed Austria (1938), took over Czechoslovakia after the British and French appeasement of the Munich Agreement of 1938, formed a peace pact with Joseph Stalin's Soviet Union in August 1939, and finally invaded Poland on 1 September 1939. Britain and France declared war on Germany two days later and World War II in Europe began. After establishing the "Rome-Berlin axis" with Benito Mussolini, and signing the Anti-Comintern Pact with Japan – which was joined by Italy a year later in 1937 – Hitler felt able to take the offensive in foreign policy. On 12 March 1938, German troops marched into Austria, where an attempted Nazi coup had been unsuccessful in 1934. When Austrian-born Hitler entered Vienna, he was greeted by loud cheers. Four weeks later, 99% of Austrians voted in favour of the annexation (Anschluss) of their country to the German Reich. After Austria, Hitler turned to Czechoslovakia, where the 3.5 million-strong Sudeten German minority was demanding equal rights and self-government. At the Munich Conference of September 1938, Hitler, the Italian leader Benito Mussolini, British Prime Minister Neville Chamberlain and French Prime Minister Édouard Daladier agreed upon the cession of Sudeten territory to the German Reich by Czechoslovakia. Hitler thereupon declared that all of German Reich's territorial claims had been fulfilled. However, hardly six months after the Munich Agreement, in March 1939, Hitler used the smoldering quarrel between Slovaks and Czechs as a pretext for taking over the rest of Czechoslovakia as the Protectorate of Bohemia and Moravia. In the same month, he secured the return of Memel from Lithuania to Germany. Chamberlain was forced to acknowledge that his policy of appeasement towards Hitler had failed. World War II At first Germany was very successful in its military operations. In less than three months (April – June 1940), Germany conquered Denmark, Norway, the Low Countries, and France. The unexpectedly swift defeat of France resulted in an upswing in Hitler's popularity and an upsurge in war fever. Hitler made peace overtures to the new British leader Winston Churchill in July 1940, but Churchill remained dogged in his defiance. Churchill had major financial, military, and diplomatic help from President Franklin D. Roosevelt in the U.S. Hitler's bombing campaign against Britain (September 1940–May 1941) failed. Some 43,000 British civilians were killed and 139,000 wounded in the Blitz; much of London was destroyed, with 1,400,245 buildings destroyed or damaged. Germany's armed forces invaded the Soviet Union in June 1941 – weeks behind schedule due to the invasion of Yugoslavia – but swept forward until they reached the gates of Moscow. Hitler had assembled more than 4,000,000 troops, including 1,000,000 from his Axis allies. The Soviets had lost nearly 3,000,000 killed in action, while 3,500,000 Soviet troops were captured in the first six months of the war. The Einsatzgruppen (Nazi mobile death squads) executed all Soviet Jews that it located, while the Germans went to Jewish households and forced the families into concentration camps for labor or to extermination camps for death. The tide began to turn in December 1941, when the invasion of the Soviet Union hit determined resistance in the Battle of Moscow and Hitler declared war on the United States in the wake of the Japanese Pearl Harbor attack. After surrender in North Africa and losing the Battle of Stalingrad in 1942–43, the Germans were forced into the defensive. By late 1944, the United States, Canada, France, and Great Britain were closing in on Germany in the West, while the Soviets were victoriously advancing in the East. In 1944–45, Soviet forces completely or partially liberated Romania, Bulgaria, Hungary, Yugoslavia, Poland, Czechoslovakia, Austria, Denmark, and Norway. Nazi Germany collapsed as Berlin was taken by the Soviet Union's Red Army in a fight to the death on the city streets. 2,000,000 Soviet troops took part in the assault, and they faced 750,000 German troops. 78,000–305,000 Soviets were killed, while 325,000 German civilians and soldiers were killed. Hitler committed suicide on 30 April 1945. The final German Instrument of Surrender was signed on 8 May 1945. By September 1945, Nazi Germany and its Axis partners (Italy and Japan) had all been defeated, chiefly by the forces of the Soviet Union, the United States, and Great Britain. Much of Europe lay in ruins, over 60 million people worldwide had been killed (most of them civilians), including approximately 6 million Jews and 11 million non-Jews in what became known as the Holocaust. World War II resulted in the destruction of Germany's political and economic infrastructure and led directly to its partition, considerable loss of territory (especially in the East), and historical legacy of guilt and shame. Germany during the Cold War, 1945–1990 As a consequence of the defeat of Nazi Germany in 1945 and the onset of the Cold War in 1947, the country's territory was shrunk and split between the two global blocs in the East and West, a period known as the division of Germany. Millions of refugees from Central and Eastern Europe moved west, most of them to West Germany. Two countries emerged: West Germany was a parliamentary democracy, a NATO member, a founding member of what since became the European Union as one of the world's largest economies and under allied military control until 1955, while East Germany was a totalitarian Communist dictatorship controlled by the Soviet Union as a satellite of Moscow. With the collapse of Communism in Europe in 1989, reunion on West Germany's terms followed. No one doubted Germany's economic and engineering prowess; the question was how long bitter memories of the war would cause Europeans to distrust Germany, and whether Germany could demonstrate it had rejected totalitarianism and militarism and embraced democracy and human rights. Expulsion At the Potsdam Conference, Germany was divided into four military occupation zones by the Allies and did not regain independence until 1949. The provinces east of the Oder and Neisse rivers (the Oder-Neisse line) were transferred to Poland and Russia (Kaliningrad oblast), pending a final peace conference with Germany, which eventually never took place. Most of the remaining German population was expelled. Around 6.7 million Germans living in "west-shifted" Poland, mostly within previously German lands, and the 3 million in German-settled regions of Czechoslovakia were deported west. Post-war chaos The total of German war dead was 8% to 10% out of a prewar population of 69,000,000, or between 5.5 million and 7 million people. This included 4.5 million in the military, and between 1 and 2 million civilians. There was chaos as 11 million foreign workers and POWs left, while soldiers returned home and more than 14 million displaced German-speaking refugees from both the eastern provinces and East-Central and Eastern Europe were expelled from their native land and came to the western German lands, often foreign to them. During the Cold War, the West German government estimated a death toll of 2.2 million civilians due to the flight and expulsion of Germans and through forced labour in the Soviet Union. This figure remained unchallenged until the 1990s, when some historians put the death toll at 500,000–600,000 confirmed deaths. In 2006, the German government reaffirmed its position that 2.0–2.5 million deaths occurred. Denazification removed, imprisoned, or executed most top officials of the old regime, but most middle and lower ranks of civilian officialdom were not seriously affected. In accordance with the Allied agreement made at the Yalta Conference, millions of POWs were used as forced labor by the Soviet Union and other European countries. In the East, the Soviets crushed dissent and imposed another police state, often employing ex-Nazis in the dreaded Stasi. The Soviets extracted about 23% of the East German GNP for reparations, while in the West reparations were a minor factor. In 1945–46 housing and food conditions were bad, as the disruption of transport, markets, and finances slowed a return to normal. In the West, bombing had destroyed the fourth of the housing stock, and over 10 million refugees from the east had crowded in, most living in camps. Food production in 1946–48 was only two-thirds of the prewar level, while grain and meat shipments – which usually supplied 25% of the food – no longer arrived from the East. Furthermore, the end of the war brought the end of large shipments of food seized from occupied nations that had sustained Germany during the war. Coal production was down 60%, which had cascading negative effects on railroads, heavy industry, and heating. Industrial production fell more than half and reached prewar levels only at the end of 1949. Allied economic policy originally was one of industrial disarmament plus building the agricultural sector. In the western sectors, most of the industrial plants had minimal bomb damage and the Allies dismantled 5% of the industrial plants for reparations. However, deindustrialization became impractical and the U.S. instead called for a strong industrial base in Germany so it could stimulate European economic recovery. The U.S. shipped food in 1945–47 and made a $600 million loan in 1947 to rebuild German industry. By May 1946 the removal of machinery had ended, thanks to lobbying by the U.S. Army. The Truman administration finally realised that economic recovery in Europe could not go forward without the reconstruction of the German industrial base on which it had previously been dependent. Washington decided that an "orderly, prosperous Europe requires the economic contributions of a stable and productive Germany". In 1945, the occupying powers took over all newspapers in Germany and purged them of Nazi influence. The American occupation headquarters, the Office of Military Government, United States (OMGUS) began its own newspaper based in Munich, Die Neue Zeitung. It was edited by German and Jewish émigrés who fled to the United States before the war. Its mission was to encourage democracy by exposing Germans to how American culture operated. The paper was filled with details on American sports, politics, business, Hollywood, and fashions, as well as international affairs. East Germany In 1949, the western half of the Soviet zone became the "Deutsche Demokratische Republik" – "DDR" ("German Democratic Republic" – "GDR", simply often "East Germany"), under control of the Socialist Unity Party. Neither country had a significant army until the 1950s, but East Germany built the Stasi into a powerful secret police that infiltrated every aspect of its society. East Germany was an Eastern bloc state under political and military control of the Soviet Union through her occupation forces and the Warsaw Treaty. Political power was solely executed by leading members (Politburo) of the communist-controlled Socialist Unity Party (SED). A Soviet-style command economy was set up; later the GDR became the most advanced Comecon state. While East German propaganda was based on the benefits of the GDR's social programs and the alleged constant threat of a West German invasion, many of her citizens looked to the West for political freedoms and economic prosperity. Walter Ulbricht (1893–1973) was the party boss from 1950 to 1971. In 1933, Ulbricht had fled to Moscow, where he served as a Comintern agent loyal to Stalin. As World War II was ending, Stalin assigned him the job of designing the postwar German system that would centralize all power in the Communist Party. Ulbricht became deputy prime minister in 1949 and secretary (chief executive) of the Socialist Unity (Communist) party in 1950. Some 2.6 million people had fled East Germany by 1961 when he built the Berlin Wall to stop them – shooting those who attempted it. What the GDR called the "Anti-Fascist Protective Wall" was a major embarrassment for the program during the Cold War, but it did stabilize East Germany and postpone its collapse. Ulbricht lost power in 1971, but was kept on as a nominal head of state. He was replaced because he failed to solve growing national crises, such as the worsening economy in 1969–70, the fear of another popular uprising as had occurred in 1953, and the disgruntlement between Moscow and Berlin caused by Ulbricht's détente policies toward the West. The transition to Erich Honecker (General Secretary from 1971 to 1989) led to a change in the direction of national policy and efforts by the Politburo to pay closer attention to the grievances of the proletariat. Honecker's plans were not successful, however, with the dissent growing among East Germany's population. In 1989, the socialist regime collapsed after 40 years, despite its omnipresent secret police, the Stasi. The main reasons for its collapse included severe economic problems and growing emigration towards the West. East Germany's culture was shaped by Communism and particularly Stalinism. It was characterized by East German psychoanalyst Hans-Joachim Maaz in 1990 as having produced a "Congested Feeling" among Germans in the East as a result of Communist policies criminalizing personal expression that deviates from government approved ideals, and through the enforcement of Communist principals by physical force and intellectual repression by government agencies, particularly the Stasi. Critics of the East German state have claimed that the state's commitment to communism was a hollow and cynical tool of a ruling elite. This argument has been challenged by some scholars who claim that the Party was committed to the advance of scientific knowledge, economic development, and social progress. However, the vast majority regarded the state's Communist ideals to be nothing more than a deceptive method for government control. According to German historian Jürgen Kocka (2010): Conceptualizing the GDR as a dictatorship has become widely accepted, while the meaning of the concept dictatorship varies. Massive evidence has been collected that proves the repressive, undemocratic, illiberal, nonpluralistic character of the GDR regime and its ruling party. West Germany (Bonn Republic) In 1949, the three western occupation zones (American, British, and French) were combined into the Federal Republic of Germany (FRG, West Germany). The government was formed under Chancellor Konrad Adenauer and his conservative CDU/CSU coalition. The CDU/CSU was in power during most of the period since 1949. The capital was Bonn until it was moved to Berlin in 1990. In 1990, FRG absorbed East Germany and gained full sovereignty over Berlin. At all points West Germany was much larger and richer than East Germany, which became a dictatorship under the control of the Communist Party and was closely monitored by Moscow. Germany, especially Berlin, was a cockpit of the Cold War, with NATO and the Warsaw Pact assembling major military forces in west and east. However, there was never any combat. Economic miracle West Germany enjoyed prolonged economic growth beginning in the early 1950s (Wirtschaftswunder or "Economic Miracle"). Industrial production doubled from 1950 to 1957, and gross national product grew at a rate of 9 or 10% per year, providing the engine for economic growth of all of Western Europe. Labor unions supported the new policies with postponed wage increases, minimized strikes, support for technological modernization, and a policy of co-determination (Mitbestimmung), which involved a satisfactory grievance resolution system as well as requiring representation of workers on the boards of large corporations. The recovery was accelerated by the currency reform of June 1948, U.S. gifts of $1.4 billion as part of the Marshall Plan, the breaking down of old trade barriers and traditional practices, and the opening of the global market. West Germany gained legitimacy and respect, as it shed the horrible reputation Germany had gained under the Nazis. West Germany played a central role in the creation of European cooperation; it joined NATO in 1955 and was a founding member of the European Economic Community in 1958. Refugee settlements To house the German-speakers expelled from all over Eastern Europe, quarters with cheap building were erected on the outskirts of all major and minor towns and villages of West Germany. Most often, these quarters are recognizable by the streets being named after towns of former Eastern Germany, Sudetenland, or other previously German-settled towns. 1948 currency reform The most dramatic and successful policy event was the currency reform of 1948. Since the 1930s, prices and wages had been controlled, but money had been plentiful. That meant that people had accumulated large paper assets, and that official prices and wages did not reflect reality, as the black market dominated the economy and more than half of all transactions were taking place unofficially. On 21 June 1948, the Western Allies withdrew the old currency and replaced it with the new Deutsche Mark at the rate of 1 new per 10 old. This wiped out 90% of government and private debt, as well as private savings. Prices were decontrolled, and labor unions agreed to accept a 15% wage increase, despite the 25% rise in prices. The result was that prices of German export products held steady, while profits and earnings from exports soared and were poured back into the economy. The currency reforms were simultaneous with the $1.4 billion in Marshall Plan money coming in from the United States, which was used primarily for investment. In addition, the Marshall Plan forced German companies, as well as those in all of Western Europe, to modernize their business practices and take account of the international market. Marshall Plan funding helped overcome bottlenecks in the surging economy caused by remaining controls (which were removed in 1949), and Marshall Plan business reforms opened up a greatly expanded market for German exports. Overnight, consumer goods appeared in the stores, because they could be sold for realistic prices, emphasizing to Germans that their economy had turned a corner. The success of the currency reform angered the Soviets, who cut off all road, rail, and canal links between the western zones and West Berlin. This was the Berlin Blockade, which lasted from 24 June 1948 to 12 May 1949. In response, the U.S. and Britain launched an airlift of food and coal and distributed the new currency in West Berlin as well. The city thereby became economically integrated into West Germany. Until the mid-1960s, it served as "America's Berlin", symbolizing the United States' commitment to defending its freedom, which John F. Kennedy underscored during his visit in June 1963. Adenauer Konrad Adenauer (1876–1967) was the dominant leader in West Germany. He was the first chancellor (top official) of the FRG, 1949–63, and until his death was the founder and leader of the Christian Democratic Union (CDU), a coalition of conservatives, ordoliberals, and adherents of Protestant and Catholic social teaching that dominated West Germany politics for most of its history. During his chancellorship, the West Germany economy grew quickly, and West Germany established friendly relations with France, participated in the emerging European Union, established the country's armed forces (the Bundeswehr), and became a pillar of NATO as well as firm ally of the United States. Adenauer's government also commenced the long process of reconciliation with the Jews and Israel after the Holocaust. Erhard Ludwig Erhard (1897–1977) was in charge of economic policy as economics director for the British and American occupation zones and was Adenauer's long-time economics minister. Erhard's decision to lift many price controls in 1948 (despite opposition from both the social democratic opposition and Allied authorities), plus his advocacy of free markets, helped set the Federal Republic on its strong growth from wartime devastation. Norbert Walter, a former chief economist at Deutsche Bank, argues that "Germany owes its rapid economic advance after World War II to the system of the Social Market Economy, established by Ludwig Erhard." Erhard was politically less successful when he served as the CDU Chancellor from 1963 until 1966. Erhard followed the concept of a social market economy, and was in close touch with professional economists. Erhard viewed the market itself as social and supported only a minimum of welfare legislation. However, Erhard suffered a series of decisive defeats in his effort to create a free, competitive economy in 1957; he had to compromise on such key issues as the anti-cartel legislation. Thereafter, the West German economy evolved into a conventional west European welfare state. Meanwhile, in adopting the Godesberg Program in 1959, the Social Democratic Party of Germany (SPD) largely abandoned Marxism ideas and embraced the concept of the market economy and the welfare state. Instead it now sought to move beyond its old working class base to appeal the full spectrum of potential voters, including the middle class and professionals. Labor unions cooperated increasingly with industry, achieving labor representation on corporate boards and increases in wages and benefits. Grand coalition In 1966, Erhard lost support and Kurt Kiesinger (1904–1988) was elected as Chancellor by a new CDU/CSU-SPD alliance combining the two largest parties. Socialist (SPD) leader Willy Brandt was Deputy Federal Chancellor and Foreign Minister. The Grand Coalition lasted 1966–69 and is best known for reducing tensions with the Soviet bloc nations and establishing diplomatic relations with Czechoslovakia, Romania and Yugoslavia. Guest workers With a booming economy short of unskilled workers, especially after the Berlin Wall cut off the steady flow of East Germans, the FRG negotiated migration agreements with Italy (1955), Spain (1960), Greece (1960), and Turkey (1961) that brought in hundreds of thousands of temporary guest workers, called Gastarbeiter. In 1968, the FRG signed a guest worker agreement with Yugoslavia that employed additional guest workers. Gastarbeiter were young men who were paid full-scale wages and benefits, but were expected to return home in a few years. The agreement with Turkey ended in 1973 but few workers returned because there were few good jobs in Turkey. By 2010 there were about 4 million people of Turkish descent in Germany. The generation born in Germany attended German schools, but had a poor command of either German or Turkish, and had either low-skilled jobs or were unemployed. Brandt and Ostpolitik Willy Brandt (1913–1992) was the leader of the Social Democratic Party in 1964–87 and West German Chancellor in 1969–1974. Under his leadership, the German government sought to reduce tensions with the Soviet Union and improve relations with the German Democratic Republic, a policy known as the Ostpolitik. Relations between the two German states had been icy at best, with propaganda barrages in each direction. The heavy outflow of talent from East Germany prompted the building of the Berlin Wall in 1961, which worsened Cold War tensions and prevented East Germans from travel. Although anxious to relieve serious hardships for divided families and to reduce friction, Brandt's Ostpolitik was intent on holding to its concept of "two German states in one German nation". Ostpolitik was opposed by the conservative elements in Germany, but won Brandt an international reputation and the Nobel Peace Prize in 1971. In September 1973, both West and East Germany were admitted to the United Nations. The two countries exchanged permanent representatives in 1974, and, in 1987, East Germany's leader Erich Honecker paid an official state visit to West Germany. Economic crisis of 1970s After 1973, Germany was hard hit by a worldwide economic crisis, soaring oil prices, and stubbornly high unemployment, which jumped from 300,000 in 1973 to 1.1 million in 1975. The Ruhr region was hardest hit, as its easy-to-reach coal mines petered out, and expensive German coal was no longer competitive. Likewise the Ruhr steel industry went into sharp decline, as its prices were undercut by lower-cost suppliers such as Japan. The welfare system provided a safety net for the large number of unemployed workers, and many factories reduced their labor force and began to concentrate on high-profit specialty items. After 1990 the Ruhr moved into service industries and high technology. Cleaning up the heavy air and water pollution became a major industry in its own right. Meanwhile, formerly rural Bavaria became a high-tech center of industry. A spy scandal forced Brandt to step down as Chancellor while remaining as party leader. He was replaced by Helmut Schmidt (b. 1918), of the SPD, who served as Chancellor in 1974–1982. Schmidt continued the Ostpolitik with less enthusiasm. He had a PhD in economics and was more interested in domestic issues, such as reducing inflation. The debt grew rapidly as he borrowed to cover the cost of the ever more expensive welfare state. After 1979, foreign policy issues grew central as the Cold War turned hot again. The German peace movement mobilized hundreds of thousands of demonstrators to protest against American deployment in Europe of new medium-range ballistic missiles. Schmidt supported the deployment but was opposed by the left wing of the SPD and by Brandt. The pro-business Free Democratic Party (FDP) had been in coalition with the SPD, but now it changed direction. Led by Finance Minister Otto Graf Lambsdorff (1926–2009) the FDP adopted the market-oriented "Kiel Theses" in 1977; it rejected the Keynesian emphasis on consumer demand, and proposed to reduce social welfare spending, and try to introduce policies to stimulate production and facilitate jobs. Lambsdorff argued that the result would be economic growth, which would itself solve both the social problems and the financial problems. As a consequence, the FDP switched allegiance to the CDU and Schmidt lost his parliamentary majority in 1982. For the only time in West Germany's history, the government fell on a vote of no confidence. Kohl Helmut Kohl (1930–2017) brought the conservatives back to power with a CDU/CSU-FDP coalition in 1982, and served as Chancellor until 1998. After repeated victories in 1983, 1987, 1990 and 1994 he was finally defeated by a landslide that was the biggest on record, for the left in the 1998 federal elections, and was succeeded as Chancellor by Gerhard Schröder of the SPD. Kohl is best known for orchestrating reunification with the approval of all the Four Powers from World War II, who still had a voice in German affairs. Reunification During the summer of 1989, rapid changes known as peaceful revolution or Die Wende took place in East Germany, which quickly led to German reunification. Growing numbers of East Germans emigrated to West Germany, many via Hungary after Hungary's reformist government opened its borders. The opening of the Iron Curtain between Austria and Hungary at the Pan-European Picnic in August 1989 then triggered a chain reaction, at the end of which there was no longer a GDR and the Eastern Bloc had disintegrated. Otto von Habsburg's idea developed the greatest mass exodus since the construction of the Berlin Wall and it was shown that the USSR and the rulers of the Eastern European satellite states were not ready to keep the Iron Curtain effective. This made their loss of power visible and clear that the GDR no longer received effective support from the other communist Eastern Bloc countries. Thousands of East Germans then tried to reach the West by staging sit-ins at West German diplomatic facilities in other East European capitals, most notably in Prague. The exodus generated demands within East Germany for political change, and mass demonstrations in several cities continued to grow. Unable to stop the growing civil unrest, Erich Honecker was forced to resign in October, and on 9 November, East German authorities unexpectedly allowed East German citizens to enter West Berlin and West Germany. Hundreds of thousands of people took advantage of the opportunity; new crossing points were opened in the Berlin Wall and along the border with West Germany. This led to the acceleration of the process of reforms in East Germany that ended with the German reunification that came into force on 3 October 1990. Federal Republic of Germany, 1990–present Schröder The SPD in coalition with the Greens won the elections of 1998. SPD leader Gerhard Schröder positioned himself as a centrist "Third Way" candidate in the mold of British Prime Minister Tony Blair and United States President Bill Clinton. Schröder, in March 2003, reversed his position and proposed a significant downsizing of the welfare state, known as Agenda 2010. He had enough support to overcome opposition from the trade unions and the SPD's left wing. Agenda 2010 had five goals: tax cuts; labor market deregulation, especially relaxing rules protecting workers from dismissal and setting up Hartz concept job training; modernizing the welfare state by reducing entitlements; decreasing bureaucratic obstacles for small businesses; and providing new low-interest loans to local governments. On 26 December 2004 during a Christmas holiday and Boxing Day celebration, several thousand Germans in Thailand and other parts across the region of South and Southeast Asia were affected by the catastrophic tsunami from the magnitude 9.0 earthquake off the Indonesian island's west coast of Sumatra, and many thousands of German lives were lost . A memorial service was held at Berlin Cathedral and Bundestag on 20 January 2005 on behalf of all Germans. On 22 May 2005, after the SPD lost to the Christian Democratic Union (CDU) in North Rhine-Westphalia, Gerhard Schröder announced he would call federal elections "as soon as possible". A motion of confidence was subsequently defeated in the Bundestag on 1 July 2005 by 151 to 296 (with 148 abstaining), after Schröder urged members not to vote for his government in order to trigger new elections. In response, a grouping of left-wing SPD dissidents and the neo-communist Party of Democratic Socialism agreed to run on a joint ticket in the general election, with Schröder's rival Oskar Lafontaine leading the new group. Merkel From 2005 to 2009 and 2013 to 2021, Germany was ruled by a grand coalition led by the CDU's Angela Merkel as chancellor. From 2009 to 2013, Merkel headed a centre-right government of the CDU/CSU and FDP. Together with France and other EU states, Germany has played the leading role in the European Union. Germany (especially under Chancellor Helmut Kohl) was one of the main supporters of admitting many East European countries to the EU. Germany is at the forefront of European states seeking to exploit the momentum of monetary union to advance the creation of a more unified and capable European political, defence and security apparatus. German Chancellor Schröder expressed an interest in a permanent seat for Germany in the UN Security Council, identifying France, Russia, and Japan as countries that explicitly backed Germany's bid. Germany formally adopted the Euro on 1 January 1999 after permanently fixing the Deutsche Mark rate on 31 December 1998. Since 1990, the German Bundeswehr has participated in a number of peacekeeping and disaster relief operations abroad. Since 2002, German troops formed part of the International Security Assistance Force in the war in Afghanistan, resulting in the first German casualties in combat missions since World War II. In light of the worldwide Great Recession that began in 2008, Germany did not experience as much economic hardship as other European nations. Germany later sponsored a massive financial rescue in the wake of the Eurozone crisis which affected the German economy. Following the 2011 earthquake and tsunami in Japan, which led to the Fukushima nuclear disaster, German public opinion turned sharply against nuclear power in Germany, which at the time produced a fourth of the electricity supply. In response Merkel announced plans to close down the nuclear power plants over the following decade, and a commitment to rely more heavily on wind and other alternative energy sources, in addition to coal and natural gas. Germany was affected by the European migrant crisis in 2015 as it became the final destination of choice for many asylum seekers from Africa and the Middle East entering the EU. The country took in over a million refugees and migrants and developed a quota system which redistributed migrants around its federal states based on their tax income and existing population density. The decision by Merkel to authorize unrestricted entry led to heavy criticism in Germany as well as within Europe. This was a major factor in the rise of the far-right party Alternative for Germany which entered
union of 25 states that varied considerably in size, demography, constitution, economy, culture, religion and socio-political development. However, even Prussia itself, which accounted for two-thirds of the territory as well as of the population, had emerged from the empire's periphery as a newcomer. It also faced colossal cultural and economic internal divisions. The Prussian provinces of Westphalia and the Rhineland for example had been under French control during the previous decades. The local people, who had benefited from the liberal, civil reforms, that were derived from the ideas of the French Revolution, had only little in common with predominantly rural communities in authoritarian and disjointed Junker estates of Pommerania. The inhabitants of the smaller territorial lands, especially in central and southern Germany greatly rejected the Prussianized concept of the nation and preferred to associate such terms with their individual home state. The Hanseatic port cities of Hamburg, Bremen and Lübeck ranked among the most ferocious opponents of the so-called contract with Prussia. As advocates of free trade, they objected to Prussian ideas of economic integration and refused to sign the renewed Zollverein (Custom Union) treaties until 1888. The Hanseatic merchants' overseas economic success corresponded with their globalist mindset. The citizen of Hamburg, whom Bismark characterized as extremely irritating and the German ambassador in London as the worst Germans we have, were particularly appalled by Prussian militarism and its unopposed growing influence. The Prusso-German authorities were aware of necessary integration concepts as the results and the 52% voter turnout of the first imperial elections had clearly demonstrated. Historians increasingly argue, that the nation-state was forged through empire. National identity was expressed in bombastic imperial stone iconography and was to be achieved as an imperial people, with an emperor as head of state and it was to develop imperial ambitions – domestic, European and global. Bismarck's domestic policies as Chancellor of Germany were based on his effort to universally adopt the idea of the Protestant Prussian state and achieve the clear separation of church and state in all imperial principalities. In the Kulturkampf (lit.: culture struggle) from 1871 to 1878, he tried to minimize the influence of the Roman Catholic Church and its political arm, the Catholic Centre Party, via secularization of all education and introduction of civil marriage, but without success. The Kulturkampf antagonised many Protestants as well as Catholics and was eventually abandoned. The millions of non-German imperial subjects, like the Polish, Danish and French minorities, were left with no choice but to endure discrimination or accept the policies of Germanisation. A three class system Aristocracy The new Empire provided attractive top level career opportunities for the national nobility in the various branches of the consular and civil services and the army. As a consequence the aristocratic near total control of the civil sector guaranteed a dominant voice in the decision making in the universities and the churches. The 1914 German diplomatic corps consisted of 8 princes, 29 counts, 20 barons, 54 representants of the lower nobility and a mere 11 commoners. These commoners were indiscriminately recruited from elite industrialist and banking families. The consular corps employed numerous commoners, that however, occupied positions of little to no executive power. The Prussian tradition to reserve the highest military ranks for young aristocrats was adopted and the new constitution put all military affairs under the direct control of the Emperor and beyond control of the Reichstag. With its large corps of reserve officers across Germany, the military strengthened its role as "The estate which upheld the nation", and historian Hans-Ulrich Wehler added: "it became an almost separate, self-perpetuating caste". Power increasingly was centralized among the 7000 aristocrats, who resided in the national capital of Berlin and neighboring Potsdam. Berlin's rapidly increasing rich middle-class copied the aristocracy and tried to marry into it. A peerage could permanently boost a rich industrial family into the upper reaches of the establishment. However, the process tended to work in the other direction as the nobility became industrialists. For example, 221 of the 243 mines in Silesia were owned by nobles or by the King of Prussia himself. Middle class The middle class in the cities grew exponentially, although it never acquired the powerful parliamentary representation and legislative rights as in France, Britain or the United States. The Association of German Women's Organizations or BDF was established in 1894 to encompass the proliferating women's organizations that had emerged since the 1860s. From the beginning the BDF was a bourgeois organization, its members working toward equality with men in such areas as education, financial opportunities, and political life. Working-class women were not welcome and were organized by the Socialists. Working class The rise of the Socialist Workers' Party (later known as the Social Democratic Party of Germany, SPD), aimed to peacefully establish a socialist order through the transformation of the existing political and social conditions. From 1878, Bismarck tried to oppose the growing social democratic movement by outlawing the party's organisation, its assemblies and most of its newspapers. Nonetheless, the Social Democrats grew stronger and Bismarck initiated his social welfare program in 1883 in order to appease the working class. Bismarck built on a tradition of welfare programs in Prussia and Saxony that began as early as the 1840s. In the 1880s he introduced old age pensions, accident insurance, medical care, and unemployment insurance that formed the basis of the modern European welfare state. His paternalistic programs won the support of German industry because its goals were to win the support of the working classes for the Empire and reduce the outflow of immigrants to America, where wages were higher but welfare did not exist. Bismarck further won the support of both industry and skilled workers by his high tariff policies, which protected profits and wages from American competition, although they alienated the liberal intellectuals who wanted free trade. Kulturkampf Bismarck would not tolerate any power outside Germany—as in Rome—having a say in domestic affairs. He launched the Kulturkampf ("culture war") against the power of the pope and the Catholic Church in 1873, but only in the state of Prussia. This gained strong support from German liberals, who saw the Catholic Church as the bastion of reaction and their greatest enemy. The Catholic element, in turn, saw in the National-Liberals the worst enemy and formed the Center Party. Catholics, although nearly a third of the national population, were seldom allowed to hold major positions in the Imperial government, or the Prussian government. After 1871, there was a systematic purge of the remaining Catholics; in the powerful interior ministry, which handled all police affairs, the only Catholic was a messenger boy. Jews were likewise heavily discriminated against. Most of the Kulturkampf was fought out in Prussia, but Imperial Germany passed the Pulpit Law which made it a crime for any cleric to discuss public issues in a way that displeased the government. Nearly all Catholic bishops, clergy, and laymen rejected the legality of the new laws and defiantly faced the increasingly heavy penalties and imprisonments imposed by Bismarck's government. Historian Anthony Steinhoff reports the casualty totals: As of 1878, only three of eight Prussian dioceses still had bishops, some 1,125 of 4,600 parishes were vacant, and nearly 1,800 priests ended up in jail or in exile ... Finally, between 1872 and 1878, numerous Catholic newspapers were confiscated, Catholic associations and assemblies were dissolved, and Catholic civil servants were dismissed merely on the pretence of having Ultramontane sympathies. Bismarck underestimated the resolve of the Catholic Church and did not foresee the extremes that this struggle would attain. The Catholic Church denounced the harsh new laws as anti-Catholic and mustered the support of its rank and file voters across Germany. In the following elections, the Center Party won a quarter of the seats in the Imperial Diet. The conflict ended after 1879 because Pope Pius IX died in 1878 and Bismarck broke with the Liberals to put his main emphasis on tariffs, foreign policy, and attacking socialists. Bismarck negotiated with the conciliatory new pope Leo XIII. Peace was restored, the bishops returned and the jailed clerics were released. Laws were toned down or taken back (Mitigation Laws 1880–1883 and Peace Laws 1886/87), but the laws concerning education, civil registry of marriages and religious disaffiliation remained in place. The Center Party gained strength and became an ally of Bismarck, especially when he attacked socialism. Foreign policies and relations Chancellor Bismarck's imperial foreign policy basically aimed at security and the prevention of a Franco-Russian alliance, in order to avoid a likely Two-front war. The League of Three Emperors was signed in 1873 by Russia, Austria, and Germany. It stated that republicanism and socialism were common enemies and that the three powers would discuss any matters concerning foreign policy. Bismarck needed good relations with Russia in order to keep France isolated. Russia fought a victorious war against the Ottoman Empire from 1877 to 1878 and attempted to establish the Principality of Bulgaria, that was strongly opposed by France and Britain in particular, as they were long concerned with the preservation of the Ottoman Empire and Russian containment at the Bosphorus Strait and the Black Sea. Germany hosted the Congress of Berlin in 1878, where a more moderate peace settlement was agreed upon. In 1879, Germany formed the Dual Alliance with Austria-Hungary, an agreement of mutual military assistance in the case of an attack from Russia, which was not satisfied with the agreement of the Congress of Berlin. The establishment of the Dual Alliance led Russia to take a more conciliatory stance and in 1887, the so-called Reinsurance Treaty was signed between Germany and Russia. In it, the two powers agreed on mutual military support in the case that France attacked Germany or an Austrian attack on Russia. Russia turned its attention eastward to Asia and remained largely inactive in European politics for the next 25 years. In 1882, Italy, seeking supporters for its interests in North Africa against France's colonial policy, joined the Dual Alliance, which became the Triple Alliance. In return for German and Austrian support, Italy committed itself to assisting Germany in the case of a French attack. Bismarck had always argued that the acquisition of overseas colonies was impractical and the burden of administration and maintenance would outweigh the benefits. Eventually, Bismarck gave way, and a number of colonies were established in Africa (Togo, the Cameroons, German South-West Africa, and German East Africa) and in Oceania (German New Guinea, the Bismarck Archipelago, and the Marshall Islands). Consequently, Bismarck initiated the Berlin Conference of 1885, a formal meeting of the European colonial powers, who sought to "established international guidelines for the acquisition of African territory" (see Colonisation of Africa). Its outcome, the General Act of the Berlin Conference, can be seen as the formalisation of the "Scramble for Africa" and "New Imperialism". Wilhelminian Era (1888–1918) Wilhelm II Emperor William I died in 1888. His son Frederick III, open for a more liberal political course, reigned only for ninety-nine days, as he was stricken with throat cancer and died three months after his coronation. His son Wilhelm II followed him on the throne at the age of 29. Wilhelm rejected the liberal ideas of his parents and embarked on a conservative autocratic rule. He early on decided to replace the political elite and in March 1890 he forced chancellor Bismarck into retirement. Following his principle of "Personal Regiment", Wilhelm was determined to exercise maximum influence on all government affairs. Alliances and diplomacy The young Kaiser Wilhelm set out to apply his imperialist ideas of Weltpolitik (, "world politics"), as he envisaged a gratuitously aggressive political course to increase the empire's influence in and control over the world. After the removal of Bismarck, foreign policies were tackled with by the Kaiser and the Federal Foreign Office under Friedrich von Holstein. Wilhelm's increasingly erratic and reckless conduct was unmistakably related to character deficits and the lack of diplomatic skills. The foreign office's rather sketchy assessment of the current situation and its recommendations for the empire's most suitable course of action were: First a long-term coalition between France and Russia had to fall apart, secondly, Russia and Britain would never get together, and finally, Britain would eventually seek an alliance with Germany. Subsequently, Wilhelm refused to renew the Reinsurance Treaty with Russia. Russia promptly formed a closer relationship with France in the Dual Alliance of 1894, as both countries were concerned about the novel disagreeability of Germany. Furthermore, Anglo–German relations provided, from a British point of view, no basis for any consensus as the Kaiser refused to divert from his, although somewhat peculiarly desperate and anachronistic, aggressive imperial engagement and the naval arms race in particular. Von Holstein's analysis proved to be mistaken on every point, Wilhelm, however, failed too, as he did not adopt a nuanced political dialogue. Germany was left gradually isolated and dependent on the Triple Alliance with Austria-Hungary, and Italy. This agreement was hampered by differences between Austria and Italy and in 1915 Italy left the alliance. In 1897, Admiral Alfred von Tirpitz, state secretary of the German Imperial Naval Office devised his initially rather practical, yet nonetheless ambitious plan to build a sizeable naval force. Although basically posing only an indirect threat as a Fleet in being, Tirpitz theorized, that its mere existence would force Great Britain, dependent on unrestricted movement on the seas, to agree to diplomatic compromises. Tirpitz started the program of warship construction in 1898 and enjoyed the full support of Kaiser Wilhelm. Wilhelm entertained less rational ideas on the fleet, that circled around his romantic childhood dream to have a "fleet of own some day" and his obsessive adherence to direct his policies along the line of Alfred Thayer Mahan's work The Influence of Sea Power upon History. In exchange for the eastern African island of Zanzibar, Germany had bargained the island of Heligoland in the German Bight with Britain in 1890, and converted the island into a naval base and installed immense coastal defense batteries. Britain considered the imperial German endeavours to be a dangerous infringement on the century-old delicate balance of global affairs and trade on the seas under British control. The British, however, resolved to keep up the naval arms race and introduced the highly advanced new Dreadnought battleship concept in 1907. Germany quickly adopted the concept and by 1910 the arms race again escalated. In the First Moroccan Crisis of 1905, Germany nearly clashed with Britain and France when the latter attempted to establish a protectorate over Morocco. Kaiser Wilhelm II was upset at having not been informed about French intentions, and declared their support for Moroccan independence. William II made a highly provocative speech regarding this. The following year, a conference was held in which all of the European powers except Austria-Hungary (by now little more than a German satellite) sided with France. A compromise was brokered by the United States where the French relinquished some, but not all, control over Morocco. The Second Moroccan Crisis of 1911 saw another dispute over Morocco erupt when France tried to suppress a revolt there. Germany, still smarting from the previous quarrel, agreed to a settlement whereby the French ceded some territory in central Africa in exchange for Germany's renouncing any right to intervene in Moroccan affairs. This confirmed French control over Morocco, which became a full protectorate of that country in 1912. Economy By 1890, the economy continued to industrialize and grow on an even higher rate than during the previous two decades and increased dramatically in the years leading up to World War I. Growth rates for the individual branches and sectors often varied considerably, and periodical figures provided by the Kaiserliches Statistisches Amt ("Imperial Statistical Bureau) are often disputed or just assessments. Classification and naming of internationally traded commodities and exported goods was still in progress and the structure of production and export had changed during four decades. Published documents provide numbers such as: The proportion of goods manufactured by the modern industry was approximately 25% in 1900, while the proportion of consumer related products in manufactured exports stood at 40%. Reasonably exact are the figures for the entire industrial production between 1870 and 1914, which increased about 500%. Historian J. A. Perkins argued that more important than Bismarck's new tariff on imported grain was the introduction of the sugar beet as a main crop. Farmers quickly abandoned traditional, inefficient practices in favor of modern methods, including the use of artificial fertilizers and mechanical tools. Intensive methodical farming of sugar and other root crops made Germany the most efficient agricultural producer in Europe by 1914. Even so, farms were usually small in size and women did much of the field work. An unintended consequence was the increased dependence on migratory, especially foreign, labor. The basics of the modern chemical research laboratory layout and the introduction of essential equipment and instruments such as Bunsen burners, the Petri dish, the Erlenmeyer flask, task-oriented working principles and team research originated in 19th-century Germany and France. The organisation of knowledge acquisition was further refined by laboratory integration in research institutes of the universities and the industries. Germany acquired the leading role in the world's Chemical industry by the late 19th century through strictly organized methodology. In 1913, the German Chemical industry produced almost 90 percent of the global supply of dyestuffs and sold about 80 percent of its production abroad. Germany became Europe's leading steel-producing nation in the 1890s, thanks in large part to the protection from American and British competition afforded by tariffs and cartels. The leading firm was "Friedrich Krupp AG Hoesch-Krupp", run by the Krupp family. The merger of several major firms into the Vereinigte Stahlwerke (United Steel Works) in 1926 was modeled on the U.S. Steel corporation in the United States. The new company emphasized rationalization of management structures and modernization of the technology; it employed a multi-divisional structure and used return on investment as its measure of success. By 1913, American and German exports dominated the world steel market, as Britain slipped to third place. In machinery, iron and steel, and other industries, German firms avoided cut-throat competition and instead relied on trade associations. Germany was a world leader because of its prevailing "corporatist mentality", its strong bureaucratic tradition, and the encouragement of the government. These associations regulate competition and allowed small firms to function in the shadow of much larger companies. Women Germany's unification process after 1871 was heavily dominated by men and give priority to the "Fatherland" theme and related male issues, such as military prowess. Nevertheless, middle-class women enrolled in the Bund Deutscher Frauenvereine, the Union of German Feminist Organizations (BDF). Founded in 1894, it grew to include 137 separate women's rights groups from 1907 until 1933, when the Nazi regime disbanded the organization. The BDF gave national direction to the proliferating women's organizations that had sprung up since the 1860s. From the beginning the BDF was a bourgeois organization, its members working toward equality with men in such areas as education, financial opportunities, and political life. Working-class women were not welcome; they were organized by the Socialists. Formal organizations for promoting women's rights grew in numbers during the Wilhelmine period. German feminists began to network with feminists from other countries, and participated in the growth of international organizations. Colonies By the 1890s, German colonial expansion in Asia and the Pacific (Kiauchau in China, the Marianas, the Caroline Islands, Samoa) led to frictions with Britain, Russia, Japan and the United States. The construction of the Baghdad Railway, financed by German banks, was designed to eventually connect Germany with the Turkish Empire and the Persian Gulf, but it also collided with British and Russian geopolitical interests. The largest colonial enterprises were in Africa. The harsh treatment of the Nama and Herero in what is now Namibia in Africa in 1906–07 led to charges of genocide against the Germans. Historians are examining the links and precedents between the Herero and Namaqua Genocide and the Holocaust of the 1940s. World War I Causes Ethnic demands for nation states upset the balance between the empires that dominated Europe, leading to World War I, which started in August 1914. Germany stood behind its ally Austria in a confrontation with Serbia, but Serbia was under the protection of Russia, which was allied to France. Germany was the leader of the Central Powers, which included Austria-Hungary, the Ottoman Empire, and later Bulgaria; arrayed against them were the Allies, consisting chiefly of Russia, France, Britain, and in 1915 Italy. In explaining why neutral Britain went to war with Germany, author Paul M. Kennedy recognized it was critical for war that Germany become economically more powerful than Britain, but he downplays the disputes over economic trade imperialism, the Baghdad Railway, confrontations in Central and Eastern Europe, high-charged political rhetoric and domestic pressure-groups. Germany's reliance time and again on sheer power, while Britain increasingly appealed to moral sensibilities, played a role, especially in seeing the invasion of Belgium as a necessary military tactic or a profound moral crime. The German invasion of Belgium was not important because the British decision had already been made and the British were more concerned with the fate of France. Kennedy argues that by far the main reason was London's fear that a repeat of 1870 – when Prussia and the German states smashed France – would mean that Germany, with a powerful army and navy, would control the English Channel and northwest France. British policy makers insisted that would be a catastrophe for British security. Western Front In the west, Germany sought a quick victory by encircling Paris using the Schlieffen Plan. But it failed due to Belgian resistance, Berlin's diversion of troops, and very stiff French resistance on the Marne, north of Paris. The Western Front became an extremely bloody battleground of trench warfare. The stalemate lasted from 1914 until early 1918, with ferocious battles that moved forces a few hundred yards at best along a line that stretched from the North Sea to the Swiss border. The British imposed a tight naval blockade in the North Sea which lasted until 1919, sharply reducing Germany's overseas access to raw materials and foodstuffs. Food scarcity became a serious problem by 1917. The United States joined with the Allies in April 1917. The entry of the United States into the war – following Germany's declaration of unrestricted submarine warfare – marked a decisive turning-point against Germany. Total casualties on the Western Front were 3,528,610 killed and 7,745,920 wounded. Eastern Front More wide open was the fighting on the Eastern Front. In the east, there were decisive victories against the Russian army, the trapping and defeat of large parts of the Russian contingent at the Battle of Tannenberg, followed by huge Austrian and German successes. The breakdown of Russian forces – exacerbated by internal turmoil caused by the 1917 Russian Revolution – led to the Treaty of Brest-Litovsk the Bolsheviks were forced to sign on 3 March 1918 as Russia withdrew from the war. It gave Germany control of Eastern Europe. Spencer Tucker says, "The German General Staff had formulated extraordinarily harsh terms that shocked even the German negotiator." When Germany later complained that the Treaty of Versailles of 1919 was too harsh on them, the Allies responded that it was more benign than Brest-Litovsk. 1918 By defeating Russia in 1917, Germany was able to bring hundreds of thousands of combat troops from the east to the Western Front, giving it a numerical advantage over the Allies. By retraining the soldiers in new storm-trooper tactics, the Germans expected to unfreeze the Battlefield and win a decisive victory before the American army arrived in strength. However, the spring offensives all failed, as the Allies fell back and regrouped, and the Germans lacked the reserves necessary to consolidate their gains. In the summer, with the Americans arriving at 10,000 a day, and the German reserves exhausted, it was only a matter of time before multiple Allied offenses destroyed the German army. Homefront Although war was not expected in 1914, Germany rapidly mobilized its civilian economy for the war effort, the economy was handicapped by the British blockade that cut off food supplies. Steadily conditions deteriorated rapidly on the home front, with severe food shortages reported in all urban areas. Causes involved the transfer of many farmers and food workers into the military, an overburdened railroad system, shortages of coal, and especially the British blockade that cut off imports from abroad. The winter of 1916–1917 was known as the "turnip winter", because that vegetable, usually fed to livestock, was used by people as a substitute for potatoes and meat, which were increasingly scarce. Thousands of soup kitchens were opened to feed the hungry people, who grumbled that the farmers were keeping the food for themselves. Even the army had to cut the rations for soldiers. Morale of both civilians and soldiers continued to sink. According to historian William H. MacNeil: By 1917, after three years of war, the various groups and bureaucratic hierarchies which had been operating more or less independently of one another in peacetime (and not infrequently had worked at cross purposes) were subordinated to one (and perhaps the most effective) of their number: the General Staff. Military officers controlled civilian government officials, the staffs of banks, cartels, firms, and factories, engineers and scientists, workingmen, farmers-indeed almost every element in German society; and all efforts were directed in theory and in large degree also in practice to forwarding the war effort. 1918 was the year of the deadly 1918 Spanish Flu pandemic which struck hard at a population weakened by years of malnutrition. Revolution 1918 The end of October 1918, in Wilhelmshaven, in northern Germany, saw the beginning of the German Revolution of 1918–19. Units of the German Navy refused to set sail for a last, large-scale operation in a war which they saw as good as lost, initiating the uprising. On 3 November, the revolt spread to other cities and states of the country, in many of which workers' and soldiers' councils were established. Meanwhile, Hindenburg and the senior commanders had lost confidence in the Kaiser and his government. The Kaiser and all German ruling princes abdicated. On 9 November 1918, the Social Democrat Philipp Scheidemann proclaimed a Republic. On 11 November, the Compiègne armistice was signed, ending the war. The Treaty of Versailles was signed on 28 June 1919. Germany was to cede Alsace-Lorraine to France. Eupen-Malmédy would temporarily be ceded to Belgium, with a plebiscite to be held to allow the people the choice of the territory either remaining with Belgium or being returned to German control. Following a plebiscite, the territory was allotted to Belgium on 20 September 1920. The future of North Schleswig was to be decided by plebiscite. In the Schleswig Plebiscites, the Danish-speaking population in the north voted for Denmark and the southern, German speaking populace, part voted for Germany. Schleswig was thus partitioned. Holstein remained German without a referendum. Memel was ceded to the Allied and Associated powers, to decide the future of the area. On 9 January 1923, Lithuanian forces invaded the territory. Following negotiations, on 8 May 1924, the League of Nations ratified the annexation on the grounds that Lithuania accepted the Memel Statute, a power-sharing arrangement to protect non-Lithuanians in the territory and its autonomous status. Until 1929, German-Lithuanian co-operation increased and this power sharing arrangement worked. Poland was restored and most of the provinces of Posen and West Prussia, and some areas of Upper Silesia were reincorporated into the reformed country after plebiscites and independence uprisings. All German colonies were to be handed over to League of Nations, who then assigned them as Mandates to Australia, France, Japan, New Zealand, Portugal, and the United Kingdom. The new owners were required to act as a disinterested trustee over the region, promoting the welfare of its inhabitants in a variety of ways until they were able to govern themselves. The left and right banks of the Rhine were to be permanently demilitarised. The industrially important Saarland was to be governed by the League of Nations for 15 years and its coalfields administered by France. At the end of that time a plebiscite was to determine the Saar's future status. To ensure execution of the treaty's terms, Allied troops would occupy the left (German) bank of the Rhine for a period of 5–15 years. The German army was to be limited to 100,000 officers and men; the general staff was to be dissolved; vast quantities of war material were to be handed over and the manufacture of munitions rigidly curtailed. The navy was to be similarly reduced, and no military aircraft were allowed. Germany was also required to pay reparations for all civilian damage caused during the war. Weimar Republic, 1919–1933 Overview The humiliating peace terms in the Treaty of Versailles provoked bitter indignation throughout Germany, and seriously weakened the new democratic regime. In December 1918, the Communist Party of Germany (KPD) was founded, and in 1919 it tried and failed to overthrow the new republic. Adolf Hitler in 1919 took control of the new National Socialist German Workers' Party (NSDAP), which failed in a coup in Munich in 1923. Both parties, as well as parties supporting the republic, built militant auxiliaries that engaged in increasingly violent street battles. Electoral support for both parties increased after 1929 as the Great Depression hit the economy hard, producing many unemployed men who became available for the paramilitary units. The Nazis (formerly the German Workers' Party), with a mostly rural and lower middle class base, overthrew the Weimar regime and ruled Germany in 1933–1945. The early years On 11 August 1919, the Weimar constitution came into effect, with Friedrich Ebert as first President. On 30 December 1918, the Communist Party of Germany was founded by the Spartacus League, who had split from the Social Democratic Party during the war. It was headed by Rosa Luxemburg and Karl Liebknecht, and rejected the parliamentary system. In 1920, about 300,000 members from the Independent Social Democratic Party of Germany joined the party, transforming it into a mass organization. The Communist Party had a following of about 10% of the electorate. In the first months of 1920, the Reichswehr was to be reduced to 100,000 men, in accordance with the Treaty of Versailles. This included the dissolution of many Freikorps – units made up of volunteers. In an attempt at a coup d'état in March 1920, the Kapp Putsch, extreme right-wing politician Wolfgang Kapp let Freikorps soldiers march on Berlin and proclaimed himself Chancellor of the Reich. After four days the coup d'état collapsed, due to popular opposition and lack of support by the civil servants and the officers. Other cities were shaken by strikes and rebellions, which were bloodily suppressed. Germany was the first state to establish diplomatic relations with the new Soviet Union. Under the Treaty of Rapallo, Germany accorded the Soviet Union de jure recognition, and the two signatories mutually cancelled all pre-war debts and renounced war claims. When Germany defaulted on its reparation payments, French and Belgian troops occupied the heavily industrialised Ruhr district (January 1923). The German government encouraged the population of the Ruhr to passive resistance: shops would not sell goods to the foreign soldiers, coal-miners would not dig for the foreign troops, trams in which members of the occupation army had taken a seat would be left abandoned in the middle of the street. The passive resistance proved effective, insofar as the occupation became a loss-making deal for the French government. But the Ruhr fight also led to hyperinflation, and many who lost all their fortune would become bitter enemies of the Weimar Republic, and voters of the anti-democratic right. See 1920s German inflation. In September 1923, the deteriorating economic conditions led Chancellor Gustav Stresemann to call an end to the passive resistance in the Ruhr. In November, his government introduced a new currency, the Rentenmark (later: Reichsmark), together with other measures to stop the hyperinflation. In the following six years the economic situation improved. In 1928, Germany's industrial production even regained the pre-war levels of 1913. The national elections of 1924 led to a swing to the right. Field Marshal Paul von Hindenburg was elected President in 1925. In October 1925, the Treaty of Locarno was signed by Germany, France, Belgium, Britain and Italy; it recognised Germany's borders with France and Belgium. Moreover, Britain, Italy and Belgium undertook to assist France in the case that German troops marched into the demilitarised Rheinland. Locarno paved the way for Germany's admission to the League of Nations in 1926. Reparations The actual amount of reparations that Germany was obliged to pay out was not the 132 billion marks decided in the London Schedule of 1921 but rather the 50 million marks stipulated in the A and B Bonds. Historian Sally Marks says the 112 billion marks in "C bonds" were entirely chimerical—a device to fool the public into thinking Germany would pay much more. The actual total payout from 1920 to 1931 (when payments were suspended indefinitely) was 20 billion German gold marks, worth about US$5 billion or £1 billion British pounds. 12.5 billion was cash that came mostly from loans from New York bankers. The rest was goods like coal and chemicals, or from assets like railway equipment. The reparations bill was fixed in 1921 on the basis of a German capacity to pay, not on the basis of Allied claims. The highly publicized rhetoric of 1919 about paying for all the damages and all the veterans' benefits was irrelevant for the total, but it did determine how the recipients spent their share. Germany owed reparations chiefly to France, Britain, Italy and Belgium; the US received $100 million. Economic collapse and political problems, 1929–1933 The Wall Street Crash of 1929 marked the beginning of the worldwide Great Depression, which hit Germany as hard as any nation. In July 1931, the Darmstätter und Nationalbank – one of the biggest German banks – failed. In early 1932, the number of unemployed had soared to more than 6,000,000. On top of the collapsing economy came a political crisis: the political parties represented in the Reichstag were unable to build a governing majority in the face of escalating extremism from the far right (the Nazis, NSDAP). In March 1930, President Hindenburg appointed Heinrich Brüning Chancellor, invoking article 48 of Weimar's constitution, which allowed him to override the Parliament. To push through his package of austerity measures against a majority of Social Democrats, Communists and the NSDAP (Nazis), Brüning made use of emergency decrees and dissolved Parliament. In March and April 1932, Hindenburg was re-elected in the German presidential election of 1932. The Nazi Party was the largest party in the national elections of 1932. On 31 July 1932 it received 37.3% of the votes, and in the election on 6 November 1932 it received less, but still the largest share, 33.1%, making it the biggest party in the Reichstag. The Communist KPD came third, with 15%. Together, the anti-democratic parties of the far right were now able to hold a considerable share of seats in Parliament, but they were at sword's point with the political left, fighting it out in the streets. The Nazis were particularly successful among Protestants, among unemployed young voters, among the lower middle class in the cities and among the rural population. It was weakest in Catholic areas and in large cities. On 30 January 1933, pressured by former Chancellor Franz von Papen and other conservatives, President Hindenburg appointed Hitler as Chancellor. Science and culture in 19th and 20th century The Weimar years saw a flowering of German science and high culture, before the Nazi regime resulted in a decline in the scientific and cultural life in Germany and forced many renowned scientists and writers to flee. German recipients dominated the Nobel prizes in science. Germany dominated the world of physics before 1933, led by Hermann von Helmholtz, Wilhelm Conrad Röntgen, Albert Einstein, Otto Hahn, Max Planck and Werner Heisenberg. Chemistry likewise was dominated by German professors and researchers at the great chemical companies such as BASF and Bayer and persons like Justus von Liebig, Fritz Haber and Emil Fischer. Theoretical mathematicians Georg Cantor in the 19th century and David Hilbert in the 20th century. Karl Benz, the inventor of the automobile, and Rudolf Diesel were pivotal figures of engineering, and Wernher von Braun, rocket engineer. Ferdinand Cohn, Robert Koch and Rudolph Virchow were three key figures in microbiology. Among the most important German writers were Thomas Mann (1875–1955), Hermann Hesse (1877–1962) and Bertolt Brecht (1898–1956). The reactionary historian Oswald Spengler wrote The Decline of the West (1918–23) on the inevitable decay of Western Civilization, and influenced intellectuals in Germany such as Martin Heidegger, Max Scheler, and the Frankfurt School, as well as intellectuals around the world. After 1933, Nazi proponents of "Aryan physics", led by the Nobel Prize-winners Johannes Stark and Philipp Lenard, attacked Einstein's theory of relativity as a degenerate example of Jewish materialism in the realm of science. Many scientists and humanists emigrated; Einstein moved permanently to the U.S. but some of the others returned after 1945. Nazi Germany, 1933–1945 The Nazi regime restored economic prosperity and ended mass unemployment using heavy spending on the military, while suppressing labor unions and strikes. The return of prosperity gave the Nazi Party enormous popularity, with only minor, isolated and subsequently unsuccessful cases of resistance among the German population over the 12 years of rule. The Gestapo (secret police) under Heinrich Himmler destroyed the political opposition and persecuted the Jews, trying to force them into exile, while taking their property. The Party took control of the courts, local government, and all civic organizations except the Protestant and Catholic churches. All expressions of public opinion were controlled by Hitler's propaganda minister, Joseph Goebbels, who made effective use of film, mass rallies, and Hitler's hypnotic speaking. The Nazi state idolized Hitler as its Führer (leader), putting all powers in his hands. Nazi propaganda centered on Hitler and was quite effective in creating what historians called the "Hitler Myth"—that Hitler was all-wise and that any mistakes or failures by others would be corrected when brought to his attention. In fact Hitler had a narrow range of interests and decision making was diffused among overlapping, feuding power centers; on some issues he was passive, simply assenting to pressures from whoever had his ear. All top officials reported to Hitler and followed his basic policies, but they had considerable autonomy on a daily basis. Establishment of the Nazi regime In order to secure a majority for his Nazi Party in the Reichstag, Hitler called for new elections. On the evening of 27 February 1933, the Reichstag building was set afire. Hitler swiftly blamed an alleged Communist uprising, and convinced President Hindenburg to sign the Reichstag Fire Decree, which rescinded most German civil liberties, including rights of assembly and freedom of the press. The decree allowed the police to detain people indefinitely without charges or a court order. Four thousand members of the Communist Party of Germany were arrested. Communist agitation was banned, but at this time not the Communist Party itself. Communists and Socialists were brought into hastily prepared Nazi concentration camps such as Kemna concentration camp, where they were at the mercy of the Gestapo, the newly established secret police force. Communist Reichstag deputies were taken into protective custody (despite their constitutional privileges). Despite the terror and unprecedented propaganda, the last free General Elections of 5 March 1933, while resulting in 43.9% failed to give the majority for the NSDAP as Hitler had hoped. Together with the German National People's Party (DNVP), however, he was able to form a slim majority government. In March 1933, the Enabling Act, an amendment to the Weimar Constitution, passed in the Reichstag by a vote of 444 to 94. To obtain the two-thirds majority needed to pass the bill, accommodations were made to the Catholic Centre Party, and the Nazis used the provisions of the Reichstag Fire Decree to keep several Social Democratic deputies from attending, and the Communists deputies had already been banned. This amendment allowed Hitler and his cabinet to pass laws—even laws that violated the constitution—without the consent of the president or the Reichstag. The Enabling Act formed the basis for the dictatorship and the dissolution of the Länder; the trade unions and all political parties other than the Nazi Party were suppressed. A centralised totalitarian state was established, no longer based on the liberal Weimar constitution. Germany withdrew from the League of Nations shortly thereafter. The coalition parliament was rigged by defining the absence of arrested and murdered deputies as voluntary and therefore cause for their exclusion as wilful absentees. Subsequently, in July the Centre Party was voluntarily dissolved in a quid pro quo with the Pope under the anti-communist Pope Pius XI for the Reichskonkordat; and by these manoeuvres Hitler achieved movement of these Catholic voters into the Nazi Party, and a long-awaited international diplomatic acceptance of his regime. According to Professor Dick Geary the Nazis gained a larger share of their vote in Protestant areas than in Catholic areas, in the elections held between 1928 and November 1932. The Communist Party was proscribed in April 1933. Thereafter, the Chief of Staff of the SA, Ernst Röhm, demanded more political and military power for him and his men, which caused anxiety among military, industrial, and political leaders. In response, Hitler used the SS and Gestapo to purge the entire SA leadership—along with a number of Hitler's political adversaries (such as Gregor Strasser and former chancellor Kurt von Schleicher). It became known as the Night of the Long Knives and took place from 30 June to 2 July 1934. As a reward, the SS became an independent organisation under the command of the Reichsführer-SS Heinrich Himmler. He would rise to become Chief of German Police in June 1936 and already had control over the concentration camps system. Upon Hindenburg's death on 2 August 1934, Hitler's cabinet passed a law proclaiming the presidency to be vacant and transferred the role and powers of the head of state to Hitler as Chancellor and Führer (Leader). Antisemitism and the Holocaust The Nazi regime was particularly hostile towards Jews, who became the target of unending antisemitic propaganda attacks. The Nazis attempted to convince the German people to view and treat Jews as "subhumans" and immediately after winning almost 44% of parliamentary seats in the 1933 federal elections the Nazis imposed a nationwide boycott of Jewish businesses. In March 1933 the first official Nazi concentration camp was established at Dachau in Bavaria and from 1933 to 1935 the Nazi regime consolidated their power. The Law for the Restoration of the Professional Civil Service passed on 7 April 1933, which forced all Jewish civil servants to retire from the legal profession and the civil service. The Nuremberg Laws of 1935 banned sexual relations between Jews and Germans and only those of German or related blood were eligible to be considered citizens; the remainder were classed as state subjects, without citizenship rights. This stripped Jews, Roma and others of their legal rights. Jews continued to suffer persecution under the Nazi regime, exemplified by the Kristallnacht pogrom of 1938, and about half of Germany's 500,000 Jews fled the country before 1939, after which escape became almost impossible. In 1941, the Nazi leadership decided to implement a plan that they called the "Final Solution" which came to be known as the Holocaust. Under the plan, Jews and other "lesser races" along with political opponents from Germany as well as occupied countries were systematically murdered at murder sites, and starting in 1942, at extermination camps. Between 1941 and 1945 Jews, Gypsies, Slavs, communists, homosexuals, the mentally and physically disabled and members of other groups were targeted and methodically murdered – the origin of the word "genocide". In total approximately 17 million people were killed during the Holocaust including 1.5 million children Jewish children . Military In 1935, Hitler officially re-established the Luftwaffe (air force) and reintroduced universal military service. This was in breach of the Treaty of Versailles; Britain, France and Italy issued notes of protest. Hitler had the officers swear their personal allegiance to him. In 1936, German troops marched into the demilitarised Rhineland. As the territory was part of Germany, the British and French governments did not feel that attempting to enforce the treaty was worth the risk of war. The move strengthened Hitler's standing in Germany. His reputation swelled further with the 1936 Summer Olympics, which were held in the same year in Berlin, and proved another great propaganda success for the regime as orchestrated by master propagandist Joseph Goebbels. Women Historians have paid special attention to the efforts by Nazi Germany to reverse the gains women made before 1933, especially in the relatively liberal Weimar Republic. It appears the role of women in Nazi Germany changed according to circumstances. Theoretically the Nazis advocated a patriarchal society in which the German woman would recognise that her "world is her husband, her family, her children, and her home". However, before 1933, women played important roles in the Nazi organization and were allowed some autonomy to mobilize other women. After Hitler came to power in 1933, feminist groups were shut down or incorporated into the National Socialist Women's League, which coordinated groups throughout the country to promote feminine virtues, motherhood and household activities. Courses were offered on childrearing, sewing and cooking. The Nazi regime did promote a liberal code of conduct regarding heterosexual relations among Germans and was sympathetic to women who bore children out of wedlock. The Lebensborn (Fountain of Life) association, founded by Himmler in 1935, created a series of maternity homes where single mothers could be accommodated during their pregnancies. As Germany prepared for war, large numbers were incorporated into the public sector and with the need for full mobilization of factories by 1943, all women under the age of fifty were required to register with the employment office for work assignments to help the war effort. Women's wages remained unequal and women were denied positions of leadership or control. In 1944–45 more than 500,000 women were volunteer uniformed auxiliaries in the German armed forces (Wehrmacht). About the same number served in civil aerial defense, 400,000 volunteered as nurses, and many more replaced drafted men in the wartime economy. In the Luftwaffe they served in auxiliary roles helping to operate the anti-aircraft systems that shot down Allied bombers. Foreign policy Hitler's diplomatic strategy in the 1930s was to make seemingly reasonable demands, threatening war if they were not met. When opponents tried to appease him, he accepted the gains that were offered, then went to the next target. That aggressive strategy worked as Germany pulled out of the League of Nations (1933), rejected the Versailles Treaty and began to re-arm (1935), won back the Saar (1935), remilitarized the Rhineland (1936), formed an alliance ("axis") with Mussolini's Italy (1936), sent massive military aid to Franco in the Spanish Civil War (1936–39), annexed Austria (1938), took over Czechoslovakia after the British and French appeasement of the Munich Agreement of 1938, formed a peace pact with Joseph Stalin's Soviet Union in August 1939, and finally invaded Poland on 1 September 1939. Britain and France declared war on Germany two days later and World War II in Europe began. After establishing the "Rome-Berlin axis" with Benito Mussolini, and signing the Anti-Comintern Pact with Japan – which was joined by Italy a year later in 1937 – Hitler felt able to take the offensive in foreign policy. On 12 March 1938, German troops marched into Austria, where an attempted Nazi coup had been unsuccessful in 1934. When Austrian-born Hitler entered Vienna, he was greeted by loud cheers. Four weeks later, 99% of Austrians voted in favour of the annexation (Anschluss) of their country to the German Reich. After Austria, Hitler turned to Czechoslovakia, where the 3.5 million-strong Sudeten German minority was demanding equal rights and self-government. At the Munich Conference of September 1938, Hitler, the Italian leader Benito Mussolini, British Prime Minister Neville Chamberlain and French Prime Minister Édouard Daladier agreed upon the cession of Sudeten territory to the German Reich by Czechoslovakia. Hitler thereupon declared that all of German Reich's territorial claims had been fulfilled. However, hardly six months after the Munich Agreement, in March 1939, Hitler used the smoldering quarrel between Slovaks and Czechs as a pretext for taking over the rest of Czechoslovakia as the Protectorate of Bohemia and Moravia. In the same month, he secured the return of Memel from Lithuania to Germany. Chamberlain was forced to acknowledge that his policy of appeasement towards Hitler had failed. World War II At first Germany was very successful in its military operations. In less than three months (April – June 1940), Germany conquered Denmark, Norway, the Low Countries, and France. The unexpectedly swift defeat of France resulted in an upswing in Hitler's popularity and an upsurge in war fever. Hitler made peace overtures to the new British leader Winston Churchill in July 1940, but Churchill remained dogged in his defiance. Churchill had major financial, military, and diplomatic help from President Franklin D. Roosevelt in the U.S. Hitler's bombing campaign against Britain (September 1940–May 1941) failed. Some 43,000 British civilians were killed and 139,000 wounded in the Blitz; much of London was destroyed, with 1,400,245 buildings destroyed or damaged. Germany's armed forces invaded the Soviet Union in June 1941 – weeks behind schedule due to the invasion of Yugoslavia – but swept forward until they reached the gates of Moscow. Hitler had assembled more than 4,000,000 troops, including 1,000,000 from his Axis allies. The Soviets had lost nearly 3,000,000 killed in action, while 3,500,000 Soviet troops were captured in the first six months of the war. The Einsatzgruppen (Nazi mobile death squads) executed all Soviet Jews that it located, while the Germans went to Jewish households and forced the families into concentration camps for labor or to extermination camps for death. The tide began to turn in December 1941, when the invasion of the Soviet Union hit determined resistance in the Battle of Moscow and Hitler declared war on the United States in the wake of the Japanese Pearl Harbor attack. After surrender in North Africa and losing the Battle of Stalingrad in 1942–43, the Germans were forced into the defensive. By late 1944, the United States, Canada, France, and Great Britain were closing in on Germany in the West, while the Soviets were victoriously advancing in the East. In 1944–45, Soviet forces completely or partially liberated Romania, Bulgaria, Hungary, Yugoslavia, Poland, Czechoslovakia, Austria, Denmark, and Norway. Nazi Germany collapsed as Berlin was taken by the Soviet Union's Red Army in a fight to the death on the city streets. 2,000,000 Soviet troops took part in the assault, and they faced 750,000 German troops. 78,000–305,000 Soviets were killed, while 325,000 German civilians and soldiers were killed. Hitler committed suicide on 30 April 1945. The final German Instrument of Surrender was signed on 8 May 1945. By September 1945, Nazi Germany and its Axis partners (Italy and Japan) had all been defeated, chiefly by the forces of the Soviet Union, the United States, and Great Britain. Much of Europe lay in ruins, over 60 million people worldwide had been killed (most of them civilians), including approximately 6 million Jews and 11 million non-Jews in what became known as the Holocaust. World War II resulted in the destruction of Germany's political and economic infrastructure and led directly to its partition, considerable loss of territory (especially in the East), and historical legacy of guilt and shame. Germany during the Cold War, 1945–1990 As a consequence of the defeat of Nazi Germany in 1945 and the onset of the Cold War in 1947, the country's territory was shrunk and split between the two global blocs in the East and West, a period known as the division of Germany. Millions of refugees from Central and Eastern Europe moved west, most of them to West Germany. Two countries emerged: West Germany was a parliamentary democracy, a
down to Hades' realm, wherein he finds Hades seated upon a couch, Persephone seated next to him. Hermes relays Zeus' message, and Hades complies, saying, Afterwards, Hades readies his chariot, but not before he secretly gives Persephone a pomegranate seed to eat; Hermes takes the reins, and he and Persephone make their way to the Earth above, coming to a halt in front of Demeter's temple at Eleusis, where the goddess has been waiting. Demeter and Persephone run towards each other and embrace one another, happy that they are reunited. Demeter, however, suspects that Persephone may have eaten food while down in the underworld, and so she questions Persephone, saying: Persephone does admit that she ate the food of the dead, as she tells Demeter that Hades gave her a pomegranate seed and forced her to eat it. Persephone's eating the pomegranate seed binds her to Hades and the underworld, much to the dismay of Demeter. Zeus, however, had previously proposed a compromise, to which all parties had agreed: of the year, Persephone would spend one third with her husband. It is during this time, when Persephone is down in the underworld with her husband, that winter falls upon the earth, "an aspect of sadness and mourning." Visitors in the Underworld The hero Orpheus once descended into the Underworld in search of his late wife Eurydice, who died when a snake bit her. So lovely was the music he played that it charmed even Hades (as well as his wife Persephone), who allowed him to take Eurydice to the land of the living, as long as he did not look back at her on his way out. In another story, Theseus and Pirithous pledged to kidnap and marry daughters of Zeus. Theseus chose Helen and together they kidnapped her and decided to hold onto her until she was old enough to marry. Pirithous chose Persephone. They left Helen with Theseus' mother, Aethra, and traveled to the underworld. Hades knew of their plan to capture his wife, so he pretended to offer them hospitality and set a feast; as soon as the pair sat down, snakes coiled around their feet and held them there. Theseus was eventually rescued by Heracles but Pirithous remained trapped as punishment for daring to seek the wife of a god for his own. According to a scholium on Aristophanes' Frogs by John Tzetzes, Euripides in a now lost play Pirithous had Pirithous, for having tried to abduct Persephone, fed to Cerberus. Sisyphus was a mortal king from Corinth who was punished in Tartarus for revealing to the river god Asopus the whereabouts of his daughter Aegina after Zeus abducted her, and for trying to cheat death as well. Zeus, angry at Sisyphus for revealing the secret, sent Thanatos to Sisyphus, but he cleverly cast Death into his own bonds, and as a result no one could die until Ares freed Thanatos and delivered Sisyphus to him. But still, Sisyphus ordered his wife Merope not to perform any funeral rites for him and what else was accustomed as tribute to the Underworld gods before he was brought to Hades. After some time that Merope hadn't offered proper honours, Hades learnt of this, and allowed Sisyphus to return to the world of the living so that he could punish his wife, with the understanding that he would return afterwards. Sisyphus, however, never returned as promised until years later, when he died of old age. Hades punished Sisyphus by making him roll a boulder up a hill in the Underworld; but every time he reached the top, the boulder would roll down again and again. In another version, it's Persephone who lets him out. Heracles' final labour was to capture Cerberus. First, Heracles went to Eleusis to be initiated into the Eleusinian Mysteries. He did this to absolve himself of guilt for killing the centaurs and to learn how to enter and exit the underworld alive. He found the entrance to the underworld at Taenarum. Athena and Hermes helped him through and back from Hades. Heracles asked Hades for permission to take Cerberus. Hades agreed as long as Heracles didn't harm Cerberus. When Heracles dragged the dog out of Hades, he passed through the cavern Acherusia. In the myth of Admetus and Alcestis, after Alcestis chose to die in place of her husband Admetus in order to save him, Heracles brought her back from the dead by fighting and defeating Hades. In other versions, like Euripides' play Alcestis, Heracles fought Thanatos instead. At another time, Heracles sieged the town of Pylos and during the fight he wounded Hades, who had sided with the Pylians. In great pain, Hades went to Olympus to be healed by the physician of the gods, Paean. Lovers of Hades Leuce was the most beautiful of the nymphs and a daughter of Oceanus. Hades fell in love with her and abducted her to the Underworld. She lived out the span of her life in his realm, and when she died, the god sought consolation by creating a suitable memorial of their love: in the Elysian Fields where the pious spend their afterlife, he brought a white tree into existence. It was this tree with which Heracles crowned himself to celebrate his return from the underworld. Minthe was a nymph of the river Cocytus who became Hades' mistress. A jealous Persephone trampled the nymph under her foot, transforming her into garden mint in the process. According to a scholiast on Nicander, Hades turned his dead lover into the mint herb after Persephone tore her into pieces for sleeping with him. In another version, Hades had kept Minthe as his mistress before he married Persephone, and set her aside afterwards. Minthe boasted of being more beautiful than Persephone, and that Hades would soon take her back. In anger over the hubris directed toward her daughter, Demeter trampled Minthe and turned her into mint. Theophile was a girl who claimed that Hades loved her and that she was better than Persephone. Other works Once, when a plague hit Aonia, a region in Boeotia, the people consulted the Oracle of Delphi, and the god replied that they should make an appeal to the gods of the underworld; they had to sacrifice two young maidens to appease the anger of Hades and Persephone. The girls that were chosen were Menippe and Metioche, the daughters of Orion. The girls accepted solemnly in order to save their countrymen. As they were led to the altar to be sacrificed, Hades and Persephone took pity in both of them, and transformed them into comets. In some versions Hades is considered the master of the goddesses of Fate, not his brother Zeus and the god who designates the end and origin of all things and orders the alternation of birth and destruction, the arbiter of life and death. This relationship is very clear in Roman epics like Statius's Thebaid, where they are mentioned taking souls to be judged by Hades and inflicting severe punishments or in Claudian's De raptu Proserpinae where they appear begging their master not to release the Titans and saying everything they do it's for him, after Hades threatens Zeus to release the Titans against him if he does not give him a wife. Hades is considered the father of the Furies in some versions, but the mother's identity varies. in Virgil's Aeneid their mother is the night goddess Nyx and in the Orphic Hymns their mother is Persephone by Hades. One of the rare occasions when he appears interacting with them is in Statius's Thebaid, when Hades orders Tisiphone to punish humans for having invaded the Underworld. He is said to hate Alecto, even though she is one of his children. In contrast to many of his other classical representations the satirical author Lucian of Samosata presents Hades in a more positive and even comic way. In his Dialogues of the Dead, he is represented trying to solve problems of some famous mythological figures and one of the most outstanding dialogues is with Protesilaus, one of the Greek heroes killed in the Trojan War. In this conversation Protesilaus asks him to be reunited with his (still living) lover, and brings up as example that Hades did the same for Admetus and Alcestis, Orpheus and Eurydice, and that he himself also knows what being in love is like. Hades is skeptical, but Persephone manages to persuade him. According to Hesiod, when the monstrous Typhon attacked the Olympian gods, Hades is said to have trembled in fear in the Underworld while Zeus fought Typhon above. Cult and epithets Hades, as the god of the dead, was a fearsome figure to those still living; in no hurry to meet him, they were reluctant to swear oaths in his name, and averted their faces when sacrificing to him. Since to many, simply to say the word "Hades" was frightening, euphemisms were pressed into use. Since precious minerals come from under the earth (i.e., the "underworld" ruled by Hades), he was considered to have control of these as well, and as such the Greeks referred to him as Πλούτων (Greek Plouton; Latin PLVTO, Pluto, "the rich one"). This title is derived from the word Πλοῦτος (Greek Ploutos, literally "wealth, riches"). Sophocles explained the notion of referring to Hades as Plouton with these words: "the gloomy Hades enriches himself with our sighs and our tears." In addition, he was called Clymenus ("notorious"), Polydegmon ("who receives many"), and perhaps Eubuleus ("good counsel" or "well-intentioned"), all of them euphemisms for a name that was unsafe to pronounce, which evolved into epithets. He spent most of the time in his dark realm. Formidable in battle, he proved his ferocity in the famous Titanomachy, the battle of the Olympians versus the Titans, which established the rule of Zeus. Feared and loathed, Hades embodied the inexorable finality of death: "Why do we loathe Hades more than any god, if not because he is so adamantine and unyielding?" The rhetorical question is Agamemnon's. Hades was not, however, an evil god, for although he was stern, cruel, and unpitying, he was still just. Hades ruled the underworld and was therefore most often associated with death and feared by men, but he was not Death itself — it is Thanatos, son of Nyx and Erebus, who is the actual personification of death, although Euripides' play "Alkestis" states fairly clearly that Thanatos and Hades were one and the same deity, and gives an interesting description of Hades as being dark-cloaked and winged; moreover, Hades was also referred to as Hesperos Theos ("god of death & darkness"). When the Greeks propitiated Hades, they banged their hands on the ground to be sure he would hear them. Black animals, such as sheep, were sacrificed to him. While some suggest the very vehemence of the rejection of human sacrifice expressed in myth might imply an unspoken memory of some distant past, there is no direct evidence of such a turn. The blood from all chthonic sacrifices including those to propitiate Hades dripped into a pit or
away all. Nicander uses the form Hegesilaus (). He was also referred to as Zeus katachthonios (Ζεὺς καταχθόνιος), meaning "the Zeus of the Underworld", by those avoiding his actual name, as he had complete control over the underworld. Mythology Early years In Greek mythology, Hades, the god of the Greek underworld, was the first-born son of the Titans Cronus and Rhea. He had three older sisters, Hestia, Demeter, and Hera, as well as a younger brother, Poseidon, all of whom had been swallowed whole by their father as soon as they were born. Zeus was the youngest child and through the machinations of their mother, Rhea, he was the only one that had escaped this fate. Upon reaching adulthood, Zeus managed to force his father to disgorge his siblings. After their release, the six younger gods, along with allies they managed to gather, challenged the elder gods for power in the Titanomachy, a divine war. The war lasted for ten years and ended with the victory of the younger gods. Following their victory, according to a single famous passage in the Iliad (Book XV, ln.187–93), Hades and his two brothers, Poseidon and Zeus, drew lots for realms to rule. Zeus received the sky, Poseidon received the seas, and Hades received the underworld, the unseen realm to which the souls of the dead go upon leaving the world as well as any and all things beneath the earth. Hades obtained his wife and queen, Persephone, through abduction at the behest of Zeus. This myth is the most important one Hades takes part in; it also connected the Eleusinian Mysteries with the Olympian pantheon, particularly as represented in the Homeric Hymn to Demeter, which is the oldest story of the abduction, most likely dating back to the beginning of the 6th century BC. Helios told the grieving Demeter that Hades was not unworthy groom or son-in-law, given his status among the gods: God of the underworld Despite modern connotations of death as evil, Hades was actually more altruistically inclined in mythology. Hades was portrayed as passive and never portrayed negatively; his role was often maintaining relative balance. That said, he was also depicted as cold and stern, and he held all of his subjects equally accountable to his laws. Any other individual aspects of his personality are not given, as Greeks refrained from giving him much thought to avoid attracting his attention. Hades ruled the dead, assisted by others over whom he had complete authority. The House of Hades was described as full of "guests," though he rarely left the underworld. He cared little about what happened in the world above, as his primary attention was ensuring none of his subjects ever left his domain. He strictly forbade his subjects to leave his domain and would become quite enraged when anyone tried to leave, or if someone tried to steal the souls from his realm. His wrath was equally terrible for anyone who tried to cheat death or otherwise crossed him, as Sisyphus and Pirithous found out to their sorrow. While usually indifferent to his subjects, Hades was very focused on the punishment of these two people; particularly Pirithous, as he entered the underworld in an attempt to steal Persephone for himself, and consequently was forced onto the "Chair of Forgetfulness". Another myth is about the Greek god Asclepius who was originally a demigod, son of Apollo and Coronis, a Thessalian princess. During his lifetime, he became a famous and talented physician, who eventually was able to bring the dead back to life. Feeling cheated, Plouton persuaded Zeus to kill him with a thunderbolt. After his death, he was brought to Olympus where he became a god. Hades was only depicted outside of the underworld once in myth, and even that is believed to have been an instance where he had just left the gates of the underworld, which was when Heracles shot him with an arrow as Hades was attempting to defend the city of Pylos. After he was shot, however, he traveled to Olympus to heal. Besides Heracles, the only other living people who ventured to the underworld were also heroes: Odysseus, Aeneas (accompanied by the Sibyl), Orpheus, to whom Hades showed uncharacteristic mercy at Persephone's urging, who was moved by Orpheus' music, Theseus with Pirithous, and, in a late romance, Psyche. None of them were pleased with what they witnessed in the realm of the dead. In particular, the Greek war hero Achilles, whom Odysseus conjured with a blood libation, said: Abduction of Persephone The consort of Hades was Persephone, daughter of Zeus and Demeter. Persephone did not submit to Hades willingly, but was abducted by him while picking flowers in the fields of Nysa (her father, Zeus, had previously given Persephone to Hades, to be his wife, as is stated in the first lines of the Homeric Hymn to Demeter). In protest of his act, Demeter cast a curse on the land and there was a great famine; though, one by one, the gods came to request she lift it, lest mankind perish and cause the gods to be deprived of their receiving gifts and sacrifices, Demeter asserted that the earth would remain barren until she saw her daughter again. Zeus then sends for his son, Hermes, and instructs him to go down to the underworld in hopes that he may be able to convince Hades to allow Persephone to return to Earth, so that Demeter might see Persephone and cause the famine to stop. Hermes obeys and goes down to Hades' realm, wherein he finds Hades seated upon a couch, Persephone seated next to him. Hermes relays Zeus' message, and Hades complies, saying, Afterwards, Hades readies his chariot, but not before he secretly gives Persephone a pomegranate seed to eat; Hermes takes the reins, and he and Persephone make their way to the Earth above, coming to a halt in front of Demeter's temple at Eleusis, where the goddess has been waiting. Demeter and Persephone run towards each other and embrace one another, happy that they are reunited. Demeter, however, suspects that Persephone may have eaten food while down in the underworld, and so she questions Persephone, saying: Persephone does admit that she ate the food of the dead, as she tells Demeter that Hades gave her a pomegranate seed and forced her to eat it. Persephone's eating the pomegranate seed binds her to Hades and the underworld, much to the dismay of Demeter. Zeus, however, had previously proposed a compromise, to which all parties had agreed: of the year, Persephone would spend one third with her husband. It is during this time, when Persephone is down in the underworld with her husband, that winter falls upon the earth, "an aspect of sadness and mourning." Visitors in the Underworld The hero Orpheus once descended into the Underworld in search of his late wife Eurydice, who died when a snake bit her. So lovely was the music he played that it charmed even Hades (as well as his wife Persephone), who allowed him to take Eurydice to the land of the living, as long as he did not look back at her on his way out. In another story, Theseus and Pirithous pledged to kidnap and marry daughters of Zeus. Theseus chose Helen and together they kidnapped her and decided to hold onto her until she was old enough to marry. Pirithous chose Persephone. They left Helen with Theseus' mother, Aethra, and traveled to the underworld. Hades knew of their plan to capture his wife, so he pretended to offer them hospitality and set a feast; as soon as the pair sat down, snakes coiled around their feet and held them there. Theseus was eventually rescued by Heracles but Pirithous remained trapped as punishment for daring to seek the wife of a god for his own. According to a scholium on Aristophanes' Frogs by John Tzetzes, Euripides in a now lost play Pirithous had Pirithous, for having tried to abduct Persephone, fed to Cerberus. Sisyphus was a mortal king from Corinth who was punished in Tartarus for revealing to the river god Asopus the whereabouts of his daughter Aegina after Zeus abducted her, and for trying to cheat death as well. Zeus, angry at Sisyphus for revealing the secret, sent Thanatos to Sisyphus, but he cleverly cast Death into his own bonds, and as a result no one could die until Ares freed Thanatos and delivered Sisyphus to him. But still, Sisyphus ordered his wife Merope not to perform any funeral rites for him and what else was accustomed as tribute to the Underworld gods before he was brought to Hades. After some time that Merope hadn't offered proper honours, Hades learnt of this, and allowed Sisyphus to return to the world of the living so that he could punish his wife, with the understanding that he would return afterwards. Sisyphus, however, never returned as promised until years later, when he died of old age. Hades punished Sisyphus by making him roll a boulder up a hill in the Underworld; but every time he reached the top, the boulder would roll down again and again. In another version, it's Persephone who lets him out. Heracles' final labour was to capture Cerberus. First, Heracles went to Eleusis to be initiated into the Eleusinian Mysteries. He did this to absolve himself of guilt for killing the centaurs and to learn how to enter and exit the underworld alive. He found the entrance to the underworld at Taenarum. Athena and Hermes helped him through and back from Hades. Heracles asked Hades for permission to take Cerberus. Hades agreed as long as Heracles didn't harm Cerberus. When Heracles dragged the dog out of Hades, he passed through the cavern Acherusia. In the myth of Admetus and Alcestis, after Alcestis chose to die in place of her husband Admetus in order to save him, Heracles brought her back from the dead by fighting and defeating
added that "finishing it is not crucial" for the GNU system because a free kernel already existed (Linux), and completing Hurd would not address the main remaining problem for a free operating system: device support. The Debian project, among others, have worked on the Hurd project to produce binary distributions of Hurd-based GNU operating systems for IBM PC compatible systems. After years of stagnation, development picked up again in 2015 and 2016, with four releases during these two years. On August 20, 2015, amid the Google Summer of Code, it was announced that GNU Guix had been ported to GNU Hurd. Architecture Unlike most Unix-like kernels, the Hurd uses a server–client architecture, built on a microkernel that is responsible for providing the most basic kernel services – coordinating access to the hardware: the CPU (through process management and scheduling), RAM (via memory management), and other various input/output devices (via I/O scheduling) for sound, graphics, mass storage, etc. In theory, the microkernel design would allow for all device drivers to be built as servers working in user space, but today most drivers of this kind are still contained in the GNU Mach kernel space. According to Hurd developers, the main advantage of microkernel-based design is the ability to extend the system: developing a new module would not require in depth knowledge of the rest of the kernel, and a bug in one module would not crash the entire system. Hurd provides a concept of translators, a framework of modules used to extend a file system functionality. From early on, the Hurd was developed to use GNU Mach as the microkernel. This was a technical decision made by Richard Stallman, who thought it would speed up the work by saving a large part of it. He has admitted that he was wrong about that. Other Unix-like systems working on the Mach microkernel include OSF/1, Lites, and MkLinux. macOS and NeXTSTEP use hybrid kernels based on Mach. Other microkernels From 2004 onward, various efforts were launched to port the Hurd to more modern microkernels. The L4 microkernel was the original choice in 2004, but progress slowed to a halt. Nevertheless, during 2005, Hurd developer Neal Walfield finished the initial memory management framework for the L4/Hurd port, and Marcus Brinkmann ported essential parts of glibc; namely, getting the process startup code working, allowing programs to run, thus allowing the first user programs (trivial ones such as the hello world program) in C to run. Since 2005, Brinkmann and Walfield started researching Coyotos as a new kernel for HURD. In 2006, Brinkmann met with Jonathan Shapiro (a primary architect of the Coyotos Operating System) to aid in and discuss the use of the Coyotos kernel for GNU/Hurd. In further discussion HURD developers realised that Coyotos (as well as other similar kernels) are not suitable for HURD. In 2007, Hurd developers Neal Walfield and Marcus Brinkmann gave a critique of the Hurd architecture, known as "the critique", and a proposal for how a future system may be designed, known as "the position paper". In 2008, Neal Walfield began working on the Viengoos microkernel as a modern native kernel for HURD. , development on Viengoos is paused due to Walfield lacking time to work on it. In the meantime, others have continued working on the Mach variant of Hurd. Unix extensions A number of traditional Unix concepts are replaced or extended in the Hurd. Under Unix, every running program has an associated user id, which normally corresponds to the user that started the process. This id largely dictates the actions permitted to the program. No outside process can change the user id of a running program. A Hurd process, on the other hand, runs under a set of user ids, which can contain multiple ids, one, or none. A sufficiently
(Linux distributions), prompting the coining of the term GNU/Linux. Development of the Hurd has proceeded slowly. Despite an optimistic announcement by Stallman in 2002 predicting a release of GNU/Hurd later that year, the Hurd is still not considered suitable for production environments. Development in general has not met expectations, and there are still a significant number of bugs and missing features. This has resulted in a poorer product than many, including Stallman, had expected. In 2010, after twenty years under development, Stallman said that he was "not very optimistic about the GNU Hurd. It makes some progress, but to be really superior it would require solving a lot of deep problems", but added that "finishing it is not crucial" for the GNU system because a free kernel already existed (Linux), and completing Hurd would not address the main remaining problem for a free operating system: device support. The Debian project, among others, have worked on the Hurd project to produce binary distributions of Hurd-based GNU operating systems for IBM PC compatible systems. After years of stagnation, development picked up again in 2015 and 2016, with four releases during these two years. On August 20, 2015, amid the Google Summer of Code, it was announced that GNU Guix had been ported to GNU Hurd. Architecture Unlike most Unix-like kernels, the Hurd uses a server–client architecture, built on a microkernel that is responsible for providing the most basic kernel services – coordinating access to the hardware: the CPU (through process management and scheduling), RAM (via memory management), and other various input/output devices (via I/O scheduling) for sound, graphics, mass storage, etc. In theory, the microkernel design would allow for all device drivers to be built as servers working in user space, but today most drivers of this kind are still contained in the GNU Mach kernel space. According to Hurd developers, the main advantage of microkernel-based design is the ability to extend the system: developing a new module would not require in depth knowledge of the rest of the kernel, and a bug in one module would not crash the entire system. Hurd provides a concept of translators, a framework of modules used to extend a file system functionality. From early on, the Hurd was developed to use GNU Mach as the microkernel. This was a technical decision made by Richard Stallman, who thought it would speed up the work by saving a large part of it. He has admitted that he was wrong about that. Other Unix-like systems working on the Mach microkernel include OSF/1, Lites, and MkLinux. macOS and NeXTSTEP use hybrid kernels based on Mach. Other microkernels From 2004 onward, various efforts were launched to port the Hurd to more modern microkernels. The L4 microkernel was the original choice in 2004, but progress slowed to a halt. Nevertheless, during 2005, Hurd developer Neal Walfield finished the initial memory management framework for the L4/Hurd port, and Marcus Brinkmann ported essential parts of glibc; namely, getting the process startup code working, allowing programs to run, thus allowing the first user programs (trivial ones such as the hello world program) in C to run. Since 2005, Brinkmann and Walfield started researching Coyotos as a new kernel for HURD. In 2006, Brinkmann met with Jonathan Shapiro (a primary architect of the Coyotos Operating System) to aid in and discuss the use of the Coyotos kernel for GNU/Hurd. In further discussion HURD developers realised that Coyotos (as well as other similar kernels) are not suitable for HURD. In 2007, Hurd developers Neal Walfield and Marcus Brinkmann gave a critique of the Hurd architecture, known as "the critique", and a proposal for how a future system may be designed, known as "the position paper". In 2008, Neal Walfield began working on the Viengoos microkernel as a modern native kernel for HURD. , development on Viengoos is paused due to Walfield lacking time to work on it. In the meantime, others have continued working on the Mach variant of Hurd. Unix extensions A number of traditional Unix concepts are replaced or extended in the Hurd. Under Unix, every running program has an associated user id, which normally corresponds to the user that started the process. This id largely dictates the actions permitted to the program. No outside process can change the user id of a running program. A Hurd process, on the other hand, runs under a set of user ids, which can contain multiple ids, one, or none. A sufficiently privileged process can add and remove ids to another process. For example, there is a
genre are known as "cycles". While most would recognize many of the genres as Westerns, gangsters, musicals, etc., often the cycles were significantly more specific. Instead of "romantic comedy", a cycle might be described as the "Boy-meets-girl-boy-loses-girl-boy-gets-girl"
as "cycles". While most would recognize many of the genres as Westerns, gangsters, musicals, etc., often the cycles were significantly more specific. Instead of "romantic comedy", a cycle
among other factors (Belien 90). The United States government provides healthcare to just over 25% of its citizens through various agencies, but otherwise does not employ a system. Healthcare is generally centered around regulated private insurance methods. One key component to healthcare reform is the reduction of healthcare fraud and abuse. In the U.S. and the EU, it is estimated that as much as 10 percent of all healthcare transactions and expenditures may be fraudulent. See Terry L. Leap, Phantom Billing, Fake Prescriptions, and the High Cost of Medicine: Health Care Fraud and What to do about It (Cornell University Press, 2011). Also interesting to notice is the oldest healthcare system in the world and its advantages and disadvantages, see Health in Germany. "Control knobs" theory In “Getting Health Reform Right: A Guide to Improving Performance and Equity,” Marc Roberts, William Hsiao, Peter Berman, and Michael Reich of the Harvard T.H. Chan School of Public Health aim to provide decision-makers with tools and frameworks for health care system reform. They propose five “control knobs” of health reform: financing, payment, organization, regulation, and behavior. These control knobs refer to the “mechanisms and processes that reformers can adjust to improve system performance”. The authors selected these control knobs as representative of the most important factors upon which a policymaker can act to determine health system outcomes. Their method emphasizes the importance of “identifying goals explicitly, diagnosing causes of poor performance systematically, and devising reforms that will produce real changes in performance”. The authors view health care systems as a means to an end. Accordingly, the authors advocate for three intrinsic performance goals of the health system that can be adjusted through the control knobs. These goals include: Health status: This goal refers to the overall health of the target population, assessed by metrics such as life expectancy, disease burden, and/or the distribution of these across population subgroups. Customer satisfaction: This goal is concerned with the degree of satisfaction that the health care system produces among the target population. Financial risk protection: This goal refers to the health system’s ability to protect the target population from the financial burden of poor health or disease. The authors also propose three intermediate performance measures, which are useful in determining the performance of system goals, but are not final objectives. These include: Efficiency: Technical efficiency: maximum output per unit cost Allocative efficiency: a given budget maximises health system user satisfaction or other defined goals Access: effective availability by which patients receive care Quality of care: consideration of both the average quality and distribution of quality While final performance goals are largely agreed upon, other frameworks suggest alternative intermediate goals to those mentioned here, such as equity, productivity, safety, innovation, and choice. The five proposed control knobs represent the mechanisms and processes that policy-makers can use to design effective health care reforms. These control knobs are not only the most important elements of a healthcare system, but they also represent the aspect that can be deliberately adjusted by reforms to affect change. The five control knobs are: Financing, which encompasses all the mechanisms and activities designed to raise money for the health system. With respect to mechanisms, the financing knob includes health-related taxes, insurance premiums and out-of-pocket expenses among others. Activities refers to the institutional organization that collects and distributes finance to participants in the health sector. In other words, financing is about the resources available to the healthcare system, who controls them and who receives them. The financing knob has clear implications for the health status of the population and particular groups in it, as well as the access to health care and protection from financial risk that these groups, and the population as a whole, have. The financing knob involves numerous potential financing mechanisms and processes that should be selected in accordance with a country’s social values and politics. Payment refers to the mechanisms and processes through which the health system or patients distribute payments to providers, including fees, capitation and budgets on the part of the government and fees paid by patients. Payment is about the distribution of available resources to the providers of health services. Health care reform can implement a variety of incentive schemes for both providers and patients in a way to optimize limited resources. Organization of the health system refers to the structure of providers, their roles, activities and operations. Essentially, organization describes how the health care market is set up: who are the providers, who are the consumers, who are the competitors, and who runs them. Changes in the organization of a healthcare system happen at multiple levels at both the front-line and managerial level. Regulation refers to actions at the state level that modify or alter the behavior of various actors within the health care system. The actors may include health care providers, medical associations, individual consumers, insurance agents, and more. Regulations are only effective when enforced, therefore laws that are “on the books” but are not implemented in practice have little effect on the system as a whole. Behavior of healthcare actors includes actions of both providers (e.g., doctors’ behavior) and patients (e.g., anti-smoking campaigns) and involves “changing individual behavior through population-based interventions”. Healthcare reform with respect to behavior revolves around the behaviors that can be used to improve the outcomes and performance of the health care system. These behaviors include health-seeking behavior, professional/doctors’ behavior, treatment compliance, and lifestyle and prevention behaviors. The five control knobs of health care reform are not designed to work in isolation; health care reform may require the adjustment of more than one knob or of multiple knobs simultaneously. Further, there is no agreed-upon order of turning control knobs to achieve specific reforms or outcomes. Health care reform varies by setting and reforms from one
regulated private insurance methods. One key component to healthcare reform is the reduction of healthcare fraud and abuse. In the U.S. and the EU, it is estimated that as much as 10 percent of all healthcare transactions and expenditures may be fraudulent. See Terry L. Leap, Phantom Billing, Fake Prescriptions, and the High Cost of Medicine: Health Care Fraud and What to do about It (Cornell University Press, 2011). Also interesting to notice is the oldest healthcare system in the world and its advantages and disadvantages, see Health in Germany. "Control knobs" theory In “Getting Health Reform Right: A Guide to Improving Performance and Equity,” Marc Roberts, William Hsiao, Peter Berman, and Michael Reich of the Harvard T.H. Chan School of Public Health aim to provide decision-makers with tools and frameworks for health care system reform. They propose five “control knobs” of health reform: financing, payment, organization, regulation, and behavior. These control knobs refer to the “mechanisms and processes that reformers can adjust to improve system performance”. The authors selected these control knobs as representative of the most important factors upon which a policymaker can act to determine health system outcomes. Their method emphasizes the importance of “identifying goals explicitly, diagnosing causes of poor performance systematically, and devising reforms that will produce real changes in performance”. The authors view health care systems as a means to an end. Accordingly, the authors advocate for three intrinsic performance goals of the health system that can be adjusted through the control knobs. These goals include: Health status: This goal refers to the overall health of the target population, assessed by metrics such as life expectancy, disease burden, and/or the distribution of these across population subgroups. Customer satisfaction: This goal is concerned with the degree of satisfaction that the health care system produces among the target population. Financial risk protection: This goal refers to the health system’s ability to protect the target population from the financial burden of poor health or disease. The authors also propose three intermediate performance measures, which are useful in determining the performance of system goals, but are not final objectives. These include: Efficiency: Technical efficiency: maximum output per unit cost Allocative efficiency: a given budget maximises health system user satisfaction or other defined goals Access: effective availability by which patients receive care Quality of care: consideration of both the average quality and distribution of quality While final performance goals are largely agreed upon, other frameworks suggest alternative intermediate goals to those mentioned here, such as equity, productivity, safety, innovation, and choice. The five proposed control knobs represent the mechanisms and processes that policy-makers can use to design effective health care reforms. These control knobs are not only the most important elements of a healthcare system, but they also represent the aspect that can be deliberately adjusted by reforms to affect change. The five control knobs are: Financing, which encompasses all the mechanisms and activities designed to raise money for the health system. With respect to mechanisms, the financing knob includes health-related taxes, insurance premiums and out-of-pocket expenses among others. Activities refers to the institutional organization that collects and distributes finance to participants in the health sector. In other words, financing is about the resources available to the healthcare system, who controls them and who receives them. The financing knob has clear implications for the health status of the population and particular groups in it, as well as the access to health care and protection from financial risk that these groups, and the population as a whole, have. The financing knob involves numerous potential financing mechanisms and processes that should be selected in accordance with a country’s social values and politics. Payment refers to the mechanisms and processes through which the health system or patients distribute payments to providers, including fees, capitation and budgets on the part of the government and fees paid by patients. Payment is about the distribution of available resources to the providers of health services. Health care reform can implement a variety of incentive schemes for both providers and patients in a way to optimize limited resources. Organization of the health system refers to the structure of providers, their roles, activities and operations. Essentially, organization describes how the health care market is set up: who are the providers, who are the consumers, who are the competitors, and who runs them. Changes in the organization of a healthcare system happen at multiple levels at both the front-line and managerial level. Regulation refers to actions at the state level that modify or alter the behavior of various actors within the health care system. The actors may include health care providers, medical associations, individual consumers, insurance agents, and more. Regulations are only effective when enforced, therefore laws that are “on the books” but are not implemented in practice have little effect on the system as a whole. Behavior of healthcare actors includes actions of both providers (e.g., doctors’ behavior) and patients (e.g., anti-smoking campaigns) and involves “changing individual behavior through population-based interventions”. Healthcare reform with respect to behavior revolves around the behaviors that can be used to improve the outcomes and performance of the health care system. These behaviors include health-seeking behavior, professional/doctors’ behavior, treatment compliance, and lifestyle and prevention behaviors. The five control knobs of health care reform are not designed to work in isolation; health care reform may require the adjustment of more than one knob or of multiple knobs simultaneously. Further, there is no agreed-upon order of turning control knobs to achieve specific reforms or outcomes. Health care reform varies by setting and reforms from one context may not necessarily apply in another. It is important to note that the knobs interact with cultural and structural factors that are not illustrated within this framework, but which have an important effect on health care reform in a given context. In summary, the authors of “Getting Health Reform Right: A Guide to Improving Performance and Equity” propose a framework for assessing health systems that guides decision-makers’ understanding of the reform process. Rather than a prescriptive proposal of recommendations, the framework allows users to adapt their analysis and actions based on cultural context and relevance of interventions. As noted above, many frameworks for health care reform exist in the literature. Using a comprehensive yet responsive approach such as the control knobs framework proposed by Roberts, Hsiao, Berman, and Reich allows decision-makers to more precisely determine the “mechanisms and processes” that can be changed in order to achieve improved health status, customer satisfaction, and financial risk protection. See also Topics on status quo in health care Health care / Healthcare system / Health care provider Health center / Clinic / Hospital Health care politics Medical education Medicine / Doctor's visit / Nursing Philosophy of healthcare / Universal health care Social service / Social determinants of health Family medicine / Preventive medicine / Social medicine Health policy Health insurance / Insurance /Social health insurance Community health service / Direct primary care Direct primary care / School health services Family medicine / Preventive medicine / Social medicine Military medicine Occupational safety and health Unnecessary health care Reform Health care compared - tabular comparisons of the US, Canada, and other countries not shown above. Health care in
this time, he had become reasonably secure financially, had settled his debts, and married Jane Jerrold, the daughter of his friend Douglas Jerrold. She lived until 1880. London Labour and the London Poor The articles comprising London Labour and the London Poor were initially collected into three volumes in 1851; the 1861 edition included a fourth volume, co-written with Bracebridge Hemyng, John Binny, and Andrew Halliday, on the lives of prostitutes, thieves, and beggars. This extra volume took a more general and statistical approach to its subject than volumes one to three. Mayhew wrote in volume one: "I shall consider the whole of the metropolitan poor under three separate phases, according as they will work, they can't work, and they won't work". He interviewed everyone – beggars, street-entertainers (such as Punch and Judy men), market traders, prostitutes, labourers, sweatshop workers, even down to the "mudlarks" who searched the stinking mud on the banks of the River Thames for wood, metal, rope, and coal from passing ships, and the "pure-finders" who gathered dog faeces to sell to tanners. He described their clothes, how and where they lived, their entertainments and customs, and made detailed estimates of the numbers and incomes of those practising each trade. The books show how marginal and precarious many people's lives were, in what, at that time, was the richest city in the world. Mayhew's richly detailed descriptions give an impression of what the street markets of his day were like. An example from volume one: Some of the London street traders did not like the way Mayhew wrote about them. In spring/summer 1851, they established a Street Trader's Protection Association to guard themselves against the journalist. Family Mayhew was the grandfather of Audrey Mayhew Allen (b. 1870), an author of a number of children's stories published in various periodicals, and of Gladys in Grammarland, an imitation of Lewis Carroll's Wonderland books. Influence Mayhew's work was embraced by and was an influence on the Christian Socialists, such as Thomas Hughes, Charles Kingsley, and F. D. Maurice. Radicals also published sizeable excerpts from the reports in the Northern Star, the Red Republican, and other newspapers. The often sympathetic investigations, with their immediacy and unswerving eye for detail, offered unprecedented insights into the condition of the Victorian poor. Alongside the earlier work of Edwin Chadwick, they are also regarded as a decisive influence on the thinking of Charles Dickens. Mayhew's work inspired the script of director Christine Edzard's 1990 film The Fool. Mayhew has appeared as a character in television and radio histories of Victorian London ; he was played by Timothy West
jointly edited by Mayhew and Mark Lemon. The two men hired a group of writers and also illustrators to aid them. These included Douglas Jerrold, Angus Reach, John Leech, Richard Doyle, and Shirley Brooks. Initially, it was subtitled The London Charivari, this being a reference to a satirical humour magazine published in France under the title Le Charivari (a work read often whilst Mayhew was in Paris). Reflecting their satiric and humorous intent, the two editors took for their name and masthead the anarchic glove puppet Mr. Punch. Punch was an unexpected success, selling about 6,000 copies a week in the early years. However, sales of as many as 10,000 issues a week were required to cover all costs of the magazine. In December 1842, the magazine was sold to Bradbury and Evans; Mayhew resigned as joint editor, and he continued at the magazine as "suggestor in chief" with Mark Lemon reappointed as editor. Mayhew eventually severed his connection with the magazine, writing his last article in February 1845. His brother Horace stayed on the board of Punch until his own death. The Punch years gave Mayhew the opportunity to meet talented illustrators whom he later employed to work from daguerreotypes on London Labour and the London Poor. Following Punch, Mayhew launched Iron Times, a railway magazine. However, this venture lost Mayhew so much money that he was forced to appear in a court of bankruptcy in 1846. Formative work In 1842, Mayhew contributed to the pioneering Illustrated London News. By this time, he had become reasonably secure financially, had settled his debts, and married Jane Jerrold, the daughter of his friend Douglas Jerrold. She lived until 1880. London Labour and the London Poor The articles comprising London Labour and the London Poor were initially collected into three volumes in 1851; the 1861 edition included a fourth volume, co-written with Bracebridge Hemyng, John Binny, and Andrew Halliday, on the lives of prostitutes, thieves, and beggars. This extra volume took a more general and statistical approach to its subject than volumes one to three. Mayhew wrote in volume one: "I shall consider the whole of the metropolitan poor under three separate phases, according as they will work, they can't work, and they won't work". He interviewed everyone – beggars, street-entertainers (such as Punch and Judy men), market traders, prostitutes, labourers, sweatshop workers, even down to the "mudlarks" who searched the stinking mud on the banks of the River Thames for wood, metal, rope, and coal from passing ships, and the "pure-finders" who gathered dog faeces to sell to tanners. He described their clothes, how and where they lived, their entertainments and customs, and made detailed estimates of the numbers and incomes of those practising each trade. The books show how marginal and precarious many people's lives were, in what, at that time, was the richest city in the world. Mayhew's richly detailed descriptions give an impression of what the street markets of his day were like. An example from volume one: Some of the London street traders did not like the way Mayhew wrote about them. In spring/summer 1851, they established a Street Trader's Protection Association to guard themselves against the journalist. Family Mayhew was the grandfather of
to have been produced . Cosmic prevalence and distribution Hydrogen, as atomic H, is the most abundant chemical element in the universe, making up 75 percent of normal matter by mass and more than 90 percent by number of atoms. (Most of the mass of the universe, however, is not in the form of chemical-element type matter, but rather is postulated to occur as yet-undetected forms of mass such as dark matter and dark energy.) This element is found in great abundance in stars and gas giant planets. Molecular clouds of H2 are associated with star formation. Hydrogen plays a vital role in powering stars through the proton-proton reaction in case of stars with very low to approximately 1 mass of the Sun and the CNO cycle of nuclear fusion in case of stars more massive than our Sun. States Throughout the universe, hydrogen is mostly found in the atomic and plasma states, with properties quite distinct from those of molecular hydrogen. As a plasma, hydrogen's electron and proton are not bound together, resulting in very high electrical conductivity and high emissivity (producing the light from the Sun and other stars). The charged particles are highly influenced by magnetic and electric fields. For example, in the solar wind they interact with the Earth's magnetosphere giving rise to Birkeland currents and the aurora. Hydrogen is found in the neutral atomic state in the interstellar medium because the atoms seldom collide and combine. They are the source of the 21-cm hydrogen line at 1420 MHz that is detected in order to probe primordial hydrogen. The large amount of neutral hydrogen found in the damped Lyman-alpha systems is thought to dominate the cosmological baryonic density of the universe up to a redshift of z = 4. Under ordinary conditions on Earth, elemental hydrogen exists as the diatomic gas, H2. Hydrogen gas is very rare in the Earth's atmosphere (1 ppm by volume) because of its light weight, which enables it to escape from the atmosphere more rapidly than heavier gases. However, hydrogen is the third most abundant element on the Earth's surface, mostly in the form of chemical compounds such as hydrocarbons and water. A molecular form called protonated molecular hydrogen () is found in the interstellar medium, where it is generated by ionization of molecular hydrogen from cosmic rays. This ion has also been observed in the upper atmosphere of the planet Jupiter. The ion is relatively stable in the environment of outer space due to the low temperature and density. is one of the most abundant ions in the universe, and it plays a notable role in the chemistry of the interstellar medium. Neutral triatomic hydrogen H3 can exist only in an excited form and is unstable. By contrast, the positive hydrogen molecular ion () is a rare molecule in the universe. Production is produced in chemistry and biology laboratories, often as a by-product of other reactions; in industry for the hydrogenation of unsaturated substrates; and in nature as a means of expelling reducing equivalents in biochemical reactions. Water electrolysis The electrolysis of water is a simple method of producing hydrogen. A current is run through the water, and gaseous oxygen forms at the anode while gaseous hydrogen forms at the cathode. Typically the cathode is made from platinum or another inert metal when producing hydrogen for storage. If, however, the gas is to be burnt on site, oxygen is desirable to assist the combustion, and so both electrodes would be made from inert metals. (Iron, for instance, would oxidize, and thus decrease the amount of oxygen given off.) The theoretical maximum efficiency (electricity used vs. energetic value of hydrogen produced) is in the range 88–94%. 2 (l) → 2 (g) + (g) Methane pyrolysis (industrial method) Hydrogen production using natural gas methane pyrolysis is a recent "no greenhouse gas" one-step process. Developing volume production using this method is the key to enabling faster carbon reduction by using hydrogen in industrial processes, fuel cell electric heavy truck transportation, and in gas turbine electric power generation. Methane pyrolysis is performed by having methane bubbled up through the molten metal catalyst at high temperatures (1340 K, 1065 °C or 1950 °F). This causes the methane to break down into gas and solid carbon C, with no emission of greenhouse gas. (g) → C(s) + 2 (g) ΔH° = 74 kJ/mol The industrial quality solid carbon may be sold as manufacturing feedstock or permanently landfilled, it is not released into the atmosphere and no ground water pollution in landfill. Methane pyrolysis is in development and considered suitable for commercial bulk hydrogen production. Volume production is being evaluated in the BASF "methane pyrolysis at scale" pilot plant. Further research continues in several laboratories, including at Karlsruhe Liquid-metal Laboratory (KALLA) and the chemical engineering laboratory at University of California – Santa Barbara Other industrial methods Hydrogen is often produced by reacting water with methane and carbon monoxide, which causes the removal of hydrogen from hydrocarbons at very high temperatures, with 48% of hydrogen production coming from steam reforming. The water vapor is then reacted with the carbon monoxide produced by steam reforming to oxidize it to carbon dioxide and turn the water into hydrogen. Commercial bulk hydrogen is usually produced by the steam reforming of natural gas with release of atmospheric greenhouse gas or with capture using CCS and climate change mitigation. Steam reforming is also known as the Bosch process and is widely used for the industrial preparation of hydrogen. At high temperatures (1000–1400 K, 700–1100 °C or 1300–2000 °F), steam (water vapor) reacts with methane to yield carbon monoxide and . + → CO + 3 This reaction is favored at low pressures but is nonetheless conducted at high pressures (2.0 MPa, 20 atm or 600 inHg). This is because high-pressure is the most marketable product, and pressure swing adsorption (PSA) purification systems work better at higher pressures. The product mixture is known as "synthesis gas" because it is often used directly for the production of methanol and related compounds. Hydrocarbons other than methane can be used to produce synthesis gas with varying product ratios. One of the many complications to this highly optimized technology is the formation of coke or carbon: → C + 2 Consequently, steam reforming typically employs an excess of . Additional hydrogen can be recovered from the steam by use of carbon monoxide through the water gas shift reaction, especially with an iron oxide catalyst. This reaction is also a common industrial source of carbon dioxide: CO + → + Other important methods for CO and production include partial oxidation of hydrocarbons: 2 + → 2 CO + 4 and the coal reaction, which can serve as a prelude to the shift reaction above: C + → CO + Hydrogen is sometimes produced and consumed in the same industrial process, without being separated. In the Haber process for the production of ammonia, hydrogen is generated from natural gas. Electrolysis of brine to yield chlorine also produces hydrogen as a co-product. Metal-acid Many metals react with water to produce , but the rate of hydrogen evolution depends on the metal, the pH, and the presence alloying agents. Most commonly, hydrogen evolution is induced by acids. The alkali and alkaline earth metals, aluminium, zinc, manganese, and iron react readily with aqueous acids. This reaction is the basis of the Kipp's apparatus, which once was used as a laboratory gas source: Zn + 2 → + In the absence of acid, the evolution of is slower. Because iron is widely used structural material, its anaerobic corrosion is of technological significance: Fe + 2 O → + Many metals, such as aluminium, are slow to react with water because they form passivated coatings of oxides. An alloy of aluminium and gallium, however, does react with water. At high pH, aluminium can produce : 2 Al + 6 + 2 → 2 + 3 Some metal-containing compounds react with acids to evolve . Under anaerobic conditions, ferrous hydroxide () can be oxidized by the protons of water to form magnetite and . This process is described by the Schikorr reaction: 3 → + 2 O + This process occurs during the anaerobic corrosion of iron and steel in oxygen-free groundwater and in reducing soils below the water table. Thermochemical More than 200 thermochemical cycles can be used for water splitting. Many of these cycles such as the iron oxide cycle, cerium(IV) oxide–cerium(III) oxide cycle, zinc zinc-oxide cycle, sulfur-iodine cycle, copper-chlorine cycle and hybrid sulfur cycle have been evaluated for their commercial potential to produce hydrogen and oxygen from water and heat without using electricity. A number of laboratories (including in France, Germany, Greece, Japan, and the USA) are developing thermochemical methods to produce hydrogen from solar energy and water. Serpentinization reaction In deep geological conditions prevailing far away from the Earth's atmosphere, hydrogen () is produced during the process of serpentinization. In this process, water protons (H+) are reduced by ferrous (Fe2+) ions provided by fayalite (). The reaction forms magnetite (), quartz (Si), and hydrogen (): 3 + 2 O → 2 + 3 Si + 3 fayalite + water → magnetite + quartz + hydrogen This reaction closely resembles the Schikorr reaction observed in anaerobic oxidation of ferrous hydroxide in contact with water. Applications Petrochemical industry Large quantities of are used in the "upgrading" of fossil fuels. Key consumers of include hydrodealkylation, hydrodesulfurization, and hydrocracking. Many of these reactions can be classified as hydrogenolysis, i.e., the cleavage of bonds to carbon. Illustrative is the separation of sulfur from liquid fossil fuels: R-S-R + 2 H2 → H2S + 2 RH Hydrogenation Hydrogenation, the addition of to various substrates is conducted on a large scale. The hydrogenation of N2 to produce ammonia by the Haber-Bosch Process consumes a few percent of the energy budget in the entire industry. The resulting ammonia is used to supply the majority of the protein consumed by humans. Hydrogenation is used to convert unsaturated fats and oils to saturated fats and oils. The major application is the production of margarine. Methanol is produced by hydrogenation of carbon dioxide. It is similarly the source of hydrogen in the manufacture of hydrochloric acid. is also used as a reducing agent for the conversion of some ores to the metals. Coolant Hydrogen is commonly used in power stations as a coolant in generators due to a number of favorable properties that are a direct result of its light diatomic molecules. These include low density, low viscosity, and the highest specific heat and thermal conductivity of all gases. Energy carrier Hydrogen is not an energy resource as a combustion fuel because there is no naturally occurring source of hydrogen in useful quantities. The Sun's energy comes from nuclear fusion of hydrogen, but this process is difficult to achieve controllably on Earth. Elemental hydrogen from solar, biological, or electrical sources requires more energy to make than is obtained by burning it, so in these cases hydrogen functions as an energy carrier, like a battery. Hydrogen may be obtained from fossil sources (such as methane), but these sources are unsustainable. The energy density per unit volume of both liquid hydrogen and compressed hydrogen gas at any practicable pressure is significantly less than that of traditional fuel sources, although the energy density per unit fuel mass is higher. Nevertheless, elemental hydrogen has been widely discussed in the context of energy, as a possible future carrier of energy on an economy-wide scale. For example, sequestration followed by carbon capture and storage could be conducted at the point of production from fossil fuels. Hydrogen used in transportation would burn relatively cleanly, with some NOx emissions, but without carbon emissions. However, the infrastructure costs associated with full conversion to a hydrogen economy would be substantial. Fuel cells can convert hydrogen and oxygen directly to electricity more efficiently than internal combustion engines. Semiconductor industry Hydrogen is employed to saturate broken ("dangling") bonds of amorphous silicon and amorphous carbon that helps stabilizing material properties. It is also a potential electron donor in various oxide materials, including ZnO, SnO2, CdO, MgO, ZrO2, HfO2, La2O3, Y2O3, TiO2, SrTiO3, LaAlO3, SiO2, Al2O3, ZrSiO4, HfSiO4, and SrZrO3. Rocket propellant Liquid hydrogen and liquid oxygen together serve as cryogenic fuel in liquid-propellant rockets, as in the Space Shuttle main engines. Niche and evolving uses Shielding gas: Hydrogen is used as a shielding gas in welding methods such as atomic hydrogen welding. Cryogenic research: Liquid H2 is used in cryogenic research, including superconductivity studies. Buoyant lifting: Because is lighter than air, having only 7% of the density of air, it was once widely used as a lifting gas in balloons and airships. Leak detection: Pure or mixed with nitrogen (sometimes called forming gas), hydrogen is a tracer gas for detection of minute leaks. Applications can be found in the automotive, chemical, power generation, aerospace, and telecommunications industries. Hydrogen is an authorized food additive (E 949) that allows food package leak testing, as well as having anti-oxidizing properties. Neutron moderation: Deuterium (hydrogen-2) is used in nuclear fission applications as a moderator to slow neutrons. Nuclear fusion fuel: Deuterium is used in nuclear fusion reactions. Isotopic labeling: Deuterium compounds have applications in chemistry and biology in studies of isotope effects on reaction rates. Rocket propellant: NASA has investigated the use of rocket propellant made from atomic hydrogen, boron or carbon that is frozen into solid molecular hydrogen particles that are suspended in liquid helium. Upon warming, the mixture vaporizes to allow the atomic species to recombine, heating the mixture to high temperature. Tritium uses: Tritium (hydrogen-3), produced in nuclear reactors, is used in the production of hydrogen bombs, as an isotopic label in the biosciences, and as a source of beta radiation in radioluminescent paint for instrument dials and emergency signage. Biological reactions H2 is a product of some types of anaerobic metabolism and is produced by several microorganisms, usually via reactions catalyzed by iron- or nickel-containing enzymes called hydrogenases. These enzymes catalyze the reversible redox reaction between H2 and its component two protons and two electrons. Creation of hydrogen gas occurs in the transfer of reducing equivalents produced during pyruvate fermentation to water. The natural cycle of hydrogen production and consumption by organisms is called the hydrogen cycle. Hydrogen is the most abundant element in the human body in terms of numbers of atoms of the element but, it is the 3rd most abundant element by mass, because hydrogen is so light. H2 occurs in the breath of humans due to the metabolic activity of hydrogenase-containing microorganisms in the large intestine. The concentration in fasted people at rest is typically less than 5 parts per million (ppm) but can be 50 ppm when people with intestinal disorders consume molecules they cannot absorb during diagnostic hydrogen breath tests. Hydrogen gas is produced by some bacteria and algae and is a natural component of flatus, as is methane, itself a hydrogen source of increasing importance. Water splitting, in which water is decomposed into its component protons, electrons, and oxygen, occurs in the light reactions in all photosynthetic organisms. Some such organisms, including the alga Chlamydomonas reinhardtii and cyanobacteria, have evolved a second step in the dark reactions in which protons and electrons are reduced to form H2 gas by specialized hydrogenases in the chloroplast. Efforts have been undertaken to genetically modify cyanobacterial hydrogenases to efficiently synthesize H2 gas even in the presence of oxygen. Efforts have also been undertaken with genetically modified alga in a bioreactor. Safety and precautions Hydrogen poses a number of hazards to human safety, from potential detonations and fires when mixed with air to being an asphyxiant in its pure, oxygen-free form. In addition, liquid
carboranes. Protons and acids Oxidation of hydrogen removes its electron and gives H+, which contains no electrons and a nucleus which is usually composed of one proton. That is why is often called a proton. This species is central to discussion of acids. Under the Brønsted–Lowry acid–base theory, acids are proton donors, while bases are proton acceptors. A bare proton, , cannot exist in solution or in ionic crystals because of its unstoppable attraction to other atoms or molecules with electrons. Except at the high temperatures associated with plasmas, such protons cannot be removed from the electron clouds of atoms and molecules, and will remain attached to them. However, the term 'proton' is sometimes used loosely and metaphorically to refer to positively charged or cationic hydrogen attached to other species in this fashion, and as such is denoted "" without any implication that any single protons exist freely as a species. To avoid the implication of the naked "solvated proton" in solution, acidic aqueous solutions are sometimes considered to contain a less unlikely fictitious species, termed the "hydronium ion" (). However, even in this case, such solvated hydrogen cations are more realistically conceived as being organized into clusters that form species closer to H. Other oxonium ions are found when water is in acidic solution with other solvents. Although exotic on Earth, one of the most common ions in the universe is the ion, known as protonated molecular hydrogen or the trihydrogen cation. Isotopes Hydrogen has three naturally occurring isotopes, denoted , and . Other, highly unstable nuclei ( to ) have been synthesized in the laboratory but not observed in nature. is the most common hydrogen isotope, with an abundance of more than 99.98%. Because the nucleus of this isotope consists of only a single proton, it is given the descriptive but rarely used formal name protium. It is unique among all stable isotopes in having no neutrons; see diproton for a discussion of why others do not exist. , the other stable hydrogen isotope, is known as deuterium and contains one proton and one neutron in the nucleus. All deuterium in the universe is thought to have been produced at the time of the Big Bang, and has endured since that time. Deuterium is not radioactive, and does not represent a significant toxicity hazard. Water enriched in molecules that include deuterium instead of normal hydrogen is called heavy water. Deuterium and its compounds are used as a non-radioactive label in chemical experiments and in solvents for -NMR spectroscopy. Heavy water is used as a neutron moderator and coolant for nuclear reactors. Deuterium is also a potential fuel for commercial nuclear fusion. is known as tritium and contains one proton and two neutrons in its nucleus. It is radioactive, decaying into helium-3 through beta decay with a half-life of 12.32 years. It is so radioactive that it can be used in luminous paint, making it useful in such things as watches. The glass prevents the small amount of radiation from getting out. Small amounts of tritium are produced naturally by the interaction of cosmic rays with atmospheric gases; tritium has also been released during nuclear weapons tests. It is used in nuclear fusion reactions, as a tracer in isotope geochemistry, and in specialized self-powered lighting devices. Tritium has also been used in chemical and biological labeling experiments as a radiolabel. Unique among the elements, distinct names are assigned to its isotopes in common use today. During the early study of radioactivity, various heavy radioactive isotopes were given their own names, but such names are no longer used, except for deuterium and tritium. The symbols D and T (instead of and ) are sometimes used for deuterium and tritium, but the symbol P is already in use for phosphorus and thus is not available for protium. In its nomenclatural guidelines, the International Union of Pure and Applied Chemistry (IUPAC) allows any of D, T, , and to be used, although and are preferred. The exotic atom muonium (symbol Mu), composed of an antimuon and an electron, can also be considered a light radioisotope of hydrogen. Because muons decay with lifetime , muonium is too unstable to exhibit observable chemistry. Nevertheless, muonium compounds are important test cases for quantum simulation, due to the mass difference between the antimuon and the proton, and IUPAC nomenclature incorporates such hypothetical compounds as muonium chloride (MuCl) and sodium muonide (NaMu), analogous to hydrogen chloride and sodium hydride respectively. History Discovery and use In 1671, Robert Boyle discovered and described the reaction between iron filings and dilute acids, which results in the production of hydrogen gas. In 1766, Henry Cavendish was the first to recognize hydrogen gas as a discrete substance, by naming the gas from a metal-acid reaction "inflammable air". He speculated that "inflammable air" was in fact identical to the hypothetical substance called "phlogiston" and further finding in 1781 that the gas produces water when burned. He is usually given credit for the discovery of hydrogen as an element. In 1783, Antoine Lavoisier gave the element the name hydrogen (from the Greek ὑδρο- hydro meaning "water" and -γενής genes meaning "former") when he and Laplace reproduced Cavendish's finding that water is produced when hydrogen is burned. Lavoisier produced hydrogen for his experiments on mass conservation by reacting a flux of steam with metallic iron through an incandescent iron tube heated in a fire. Anaerobic oxidation of iron by the protons of water at high temperature can be schematically represented by the set of following reactions: 1) 2) 3) Many metals such as zirconium undergo a similar reaction with water leading to the production of hydrogen. Hydrogen was liquefied for the first time by James Dewar in 1898 by using regenerative cooling and his invention, the vacuum flask. He produced solid hydrogen the next year. Deuterium was discovered in December 1931 by Harold Urey, and tritium was prepared in 1934 by Ernest Rutherford, Mark Oliphant, and Paul Harteck. Heavy water, which consists of deuterium in the place of regular hydrogen, was discovered by Urey's group in 1932. François Isaac de Rivaz built the first de Rivaz engine, an internal combustion engine powered by a mixture of hydrogen and oxygen in 1806. Edward Daniel Clarke invented the hydrogen gas blowpipe in 1819. The Döbereiner's lamp and limelight were invented in 1823. The first hydrogen-filled balloon was invented by Jacques Charles in 1783. Hydrogen provided the lift for the first reliable form of air-travel following the 1852 invention of the first hydrogen-lifted airship by Henri Giffard. German count Ferdinand von Zeppelin promoted the idea of rigid airships lifted by hydrogen that later were called Zeppelins; the first of which had its maiden flight in 1900. Regularly scheduled flights started in 1910 and by the outbreak of World War I in August 1914, they had carried 35,000 passengers without a serious incident. Hydrogen-lifted airships were used as observation platforms and bombers during the war. The first non-stop transatlantic crossing was made by the British airship R34 in 1919. Regular passenger service resumed in the 1920s and the discovery of helium reserves in the United States promised increased safety, but the U.S. government refused to sell the gas for this purpose. Therefore, H2 was used in the Hindenburg airship, which was destroyed in a midair fire over New Jersey on 6 May 1937. The incident was broadcast live on radio and filmed. Ignition of leaking hydrogen is widely assumed to be the cause, but later investigations pointed to the ignition of the aluminized fabric coating by static electricity. But the damage to hydrogen's reputation as a lifting gas was already done and commercial hydrogen airship travel ceased. Hydrogen is still used, in preference to non-flammable but more expensive helium, as a lifting gas for weather balloons. In the same year, the first hydrogen-cooled turbogenerator went into service with gaseous hydrogen as a coolant in the rotor and the stator in 1937 at Dayton, Ohio, by the Dayton Power & Light Co.; because of the thermal conductivity and very low viscosity of hydrogen gas, thus lower drag than air, this is the most common type in its field today for large generators (typically 60 MW and bigger; smaller generators are usually air-cooled). The nickel hydrogen battery was used for the first time in 1977 aboard the U.S. Navy's Navigation technology satellite-2 (NTS-2). For example, the ISS, Mars Odyssey and the Mars Global Surveyor are equipped with nickel-hydrogen batteries. In the dark part of its orbit, the Hubble Space Telescope is also powered by nickel-hydrogen batteries, which were finally replaced in May 2009, more than 19 years after launch and 13 years beyond their design life. Role in quantum theory Because of its simple atomic structure, consisting only of a proton and an electron, the hydrogen atom, together with the spectrum of light produced from it or absorbed by it, has been central to the development of the theory of atomic structure. Furthermore, study of the corresponding simplicity of the hydrogen molecule and the corresponding cation brought understanding of the nature of the chemical bond, which followed shortly after the quantum mechanical treatment of the hydrogen atom had been developed in the mid-1920s. One of the first quantum effects to be explicitly noticed (but not understood at the time) was a Maxwell observation involving hydrogen, half a century before full quantum mechanical theory arrived. Maxwell observed that the specific heat capacity of H2 unaccountably departs from that of a diatomic gas below room temperature and begins to increasingly resemble that of a monatomic gas at cryogenic temperatures. According to quantum theory, this behavior arises from the spacing of the (quantized) rotational energy levels, which are particularly wide-spaced in H2 because of its low mass. These widely spaced levels inhibit equal partition of heat energy into rotational motion in hydrogen at low temperatures. Diatomic gases composed of heavier atoms do not have such widely spaced levels and do not exhibit the same effect. Antihydrogen () is the antimatter counterpart to hydrogen. It consists of an antiproton with a positron. Antihydrogen is the only type of antimatter atom to have been produced . Cosmic prevalence and distribution Hydrogen, as atomic H, is the most abundant chemical element in the universe, making up 75 percent of normal matter by mass and more than 90 percent by number of atoms. (Most of the mass of the universe, however, is not in the form of chemical-element type matter, but rather is postulated to occur as yet-undetected forms of mass such as dark matter and dark energy.) This element is found in great abundance in stars and gas giant planets. Molecular clouds of H2 are associated with star formation. Hydrogen plays a vital role in powering stars through the proton-proton reaction in case of stars with very low to approximately 1 mass of the Sun and the CNO cycle of nuclear fusion in case of stars more massive than our Sun. States Throughout the universe, hydrogen is mostly found in the atomic and plasma states, with properties quite distinct from those of molecular hydrogen. As a plasma, hydrogen's electron and proton are not bound together, resulting in very high electrical conductivity and high emissivity (producing the light from the Sun and other stars). The charged particles are highly influenced by magnetic and electric fields. For example, in the solar wind they interact with the Earth's magnetosphere giving rise to Birkeland currents and the aurora. Hydrogen is found in the neutral atomic state in the interstellar medium because the atoms seldom collide and combine. They are the source of the 21-cm hydrogen line at 1420 MHz that is detected in order to probe primordial hydrogen. The large amount of neutral hydrogen found in the damped Lyman-alpha systems is thought to dominate the cosmological baryonic density of the universe up to a redshift of z = 4. Under ordinary conditions on Earth, elemental hydrogen exists as the diatomic gas, H2. Hydrogen gas is very rare in the Earth's atmosphere (1 ppm by volume) because of its light weight, which enables it to escape from the atmosphere more rapidly than heavier gases. However, hydrogen is the third most abundant element on the Earth's surface, mostly in the form of chemical compounds such as hydrocarbons and water. A molecular form called protonated molecular hydrogen () is found in the interstellar medium, where it is generated by ionization of molecular hydrogen from cosmic rays. This ion has also been observed in the upper atmosphere of the planet Jupiter. The ion is relatively stable in the environment of outer space due to the low temperature and density. is one of the most abundant ions in the universe, and it plays a notable role in the chemistry of the interstellar medium. Neutral triatomic hydrogen H3 can exist only in an excited form and is unstable. By contrast, the positive hydrogen molecular ion () is a rare molecule in the universe. Production is produced in chemistry and biology laboratories, often as a by-product of other reactions; in industry for the hydrogenation of unsaturated substrates; and in nature as a means of expelling reducing equivalents in biochemical reactions. Water electrolysis The electrolysis of water is a simple method of producing hydrogen. A current is run through the water, and gaseous oxygen forms at the anode while gaseous hydrogen forms at the cathode. Typically the cathode is made from platinum or another inert metal when producing hydrogen for storage. If, however, the gas is to be burnt on site, oxygen is desirable to assist the combustion, and so both electrodes would be made from inert metals. (Iron, for instance, would oxidize, and thus decrease the amount of oxygen given off.) The theoretical maximum efficiency (electricity used vs. energetic value of hydrogen produced) is in the range 88–94%. 2 (l) → 2 (g) + (g) Methane pyrolysis (industrial method) Hydrogen production using natural gas methane pyrolysis is a recent "no greenhouse gas" one-step process. Developing volume production using this method is the key to enabling faster carbon reduction by using hydrogen in industrial processes, fuel cell electric heavy truck transportation, and in gas turbine electric power generation. Methane pyrolysis is performed by having methane bubbled up through the molten metal catalyst at high temperatures (1340 K, 1065 °C or 1950 °F). This causes the methane to break down into gas and solid carbon C, with no emission of greenhouse gas. (g) → C(s) + 2 (g) ΔH° = 74 kJ/mol The industrial quality solid carbon may be sold as manufacturing feedstock or permanently landfilled, it is not released into the atmosphere and no ground water pollution in landfill. Methane pyrolysis is in development and considered suitable for commercial bulk hydrogen production. Volume production is being evaluated in the BASF "methane pyrolysis at scale" pilot plant. Further research continues in several laboratories, including at Karlsruhe Liquid-metal Laboratory (KALLA) and the chemical engineering laboratory at University of California – Santa Barbara Other industrial methods Hydrogen is often produced by reacting water with methane and carbon monoxide, which causes the removal of hydrogen from hydrocarbons at very high temperatures, with 48% of hydrogen production coming from steam reforming. The water vapor is then reacted with the carbon monoxide produced by steam reforming to oxidize it to carbon dioxide and turn the water into hydrogen. Commercial bulk hydrogen is usually produced by the steam reforming of natural gas with release of atmospheric greenhouse gas or with capture using CCS and climate change mitigation. Steam reforming is also known as the Bosch process and is widely used for the industrial preparation of hydrogen. At high temperatures (1000–1400 K, 700–1100 °C or 1300–2000 °F), steam (water vapor) reacts with methane to yield carbon monoxide and . + → CO + 3 This reaction is favored at low pressures but is nonetheless conducted at high pressures (2.0 MPa, 20 atm or 600 inHg). This is because high-pressure is the most marketable product, and pressure swing adsorption (PSA) purification systems work better at higher pressures. The product mixture is known as "synthesis gas" because it is often used directly for the production of methanol and related compounds. Hydrocarbons other than methane can be used to produce synthesis gas with varying product ratios. One of the many complications to this highly optimized technology is the formation of coke or carbon: → C + 2 Consequently, steam reforming typically employs an excess of . Additional hydrogen can be recovered from the steam by use of carbon monoxide through the water gas shift reaction, especially with an iron oxide catalyst. This reaction is also a common industrial source of carbon dioxide: CO + → + Other important methods for CO and production include partial oxidation of hydrocarbons: 2 + → 2 CO + 4 and the coal reaction, which can serve as a prelude to the shift reaction above: C + → CO + Hydrogen is sometimes produced and consumed in the same industrial process, without being separated. In the Haber process for the production of ammonia, hydrogen is generated from natural gas. Electrolysis of brine to yield chlorine also produces hydrogen as a co-product. Metal-acid Many metals react with water to produce , but the rate of hydrogen evolution depends on the metal, the pH, and the presence alloying agents. Most commonly, hydrogen evolution is induced by acids. The alkali and alkaline earth metals, aluminium, zinc, manganese, and iron react readily with aqueous acids. This reaction is the basis of the Kipp's apparatus, which once was used as a laboratory gas source: Zn + 2 → + In the absence of acid, the evolution of is slower. Because iron is widely used structural material, its anaerobic corrosion is of technological significance: Fe + 2 O → + Many metals, such as aluminium, are slow to react with water because they form passivated coatings of oxides. An alloy of aluminium and gallium, however, does react with water. At high pH, aluminium can produce : 2 Al + 6 + 2 → 2 + 3 Some metal-containing compounds react with acids to evolve . Under anaerobic conditions, ferrous hydroxide () can be oxidized by the protons of water to form magnetite and . This process is described by the Schikorr reaction: 3 → + 2 O + This process occurs during the anaerobic corrosion of iron and steel in oxygen-free groundwater and in reducing soils below the water table. Thermochemical More than 200 thermochemical cycles can be used for water splitting. Many of these cycles such as the iron oxide cycle, cerium(IV) oxide–cerium(III) oxide cycle, zinc zinc-oxide cycle, sulfur-iodine cycle, copper-chlorine cycle and hybrid sulfur cycle have been evaluated for their commercial potential to produce hydrogen and oxygen from
to empty the reserve, with sales starting by 2005. Helium produced between 1930 and 1945 was about 98.3% pure (2% nitrogen), which was adequate for airships. In 1945, a small amount of 99.9% helium was produced for welding use. By 1949, commercial quantities of Grade A 99.95% helium were available. For many years, the United States produced more than 90% of commercially usable helium in the world, while extraction plants in Canada, Poland, Russia, and other nations produced the remainder. In the mid-1990s, a new plant in Arzew, Algeria, producing 17 million cubic meters (600 million cubic feet) began operation, with enough production to cover all of Europe's demand. Meanwhile, by 2000, the consumption of helium within the U.S. had risen to more than 15 million kg per year. In 2004–2006, additional plants in Ras Laffan, Qatar, and Skikda, Algeria were built. Algeria quickly became the second leading producer of helium. Through this time, both helium consumption and the costs of producing helium increased. From 2002 to 2007 helium prices doubled. , the United States National Helium Reserve accounted for 30 percent of the world's helium. The reserve was expected to run out of helium in 2018. Despite that, a proposed bill in the United States Senate would allow the reserve to continue to sell the gas. Other large reserves were in the Hugoton in Kansas, United States, and nearby gas fields of Kansas and the panhandles of Texas and Oklahoma. New helium plants were scheduled to open in 2012 in Qatar, Russia, and the US state of Wyoming, but they were not expected to ease the shortage. In 2013, Qatar started up the world's largest helium unit, although the 2017 Qatar diplomatic crisis severely affected helium production there. 2014 was widely acknowledged to be a year of over-supply in the helium business, following years of renowned shortages. Nasdaq reported (2015) that for Air Products, an international corporation that sells gases for industrial use, helium volumes remain under economic pressure due to feedstock supply constraints. Characteristics The helium atom Helium in quantum mechanics In the perspective of quantum mechanics, helium is the second simplest atom to model, following the hydrogen atom. Helium is composed of two electrons in atomic orbitals surrounding a nucleus containing two protons and (usually) two neutrons. As in Newtonian mechanics, no system that consists of more than two particles can be solved with an exact analytical mathematical approach (see 3-body problem) and helium is no exception. Thus, numerical mathematical methods are required, even to solve the system of one nucleus and two electrons. Such computational chemistry methods have been used to create a quantum mechanical picture of helium electron binding which is accurate to within < 2% of the correct value, in a few computational steps. Such models show that each electron in helium partly screens the nucleus from the other, so that the effective nuclear charge Z which each electron sees, is about 1.69 units, not the 2 charges of a classic "bare" helium nucleus. The related stability of the helium-4 nucleus and electron shell The nucleus of the helium-4 atom is identical with an alpha particle. High-energy electron-scattering experiments show its charge to decrease exponentially from a maximum at a central point, exactly as does the charge density of helium's own electron cloud. This symmetry reflects similar underlying physics: the pair of neutrons and the pair of protons in helium's nucleus obey the same quantum mechanical rules as do helium's pair of electrons (although the nuclear particles are subject to a different nuclear binding potential), so that all these fermions fully occupy 1s orbitals in pairs, none of them possessing orbital angular momentum, and each cancelling the other's intrinsic spin. Adding another of any of these particles would require angular momentum and would release substantially less energy (in fact, no nucleus with five nucleons is stable). This arrangement is thus energetically extremely stable for all these particles, and this stability accounts for many crucial facts regarding helium in nature. For example, the stability and low energy of the electron cloud state in helium accounts for the element's chemical inertness, and also the lack of interaction of helium atoms with each other, producing the lowest melting and boiling points of all the elements. In a similar way, the particular energetic stability of the helium-4 nucleus, produced by similar effects, accounts for the ease of helium-4 production in atomic reactions that involve either heavy-particle emission or fusion. Some stable helium-3 (2 protons and 1 neutron) is produced in fusion reactions from hydrogen, but it is a very small fraction compared to the highly favorable helium-4. The unusual stability of the helium-4 nucleus is also important cosmologically: it explains the fact that in the first few minutes after the Big Bang, as the "soup" of free protons and neutrons which had initially been created in about 6:1 ratio cooled to the point that nuclear binding was possible, almost all first compound atomic nuclei to form were helium-4 nuclei. So tight was helium-4 binding that helium-4 production consumed nearly all of the free neutrons in a few minutes, before they could beta-decay, and also leaving few to form heavier atoms such as lithium, beryllium, or boron. Helium-4 nuclear binding per nucleon is stronger than in any of these elements (see nucleogenesis and binding energy) and thus, once helium had been formed, no energetic drive was available to make elements 3, 4 and 5. It was barely energetically favorable for helium to fuse into the next element with a lower energy per nucleon, carbon. However, due to lack of intermediate elements, this process requires three helium nuclei striking each other nearly simultaneously (see triple alpha process). There was thus no time for significant carbon to be formed in the few minutes after the Big Bang, before the early expanding universe cooled to the temperature and pressure point where helium fusion to carbon was no longer possible. This left the early universe with a very similar ratio of hydrogen/helium as is observed today (3 parts hydrogen to 1 part helium-4 by mass), with nearly all the neutrons in the universe trapped in helium-4. All heavier elements (including those necessary for rocky planets like the Earth, and for carbon-based or other life) have thus been created since the Big Bang in stars which were hot enough to fuse helium itself. All elements other than hydrogen and helium today account for only 2% of the mass of atomic matter in the universe. Helium-4, by contrast, makes up about 23% of the universe's ordinary matter—nearly all the ordinary matter that is not hydrogen. Gas and plasma phases Helium is the second least reactive noble gas after neon, and thus the second least reactive of all elements. It is chemically inert and monatomic in all standard conditions. Because of helium's relatively low molar (atomic) mass, its thermal conductivity, specific heat, and sound speed in the gas phase are all greater than any other gas except hydrogen. For these reasons and the small size of helium monatomic molecules, helium diffuses through solids at a rate three times that of air and around 65% that of hydrogen. Helium is the least water-soluble monatomic gas, and one of the least water-soluble of any gas (CF4, SF6, and C4F8 have lower mole fraction solubilities: 0.3802, 0.4394, and 0.2372 x2/10−5, respectively, versus helium's 0.70797 x2/10−5), and helium's index of refraction is closer to unity than that of any other gas. Helium has a negative Joule–Thomson coefficient at normal ambient temperatures, meaning it heats up when allowed to freely expand. Only below its Joule–Thomson inversion temperature (of about 32 to 50 K at 1 atmosphere) does it cool upon free expansion. Once precooled below this temperature, helium can be liquefied through expansion cooling. Most extraterrestrial helium is found in a plasma state, with properties quite different from those of atomic helium. In a plasma, helium's electrons are not bound to its nucleus, resulting in very high electrical conductivity, even when the gas is only partially ionized. The charged particles are highly influenced by magnetic and electric fields. For example, in the solar wind together with ionized hydrogen, the particles interact with the Earth's magnetosphere, giving rise to Birkeland currents and the aurora. Liquid helium Unlike any other element, helium will remain liquid down to absolute zero at normal pressures. This is a direct effect of quantum mechanics: specifically, the zero point energy of the system is too high to allow freezing. Solid helium requires a temperature of 1–1.5 K (about −272 °C or −457 °F) at about 25 bar (2.5 MPa) of pressure. It is often hard to distinguish solid from liquid helium since the refractive index of the two phases are nearly the same. The solid has a sharp melting point and has a crystalline structure, but it is highly compressible; applying pressure in a laboratory can decrease its volume by more than 30%. With a bulk modulus of about 27 MPa it is ~100 times more compressible than water. Solid helium has a density of at 1.15 K and 66 atm; the projected density at 0 K and 25 bar (2.5 MPa) is . At higher temperatures, helium will solidify with sufficient pressure. At room temperature, this requires about 114,000 atm. Helium I Below its boiling point of and above the lambda point of , the isotope helium-4 exists in a normal colorless liquid state, called helium I. Like other cryogenic liquids, helium I boils when it is heated and contracts when its temperature is lowered. Below the lambda point, however, helium does not boil, and it expands as the temperature is lowered further. Helium I has a gas-like index of refraction of 1.026 which makes its surface so hard to see that floats of Styrofoam are often used to show where the surface is. This colorless liquid has a very low viscosity and a density of 0.145–0.125 g/mL (between about 0 and 4 K), which is only one-fourth the value expected from classical physics. Quantum mechanics is needed to explain this property and thus both states of liquid helium (helium I and helium II) are called quantum fluids, meaning they display atomic properties on a macroscopic scale. This may be an effect of its boiling point being so close to absolute zero, preventing random molecular motion (thermal energy) from masking the atomic properties. Helium II Liquid helium below its lambda point (called helium II) exhibits very unusual characteristics. Due to its high thermal conductivity, when it boils, it does not bubble but rather evaporates directly from its surface. Helium-3 also has a superfluid phase, but only at much lower temperatures; as a result, less is known about the properties of the isotope. Helium II is a superfluid, a quantum mechanical state (see: macroscopic quantum phenomena) of matter with strange properties. For example, when it flows through capillaries as thin as 10−7 to 10−8 m it has no measurable viscosity. However, when measurements were done between two moving discs, a viscosity comparable to that of gaseous helium was observed. Current theory explains this using the two-fluid model for helium II. In this model, liquid helium below the lambda point is viewed as containing a proportion of helium atoms in a ground state, which are superfluid and flow with exactly zero viscosity, and a proportion of helium atoms in an excited state, which behave more like an ordinary fluid. In the fountain effect, a chamber is constructed which is connected to a reservoir of helium II by a sintered disc through which superfluid helium leaks easily but through which non-superfluid helium cannot pass. If the interior of the container is heated, the superfluid helium changes to non-superfluid helium. In order to maintain the equilibrium fraction of superfluid helium, superfluid helium leaks through and increases the pressure, causing liquid to fountain out of the container. The thermal conductivity of helium II is greater than that of any other known substance, a million times that of helium I and several hundred times that of copper. This is because heat conduction occurs by an exceptional quantum mechanism. Most materials that conduct heat well have a valence band of free electrons which serve to transfer the heat. Helium II has no such valence band but nevertheless conducts heat well. The flow of heat is governed by equations that are similar to the wave equation used to characterize sound propagation in air. When heat is introduced, it moves at 20 meters per second at 1.8 K through helium II as waves in a phenomenon known as second sound. Helium II also exhibits a creeping effect. When a surface extends past the level of helium II, the helium II moves along the surface, against the force of gravity. Helium II will escape from a vessel that is not sealed by creeping along the sides until it reaches a warmer region where it evaporates. It moves in a 30 nm-thick film regardless of surface material. This film is called a Rollin film and is named after the man who first characterized this trait, Bernard V. Rollin. As a result of this creeping behavior and helium II's ability to leak rapidly through tiny openings, it is very difficult to confine. Unless the container is carefully constructed, the helium II will creep along the surfaces and through valves until it reaches somewhere warmer, where it will evaporate. Waves propagating across a Rollin film are governed by the same equation as gravity waves in shallow water, but rather than gravity, the restoring force is the van der Waals force. These waves are known as third sound. Isotopes There are nine known isotopes of helium, but only helium-3 and helium-4 are stable. In the Earth's atmosphere, one atom is for every million that are . Unlike most elements, helium's isotopic abundance varies greatly by origin, due to the different formation processes. The most common isotope, helium-4, is produced on Earth by alpha decay of heavier radioactive elements; the alpha particles that emerge are fully ionized helium-4 nuclei. Helium-4 is an unusually stable nucleus because its nucleons are arranged into complete shells. It was also formed in enormous quantities during Big Bang nucleosynthesis. Helium-3 is present on Earth only in trace amounts. Most of it has been present since Earth's formation, though some falls to Earth trapped in cosmic dust. Trace amounts are also produced by the beta decay of tritium. Rocks from the Earth's crust have isotope ratios varying by as much as a factor of ten, and these ratios can be used to investigate the origin of rocks and the composition of the Earth's mantle. is much more abundant in stars as a product of nuclear fusion. Thus in the interstellar medium, the proportion of to is about 100 times higher than on Earth. Extraplanetary material, such as lunar and asteroid regolith, have trace amounts of helium-3 from being bombarded by solar winds. The Moon's surface contains helium-3 at concentrations on the order of 10 ppb, much higher than the approximately 5 ppt found in the Earth's atmosphere. A number of people, starting with Gerald Kulcinski in 1986, have proposed to explore the moon, mine lunar regolith, and use the helium-3 for fusion. Liquid helium-4 can be cooled to about using evaporative cooling in a 1-K pot. Similar cooling of helium-3, which has a lower boiling point, can achieve about in a helium-3 refrigerator. Equal mixtures of liquid and below separate into two immiscible phases due to their dissimilarity (they follow different quantum statistics: helium-4 atoms are bosons while helium-3 atoms are fermions). Dilution refrigerators use this immiscibility to achieve temperatures of a few millikelvins. It is possible to produce exotic helium isotopes, which rapidly decay into other substances. The shortest-lived heavy helium isotope is helium-5 with a half-life of . Helium-6 decays by emitting a beta particle and has a half-life of 0.8 second. Helium-7 also emits a beta particle as well as a gamma ray. Helium-7 and helium-8 are created in certain nuclear reactions. Helium-6 and helium-8 are known to exhibit a nuclear halo. Compounds Helium has a valence of zero and is chemically unreactive under all normal conditions. It is an electrical insulator unless ionized. As with the other noble gases, helium has metastable energy levels that allow it to remain ionized in an electrical discharge with a voltage below its ionization potential. Helium can form unstable compounds, known as excimers, with tungsten, iodine, fluorine, sulfur, and phosphorus when
helium II is greater than that of any other known substance, a million times that of helium I and several hundred times that of copper. This is because heat conduction occurs by an exceptional quantum mechanism. Most materials that conduct heat well have a valence band of free electrons which serve to transfer the heat. Helium II has no such valence band but nevertheless conducts heat well. The flow of heat is governed by equations that are similar to the wave equation used to characterize sound propagation in air. When heat is introduced, it moves at 20 meters per second at 1.8 K through helium II as waves in a phenomenon known as second sound. Helium II also exhibits a creeping effect. When a surface extends past the level of helium II, the helium II moves along the surface, against the force of gravity. Helium II will escape from a vessel that is not sealed by creeping along the sides until it reaches a warmer region where it evaporates. It moves in a 30 nm-thick film regardless of surface material. This film is called a Rollin film and is named after the man who first characterized this trait, Bernard V. Rollin. As a result of this creeping behavior and helium II's ability to leak rapidly through tiny openings, it is very difficult to confine. Unless the container is carefully constructed, the helium II will creep along the surfaces and through valves until it reaches somewhere warmer, where it will evaporate. Waves propagating across a Rollin film are governed by the same equation as gravity waves in shallow water, but rather than gravity, the restoring force is the van der Waals force. These waves are known as third sound. Isotopes There are nine known isotopes of helium, but only helium-3 and helium-4 are stable. In the Earth's atmosphere, one atom is for every million that are . Unlike most elements, helium's isotopic abundance varies greatly by origin, due to the different formation processes. The most common isotope, helium-4, is produced on Earth by alpha decay of heavier radioactive elements; the alpha particles that emerge are fully ionized helium-4 nuclei. Helium-4 is an unusually stable nucleus because its nucleons are arranged into complete shells. It was also formed in enormous quantities during Big Bang nucleosynthesis. Helium-3 is present on Earth only in trace amounts. Most of it has been present since Earth's formation, though some falls to Earth trapped in cosmic dust. Trace amounts are also produced by the beta decay of tritium. Rocks from the Earth's crust have isotope ratios varying by as much as a factor of ten, and these ratios can be used to investigate the origin of rocks and the composition of the Earth's mantle. is much more abundant in stars as a product of nuclear fusion. Thus in the interstellar medium, the proportion of to is about 100 times higher than on Earth. Extraplanetary material, such as lunar and asteroid regolith, have trace amounts of helium-3 from being bombarded by solar winds. The Moon's surface contains helium-3 at concentrations on the order of 10 ppb, much higher than the approximately 5 ppt found in the Earth's atmosphere. A number of people, starting with Gerald Kulcinski in 1986, have proposed to explore the moon, mine lunar regolith, and use the helium-3 for fusion. Liquid helium-4 can be cooled to about using evaporative cooling in a 1-K pot. Similar cooling of helium-3, which has a lower boiling point, can achieve about in a helium-3 refrigerator. Equal mixtures of liquid and below separate into two immiscible phases due to their dissimilarity (they follow different quantum statistics: helium-4 atoms are bosons while helium-3 atoms are fermions). Dilution refrigerators use this immiscibility to achieve temperatures of a few millikelvins. It is possible to produce exotic helium isotopes, which rapidly decay into other substances. The shortest-lived heavy helium isotope is helium-5 with a half-life of . Helium-6 decays by emitting a beta particle and has a half-life of 0.8 second. Helium-7 also emits a beta particle as well as a gamma ray. Helium-7 and helium-8 are created in certain nuclear reactions. Helium-6 and helium-8 are known to exhibit a nuclear halo. Compounds Helium has a valence of zero and is chemically unreactive under all normal conditions. It is an electrical insulator unless ionized. As with the other noble gases, helium has metastable energy levels that allow it to remain ionized in an electrical discharge with a voltage below its ionization potential. Helium can form unstable compounds, known as excimers, with tungsten, iodine, fluorine, sulfur, and phosphorus when it is subjected to a glow discharge, to electron bombardment, or reduced to plasma by other means. The molecular compounds HeNe, HgHe10, and WHe2, and the molecular ions , , , and have been created this way. HeH+ is also stable in its ground state, but is extremely reactive—it is the strongest Brønsted acid known, and therefore can exist only in isolation, as it will protonate any molecule or counteranion it contacts. This technique has also produced the neutral molecule He2, which has a large number of band systems, and HgHe, which is apparently held together only by polarization forces. Van der Waals compounds of helium can also be formed with cryogenic helium gas and atoms of some other substance, such as LiHe and He2. Theoretically, other true compounds may be possible, such as helium fluorohydride (HHeF) which would be analogous to HArF, discovered in 2000. Calculations show that two new compounds containing a helium-oxygen bond could be stable. Two new molecular species, predicted using theory, CsFHeO and N(CH3)4FHeO, are derivatives of a metastable FHeO− anion first theorized in 2005 by a group from Taiwan. If confirmed by experiment, the only remaining element with no known stable compounds would be neon. Helium atoms have been inserted into the hollow carbon cage molecules (the fullerenes) by heating under high pressure. The endohedral fullerene molecules formed are stable at high temperatures. When chemical derivatives of these fullerenes are formed, the helium stays inside. If helium-3 is used, it can be readily observed by helium nuclear magnetic resonance spectroscopy. Many fullerenes containing helium-3 have been reported. Although the helium atoms are not attached by covalent or ionic bonds, these substances have distinct properties and a definite composition, like all stoichiometric chemical compounds. Under high pressures helium can form compounds with various other elements. Helium-nitrogen clathrate (He(N2)11) crystals have been grown at room temperature at pressures ca. 10 GPa in a diamond anvil cell. The insulating electride Na2He has been shown to be thermodynamically stable at pressures above 113 GPa. It has a fluorite structure. Occurrence and production Natural abundance Although it is rare on Earth, helium is the second most abundant element in the known Universe, constituting 23% of its baryonic mass. Only hydrogen is more abundant. The vast majority of helium was formed by Big Bang nucleosynthesis one to three minutes after the Big Bang. As such, measurements of its abundance contribute to cosmological models. In stars, it is formed by the nuclear fusion of hydrogen in proton–proton chain reactions and the CNO cycle, part of stellar nucleosynthesis. In the Earth's atmosphere, the concentration of helium by volume is only 5.2 parts per million. The concentration is low and fairly constant despite the continuous production of new helium because most helium in the Earth's atmosphere escapes into space by several processes. In the Earth's heterosphere, a part of the upper atmosphere, helium and other lighter gases are the most abundant elements. Most helium on Earth is a result of radioactive decay. Helium is found in large amounts in minerals of uranium and thorium, including uraninite and its varieties cleveite and pitchblende, carnotite and monazite (a group name; "monazite" usually refers to monazite-(Ce)), because they emit alpha particles (helium nuclei, He2+) to which electrons immediately combine as soon as the particle is stopped by the rock. In this way an estimated 3000 metric tons of helium are generated per year throughout the lithosphere. In the Earth's crust, the concentration of helium is 8 parts per billion. In seawater, the concentration is only 4 parts per trillion. There are also small amounts in mineral springs, volcanic gas, and meteoric iron. Because helium is trapped in the subsurface under conditions that also trap natural gas, the greatest natural concentrations of helium on the planet are found in natural gas, from which most commercial helium is extracted. The concentration varies in a broad range from a few ppm to more than 7% in a small gas field in San Juan County, New Mexico. the world's helium reserves were estimated at 31 billion cubic meters, with a third of that being in Qatar. In 2015 and 2016 additional probable reserves were announced to be under the Rocky Mountains in North America and in the East African Rift. Modern extraction and distribution For large-scale use, helium is extracted by fractional distillation from natural gas, which can contain as much as 7% helium. Since helium has a lower boiling point than any other element, low temperature and high pressure are used to liquefy nearly all the other gases (mostly nitrogen and methane). The resulting crude helium gas is purified by successive exposures to lowering temperatures, in which almost all of the remaining nitrogen and other gases are precipitated out of the gaseous mixture. Activated charcoal is used as a final purification step, usually resulting in 99.995% pure Grade-A helium. The principal impurity in Grade-A helium is neon. In a final production step, most of the helium that is produced is liquefied via a cryogenic process. This is necessary for applications requiring liquid helium and also allows helium suppliers to reduce the cost of long-distance transportation, as the largest liquid helium containers have more than five times the capacity of the largest gaseous helium tube trailers. In 2008, approximately 169 million standard cubic meters (SCM) of helium were extracted from natural gas or withdrawn from helium reserves with approximately 78% from the United States, 10% from Algeria, and most of the remainder from Russia, Poland and Qatar. By 2013, increases in helium production in Qatar (under the company RasGas managed by Air Liquide) had increased Qatar's fraction of world helium production to 25%, and made it the second largest exporter after the United States. An estimated deposit of helium was found in Tanzania in 2016. A large-scale helium plant was opened in Ningxia, China in 2020. In the United States, most helium is extracted from natural gas of the Hugoton and nearby gas fields in Kansas, Oklahoma, and the Panhandle Field in Texas. Much of this gas was once sent by pipeline to the National Helium Reserve, but since 2005 this reserve is being depleted and sold off, and is expected to be largely depleted by 2021, under the October 2013 Responsible Helium Administration and Stewardship Act (H.R. 527). Diffusion of crude natural gas through special semipermeable membranes and other barriers is another method to recover and purify helium. In 1996, the U.S. had proven helium reserves, in such gas well complexes, of about 147 billion standard cubic feet (4.2 billion SCM). At rates of use at that time (72 million SCM per year in the U.S.; see pie chart below) this would have been enough helium for about 58 years of U.S. use, and less than this (perhaps 80% of the time) at world use rates, although factors in saving and processing impact effective reserve numbers. Helium must be extracted from natural gas because it is present in air at only a fraction of that of neon, yet the demand for it is far higher. It is estimated that if all neon production were retooled to save helium, 0.1% of the world's helium demands would be satisfied. Similarly, only 1% of the world's helium demands could be satisfied by re-tooling all air distillation plants. Helium can be synthesized by bombardment of lithium or boron with high-velocity protons, or by bombardment of lithium with deuterons, but these processes are a completely uneconomical method of production. Helium is commercially available in either liquid or gaseous form. As a liquid, it can be supplied in small insulated containers called dewars which hold as much as 1,000 liters of helium, or in large ISO containers which have nominal capacities as large as 42 m3 (around 11,000 U.S. gallons). In gaseous form, small quantities of helium are supplied in high-pressure cylinders holding as much as 8 m3 (approx. 282 standard cubic feet), while large quantities of high-pressure gas are supplied in tube trailers which have capacities of as much as 4,860 m3 (approx. 172,000 standard cubic feet). Conservation advocates According to helium conservationists like Nobel laureate physicist Robert Coleman Richardson, writing in 2010, the free market price of helium has contributed to "wasteful" usage (e.g. for helium balloons). Prices in the 2000s had been lowered by the decision of the U.S. Congress to sell off the country's large helium stockpile by 2015. According to Richardson, the price needed to be multiplied by 20 to eliminate the excessive wasting of helium. In their book, the Future of helium as a natural resource (Routledge, 2012), Nuttall, Clarke & Glowacki (2012) also proposed to create an International Helium Agency (IHA) to build a sustainable market for this precious commodity. Applications While balloons are perhaps the best known use of helium, they are a minor part of all helium use. Helium is used for many purposes that require some of its unique properties, such as its low boiling point, low density, low solubility, high thermal conductivity, or inertness. Of the 2014 world helium total production of about 32 million kg (180 million standard cubic meters) helium per year, the largest use (about 32% of the total in 2014) is in cryogenic applications, most of which involves cooling the superconducting magnets in medical MRI scanners and NMR spectrometers. Other major uses were pressurizing and purging systems, welding, maintenance of controlled atmospheres, and leak detection. Other uses by category were relatively minor fractions. Controlled atmospheres Helium is used as a protective gas in growing silicon and germanium crystals, in titanium and zirconium production, and in gas chromatography, because it is inert. Because of its inertness, thermally and calorically perfect nature, high speed of sound, and high value of the heat capacity ratio, it is also useful in supersonic wind tunnels and impulse facilities. Gas tungsten arc welding Helium is used as a shielding gas in arc welding processes on materials that at welding temperatures are contaminated and weakened by air or nitrogen. A number of inert shielding gases are used in gas tungsten arc welding, but helium is used instead of cheaper argon especially for welding materials that have higher heat conductivity, like aluminium or copper. Minor uses Industrial leak detection One industrial application for helium is leak detection. Because helium diffuses through solids three times faster than air, it is used as a tracer gas to detect leaks in high-vacuum equipment (such as cryogenic tanks) and high-pressure containers. The tested object is placed in a chamber, which is then evacuated and filled with helium. The helium that escapes through the leaks is detected by a sensitive device (helium mass spectrometer), even at the leak rates as small as 10−9 mbar·L/s (10−10 Pa·m3/s). The measurement procedure is normally automatic and is called helium integral test. A simpler procedure is to fill the tested object with helium and to manually search for leaks with a hand-held device. Helium leaks through cracks should not be confused with gas permeation through a bulk material. While helium has documented permeation constants (thus a calculable permeation rate) through glasses, ceramics, and synthetic materials, inert gases such as helium will not permeate most bulk metals. Flight Because it is lighter than air, airships and balloons are inflated with helium for lift. While hydrogen gas is more buoyant, and escapes permeating through a membrane at a lower rate, helium has the advantage of being non-flammable, and indeed fire-retardant. Another minor use is in rocketry, where helium is used as an ullage medium to displace fuel and oxidizers in storage tanks and to condense hydrogen and oxygen to make rocket fuel. It is also used to purge fuel and oxidizer from ground support equipment prior to launch and to pre-cool liquid hydrogen in space vehicles. For example, the Saturn V rocket used in the Apollo program needed about 370,000 m3 (13 million cubic feet) of helium to launch. Minor commercial and recreational uses Helium as a breathing gas has no narcotic properties, so helium mixtures such as trimix, heliox and heliair are used for deep diving to reduce the effects of narcosis, which worsen with increasing depth. As pressure increases with depth, the density of the breathing gas also increases, and the low molecular weight of helium is found to considerably reduce the effort of breathing by lowering the density of the mixture. This reduces the Reynolds number of flow, leading to a reduction of turbulent flow and an increase in laminar flow, which requires less work of breathing. At depths below divers breathing helium–oxygen mixtures begin to experience tremors and a decrease in psychomotor function, symptoms of high-pressure nervous syndrome. This effect may be countered to some extent by adding an amount of narcotic gas such as hydrogen or nitrogen to a helium–oxygen mixture. Helium–neon lasers, a type of low-powered gas laser producing a red beam, had various practical applications which included barcode readers and laser pointers, before they were almost universally replaced by cheaper diode lasers. For its inertness and high thermal conductivity, neutron transparency, and because it does not form radioactive isotopes under reactor conditions, helium is used as a heat-transfer medium in some gas-cooled nuclear reactors. Helium, mixed with a heavier gas such as xenon, is useful for thermoacoustic refrigeration due to the resulting high heat capacity ratio and low Prandtl number. The inertness of helium has environmental advantages over conventional refrigeration systems which contribute to ozone depletion or global warming. Helium is also used in some hard disk drives. Scientific uses The use of helium reduces the distorting effects of temperature variations in the space between lenses in some telescopes, due to its extremely low index of refraction. This method is especially used in solar telescopes where a vacuum tight telescope tube would be too heavy. Helium is a commonly used carrier gas for gas chromatography. The age of rocks and minerals that contain uranium and thorium can be estimated by measuring the level of helium with a process known as helium dating. Helium at low temperatures is used in cryogenics, and in certain cryogenics applications. As examples of applications, liquid helium is used to cool certain metals to the extremely low temperatures required for superconductivity, such as in superconducting magnets for magnetic resonance imaging. The Large Hadron Collider at CERN uses 96 metric tons of liquid helium to maintain the temperature at . Medical uses Helium was approved for medical use in the United States in April 2020 for humans and animals. As a contaminant While chemically inert, helium contamination impairs the operation of microelectromechanical systems (MEMS) such that iPhones may fail. Inhalation and safety Effects Neutral helium at standard conditions is non-toxic, plays no biological role and is found in trace amounts in human blood. The speed of sound in helium is nearly three times the speed of sound in air. Because the natural resonance frequency of a gas-filled cavity is proportional to the speed of sound in the gas, when helium is inhaled, a corresponding increase occurs in the resonant frequencies of the vocal tract, which is the amplifier of vocal sound. This increase in the resonant frequency of the amplifier (the vocal tract) gives an increased amplification to the high-frequency components of the sound wave produced by the direct vibration of the vocal folds, compared to the case when the voice box is filled with air. When a person speaks after inhaling helium gas, the muscles that control the voice box still move in the same way as when the voice box is filled with air, therefore the fundamental frequency (sometimes called pitch) produced by direct vibration of the vocal folds does not change. However, the high-frequency-preferred amplification causes a change in timbre of the amplified sound, resulting in a reedy, duck-like vocal quality. The opposite effect, lowering resonant frequencies, can be obtained by inhaling a dense gas such as sulfur hexafluoride or xenon. Hazards Inhaling helium can be dangerous if done to excess, since helium is a simple asphyxiant and so displaces oxygen needed for normal respiration. Fatalities have been recorded, including a youth who suffocated in Vancouver in 2003 and two adults who suffocated in South Florida in 2006. In 1998, an Australian girl from Victoria fell unconscious and temporarily turned blue after inhaling the entire contents of a party balloon. Inhaling helium directly from pressurized cylinders or even balloon filling valves is extremely dangerous, as high flow rate and pressure can result in barotrauma, fatally rupturing lung tissue. Death caused by helium is rare. The first media-recorded case was that of a 15-year-old girl from Texas who died in 1998 from helium inhalation at a friend's party; the exact type of helium death is unidentified. In the United States only two fatalities were reported between 2000 and 2004, including a man who died in North Carolina of barotrauma in 2002. A youth asphyxiated in Vancouver during 2003, and a 27-year-old man in Australia had an embolism after breathing from a cylinder in 2000. Since then two adults asphyxiated in South Florida in 2006, and there were cases in 2009 and 2010, one a Californian youth who was found with a bag over his head, attached to a helium tank, and another teenager in Northern Ireland died of asphyxiation. At Eagle Point, Oregon a teenage girl died in 2012 from barotrauma at a party. A girl from Michigan died from hypoxia later in the year. On February 4, 2015, it was revealed that, during the recording of their main TV show on January 28, a 12-year-old member (name withheld) of Japanese all-girl singing group 3B Junior suffered from air embolism, losing consciousness and falling into a coma as a result of air bubbles blocking the flow of blood to the brain, after inhaling huge quantities of helium as part of a game. The incident was not made public until a week later. The staff of TV Asahi held an emergency press conference to communicate that the member had been taken to the hospital and is showing signs of rehabilitation such as moving eyes and limbs, but her consciousness has not yet been sufficiently recovered. Police have launched an investigation due to a neglect of safety measures. The safety issues for cryogenic helium are similar to those of liquid nitrogen; its extremely low temperatures can result in cold burns, and the liquid-to-gas expansion ratio can cause explosions if no pressure-relief devices are installed. Containers of helium gas at 5 to 10 K should be handled as if they contain liquid helium due to the rapid and significant thermal expansion that occurs when helium gas at less than 10 K is warmed to room temperature. At high pressures (more than about 20 atm or two MPa), a mixture of helium and oxygen (heliox) can lead to high-pressure nervous syndrome, a sort of reverse-anesthetic effect; adding a small amount of nitrogen to the mixture can alleviate the problem. See also Abiogenic petroleum origin Helium-3 propulsion Leidenfrost effect Superfluid Tracer-gas leak testing method Hamilton Cady Notes References Bibliography External links General U.S. Government's Bureau of Land Management: Sources, Refinement, and Shortage. With some history of helium. U.S. Geological Survey publications on helium beginning 1996: Helium Where is all the helium? Aga website It's Elemental – Helium Chemistry in its element podcast (MP3) from the Royal Society of Chemistry's Chemistry World: Helium International Chemical Safety Cards – Helium; includes health and safety information regarding accidental exposures to helium More detail Helium at The Periodic Table of Videos (University of Nottingham) Helium at the Helsinki University of Technology; includes pressure-temperature phase diagrams for helium-3 and helium-4 Lancaster University, Ultra Low Temperature Physics –
been used in hydrocarbon degradation in attempts to deplete hydrocarbon concentration in polluted soils. Reactions The noteworthy feature of hydrocarbons is their inertness, especially for saturated members. Otherwise, three main types of reactions can be identified: Substitution reaction Addition reaction Combustion Free-radical reactions Substitution reactions only occur in saturated hydrocarbons (single carbon–carbon bonds). Such reactions require highly reactive reagents, such as chlorine and fluorine. In the case of chlorination, one of the chlorine atoms replaces a hydrogen atom. The reactions proceed via free-radical pathways. CH + Cl → CHCl + HCl CHCl + Cl → CHCl + HCl all the way to CCl (carbon tetrachloride) CH + Cl → CHCl + HCl CHCl + Cl → CHCl + HCl all the way to CCl (hexachloroethane) Substitution Of the classes of hydrocarbons, aromatic compounds uniquely (or nearly so) undergo substitution reactions. The chemical process practiced on the largest scale is an example: the reaction of benzene and ethylene to give ethylbenzene. Addition reactions Addition reactions apply to alkenes and alkynes. In this reaction a variety of reagents add "across" the pi-bond(s). Chlorine, hydrogen chloride, water, and hydrogen are illustrative reagents. Alkenes and some alkynes also undergo polymerization, alkene metathesis, and alkyne metathesis. Oxidation Hydrocarbons are currently the main source of the world's electric energy and heat sources (such as home heating) because of the energy produced when they are combusted. Often this energy is used directly as heat such as in home heaters, which use either petroleum or natural gas. The hydrocarbon is burnt and the heat is used to heat water, which is then circulated. A similar principle is used to create electrical energy in power plants. Common properties of hydrocarbons are the facts that they produce steam, carbon dioxide and heat during combustion and that oxygen is required for combustion to take place. The simplest hydrocarbon, methane, burns as follows: CH + 2 O → 2 HO + CO + energy In inadequate supply of air, carbon monoxide gas and water vapour are formed: 2 CH + 3 O → 2 CO + 4 HO Another example is the combustion of propane: CH + 5 O → 4 HO + 3 CO + energy And finally, for any linear alkane of n carbon atoms, CH + O → (n + 1) HO + n CO + energy. Partial oxidation characterizes the reactions of alkenes and oxygen. This process is the basis of rancidification and paint drying. Origin The vast majority of hydrocarbons found on Earth
temperatures, and deeper color. At the opposite extreme from methane lie the heavy tars that remain as the lowest fraction in a crude oil refining retort. They are collected and widely utilized as roofing compounds, pavement composition (bitumen), wood preservatives (the creosote series) and as extremely high viscosity shear-resisting liquids. Some large-scale non-fuel applications of hydrocarbons begins with ethane and propane, which are obtained from petroleum and natural gas. These two gases are converted either to syngas or to ethylene and propylene. These two alkenes are precursors to polymers, including polyethylene, polystyrene, acrylates, polypropylene, etc. Another class of special hydrocarbons is BTX, a mixture of benzene, toluene, and the three xylene isomers. Global consumption of benzene in 2021 is estimated at more than 580 million tons, which will increase to 60 million tons in 2022. Hydrocarbons are also prevalent in nature. Some eusocial arthropods, such as the Brazilian stingless bee, Schwarziana quadripunctata, use unique cuticular hydrocarbon "scents" in order to determine kin from non-kin. This hydrocarbon composition varies between age, sex, nest location, and hierarchal position. There is also potential to harvest hydrocarbons from plants like Euphorbia lathyris and Euphorbia tirucalli as an alternative and renewable energy source for vehicles that use diesel. Furthermore, endophytic bacteria from plants that naturally produce hydrocarbons have been used in hydrocarbon degradation in attempts to deplete hydrocarbon concentration in polluted soils. Reactions The noteworthy feature of hydrocarbons is their inertness, especially for saturated members. Otherwise, three main types of reactions can be identified: Substitution reaction Addition reaction Combustion Free-radical reactions Substitution reactions only occur in saturated hydrocarbons (single carbon–carbon bonds). Such reactions require highly reactive reagents, such as chlorine and fluorine. In the case of chlorination, one of the chlorine atoms replaces a hydrogen atom. The reactions proceed via free-radical pathways. CH + Cl → CHCl + HCl CHCl + Cl → CHCl + HCl all the way to CCl (carbon tetrachloride) CH + Cl → CHCl + HCl CHCl + Cl → CHCl + HCl all the way to CCl (hexachloroethane) Substitution Of the classes of hydrocarbons, aromatic compounds uniquely (or nearly so) undergo substitution reactions. The chemical process practiced on the largest scale is an example: the reaction of benzene and ethylene to give ethylbenzene. Addition reactions Addition reactions apply to alkenes and alkynes. In this reaction a variety of reagents add "across" the pi-bond(s). Chlorine, hydrogen chloride, water, and hydrogen are illustrative reagents. Alkenes and some alkynes also undergo polymerization, alkene metathesis, and alkyne metathesis. Oxidation Hydrocarbons
parts per million of hydrogen bromide can be lethal to humans. Hydrogen iodide, like other hydrogen halides, is toxic. Metal halides All the halogens are known to react with sodium to form sodium fluoride, sodium chloride, sodium bromide, sodium iodide, and sodium astatide. Heated sodium's reaction with halogens produces bright-orange flames. Sodium's reaction with chlorine is in the form of: Iron reacts with fluorine, chlorine, and bromine to form Iron(III) halides. These reactions are in the form of: However, when iron reacts with iodine, it forms only iron(II) iodide. Iron wool can react rapidly with fluorine to form the white compound iron(III) fluoride even in cold temperatures. When chlorine comes into contact with a heated iron, they react to form the black iron (III) chloride. However, if the reaction conditions are moist, this reaction will instead result in a reddish-brown product. Iron can also react with bromine to form iron(III) bromide. This compound is reddish-brown in dry conditions. Iron's reaction with bromine is less reactive than its reaction with fluorine or chlorine. A hot iron can also react with iodine, but it forms iron(II) iodide. This compound may be gray, but the reaction is always contaminated with excess iodine, so it is not known for sure. Iron's reaction with iodine is less vigorous than its reaction with the lighter halogens. Interhalogen compounds Interhalogen compounds are in the form of XYn where X and Y are halogens and n is one, three, five, or seven. Interhalogen compounds contain at most two different halogens. Large interhalogens, such as can be produced by a reaction of a pure halogen with a smaller interhalogen such as . All interhalogens except can be produced by directly combining pure halogens in various conditions. Interhalogens are typically more reactive than all diatomic halogen molecules except F2 because interhalogen bonds are weaker. However, the chemical properties of interhalogens are still roughly the same as those of diatomic halogens. Many interhalogens consist of one or more atoms of fluorine bonding to a heavier halogen. Chlorine can bond with up to 3 fluorine atoms, bromine can bond with up to five fluorine atoms, and iodine can bond with up to seven fluorine atoms. Most interhalogen compounds are covalent gases. However, some interhalogens are liquids, such as BrF3, and many iodine-containing interhalogens are solids. Organohalogen compounds Many synthetic organic compounds such as plastic polymers, and a few natural ones, contain halogen atoms; these are known as halogenated compounds or organic halides. Chlorine is by far the most abundant of the halogens in seawater, and the only one needed in relatively large amounts (as chloride ions) by humans. For example, chloride ions play a key role in brain function by mediating the action of the inhibitory transmitter GABA and are also used by the body to produce stomach acid. Iodine is needed in trace amounts for the production of thyroid hormones such as thyroxine. Organohalogens are also synthesized through the nucleophilic abstraction reaction. Polyhalogenated compounds Polyhalogenated compounds are industrially created compounds substituted with multiple halogens. Many of them are very toxic and bioaccumulate in humans, and have a very wide application range. They include PCBs, PBDEs, and perfluorinated compounds (PFCs), as well as numerous other compounds. Reactions Reactions with water Fluorine reacts vigorously with water to produce oxygen (O2) and hydrogen fluoride (HF): Chlorine has maximum solubility of ca. 7.1 g Cl2 per kg of water at ambient temperature (21 °C). Dissolved chlorine reacts to form hydrochloric acid (HCl) and hypochlorous acid, a solution that can be used as a disinfectant or bleach: Bromine has a solubility of 3.41 g per 100 g of water, but it slowly reacts to form hydrogen bromide (HBr) and hypobromous acid (HBrO): Iodine, however, is minimally soluble in water (0.03 g/100 g water at 20 °C) and does not react with it. However, iodine will form an aqueous solution in the presence of iodide ion, such as by addition of potassium iodide (KI), because the triiodide ion is formed. Physical and atomic The table below is a summary of the key physical and atomic properties of the halogens. Data marked with question marks are either uncertain or are estimations partially based on periodic trends rather than observations. Isotopes Fluorine has one stable and naturally occurring isotope, fluorine-19. However, there are trace amounts in nature of the radioactive isotope fluorine-23, which occurs via cluster decay of protactinium-231. A total of eighteen isotopes of fluorine have been discovered, with atomic masses ranging from 14 to 31. Chlorine has two stable and naturally occurring isotopes, chlorine-35 and chlorine-37. However, there are trace amounts in nature of the isotope chlorine-36, which occurs via spallation of argon-36. A total of 24 isotopes of chlorine have been discovered, with atomic masses ranging from 28 to 51. There are two stable and naturally occurring isotopes of bromine, bromine-79 and bromine-81. A total of 33 isotopes of bromine have been discovered, with atomic masses ranging from 66 to 98. There is one stable and naturally occurring isotope of iodine, iodine-127. However, there are trace amounts in nature of the radioactive isotope iodine-129, which occurs via spallation and from the radioactive decay of uranium in ores. Several other radioactive isotopes of iodine have also been created naturally via the decay of uranium. A total of 38 isotopes of iodine have been discovered, with atomic masses ranging from 108 to 145. There are no stable isotopes of astatine. However, there are four naturally occurring radioactive isotopes of astatine produced via radioactive decay of uranium, neptunium, and plutonium. These isotopes are astatine-215, astatine-217, astatine-218, and astatine-219. A total of 31 isotopes of astatine have been discovered, with atomic masses ranging from 191 to 227. Tennessine has only two known synthetic radioisotopes, tennessine-293 and tennessine-294. Production Approximately six million metric tons of the fluorine mineral fluorite are produced each year. Four hundred-thousand metric tons of hydrofluoric acid are made each year. Fluorine gas is made from hydrofluoric acid produced as a by-product in phosphoric acid manufacture. Approximately 15,000 metric tons of fluorine gas are made per year. The mineral halite is the mineral that is most commonly mined for chlorine, but the minerals carnallite and sylvite are also mined for chlorine. Forty million metric tons of chlorine are produced each year by the electrolysis of brine. Approximately 450,000 metric tons of bromine are produced each year. Fifty percent of all bromine produced is produced in the United States, 35% in Israel, and most of the remainder in China. Historically, bromine was produced by adding sulfuric acid and bleaching powder to natural brine. However, in modern times, bromine is produced by electrolysis, a method invented by Herbert Dow. It is also possible to produce bromine by passing chlorine through seawater and then passing air through the seawater. In 2003, 22,000 metric tons of iodine were produced. Chile produces 40% of all iodine produced, Japan produces 30%, and smaller amounts are produced in Russia and the United States. Until the 1950s, iodine was extracted from kelp. However, in modern times, iodine is produced in other ways. One way that iodine is produced is by mixing sulfur dioxide with nitrate ores, which contain some iodates. Iodine is also extracted from natural gas fields. Even though astatine is naturally occurring, it is usually produced by bombarding bismuth with alpha particles. Tennessine is made by using a cyclotron, fusing berkelium-249 and calcium-48 to make tennessine-293 and tennessine-294. Applications Disinfectants Both chlorine and bromine are used as disinfectants for drinking water, swimming pools, fresh wounds, spas, dishes, and surfaces. They kill bacteria and other potentially harmful microorganisms through a process known as sterilization. Their reactivity is also put to use in bleaching. Sodium hypochlorite, which is produced from chlorine, is the active ingredient of most fabric bleaches, and chlorine-derived bleaches are used in the production of some paper products. Chlorine also reacts with sodium to create sodium chloride, which is table salt. Lighting Halogen lamps are a type of incandescent lamp using a tungsten filament in bulbs that have small amounts of a halogen, such as iodine or bromine added. This enables the production of lamps that are much smaller than non-halogen incandescent lightbulbs at the same wattage. The gas reduces the thinning of the filament and blackening of the inside of the bulb resulting in a bulb that has a much greater life. Halogen lamps glow at a higher temperature (2800 to 3400 kelvins) with a whiter colour than other incandescent bulbs. However, this requires bulbs to be manufactured from fused quartz rather than silica glass to reduce breakage. Drug components In drug discovery, the incorporation of halogen atoms into a lead drug candidate results in analogues that are usually more lipophilic and less water-soluble. As a consequence, halogen atoms are used to improve penetration through lipid membranes and tissues. It follows that there is a tendency for some halogenated drugs to accumulate in adipose tissue. The chemical reactivity of halogen atoms depends on both their point of attachment to the lead and the nature of the halogen. Aromatic halogen groups are far less reactive than aliphatic halogen groups, which can exhibit considerable chemical reactivity. For aliphatic carbon-halogen bonds, the C-F bond is the strongest and usually less chemically reactive than aliphatic C-H bonds. The other aliphatic-halogen bonds are weaker, their reactivity increasing down the periodic table. They are usually more chemically reactive than aliphatic C-H bonds. As a consequence, the most common halogen substitutions are the less reactive aromatic fluorine and chlorine groups. Biological role Fluoride anions are found in ivory, bones, teeth, blood, eggs, urine, and hair of organisms. Fluoride anions in very small amounts may be essential for humans. There are 0.5 milligrams of fluorine per liter of human blood. Human bones contain 0.2 to 1.2% fluorine. Human tissue contains approximately 50 parts per billion of fluorine. A typical 70-kilogram human contains 3 to 6 grams of fluorine. Chloride anions are essential to a large number of species, humans included. The concentration of chlorine in the dry weight of cereals is 10 to 20 parts per million, while in potatoes the concentration of chloride is 0.5%. Plant growth is adversely affected by chloride levels in the soil falling below 2 parts per million. Human blood contains an average of 0.3% chlorine. Human bone typically contains 900 parts per million of chlorine. Human tissue contains approximately 0.2 to 0.5% chlorine. There is a total of 95 grams of chlorine in a typical 70-kilogram human. Some bromine in the form of the bromide anion is present in all organisms. A biological role for bromine in humans has not been proven, but some organisms contain organobromine compounds. Humans typically consume 1 to 20 milligrams of bromine per day. There are typically 5 parts per million of bromine in human blood, 7 parts per million of bromine in human bones, and 7 parts per million of bromine in human tissue. A typical 70-kilogram human contains 260 milligrams of bromine. Humans typically consume less than 100 micrograms of iodine per day. Iodine deficiency can cause intellectual disability. Organoiodine compounds occur in humans in some of the glands, especially the thyroid gland, as well as the stomach, epidermis, and immune system. Foods containing iodine include cod, oysters, shrimp, herring, lobsters, sunflower seeds, seaweed, and mushrooms. However, iodine is not known to have a biological role in plants. There are typically 0.06 milligrams per liter of iodine in human blood, 300 parts per billion of iodine in human bones, and 50 to 700 parts per billion of iodine in human tissue. There are 10 to 20
role in brain function by mediating the action of the inhibitory transmitter GABA and are also used by the body to produce stomach acid. Iodine is needed in trace amounts for the production of thyroid hormones such as thyroxine. Organohalogens are also synthesized through the nucleophilic abstraction reaction. Polyhalogenated compounds Polyhalogenated compounds are industrially created compounds substituted with multiple halogens. Many of them are very toxic and bioaccumulate in humans, and have a very wide application range. They include PCBs, PBDEs, and perfluorinated compounds (PFCs), as well as numerous other compounds. Reactions Reactions with water Fluorine reacts vigorously with water to produce oxygen (O2) and hydrogen fluoride (HF): Chlorine has maximum solubility of ca. 7.1 g Cl2 per kg of water at ambient temperature (21 °C). Dissolved chlorine reacts to form hydrochloric acid (HCl) and hypochlorous acid, a solution that can be used as a disinfectant or bleach: Bromine has a solubility of 3.41 g per 100 g of water, but it slowly reacts to form hydrogen bromide (HBr) and hypobromous acid (HBrO): Iodine, however, is minimally soluble in water (0.03 g/100 g water at 20 °C) and does not react with it. However, iodine will form an aqueous solution in the presence of iodide ion, such as by addition of potassium iodide (KI), because the triiodide ion is formed. Physical and atomic The table below is a summary of the key physical and atomic properties of the halogens. Data marked with question marks are either uncertain or are estimations partially based on periodic trends rather than observations. Isotopes Fluorine has one stable and naturally occurring isotope, fluorine-19. However, there are trace amounts in nature of the radioactive isotope fluorine-23, which occurs via cluster decay of protactinium-231. A total of eighteen isotopes of fluorine have been discovered, with atomic masses ranging from 14 to 31. Chlorine has two stable and naturally occurring isotopes, chlorine-35 and chlorine-37. However, there are trace amounts in nature of the isotope chlorine-36, which occurs via spallation of argon-36. A total of 24 isotopes of chlorine have been discovered, with atomic masses ranging from 28 to 51. There are two stable and naturally occurring isotopes of bromine, bromine-79 and bromine-81. A total of 33 isotopes of bromine have been discovered, with atomic masses ranging from 66 to 98. There is one stable and naturally occurring isotope of iodine, iodine-127. However, there are trace amounts in nature of the radioactive isotope iodine-129, which occurs via spallation and from the radioactive decay of uranium in ores. Several other radioactive isotopes of iodine have also been created naturally via the decay of uranium. A total of 38 isotopes of iodine have been discovered, with atomic masses ranging from 108 to 145. There are no stable isotopes of astatine. However, there are four naturally occurring radioactive isotopes of astatine produced via radioactive decay of uranium, neptunium, and plutonium. These isotopes are astatine-215, astatine-217, astatine-218, and astatine-219. A total of 31 isotopes of astatine have been discovered, with atomic masses ranging from 191 to 227. Tennessine has only two known synthetic radioisotopes, tennessine-293 and tennessine-294. Production Approximately six million metric tons of the fluorine mineral fluorite are produced each year. Four hundred-thousand metric tons of hydrofluoric acid are made each year. Fluorine gas is made from hydrofluoric acid produced as a by-product in phosphoric acid manufacture. Approximately 15,000 metric tons of fluorine gas are made per year. The mineral halite is the mineral that is most commonly mined for chlorine, but the minerals carnallite and sylvite are also mined for chlorine. Forty million metric tons of chlorine are produced each year by the electrolysis of brine. Approximately 450,000 metric tons of bromine are produced each year. Fifty percent of all bromine produced is produced in the United States, 35% in Israel, and most of the remainder in China. Historically, bromine was produced by adding sulfuric acid and bleaching powder to natural brine. However, in modern times, bromine is produced by electrolysis, a method invented by Herbert Dow. It is also possible to produce bromine by passing chlorine through seawater and then passing air through the seawater. In 2003, 22,000 metric tons of iodine were produced. Chile produces 40% of all iodine produced, Japan produces 30%, and smaller amounts are produced in Russia and the United States. Until the 1950s, iodine was extracted from kelp. However, in modern times, iodine is produced in other ways. One way that iodine is produced is by mixing sulfur dioxide with nitrate ores, which contain some iodates. Iodine is also extracted from natural gas fields. Even though astatine is naturally occurring, it is usually produced by bombarding bismuth with alpha particles. Tennessine is made by using a cyclotron, fusing berkelium-249 and calcium-48 to make tennessine-293 and tennessine-294. Applications Disinfectants Both chlorine and bromine are used as disinfectants for drinking water, swimming pools, fresh wounds, spas, dishes, and surfaces. They kill bacteria and other potentially harmful microorganisms through a process known as sterilization. Their reactivity is also put to use in bleaching. Sodium hypochlorite, which is produced from chlorine, is the active ingredient of most fabric bleaches, and chlorine-derived bleaches are used in the production of some paper products. Chlorine also reacts with sodium to create sodium chloride, which is table salt. Lighting Halogen lamps are a type of incandescent lamp using a tungsten filament in bulbs that have small amounts of a halogen, such as iodine or bromine added. This enables the production of lamps that are much smaller than non-halogen incandescent lightbulbs at the same wattage. The gas reduces the thinning of the filament and blackening of the inside of the bulb resulting in a bulb that has a much greater life. Halogen lamps glow at a higher temperature (2800 to 3400 kelvins) with a whiter colour than other incandescent bulbs. However, this requires bulbs to be manufactured from fused quartz rather than silica glass to reduce breakage. Drug components In drug discovery, the incorporation of halogen atoms into a lead drug candidate results in analogues that are usually more lipophilic and less water-soluble. As a consequence, halogen atoms are used to improve penetration through lipid membranes and tissues. It follows that there is a tendency for some halogenated drugs to accumulate in adipose tissue. The chemical reactivity of
in a web browser when the application starts up. In this case, it is also known as the start page or startup page. The word "home" comes from the use of the Home key on a keyboard to return to the start page at any time. (Home key was a standard key long before the Web existed.) Many browsers also provide a button in the shape of a house for this. Website home page A home page is generally the primary web page which a visitor navigating to a website from a search engine will see, and it may also serve as a landing page to attract visitors. Thus good home page design is usually a high priority for a website. For example, a news website may present headlines and first paragraphs of top stories,
from the use of the Home key on a keyboard to return to the start page at any time. (Home key was a standard key long before the Web existed.) Many browsers also provide a button in the shape of a house for this. Website home page A home page is generally the primary web page which a visitor navigating to a website from a search engine will see, and it may also serve as a landing page to attract visitors. Thus good home page design is usually a high priority for a website. For example, a news website may present headlines and first paragraphs of top stories, with links to full articles. In some cases, the home page is a site directory, particularly when a website has multiple home pages. Wikipedia,
years, which featured several of the cast members in a beauty parlor where they would gossip. From time to time, Gailard Sartain would appear in drag as one of the fussy women. Fit as a Fiddle — This sketch ran in the 1980s to reflect the aerobic dancing craze of that period. The sketch featured several of the female cast members including Diana Goodman, Victoria Hallman, Gunilla Hutton, Misty Rowe, Nancy Traylor, Linda Thompson and Jackie Waddell and male cast members Jeff Smith and Kelly Billingsey delivering one-liner jokes while aerobic dancing. Sometimes cast member Smith (later Roni Stoneman) would be seen on an exercise cycle in the background. Slim Pickens' Bar-B-Q — Slim Pickens would have his friends over at a barbecue at his home, where a musical guest or cast members would perform. The segment would always open up spoofing Burma-Shave road signs as some of the cast members were seen piled on a truck driving down the road to Slim Pickens' Bar-B-Q, whose guests often complained about the food, to which Pickens would counter with something like "I may not have prime meat at this picnic, but I do have prime entertainment!" Then he would bring out the entertainment (the guest star's or cast members' performance). The Post Office — Minnie Pearl and Grandpa Jones ran the post office, who often dealt with (mostly) unhappy customers. The Quilt — Minnie Pearl gave romantic advice to several of the Hee Haw Honeys while sitting around in a circle, making a quilt. Knock Knock — Buck Owens told a knock-knock joke to an unsuspecting cast member or guest star. If the guest star was a major country artist, the joke would be written to reveal the punch-line answer to be the title to one of the singer's biggest hits, which Owens would then sing badly on purpose. The Hambone Brothers — Jackie Phelps doing some rhythmic knee-slapping (known as hambone), while Jimmy Riddle eefed. Stories from John Henry Faulk and Rev. Grady Nutt — Beginning in the late 1970s, John Henry Faulk, followed in later seasons by Rev. Grady Nutt, would sit around in a circle with some of the male cast members on the set of Gordie's General Store telling some of their humorous stories (very much in the same manner Grandpa Jones and Junior Samples did in the early seasons). At the beginning of Grady Nutt's sketches, Grandpa Jones would introduce Nutt as "Hee Haw's very own Prime Minister of Humor." These sketches discontinued after Nutt's death in a plane crash in 1982. Ben Colder — A singer of cheesy parodies of popular country songs. Sheb Wooley had created the character before the show began and portrayed the character during his time on the show and his guest appearances. Claude Strawberry, Country Poet — Roy Clark played a poet reminiscent of Mark Twain who would recite poems with a country twist. The Little Yellow Chicken — An animated little yellow chicken who would always mistake anything and everything for an egg. The chicken would sit on items, such as a ringside bell, a man's bald head, a billiard ball, a football, a golf ball and even a bomb, with various disastrous results. The little chicken was produced by Format Films. Animated Critters — Interspersed within the show, besides the above-mentioned chicken, were various applauding or laughing animated farm animals; a kickline composed of pigs during an instrumental performance; a pack of dogs that would chase an extremely bad joke teller; three sultry pigs that twirled their necklaces during an instrumental performance; a square dancing female pig and a male donkey to an instrumental performance; a pair of chickens dancing, with one of them falling flat on its face; the ubiquitous Hee Haw donkey, who would say quips such as, "Wouldn't that dunk your hat in the creek," and a pig (from the kickline) that would sneak up on a musical guest (or a cast member, mostly Roy Clark), kiss him on the cheek and sneak off after his performance. Sometimes, certain animals would carry appropriate signs with some kind of quip (e.g. the Hee Haw donkey holding a sign that would say "I'm looking for a "She-Haw!" or in later years, "Let us Bray!" Also, a pig from the kickline holding a sign which would say "Oink", "Down with Ham and Eggs", or "Please DON'T Bring Home the Bacon!" A skunk would take his nose off and dribble it like a basketball before putting it back on while holding a sign which reads "Welcome to Smell-a-vision", a duck with a sign which usually read "Eat Quacker Oats", or a cow coming into the scene and opening a sign that would say something like "Stop Beefing!" or "I married a Bum Steer"). The animation was produced by Format Films. Guest stars often participated in some of the sketches (mostly the "PFFT! You Was Gone" and "The Cornfield" sketches); however, this did not occur until later seasons. Musical legacy Hee Haw featured a premiere showcase on commercial television throughout its run for country, bluegrass, gospel, and other styles of American traditional music, featuring hundreds of elite musical performances that were paramount to the success, popularity and legacy of the series for a broad audience of Southern, rural and purely music fans alike. Although country music was the primary genre of music featured on the show, guest stars and cast members alike also performed music from other genres, such as rock 'n' roll oldies, big band, and pop standards. Some of the music-based segments on the show (other than guest stars' performances) included: The Million Dollar Band — This was an instrumental band formed of legendary Nashville musicians Chet Atkins (guitar), Boots Randolph (saxophone), Roy Clark (guitar), Floyd Cramer (piano), Charlie McCoy (harmonica), Danny Davis (trumpet), Jethro Burns (mandolin), Johnny Gimble (fiddle), backed by a rhythm section consisting of Nashville session super pickers Willie Ackerman (drums), Henry Strzelecki (Bass) and Bobby Thompson (banjo/acoustic guitar); who would frequently appear on the show from 1980 through 1988. The band would perform an instrumental version of a popular song, with each member showcasing his talent on his respective instrument. The Hee Haw Gospel Quartet — Beginning in the latter part of the 1970s, this group sang a gospel hymn just before the show's closing. The original lineup consisted of Buck Owens (lead), Roy Clark (tenor), Grandpa Jones (baritone), and Tennessee Ernie Ford (bass). Ford was later replaced by Kenny Price. In contrast to Hee Haw's general levity, the Quartet's performance was appropriately treated solemnly, with no laughter or applause from the audience. Jones did not wear his signature hat during the segment, and would frequently appear entirely out of his "Grandpa" costume. In the first few seasons that featured the Quartet, cast member Lulu Roman would introduce the group along with the hymn they were about to perform. Several of the Quartet's performances were released as recordings. Joe Babcock took over as lead singer after Owens left the show, and Ray Burdette took over as bass singer after the death of Kenny Price; but the Quartet was not featured as often from that point on. However, the show still closed with a gospel song—if not by the Quartet, then by either the entire cast, a guest gospel artist, or cast member Lulu Roman (a gospel artist in her own right). The concept of the Quartet was based on the 1940s group the Brown's Ferry Four, which recorded for King Records and included Grandpa Jones, the Delmore Brothers and Merle Travis. Jones suggested the idea to the show's producers, supported by Clark. The Hagers — This twin brother singing duo would also perform a song each week on the show. They would often perform their own versions of pop/rock songs from the 1960s and '70s. Performances by cast members — In addition to hosts Buck Owens and Roy Clark, who would perform at least one song each week, other cast members—such as Gunilla Hutton, Misty Rowe, Victoria Hallman, Grandpa Jones (sometimes with his wife Ramona), Kenny Price, Archie Campbell, Barbi Benton, The Nashville Edition, Vicki Bird, and Diana Goodman—would occasionally perform a song on the show; and the show would almost always open with a song performed by the entire cast. The Hee Haw Cowboy Quartet — This group, patterned after the Hee Haw Gospel Quartet, was short-lived, having formed near the end of the series' run. Like the group name suggests; the quartet, dressed in cowboy costumes, would perform a western song in the style of the Sons of the Pioneers on a Western-style stage setting. Cloggers — Throughout the 1980s, several champion clogging groups would frequently appear on the show, performing their clogging routines. Child singers — For a brief time in the late '70s/early '80s, child singers, mostly in the 10- to 12-year-old bracket, would occasionally appear on the show performing a popular song. Such guests included Kathy Kitchen (whom guest star Faron Young introduced), Stacy Lynn Ries, and Cheryl Handy. Lovullo also has made the claim the show presented "what were, in reality, the first musical videos." Lovullo said his videos were conceptualized by having the show's staff go to nearby rural areas and film animals and farmers, before editing the footage to fit the storyline of a particular song. "The video material was a very workable production item for the show," he wrote. "It provided picture stories for songs. However, some of our guests felt the videos took attention away from their live performances, which they hoped would promote record sales. If they had a hit song, they didn't want to play it under comic barnyard footage." The concept's mixed reaction eventually spelled an end to the "video" concept on Hee Haw. However, several of co-host Owens' songs – including "Tall, Dark Stranger," "Big in Vegas", and "I Wouldn't Live in New York City (If They Gave Me the Whole Dang Town)" – aired on the series and have since aired on Great American Country and CMT as part of their classic country music programming blocks. Guest stars Hee Haw featured at least two, and sometimes three or four, guest celebrities each week. While most of the guest stars were country music artists, a wide range of other famous luminaries were featured from actors and actresses to sports stars to politicians. Sheb Wooley, one of the original cast members, wrote the show's theme song. After filming the initial 13 episodes, other professional demands caused him to leave the show, but he returned from time to time as a guest star. Loretta Lynn was the first guest star of Hee Haw and made more guest appearances (24) than any other artist. She also co-hosted the show more than any other guest co-host and therefore appears on more of the DVD releases for retail sale than any other guest star. Tammy Wynette was second with 21 guest appearances, and Wynette married George Richey (the musical director for Hee Haw from 1970 to 1977) in 1978. From 1990–92, country megastar Garth Brooks appeared on the show four times. In 1992, producer Sam Lovullo tried unsuccessfully to contact Brooks because he wanted him for the final show. Brooks then surprised Lovullo by showing up at the last minute, ready to don his overalls and perform for the final episode. Stage settings A barn interior set was used as the main stage for most of the musical performances from the show's premiere until the debut of the "Hee Haw Honky Tonk" sketch in the early 1980s. Afterwards, the "Hee Haw Honky Tonk" set would serve as the main stage for the remainder of the series' run. Buck Owens then began using the barn interior set for his performances after it was replaced by the "Hee Haw Honky Tonk" set and was named "Buck's Place" (as a nod to one of Owens' hits, "Sam's Place"). Other settings for the musical performances throughout the series' run included a haystack (where the entire cast performed songs), the living room of a Victorian house, the front porch and lawn of the Samuel B. Sternwheeler home, a grist mill (where Roy Clark performed many of his songs in earlier seasons), and a railroad depot, where Buck Owens performed his songs before acquiring "Buck's Place." Elvis connection Elvis Presley was a fan of Hee Haw and wanted to appear as a guest on the program, but Presley knew his manager, Colonel Tom Parker, would not allow him to do so (following Presley's death, Parker would be sued by Elvis Presley Enterprises for mismanagement). Two of the Hee Haw Honeys dated Presley long before they joined the cast: Linda Thompson in the mid-1970s, whom Presley had a long-term relationship with after his divorce from Priscilla; and Diana Goodman shortly afterwards. Charlie McCoy played harmonica on a select few of Presley's recordings in the late 1960s, and Joe Babcock of the Nashville Edition also sang backup vocals on a couple of his recordings at that time. Shortly after Presley's death, his father, Vernon Presley, made a cameo appearance on the show, alongside Thompson and Buck Owens, and paid tribute to his late son, noting how much Elvis enjoyed watching the show, and introduced one of his favorite gospel songs, as performed by the Hee Haw Gospel Quartet. Hee Haw Honeys (spin-off series) Hee Haw produced a short-lived spin-off series, Hee Haw Honeys, for the 1978–79 television season. This musical sitcom starred Kathie Lee Johnson (Gifford) along with Hee Haw regulars Misty Rowe, Gailard Sartain, Lulu Roman, and Kenny Price as a family who owned a truck stop restaurant (likely inspired by the "Lulu's Truck Stop" sketch on Hee Haw). Their restaurant included a bandstand, where guest country artists would perform a couple of their hits of the day, sometimes asking the cast to join them. Cast members would also perform songs occasionally; and the Nashville Edition, Hee Haw's backup singing group, frequently appeared on the show, portraying regular patrons of the restaurant. Notable guest stars on Honeys included, but were not limited to: Loretta Lynn, The Oak Ridge Boys, Larry Gatlin, Dave & Sugar, and the Kendalls. Some stations that carried Hee Haw would air an episode of Honeys prior to Hee Haw. Hee Haw Theater The Hee Haw Theater opened in Branson, Missouri in 1981 and operated through 1983. It featured live shows using the cast of the television series, as well as guests and other talent. The format was similar with a country variety show-type family theme. Comic book adaptations Charlton Comics also published humor comics based on Hee Haw. They were drawn by Frank Roberge. Broadcast history and Nielsen ratings When Hee Haw went into syndication, many stations aired the program on Saturday evening in the early fringe hour, generally at 7:00pm ET / PT. But as Hee Haw was syndicated and not restrained by the scheduling of a network, stations could schedule the program at any day or time that they saw fit. Legacy Hee Haw continues to remain popular with its long-time fans and younger viewers who have discovered the program through DVD releases or its reruns through the years on TNN, CMT, RFD-TV, and now Circle TV. In spite of the popularity among its fans, the program has never been a favorite of television critics or reviewers; the Hee Haw Honeys spin-off, in particular, was cited in a 2002 TV Guide article as one of the 10 worst television series ever. In the third season episode of The Simpsons "Colonel Homer", Hee Haw is parodied as the TV show Ya Hoo!. On at least four episodes of the animated Fox series Family Guy, when the storyline hits a dead-end, a cutaway to Conway Twitty performing a song is inserted. The hand-off is done in Hee Haw style, and often uses actual footage of Twitty performing on the show. Lulu Roman released a new album titled At Last on January 15, 2013. The album features Lulu's versions of 12 classics and standards, including guest appearances by Dolly Parton, T. Graham Brown, Linda Davis, and Georgette Jones (daughter of George Jones and Tammy Wynette). The series was referenced in The Critic as a parody crossover with Star Trek The Next Generation under the title of Hee Haw The Next Generation, where the characters of the Star Trek series act out as the cast of Hee Haw. Footnotes References External links Hee Haw on RFD-TV Riddle & Phelps place third in TV Greats Countdown Voices of Oklahoma interview with Roy Clark. First person interview conducted on August 15, 2011, with Roy Clark, star of Hee Haw 1969 American television series debuts 1997 American television series endings 1960s American sketch comedy
member tearfully recited the reason for his misery. Also in later seasons, female cast members did their own version of the sketch, first just lip-synching the male vocals in the song, but later getting their own feminized version complete with female howls of mourning. The Gossip Girls — This sketch is the female counterpart to "Gloom, Despair...", which featured four female cast members surrounding a washtub and clothes wringer singing the chorus: Two of the four girls then sang the verse. Misty Rowe, a long-time member of the "Gossip Girls," would enhance the comedy of the sketch by singing her part of the verse out of tune (as a young child would do). In later years, male cast members, in drag, would sometimes replace the girls in the sketch, in retaliation for the girls singing "Gloom, Despair..." Sometimes, in later seasons, the four female cast members sang the song on the Cornfield set, with a male guest star standing in the center, between the four girls. (For the first few seasons of each sketch, the "Gossip Girls" and "Gloom, Despair..." songs began with the chorus, then the verse, and ended with a repeat of the chorus; but in later seasons the repeat of the chorus was discontinued, with the songs ending after the verse.) "Hee Haw Salutes ..." — Two or three times in each episode, Hee Haw would salute a selected town (or a guest star's hometown) and announce its population, which was sometimes altered for levity, at which point the entire cast would then "pop up" in the Cornfield set, shouting "SAA-LUTE!!" Initially ending with laughter, this was changed by the mid-1970s to applause as a nod toward legitimately saluting small-town America. Also in the early 1980s, John Henry Faulk would salute a figure in American history, which would receive the same appropriate nodding applause (sometimes after the salute, Archie Campbell would pronounce the saluted town spelled backwards. Example: "Remember, 'Franklin' spelled backwards is 'Nil-knarf'."). In the later seasons, the cast would say "Salute" on the Pickin' and Grinnin' set. The Joke Fence — Two or three times during each show a cast member (usually a Hee Haw Honey), standing in front of a high wooden fence, would tell a one liner joke. (Example: "I crossed an elephant with a gopher." Entire cast in unison: "What'ja get?" "Some awfully big holes in the backyard.") Regardless of whether the joke teller was female or male, a portion of the fence would swing upward and hit them on the buttocks after the punch line was delivered. (On some versions of the show, the sketch would cut to the next scene just before the fence would hit the cast member; and, especially in earlier seasons, the sketch would freeze-frame at the moment the fence makes contact with the joke teller's buttocks.) Archie's Barber Shop — Archie Campbell as the local barber, with regular customer Roy Clark, and two or three other regulars sitting in the "waiting chairs" (on some occasions Junior Samples or a guest star would be the one going into the barber's chair). Campbell would share comic dialog with Clark or tell one of his "backwards fairy tales" such as "Rindercella." In the later seasons, the sketch would began with a sign that read, "Meanwhile, down at the barbershop..." surrounded by two barber poles before dissolving into the sketch. Doc Campbell — This long-running sketch featured Archie Campbell playing the part of a doctor who often gave out terrible advice and bizarre medical "facts." Patients would often be one of the show's cast members. The sketch is also remembered for cast member Gunilla Hutton's role as Doc Campbell's assistant, Nurse Goodbody. In later seasons, the sketch featured only Doc Campbell and Nurse Goodbody, with the sketch beginning with Campbell shouting, "Nurse Goodbody," to which she would hurry into the office, nervously answering "Yes, Doctor," and gyrating her hips. Justus O'Peace — This sketch featured Archie Campbell as a judge who wore what looked to be a bowler hat, a red undershirt, and suspenders sentencing people to long jail time for some of the silliest misdemeanor "crimes." Kenny Price also made occasional appearances as the sheriff (in the later seasons, the sketch would began with a painting of Ida Lee Nagger depicted as Lady Justice). Years later Archie's son, Phil Campbell, as well as Gordie Tapp, appeared in a recurring sketch about two police officers. They also did a courtroom sketch with Dub Taylor as the judge and Gailard Sartain in his role of Cletus Biggs from "Biggs, Shy, and Stir." "Uh-huh, Oh Yeah!"—Cast member and banjo picker Buck Trent would recite a comical poem, talking blues-style (usually about chickens) to his banjo instrumental. At the end of the poem, Trent would go into a crescendo of "Uh-huh"'s and finish with a climactic "Oh, yeah!" In later seasons of the sketch, an animated critter would appear onscreen at the end of the sketch, carrying a sign that poked fun at the poem, to which Trent would then respond in a comical way. ("Uh-huh, oh yeah!" eventually became Trent's trademark phrase and he still says it in his shows, usually accompanied by a double thumbs-up gesture.) Hee Haw Dictionary — Archie Campbell, dressed in a graduate's cap and gown, would give the definition of a word with a comic twist. Sometimes wads of paper would fly into the scene as a way of punishing the bad joke that was told. Gordie's General Store — Gordie Tapp as the owner of a general merchandise store. It was also a place where one of the cast members (usually Junior Samples or Grandpa Jones) would tell a comedic story in early seasons. In later seasons, the focus shifted from Kornfield Kounty residents stopping by to the comedic banter of Tapp and Gailard Sartain, who played the role of Gordie's incompetent employee Maynard, who often would send Tapp into fits of anger or agony by the sketch's end (also in the later seasons, the sketch would began with a painting of a store sign which read "General Store, G. Tapp, Propiteer"). "Real Incredible" — This sketch, which ran in the early 1980s, was Hee Haw's parody of TV's two popular reality series that ran during that period: ABC's That's Incredible and NBC's Real People. Don Harron, in his role of Charlie Farquharson, hosted the sketch, comedically introducing it by transposing the shows' two titles: "Welcome to Real Incredible (That's People?!)." Assisted by George Lindsay, the sketch at first showed clips of actual rural folks engaging in unusual activities; but was later spoofed by cast members involved in comical, and obviously fictional, unusual activities. Misty's Bedtime Stories — This sketch featured bedtime stories delivered by cast member Misty Rowe. Grandpa Jones or George Lindsay would be heard off-screen introducing the sketch in a near-whisper, "And now it's time for Misty's Bedtime Stories." A lit candle would be sitting on the night stand beside her bed and Rowe would deliver one of her bizarre stories, sometimes a rewritten nursery rhyme. By the sketch's end, she would deliver a comical "moral to the story," giggle, wink at the camera, and blow out the candle. Empty Arms Hotel — Roy Clark as the head desk clerk at one of the few accommodations in all of Kornfield Kounty, who would pop up from behind the front desk after the bell was rung, usually by a complaining guest. Goober's Garage — George Lindsay, in his Andy Griffith Show role of Goober, as the owner of the local garage where he would talk about cars and jalopies with whoever appeared in the sketch that week. Sometimes, non-cast member Jack Burns would appear in the sketch as the city slicker/con-artist type trying to pull a fast one, with Goober emerging more intelligent. For a short time in the early 1980s, after Burns' run, Chase Randolph appeared in the sketch as a muscular "hunk" mechanic hired by Goober and being pursued by Honeys Diana Goodman, Misty Rowe, and Nancy Traylor. The running gag of Randolph's run was that Randolph was more interested in fixing up his hot rod than giving in to the advances of the girls, while Goober then offered to go out with the girls instead — only to strike out miserably. In later seasons, after Randolph's run, Goober was joined in the sketch by Goodman, Rowe, and Lisa Todd as his beautiful but not very bright mechanics. The Farmer's Daughter — Cast member Linda Thompson as the daughter of a strict farmer (cast member Kenny Price). The running gag in the sketch was that Price would always come up with clever ways to thwart Thompson's dates with her boyfriend Billy Bob (in the later seasons, Virgil; also at that time, the sketch would began with a painting of various farm animals surrounding the haystack). The Weather Girl — A spin-off of "KORN News," where Hee Haw Honey Lisa Todd would spoof the weather forecast. Grandpa Jones appeared with Todd and she would determine the forecast according to the condition of Jones' knee. In later seasons, Gailard Sartain appeared in the sketch as a "human weather map," at first wearing a sweatshirt with a map outline of the United States before transitioning to an inflated globe costume. The running gag during Sartain's run was that Sartain would chase Todd off the set by the sketch's end. (In later seasons, "KORN News" and "The Weather Girl" merged into one sketch, and Misty Rowe later joined the sketch spoofing local sports news.) "Hee Haw's All-Jug Band" — A musical sketch, featuring most of the female cast members, singing a comical song, in which the punch line differed each week. Cast member Lulu Roman "played" moonshine jugs (by which, she would blow air over the spout, creating a "humming sound"), which partially explains the sketch's title (as well as the fact that "jugs" is a dysphemism for breasts). Minnie Pearl introduced the sketch each week, loudly announcing, "We're gonna play now!" At the end of the song, she would similarly conclude "We're through playin' now!" "Hey Grandpa! What's For Supper?" — Grandpa Jones is cleaning a window pane (with no glass in it, as evidenced by Jones' hand dangling through the window pane as he recites the menu) and when the entire cast (off-camera) asks, "Hey, Grandpa, what's for supper?," he recites a dinner menu in poetic verse. Often, he describes a delicious, country-style meal (e.g., chicken and biscuits smothered in rich gravy, and collard greens), and the cast would reply approvingly, "Yum-m yum-m!" Sometimes he would serve a less than spectacular meal (thawed out TV dinners), to which the cast would reply, "Yuck!" One notable run-through of the routine had Grandpa saying "Ah ain't got nuthin'," which would be one of the few times he ever got booed during this routine. The second time was when he offered "a big fresh roast of good moose meat." In the later seasons, Grandpa would wear a chef's hat with his head peeking out of an open kitchen doorway, but the menu recitals remained the same. (This sketch went on hiatus for a couple of seasons in the mid-1970s, but returned near the end of the 1970s and remained in the show until near the end of the series' run.) Grandpa and Minnie's Kitchen — This sketch, which ran throughout most of the 1970s, spoofed TV cooking shows in which Grandpa Jones and Minnie Pearl would deliver hilarious recipes that made no sense. Jerry Ralph R.B. "Bob" Bevis — This is a sketch that appeared mostly in the 1980s and it featured Gailard Sartain as the owner of a small store/flea market attempting to sell junk. The sketch would start with a hand-held camera zooming up to the front door and the door being flung open to reveal the fast-talking salesman standing behind the counter surrounded by the junk he was trying to sell. The character was a clown with red cheeks, and wild, clown-like hair. The running joke was his attempts at becoming a big singing star; and at the end of every sketch, just as he is preparing to pull out a guitar and starts to sing, the camera would zoom out and the door would swing shut. Biggs, Shy, & Stir — This featured Gailard Sartain as "Cletus Biggs of Biggs, Shy, & Stir," Kornfield Kounty's most honorable law firm, where our motto is, 'When in doubt, sue!'" He would advertise the week's "special" such as "Sue Your Parents Week" or "Sue Your Teacher Week," etc. He always concluded the sketch by saying, "Remember, we're in the alley behind the courthouse above the pool hall!" The Cornfield — Vignettes patterned after Laugh-In's "Joke Wall," with cast members and guest stars "popping up" to tell jokes and one-liners. Until his death, Stringbean played the field's scarecrow, delivering one-liners before being shouted down by the crow on his shoulder; after his 1973 murder, Stringbean was not replaced; and a wooden scarecrow was simply seen in the field as a memorial. Guest stars often participated in this sketch as well; and on occasion, personalities from TV stations that carried Hee Haw, as well as country music radio personalities, would appear in this sketch with Owens or Clark. The Naggers — This sketch featured Gordie Tapp and Roni Stoneman as LaVern and Ida Lee Nagger, a backwoods bickering couple, inspired in part by the radio comedy The Bickersons. Kenny Price made occasional appearances (starting in 1974) as their son Elrod; and Wendy Suits of the show's background singing group the Nashville Edition would sometimes play Ida Lee's equally (and deaf) nagging mother. Kornfield Kounty Operator Assistance — Irlene Mandrell as Kornfield Kounty's telephone operator (similar to Lily Tomlin's more famous character, Ernestine Tomlin) would answer phone calls from various Kornfield Kounty residents, who would eventually hang up in various degrees of frustration, causing operator Mandrell to often say, innocently, "And they wonder why we telephone operators turn gray!" Grinder's Switch Gazette—This sketch featured Minnie Pearl as the manager of the local newspaper who often insisted that her mute secretary, Miss Honeydew (Victoria Hallman), take down an "important" news item which was always nonsense. About 200 Years Ago — This sketch, which ran in 1976 in celebration of the Bicentennial year, was a parody of CBS' "Bicentennial Minutes"; in the sketch, Grandpa Jones would deliver a fractured historical "fact" about the Revolutionary War era. Jones then concluded the sketch with a knockoff of Walter Cronkite's signature sign-off line, "I'm Grandpa Jones and that's the way it was, 200 years ago...er, more or less." The Almanac — A sketch that ran in the late 1970s, where Grandpa Jones would deliver almanac entries that made no sense. Jones then concluded the sketch with a knockoff of the proverb "truth is stranger than fiction," with Jones replacing the word "fiction" with the name of a well-known celebrity. Archie's Angels — Aired in the mid-1970s, this sketch was Hee Haw's knockoff of Charlie's Angels, the popular TV crime show from that period. Three of the Honeys portrayed the Angels, with Archie Campbell's voice giving them humorous "assignments" over an intercom, as with the actual Charlie's Angels TV show. "Let's Truck Together" — This sketch reflected the CB radio craze during the mid-to-late 1970s. Kenny Price and Gailard Sartain, as truck drivers, would swap funny stories and one-liners with each other over the CB airwaves. Hee Haw Honky Tonk — With the Urban Cowboy craze in full swing in the early 1980s, Hee Haw answered with its very own Urban Cowboy-esque honky-tonk (even Buck Owens developed an Urban Cowboy look by growing a beard and donning a cowboy hat and kept this image for the next several seasons). The sketch was a spin-off of "Pickin' and Grinnin'," with cast members, as patrons of the honky tonk, throwing out one-liners between parts of the "Hee Haw Honky Tonk" song. The honky tonk was replete with its mechanical bull and also included a background conversation track during the one-liners to add to the realism of an actual nightclub. The sketch also at times featured Roni Stoneman, in her role of Ida Lee Nagger, chasing men with a net. The sketch was also patterned after the Party on Laugh-In. The "Hee Haw Honky Tonk" set also became the main stage for most of the musical performances for the rest of the series' run. Kurl Up and Dye — This is a sketch from the show's later years, which featured several of the cast members in a beauty parlor where they would gossip. From time to time, Gailard Sartain would appear in drag as one of the fussy women. Fit as a Fiddle — This sketch ran in the 1980s to reflect the aerobic dancing craze of that period. The sketch featured several of the female cast members including Diana Goodman, Victoria Hallman, Gunilla Hutton, Misty Rowe, Nancy Traylor, Linda Thompson and Jackie Waddell and male cast members Jeff Smith and Kelly Billingsey delivering one-liner jokes while aerobic dancing. Sometimes cast member Smith (later Roni Stoneman) would be seen on an exercise cycle in the background. Slim Pickens' Bar-B-Q — Slim Pickens would have his friends over at a barbecue at his home, where a musical guest or cast members would perform. The segment would always open up spoofing Burma-Shave road signs as some of the cast members were seen piled on a truck driving down the road to Slim Pickens' Bar-B-Q, whose guests often complained about the food, to which Pickens would counter with something like "I may not have prime meat at this picnic, but I do have prime entertainment!" Then he would bring out the entertainment (the guest star's or cast members' performance). The Post Office — Minnie Pearl and Grandpa Jones ran the post office, who often dealt with (mostly) unhappy customers. The Quilt — Minnie Pearl gave romantic advice to several of the Hee Haw Honeys while sitting around in a circle, making a quilt. Knock Knock — Buck Owens told a knock-knock joke to an unsuspecting cast member or guest star. If the guest star was a major country artist, the joke would be written to reveal the punch-line answer to be the title to one of the singer's biggest hits, which Owens would then sing badly on purpose. The Hambone Brothers — Jackie Phelps doing some rhythmic knee-slapping (known as hambone), while Jimmy Riddle eefed. Stories from John Henry Faulk and Rev. Grady Nutt — Beginning in the late 1970s, John Henry Faulk, followed in later seasons by Rev. Grady Nutt, would sit around in a circle with some of the male cast members on the set of Gordie's General Store telling some of their humorous stories (very much in the same manner Grandpa Jones and Junior Samples did in the early seasons). At the beginning of Grady Nutt's sketches, Grandpa Jones would introduce Nutt as "Hee Haw's very own Prime Minister of Humor." These sketches discontinued after Nutt's death in a plane crash in 1982. Ben Colder — A singer of cheesy parodies of popular country songs. Sheb Wooley had created the character before the show began and portrayed the character during his time on the show and his guest appearances. Claude Strawberry, Country Poet — Roy Clark played a poet reminiscent of Mark Twain who would recite poems with a country twist. The Little Yellow Chicken — An animated little yellow chicken who would always mistake anything and everything for an egg. The chicken would sit on items, such as a ringside bell, a man's bald head, a billiard ball, a football, a golf ball and even a bomb, with various disastrous results. The little chicken was produced by Format Films. Animated Critters — Interspersed within the show, besides the above-mentioned chicken, were various applauding or laughing animated farm animals; a kickline composed of pigs during an instrumental performance; a pack of dogs that would chase an extremely bad joke teller; three sultry pigs that twirled their necklaces during an instrumental performance; a square dancing female pig and a male donkey to an instrumental performance; a pair of chickens dancing, with one of them falling flat on its face; the ubiquitous Hee Haw donkey, who would say quips such as, "Wouldn't that dunk your hat in the creek," and a pig (from the kickline) that would sneak up on a musical guest (or a cast member, mostly Roy Clark), kiss him on the cheek and sneak off after his performance. Sometimes, certain animals would carry appropriate signs with some kind of quip (e.g. the Hee Haw donkey holding a sign that would say "I'm looking for a "She-Haw!" or in later years, "Let us Bray!" Also, a pig from the kickline holding a sign which would say "Oink", "Down with Ham and Eggs", or "Please DON'T Bring Home the Bacon!" A skunk would take his nose off and dribble it like a basketball before putting it back on while holding a sign which reads "Welcome to Smell-a-vision", a duck with a sign which usually read "Eat Quacker Oats", or a cow coming into the scene and opening a sign that would say something like "Stop Beefing!" or "I married a Bum Steer"). The animation was produced by Format Films. Guest stars often participated in some of the sketches (mostly the "PFFT! You Was Gone" and "The Cornfield" sketches); however, this did not occur until later seasons. Musical legacy Hee Haw featured a premiere showcase on commercial television throughout its run for country, bluegrass, gospel, and other styles of American traditional music, featuring hundreds of elite musical performances that were paramount to the success, popularity and legacy of the series for a broad audience of Southern, rural and purely music fans alike. Although country music was the primary genre of music featured on the show, guest stars and cast members alike also performed music from other genres, such as rock 'n' roll oldies, big band, and pop standards. Some of the music-based segments on the show (other than guest stars' performances) included: The Million Dollar Band — This was an instrumental band formed of legendary Nashville musicians Chet Atkins (guitar), Boots Randolph (saxophone), Roy Clark (guitar), Floyd Cramer (piano), Charlie McCoy (harmonica), Danny Davis (trumpet), Jethro Burns (mandolin), Johnny Gimble (fiddle), backed by a rhythm section consisting of Nashville session super pickers Willie Ackerman (drums), Henry Strzelecki (Bass) and Bobby Thompson (banjo/acoustic guitar); who would frequently appear on the show from 1980 through 1988. The band would perform an instrumental version of a popular song, with each member showcasing his talent on his respective instrument. The Hee Haw Gospel Quartet — Beginning in the latter part of the 1970s, this group sang a gospel hymn just before the show's closing. The original lineup consisted of Buck Owens (lead), Roy Clark (tenor), Grandpa Jones (baritone), and Tennessee Ernie Ford (bass). Ford was later replaced by Kenny Price. In contrast to Hee Haw's general levity, the Quartet's performance was appropriately treated solemnly, with no laughter or applause from the audience. Jones did not wear his signature hat during the segment, and would frequently appear entirely out of his "Grandpa" costume. In the first few seasons that featured the Quartet, cast member Lulu Roman would introduce the group along with the hymn they were about to perform. Several of the Quartet's performances were released as recordings. Joe Babcock took over as lead singer after Owens left the show, and Ray Burdette took over as bass singer after the death of Kenny Price; but the Quartet was not featured as often from that point on. However, the show still closed with a gospel song—if not by the Quartet, then by either the entire cast, a guest gospel artist, or cast member Lulu Roman (a gospel artist in her own right). The concept of the Quartet was based on the 1940s group the Brown's Ferry Four, which recorded for King Records and included Grandpa Jones, the Delmore Brothers and Merle Travis. Jones suggested the idea to the show's producers, supported by Clark. The Hagers — This twin brother singing duo would also perform a
TPF, IBM i) is X'5A3', and is used in Assembler, PL/I, COBOL, JCL, scripts, commands and other places. This format was common on other (and now obsolete) IBM systems as well. Occasionally quotation marks were used instead of apostrophes. Any IPv6 address can be written as eight groups of four hexadecimal digits (sometimes called hextets), where each group is separated by a colon (:). This, for example, is a valid IPv6 address: or abbreviated by removing zeros as (IPv4 addresses are usually written in decimal). Globally unique identifiers are written as thirty-two hexadecimal digits, often in unequal hyphen-separated groupings, for example . Other symbols for 10–15 and mostly different symbol sets The use of the letters A through F to represent the digits above 9 was not universal in the early history of computers. During the 1950s, some installations, such as Bendix-14 favored using the digits 0 through 5 with an overline to denote the values 10–15 as , , , , and . The SWAC (1950) and Bendix G-15 (1956) computers used the lowercase letters u, v, w, x, y and z for the values 10 to 15. The ORDVAC and ILLIAC I (1952) computers (and some derived designs, e.g. BRLESC) used the uppercase letters K, S, N, J, F and L for the values 10 to 15. The Librascope LGP-30 (1956) used the letters F, G, J, K, Q and W for the values 10 to 15. On the PERM (1956) computer, hexadecimal numbers were written as letters O for zero, A to N and P for 1 to 15. Many machine instructions had mnemonic hex-codes (A=add, M=multiply, L=load, F=fixed-point etc.); programs were written without instruction names. The Honeywell Datamatic D-1000 (1957) used the lowercase letters b, c, d, e, f, and g whereas the Elbit 100 (1967) used the uppercase letters B, C, D, E, F and G for the values 10 to 15. The Monrobot XI (1960) used the letters S, T, U, V, W and X for the values 10 to 15. The NEC parametron computer NEAC 1103 (1960) used the letters D, G, H, J, K (and possibly V) for values 10–15. The Pacific Data Systems 1020 (1964) used the letters L, C, A, S, M and D for the values 10 to 15. New numeric symbols and names were introduced in the Bibi-binary notation by Boby Lapointe in 1968. This notation did not become very popular. Bruce Alan Martin of Brookhaven National Laboratory considered the choice of A–F "ridiculous". In a 1968 letter to the editor of the CACM, he proposed an entirely new set of symbols based on the bit locations, which did not gain much acceptance. Some seven-segment display decoder chips (i.e., 74LS47) show unexpected output due to logic designed only to produce 0–9 correctly. Verbal and digital representations There are no traditional numerals to represent the quantities from ten to fifteen – letters are used as a substitute – and most European languages lack non-decimal names for the numerals above ten. Even though English has names for several non-decimal powers (pair for the first binary power, score for the first vigesimal power, dozen, gross and great gross for the first three duodecimal powers), no English name describes the hexadecimal powers (decimal 16, 256, 4096, 65536, ... ). Some people read hexadecimal numbers digit by digit, like a phone number, or using the NATO phonetic alphabet, the Joint Army/Navy Phonetic Alphabet, or a similar ad-hoc system. In the wake of the adoption of hexadecimal among IBM System/360 programmers, Magnuson (1968) suggested a pronunciation guide that gave short names to the letters of hexadecimal – for instance, "A" was pronounced "ann", B "bet", C "chris", etc. Another naming system was elaborated by Babb (2015), off a TV series as a joke. Yet another naming-system was published online by Rogers (2007) that tries to make the verbal representation distinguishable in any case, even when the actual number does not contain numbers A–F. Examples are listed in the tables below. Systems of counting on digits have been devised for both binary and hexadecimal. Arthur C. Clarke suggested using each finger as an on/off bit, allowing finger counting from zero to 102310 on ten fingers. Another system for counting up to FF16 (25510) is illustrated on the right. Signs The hexadecimal system can express negative numbers the same way as in decimal: −2A to represent −4210 and so on. Hexadecimal can also be used to express the exact bit patterns used in the processor, so a sequence of hexadecimal digits may represent a signed or even a floating-point value. This way, the negative number −4210 can be written as FFFF FFD6 in a 32-bit CPU register (in two's-complement), as C228 0000 in a 32-bit FPU register or C045 0000 0000 0000 in a 64-bit FPU register (in the IEEE floating-point standard). Hexadecimal exponential notation Just as decimal numbers can be represented in exponential notation, so too can hexadecimal numbers. By convention, the letter P (or p, for "power") represents times two raised to the power of, whereas E (or e) serves a similar purpose in decimal as part of the E notation. The number after the P is decimal and represents the binary exponent. Increasing the exponent by 1 multiplies by 2, not 16. 10.0p1 = 8.0p2 = 4.0p3 = 2.0p4 = 1.0p5. Usually, the number is normalized so that the leading hexadecimal digit is 1 (unless the value is exactly 0). Example: 1.3DEp42 represents . Hexadecimal exponential notation is required by the IEEE 754-2008 binary floating-point standard. This notation can be used for floating-point literals in the C99 edition of the C programming language. Using the %a or %A conversion specifiers, this notation can be produced by implementations of the printf family of functions following the C99 specification and Single Unix Specification (IEEE Std 1003.1) POSIX standard. Conversion Binary conversion Most computers manipulate binary data, but it is difficult for humans to work with a large number of digits for even a relatively small binary number. Although most humans are familiar with the base 10 system, it is much easier to map binary to hexadecimal than to decimal because each hexadecimal digit maps to a whole number of bits (410). This example converts 11112 to base ten. Since each position in a binary numeral can contain either a 1 or a 0, its value may be easily determined by its position from the right: 00012 = 110 00102 = 210 01002 = 410 10002 = 810 Therefore: With little practice, mapping 11112 to F16 in one step becomes easy: see table in written representation. The advantage of using hexadecimal rather than decimal increases rapidly with the size of the number. When the number becomes large, conversion to decimal is very tedious. However, when mapping to hexadecimal, it is trivial to regard the binary string as 4-digit groups and map each to a single hexadecimal digit. This example shows the conversion of a binary number to decimal, mapping each digit to the decimal value, and adding the results. Compare this to the conversion to hexadecimal, where each group of four digits can be considered independently, and converted directly: The conversion from hexadecimal to binary is equally direct. Other simple conversions Although quaternary (base 4) is little used, it can easily be converted to and from hexadecimal or binary. Each hexadecimal digit corresponds to a pair of quaternary digits and each quaternary digit corresponds to a pair of binary digits. In the above example 5 E B 5 216 = 11 32 23 11 024. The octal (base 8) system can also be converted with relative ease, although not quite as trivially as with bases 2 and 4. Each octal digit corresponds to three binary digits, rather than four. Therefore, we can convert between octal and hexadecimal via an intermediate conversion to binary followed by regrouping the binary digits in groups of either three or four. Division-remainder in source base As with all bases there is a simple algorithm for converting a representation of a number to hexadecimal by doing integer division and remainder operations in the source base. In theory, this is possible from any base, but for most humans only decimal and for most computers only binary (which can be converted by far more efficient methods) can be easily handled with this method. Let d be the number to represent in hexadecimal, and the series hihi−1...h2h1 be the hexadecimal digits representing the number. i ← 1 hi ← d mod 16 d ← (d − hi) / 16 If d = 0 (return series hi) else increment i and go to step 2 "16" may be replaced with any other base that may be desired. The following is a JavaScript implementation of the above algorithm for converting any number to a hexadecimal in String representation. Its purpose is to illustrate the above algorithm. To work with data seriously, however, it is much more advisable to work with bitwise operators. function toHex(d) { var r = d % 16; if (d - r == 0) { return toChar(r); } return toHex((d - r) / 16) + toChar(r); } function toChar(n) { const alpha = "0123456789ABCDEF"; return alpha.charAt(n); } Conversion through addition and multiplication It is also possible to make the conversion by assigning each place in the source base the hexadecimal representation of its place value — before carrying out multiplication and addition to get the final representation. For example, to convert the number B3AD to decimal, one can split the hexadecimal number into its digits: B (1110), 3 (310), A (1010) and D (1310), and then get the final result by multiplying each decimal representation by 16p (p being the corresponding hex digit position, counting from right to left, beginning with 0). In this case, we have that: which is 45997 in base 10. Tools for conversion Many computer systems provide a calculator utility capable of performing conversions between the various radices frequently including hexadecimal. In Microsoft Windows, the Calculator utility can be set to Scientific mode (called Programmer mode in some versions), which allows conversions between radix 16 (hexadecimal), 10 (decimal), 8 (octal) and 2 (binary), the bases most commonly used by programmers. In Scientific Mode, the on-screen numeric keypad includes the hexadecimal digits A through F, which are active when "Hex" is selected. In hex mode, however, the Windows Calculator supports only integers. Elementary arithmetic Elementary operations such addition, subtraction, multiplication and division can be carried out indirectly through conversion to an alternate numeral system, such as the commonly-used decimal system or the binary system where each hex digit corresponds to four binary digits. Alternatively, one can also perform elementary operations directly within the hex system itself — by relying on its addition/multiplication tables and its corresponding standard algorithms such as long division and the traditional subtraction algorithm. Real numbers Rational numbers As with other numeral systems, the hexadecimal system can be used to represent rational numbers, although repeating expansions are common since sixteen (1016) has only a single prime factor; two. For any base, 0.1 (or "1/10") is always equivalent to one divided by the representation of that base value in its own number system. Thus, whether dividing one by two for binary or dividing one by sixteen for hexadecimal, both of these fractions are written as 0.1. Because the radix 16 is a perfect square (42), fractions expressed in hexadecimal have an odd period much more often than decimal ones, and there are no cyclic numbers (other than trivial single digits). Recurring digits are exhibited when the denominator in lowest terms has a prime factor not found in the radix; thus, when using hexadecimal notation, all fractions with denominators that are not a power of two result in an infinite string of recurring digits (such as thirds and fifths). This makes hexadecimal (and binary) less convenient than decimal for representing rational numbers since a larger proportion lie outside its range of finite representation. All rational numbers finitely representable in hexadecimal are also finitely representable in decimal, duodecimal and sexagesimal: that is, any hexadecimal number with a finite number of digits also has a finite number of digits when expressed in those other bases. Conversely, only a fraction of those finitely representable
prevalent or preferred in particular environments by community standards or convention; even mixed case is used. Seven-segment displays use mixed-case AbCdEF to make digits that can be distinguished from each other. There is some standardization of using spaces (rather than commas or another punctuation mark) to separate hex values in a long list. For instance in the following hex dump each 8-bit byte is a 2-digit hex number, with spaces between them, while the 32-bit offset at the start is an 8-digit hex number. 00000000 57 69 6b 69 70 65 64 69 61 2c 20 74 68 65 20 66 00000010 72 65 65 20 65 6e 63 79 63 6c 6f 70 65 64 69 61 00000020 20 74 68 61 74 20 61 6e 79 6f 6e 65 20 63 61 6e 00000030 20 65 64 69 74 0a Distinguishing from decimal In contexts where the base is not clear, hexadecimal numbers can be ambiguous and confused with numbers expressed in other bases. There are several conventions for expressing values unambiguously. A numerical subscript (itself written in decimal) can give the base explicitly: 15910 is decimal 159; 15916 is hexadecimal 159, which is equal to 34510. Some authors prefer a text subscript, such as 159decimal and 159hex, or 159d and 159h. Donald Knuth introduced the use of a particular typeface to represent a particular radix in his book The TeXbook. Hexadecimal representations are written there in a typewriter typeface: In linear text systems, such as those used in most computer programming environments, a variety of methods have arisen: Unix (and related) shells, AT&T assembly language and likewise the C programming language (and its syntactic descendants such as C++, C#, Go, D, Java, JavaScript, Python and Windows PowerShell) use the prefix 0x for numeric constants represented in hex: 0x5A3. Character and string constants may express character codes in hexadecimal with the prefix \x followed by two hex digits: '\x1B' represents the Esc control character; "\x1B[0m\x1B[25;1H" is a string containing 11 characters with two embedded Esc characters. To output an integer as hexadecimal with the printf function family, the format conversion code %X or %x is used. In URIs (including URLs), character codes are written as hexadecimal pairs prefixed with %: http://www.example.com/name%20with%20spaces where %20 is the code for the space (blank) character, ASCII code point 20 in hex, 32 in decimal. In XML and XHTML, characters can be expressed as hexadecimal numeric character references using the notation &#xcode;, for instance &#x2019; represents the character U+2019 (the right single quotation mark). If there is no the number is decimal (thus &#8217; is the same character). In the Unicode standard, a character value is represented with U+ followed by the hex value, e.g. U+20AC is the Euro sign (€). Color references in HTML, CSS and X Window can be expressed with six hexadecimal digits (two each for the red, green and blue components, in that order) prefixed with #: white, for example, is represented as #FFFFFF. CSS also allows 3-hexdigit abbreviations with one hexdigit per component: #FA3 abbreviates #FFAA33 (a golden orange: ). In MIME (e-mail extensions) quoted-printable encoding, character codes are written as hexadecimal pairs prefixed with =: Espa=F1a is "España" (F1 is the code for ñ in the ISO/IEC 8859-1 character set).) In Intel-derived assembly languages and Modula-2, hexadecimal is denoted with a suffixed or : FFh or 05A3H. Some implementations require a leading zero when the first hexadecimal digit character is not a decimal digit, so one would write 0FFh instead of FFh. Some other implementations (such as NASM) allow C-style numbers (0x42). Other assembly languages (6502, Motorola), Pascal, Delphi, some versions of BASIC (Commodore), GameMaker Language, Godot and Forth use $ as a prefix: $5A3. Some assembly languages (Microchip) use the notation H'ABCD' (for ABCD16). Similarly, Fortran 95 uses Z'ABCD'. Ada and VHDL enclose hexadecimal numerals in based "numeric quotes": 16#5A3#. For bit vector constants VHDL uses the notation x"5A3". Verilog represents hexadecimal constants in the form 8'hFF, where 8 is the number of bits in the value and FF is the hexadecimal constant. The Smalltalk language uses the prefix 16r: 16r5A3 PostScript and the Bourne shell and its derivatives denote hex with prefix 16#: 16#5A3. For PostScript, binary data (such as image pixels) can be expressed as unprefixed consecutive hexadecimal pairs: AA213FD51B3801043FBC... Common Lisp uses the prefixes #x and #16r. Setting the variables *read-base* and *print-base* to 16 can also be used to switch the reader and printer of a Common Lisp system to Hexadecimal number representation for reading and printing numbers. Thus Hexadecimal numbers can be represented without the #x or #16r prefix code, when the input or output base has been changed to 16. MSX BASIC, QuickBASIC, FreeBASIC and Visual Basic prefix hexadecimal numbers with &H: &H5A3 BBC BASIC and Locomotive BASIC use & for hex. TI-89 and 92 series uses a 0h prefix: 0h5A3 ALGOL 68 uses the prefix 16r to denote hexadecimal numbers: 16r5a3. Binary, quaternary (base-4) and octal numbers can be specified similarly. The most common format for hexadecimal on IBM mainframes (zSeries) and midrange computers (IBM i) running the traditional OS's (zOS, zVSE, zVM, TPF, IBM i) is X'5A3', and is used in Assembler, PL/I, COBOL, JCL, scripts, commands and other places. This format was common on other (and now obsolete) IBM systems as well. Occasionally quotation marks were used instead of apostrophes. Any IPv6 address can be written as eight groups of four hexadecimal digits (sometimes called hextets), where each group is separated by a colon (:). This, for example, is a valid IPv6 address: or abbreviated by removing zeros as (IPv4 addresses are usually written in decimal). Globally unique identifiers are written as thirty-two hexadecimal digits, often in unequal hyphen-separated groupings, for example . Other symbols for 10–15 and mostly different symbol sets The use of the letters A through F to represent the digits above 9 was not universal in the early history of computers. During the 1950s, some installations, such as Bendix-14 favored using the digits 0 through 5 with an overline to denote the values 10–15 as , , , , and . The SWAC (1950) and Bendix G-15 (1956) computers used the lowercase letters u, v, w, x, y and z for the values 10 to 15. The ORDVAC and ILLIAC I (1952) computers (and some derived designs, e.g. BRLESC) used the uppercase letters K, S, N, J, F and L for the values 10 to 15. The Librascope LGP-30 (1956) used the letters F, G, J, K, Q and W for the values 10 to 15. On the PERM (1956) computer, hexadecimal numbers were written as letters O for zero, A to N and P for 1 to 15. Many machine instructions had mnemonic hex-codes (A=add, M=multiply,
rock climbing equipment used to arrest a fall Hex (video game), a 1985 computer game for the Amiga and Atari ST Hex: Shards of Fate, an MMO trading card game by Cryptozoic Entertainment Hex – The Legend of the Towers, a Vekoma Madhouse ride at the Alton Towers Resort, England The Hexagonal (CONCACAF), final round of FIFA World Cup qualifiers for North America, Central America, and the Caribbean The Hex, a 2018 computer game by the creator of Pony Island Places Hex River, a tributary of the Breede River in South Africa Hex River, a tributary of the Elands River in South Africa Hexham railway station, Northumberland, England Arts and media Books Hex (1998 novel), a dystopian novel for young adults by Rhiannon Lassiter Hex, a 2011 science fiction novel by Allen Steele HEX (2013 novel), a Dutch horror novel by Thomas Olde Heuvelt, published in English in 2016 Fictional characters Hex (Ben 10), a villain in the Ben 10 franchise Hex (Discworld), a computer
Heat exchanger, a device for heat transfer Hypersonic Flight Experiment, a planned mission of the Indian Space Research Organisation Intel HEX, a computer file format Uranium hexafluoride, a compound used in nuclear fuel refinement Businesses and services Hex'Air, an airline based in southern France Heathrow Express, a train service in London Helsinki Stock Exchange Games and sport Hex, a hexagonal tile of a hex map, used in war and strategy board games Hex (board game), a mathematical strategy game played on a hexagonal grid or rhombus Hex (climbing), an item of rock climbing equipment used to arrest a fall Hex (video game), a 1985 computer game for the Amiga and Atari ST Hex: Shards of Fate, an MMO trading card game by Cryptozoic Entertainment Hex – The Legend of the Towers, a Vekoma Madhouse ride at the Alton Towers Resort, England The Hexagonal (CONCACAF), final round of FIFA World Cup qualifiers for North America, Central America, and the Caribbean The Hex, a 2018 computer game by the creator of Pony Island Places Hex River, a tributary of the Breede River in South Africa Hex River, a tributary of the Elands River in South Africa Hexham railway station, Northumberland, England Arts and media Books Hex (1998 novel), a dystopian novel for young adults by Rhiannon Lassiter Hex, a 2011 science fiction novel by Allen Steele HEX (2013 novel), a Dutch horror novel by Thomas Olde Heuvelt, published in
refer to: Books Hitler: Speeches and Proclamations, a series compiling Adolf Hitler's speeches Hitler: A Study in Tyranny, a book British historian Sir Alan Bullock, published in 1952, the first major biography in English The Hitler Book, a 2005 publication based on a secret Soviet report about Adolf Hitler Hitler: A Short Biography, a 2012 short biography by A. N. Wilson Hitler (Ullrich books), a two-volume biography by Volker Ullrich
(Ullrich books), a two-volume biography by Volker Ullrich Film and television Adolf Hitler Hitler (1962 film), a film starring Richard Basehart Hitler: A Film from Germany, a 1978 film co-produced by the BBC Hitler – Beast of Berlin, a 1939 film Hitler: The Last Ten Days, a 1973 film Hitler: The Rise of Evil, a 2003 TV series broadcast by CBS Other films Hitler (1996 film), a Malayalam film Hitler (1997 film), a Telugu film Hitler och vi på Klamparegatan, a Swedish film starring Chatarina Larsson Hitler (1998 film), a Hindi film Meet the Hitlers, 2014 documentary film Other uses Adolf Hitler (calypso), a song Hitler (name), a surname, and a list of people with the name Hitler (retail store), the former name of a clothing store in Gujarat,
data. It was first introduced by Karl Pearson. To construct a histogram, the first step is to "bin" (or "bucket") the range of values—that is, divide the entire range of values into a series of intervals—and then count how many values fall into each interval. The bins are usually specified as consecutive, non-overlapping intervals of a variable. The bins (intervals) must be adjacent and are often (but not required to be) of equal size. If the bins are of equal size, a rectangle is erected over the bin with height proportional to the frequency—the number of cases in each bin. A histogram may also be normalized to display "relative" frequencies. It then shows the proportion of cases that fall into each of several categories, with the sum of the heights equaling 1. However, bins need not be of equal width; in that case, the erected rectangle is defined to have its area proportional to the frequency of cases in the bin. The vertical axis is then not the frequency but frequency density—the number of cases per unit of the variable on the horizontal axis. Examples of variable bin width are displayed on Census bureau data below. As the adjacent bins leave no gaps, the rectangles of a histogram touch each other to indicate that the original variable is continuous. Histograms give a rough sense of the density of the underlying distribution of the data, and often for density estimation: estimating the probability density function of the underlying variable. The total area of a histogram used for probability density is always normalized to 1. If the length of the intervals on the x-axis are all 1, then a histogram is identical to a relative frequency plot. A histogram can be thought of as a simplistic kernel density estimation, which uses a kernel to smooth frequencies over the bins. This yields a smoother probability density function, which will in general more accurately reflect distribution of the underlying variable. The density estimate could be plotted as an alternative to the histogram, and is usually drawn as a curve rather than a set of boxes. Histograms are nevertheless preferred in applications, when their statistical properties need to be modeled. The correlated variation of a kernel density estimate is very difficult to describe mathematically, while it is simple for a histogram where each bin varies independently. An alternative to kernel density estimation is the average shifted histogram, which is fast to compute and gives a smooth curve estimate of the density without using kernels. The histogram is one of the seven basic tools of quality control. Histograms are sometimes confused with bar charts. A histogram is used for continuous data, where the bins represent ranges of data, while a bar chart is a plot of categorical variables. Some authors recommend that bar charts have gaps between the rectangles to clarify the distinction. Examples This is the data for the histogram to the right, using 500 items: The words used to describe the patterns in a histogram are: "symmetric", "skewed left" or "right", "unimodal", "bimodal" or "multimodal". It is a good idea to plot the data using several different bin widths to learn more about it. Here is an example on tips given in a restaurant. The U.S. Census Bureau found that there were 124 million people who work outside of their homes. Using their data on the time occupied by travel to work, the table below shows the absolute number of people who
|| 30 || 6461 || 215 |- | 90 || 60 || 3435 || 57 |} This histogram shows the number of cases per unit interval as the height of each block, so that the area of each block is equal to the number of people in the survey who fall into its category. The area under the curve represents the total number of cases (124 million). This type of histogram shows absolute numbers, with Q in thousands. {| class="wikitable" style="text-align:center" |+Data by proportion |- ! Interval !! Width !! Quantity (Q) !! Q/total/width |- | 0 || 5 || 4180 || 0.0067 |- | 5 || 5 || 13687 || 0.0221 |- | 10 || 5 || 18618 || 0.0300 |- | 15 || 5 || 19634 || 0.0316 |- | 20 || 5 || 17981 || 0.0290 |- | 25 || 5 || 7190 || 0.0116 |- | 30 || 5 || 16369 || 0.0264 |- | 35 || 5 || 3212 || 0.0052 |- | 40 || 5 || 4122 || 0.0066 |- | 45 || 15 || 9200 || 0.0049 |- | 60 || 30 || 6461 || 0.0017 |- | 90 || 60 || 3435 || 0.0005 |} This histogram differs from the first only in the vertical scale. The area of each block is the fraction of the total that each category represents, and the total area of all the bars is equal to 1 (the fraction meaning "all"). The curve displayed is a simple density estimate. This version shows proportions, and is also known as a unit area histogram. In other words, a histogram represents a frequency distribution by means of rectangles whose widths represent class intervals and whose areas are proportional to the corresponding frequencies: the height of each is the average frequency density for the interval. The intervals are placed together in order to show that the data represented by the histogram, while exclusive, is also contiguous. (E.g., in a histogram it is possible to have two connecting intervals of 10.5–20.5 and 20.5–33.5, but not two connecting intervals of 10.5–20.5 and 22.5–32.5. Empty intervals are represented as empty and not skipped.) Mathematical definitions The data used to construct a histogram are generated via a function mi that counts the number of observations that fall into each of the disjoint categories (known as bins). Thus, if we let n be the total number of observations and k be the total number of bins, the histogram data mi meet the following conditions: Cumulative histogram A cumulative histogram is a mapping that counts the cumulative number of observations in all of the bins up to the specified bin. That is, the cumulative histogram Mi of a histogram mj is defined as: Number of bins and width There is no "best" number of bins, and different bin sizes can reveal different features of the data. Grouping data is at least as old as Graunt's work in the 17th century, but no systematic guidelines were given until Sturges' work in 1926. Using wider bins where the density of the underlying data points is low reduces noise due to sampling randomness; using narrower bins where the density is high (so the signal drowns the noise) gives greater precision to the density estimation. Thus varying the bin-width within a histogram can be beneficial. Nonetheless, equal-width bins are widely used. Some theoreticians have attempted to determine an optimal number of bins, but these methods generally make strong assumptions about the shape of the distribution. Depending on the actual data distribution and the goals of the analysis, different bin widths may be appropriate, so experimentation is usually needed to determine an appropriate width. There are, however, various useful guidelines and rules of thumb. The number of bins k can be assigned directly or can be calculated from a suggested bin width h as: The braces indicate the ceiling function. Square-root choice which takes the square root of the number of data points in the sample (used by Excel's Analysis Toolpak histograms and many other) and rounds to the next integer. Sturges' formula Sturges' formula is derived from a binomial distribution and implicitly assumes an approximately normal distribution. Sturges' formula implicitly bases bin sizes on the range of the data, and can perform poorly if , because the
52.61 km². Highest elevation is the Hohnangel with 262 m above sea level. History The municipality was united on July 14, 1972, by merging the municipalities Borgloh, Hankenberge and Hilter. Already in 1977 the municipalities Allendorf, Borgloh-Wellendorf, Ebbendorf, Eppendorf and Uphöfen
the Hohnangel with 262 m above sea level. History The municipality was united on July 14, 1972, by merging the municipalities Borgloh, Hankenberge and Hilter. Already in 1977 the municipalities Allendorf, Borgloh-Wellendorf, Ebbendorf, Eppendorf and Uphöfen were joined into the Einheitsgemeinde Borgloh. Industry Hilter was well known for mining Hilter Gold ochre as
in 2006–2008. Hawaiian is a Polynesian member of the Austronesian language family. It is closely related to other Polynesian languages, such as Marquesan, Tahitian, Māori, Rapa Nui (the language of Easter Island), and less closely to Samoan and Tongan. According to Schütz, the Marquesans colonized the archipelago in roughly 300 CE and were later followed by waves of seafarers from the Society Islands, Samoa and Tonga. These Polynesians remained in the islands; they eventually became the Hawaiian people and their languages evolved into the Hawaiian language. Kimura and Wilson say, "[l]inguists agree that Hawaiian is closely related to Eastern Polynesian, with a particularly strong link in the Southern Marquesas, and a secondary link in Tahiti, which may be explained by voyaging between the Hawaiian and Society Islands". Before the arrival of Captain James Cook, the Hawaiian language had no written form. That form was developed mainly by American Protestant missionaries between 1820 and 1826 who assigned to the Hawaiian phonemes letters from the Latin alphabet. Interest in Hawaiian increased significantly in the late 20th century. With the help of the Office of Hawaiian Affairs, specially designated immersion schools in which all subjects would be taught in Hawaiian were established. The University of Hawaii developed a Hawaiian language graduate studies program. Municipal codes were altered to favor Hawaiian place and street names for new civic developments. Hawaiian distinguishes between long and short vowel sounds. In modern practice, vowel length is indicated with a macron (kahakō). Hawaiian-language newspapers (nūpepa) published from 1834 to 1948 and traditional native speakers of Hawaiian generally omit the marks in their own writing. The ʻokina and kahakō are intended to help non-native speakers. The Hawaiian language uses the glottal stop (ʻOkina) as a consonant. It is written as a symbol similar to the apostrophe or left-hanging (opening) single quotation mark. The keyboard layout used for Hawaiian is QWERTY. Hawaiian Pidgin Some residents of Hawaii speak Hawaiʻi Creole English (HCE), endonymically called pidgin or pidgin English. The lexicon of HCE derives mainly from English but also uses words that have derived from Hawaiian, Chinese, Japanese, Portuguese, Ilocano and Tagalog. During the 19th century, the increase in immigration—mainly from China, Japan, Portugal—especially from the Azores and Madeira, and Spain—catalyzed the development of a hybrid variant of English known to its speakers as pidgin. By the early 20th century, pidgin speakers had children who acquired it as their first language. HCE speakers use some Hawaiian words without those words being considered archaic. Most place names are retained from Hawaiian, as are some names for plants and animals. For example, tuna fish is often called by its Hawaiian name, ahi. HCE speakers have modified the meanings of some English words. For example, "aunty" and "uncle" may either refer to any adult who is a friend or be used to show respect to an elder. Syntax and grammar follow distinctive rules different from those of General American English. For example, instead of "it is hot today, isn't it?", an HCE speaker would say simply "stay hot, eh?" The term da kine is used as a filler; a substitute for virtually any word or phrase. During the surfing boom in Hawaii, HCE was influenced by surfer slang. Some HCE expressions, such as brah and da kine, have found their ways elsewhere through surfing communities. Hawaiʻi Sign Language Hawaiʻi Sign Language, a sign language for the Deaf based on the Hawaiian language, has been in use in the islands since the early 1800s. It is dwindling in numbers due to American Sign Language supplanting HSL through schooling and various other domains. Religion Hawaii is among the most religiously diverse states in the U.S., with one in ten residents practicing a non-Christian faith. Christianity remains the majority religion, mainly represented by various Protestants groups and Roman Catholics. The second largest religion is Buddhism, which is concentrated in the Japanese community, and comprises a larger proportion of the population than any other state. The unaffiliated and nonreligious account for roughly half the population, making Hawaii one of the most secular states. The Cathedral Church of Saint Andrew in Honolulu was formally the seat of the Hawaiian Reformed Catholic Church, a province of the Anglican Communion that had been the state church of the Kingdom of Hawaii; it subsequently merged into the Episcopal Church in the 1890s following the overthrow of the Kingdom of Hawaii, becoming the seat of the Episcopal Diocese of Hawaii. The Cathedral Basilica of Our Lady of Peace and the Co-Cathedral of Saint Theresa of the Child Jesus serve as seats of the Roman Catholic Diocese of Honolulu. The Eastern Orthodox community is centered around the Saints Constantine and Helen Greek Orthodox Cathedral of the Pacific. The largest denominations by membership were the Roman Catholic Church with 249,619 adherents in 2010; the Church of Jesus Christ of Latter-day Saints with 68,128 adherents in 2009; the United Church of Christ with 115 congregations and 20,000 members; and the Southern Baptist Convention with 108 congregations and 18,000 members. All non-denominational churches have 128 congregations and 32,000 members. According to data provided by religious establishments, religion in Hawaii in 2000 was distributed as follows: Christianity: 351,000 (29%) Buddhism: 110,000 (9%) Judaism: 10,000 (1%) Other: 100,000 (10%) Unaffiliated: 650,000 (51%) A Pew poll found that the religious composition was as follows: Birth data Note: Births in this table do not add up, because Hispanic peoples are counted both by their ethnicity and by their race, giving a higher overall number. 1) Until 2016, data for births of Asian origin, included also births of the Pacific Islander group. 2) 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. LGBT Hawaii has had a long history of LGBT identities. Māhū ("in the middle") were a precolonial third gender with traditional spiritual and social roles, widely respected as healers. Homosexual relationships known as aikāne were widespread and normal in ancient Hawaiian society. Among men, aikāne relationships often began as teens and continued throughout their adult lives, even if they also maintained heterosexual partners. While aikāne usually refers to male homosexuality, some stories also refer to women, implying that women may have been involved in aikāne relationships as well. Journals written by Captain Cook's crew record that many aliʻi (hereditary nobles) also engaged in aikāne relationships, and Kamehameha the Great, the founder and first ruler of the Kingdom of Hawaii, was also known to participate. Cook's second lieutenant and co-astronomer James King observed that "all the chiefs had them", and recounts that Cook was actually asked by one chief to leave King behind, considering the role a great honor. Hawaiian scholar Lilikalā Kameʻeleihiwa notes that aikāne served a practical purpose of building mutual trust and cohesion; "If you didn't sleep with a man, how could you trust him when you went into battle? How would you know if he was going to be the warrior that would protect you at all costs, if he wasn't your lover?" As Western colonial influences intensified in the late 19th and early 20th century, the word aikāne was expurgated of its original sexual meaning, and in print simply meant "friend". Nonetheless, in Hawaiian language publications its metaphorical meaning can still mean either "friend" or "lover" without stigmatization. A 2012 Gallup poll found that Hawaii had the largest proportion of LGBT adults in the U.S., at 5.1%, an estimated 53,966 individuals. The number of same-sex couple households in 2010 was 3,239, representing a 35.5% increase from a decade earlier. In 2013, Hawaii became the fifteenth U.S. state to legalize same-sex marriage; this reportedly boosted tourism by $217million. Economy The history of Hawaii's economy can be traced through a succession of dominant industries: sandalwood, whaling, sugarcane, pineapple, the military, tourism and education. Since statehood in 1959, tourism has been the largest industry, contributing 24.3% of the gross state product (GSP) in 1997, despite efforts to diversify. The state's gross output for 2003 was billion; per capita income for Hawaii residents in 2014 was . Hawaiian exports include food and clothing. These industries play a small role in the Hawaiian economy, due to the shipping distance to viable markets, such as the West Coast of the United States. The state's food exports include coffee, macadamia nuts, pineapple, livestock, sugarcane and honey. By weight, honey bees may be the state's most valuable export. According to the Hawaii Agricultural Statistics Service, agricultural sales were million from diversified agriculture, million from pineapple, and million from sugarcane. Hawaii's relatively consistent climate has attracted the seed industry, which is able to test three generations of crops per year on the islands, compared with one or two on the mainland. Seeds yielded million in 2012, supporting 1,400 workers. , the state's unemployment rate was 3.2%. In 2009, the United States military spent billion in Hawaii, accounting for 18% of spending in the state for that year. 75,000 United States Department of Defense personnel live in Hawaii. According to a 2013 study by Phoenix Marketing International, Hawaii had the fourth-largest number of millionaires per capita in the United States, with a ratio of 7.2%. Taxation Tax is collected by the Hawaii Department of Taxation. Most government revenue comes from personal income taxes and a general excise tax (GET) levied primarily on businesses; there is no statewide tax on sales, personal property, or stock transfers, while the effective property tax rate is among the lowest in the country. The high rate of tourism means that millions of visitors generate public revenue through GET and the hotel room tax. However, Hawaii residents generally pay among the most state taxes per person in the U.S. The Tax Foundation of Hawaii considers the state's tax burden too high, claiming that it contributes to higher prices and the perception of an unfriendly business climate. The nonprofit Tax Foundation ranks Hawaii third in income tax burden and second in its overall tax burden, though notes that a significant portion of taxes are borne by tourists. Former State Senator Sam Slom attributed Hawaii's comparatively high tax rate to the fact that the state government is responsible for education, health care, and social services that are usually handled at a county or municipal level in most other states. Cost of living The cost of living in Hawaii, specifically Honolulu, is high compared to that of most major U.S. cities, although it is 6.7% lower than in New York City and 3.6% lower than in San Francisco. These numbers may not take into account some costs, such as increased travel costs for flights, additional shipping fees, and the loss of promotional participation opportunities for customers outside the contiguous U.S. While some online stores offer free shipping on orders to Hawaii, many merchants exclude Hawaii, Alaska, Puerto Rico and certain other U.S. territories. Hawaiian Electric Industries, a privately owned company, provides 95% of the state's population with electricity, mostly from fossil-fuel power stations. Average electricity prices in October 2014 () were nearly three times the national average () and 80% higher than the second-highest state, Connecticut. The median home value in Hawaii in the 2000 U.S. Census was , while the national median home value was . Hawaii home values were the highest of all states, including California with a median home value of . Research from the National Association of Realtors places the 2010 median sale price of a single family home in Honolulu, Hawaii, at and the U.S. median sales price at . The sale price of single family homes in Hawaii was the highest of any U.S. city in 2010, just above that of the Silicon Valley area of California (). Hawaii's very high cost of living is the result of several interwoven factors of the global economy in addition to domestic U.S. government trade policy. Like other regions with desirable weather year-round, such as California, Arizona and Florida, Hawaii's residents can be considered to be subject to a "sunshine tax". This situation is further exacerbated by the natural factors of geography and world distribution that lead to higher prices for goods due to increased shipping costs, a problem which many island states and territories suffer from as well. The higher costs to ship goods across an ocean may be further increased by the requirements of the Jones Act, which generally requires that goods be transported between places within the U.S., including between the mainland U.S. west coast and Hawaii, using only U.S.-owned, built, and crewed ships. Jones Act-compliant vessels are often more expensive to build and operate than foreign equivalents, which can drive up shipping costs. While the Jones Act does not affect transportation of goods to Hawaii directly from Asia, this type of trade is nonetheless not common; this is a result of other primarily economic reasons including additional costs associated with stopping over in Hawaii (e.g. pilot and port fees), the market size of Hawaii, and the economics of using ever-larger ships that cannot be handled in Hawaii for transoceanic voyages. Therefore, Hawaii relies on receiving most inbound goods on Jones Act-qualified vessels originating from the U.S. west coast, which may contribute to the increased cost of some consumer goods and therefore the overall cost of living. Critics of the Jones Act contend that Hawaii consumers ultimately bear the expense of transporting goods imposed by the Jones Act. Culture The aboriginal culture of Hawaii is Polynesian. Hawaii represents the northernmost extension of the vast Polynesian Triangle of the south and central Pacific Ocean. While traditional Hawaiian culture remains as vestiges in modern Hawaiian society, there are re-enactments of the ceremonies and traditions throughout the islands. Some of these cultural influences, including the popularity (in greatly modified form) of lūau and hula, are strong enough to affect the wider United States. Cuisine The cuisine of Hawaii is a fusion of many foods brought by immigrants to the Hawaiian Islands, including the earliest Polynesians and Native Hawaiian cuisine, and American, Chinese, Filipino, Japanese, Korean, Polynesian, Puerto Rican, and Portuguese origins. Plant and animal food sources are imported from around the world for agricultural use in Hawaii. Poi, a starch made by pounding taro, is one of the traditional foods of the islands. Many local restaurants serve the ubiquitous plate lunch, which features two scoops of rice, a simplified version of American macaroni salad and a variety of toppings including hamburger patties, a fried egg, and gravy of a loco moco, Japanese style tonkatsu or the traditional lūau favorites, including kālua pork and laulau. Spam musubi is an example of the fusion of ethnic cuisine that developed on the islands among the mix of immigrant groups and military personnel. In the 1990s, a group of chefs developed Hawaii regional cuisine as a contemporary fusion cuisine. Customs and etiquette Some key customs and etiquette in Hawaii are as follows: when visiting a home, it is considered good manners to bring a small gift for one's host (for example, a dessert). Thus, parties are usually in the form of potlucks. Most locals take their shoes off before entering a home. It is customary for Hawaiian families, regardless of ethnicity, to hold a luau to celebrate a child's first birthday. It is also customary at Hawaiian weddings, especially at Filipino weddings, for the bride and groom to do a money dance (also called the pandanggo). Print media and local residents recommend that one refer to non-Hawaiians as "locals of Hawaii" or "people of Hawaii". Hawaiian mythology Hawaiian mythology includes the legends, historical tales, and sayings of the ancient Hawaiian people. It is considered a variant of a more general Polynesian mythology that developed a unique character for several centuries before circa 1800. It is associated with the Hawaiian religion, which was officially suppressed in the 19th century but was kept alive by some practitioners to the modern day. Prominent figures and terms include Aumakua, the spirit of an ancestor or family god and Kāne, the highest of the four major Hawaiian deities. Polynesian mythology Polynesian mythology is the oral traditions of the people of Polynesia, a grouping of Central and South Pacific Ocean island archipelagos in the Polynesian triangle together with the scattered cultures known as the Polynesian outliers. Polynesians speak languages that descend from a language reconstructed as Proto-Polynesian that was probably spoken in the area around Tonga and Samoa in around 1000 BC. Prior to the 15th century, Polynesian people migrated east to the Cook Islands, and from there to other island groups such as Tahiti and the Marquesas. Their descendants later discovered the islands Tahiti, Rapa Nui and later the Hawaiian Islands and New Zealand. The Polynesian languages are part of the Austronesian language family. Many are close enough in terms of vocabulary and grammar to be mutually intelligible. There are also substantial cultural similarities between the various groups, especially in terms of social organization, childrearing, horticulture, building and textile technologies. Their mythologies in particular demonstrate local reworkings of commonly shared tales. The Polynesian cultures each have distinct but related oral traditions; legends or myths are traditionally considered to recount ancient history (the time of "pō") and the adventures of gods ("atua") and deified ancestors. List of state parks There are many Hawaiian state parks. The Island of Hawaii has state parks, recreation areas, and historical parks. Kauai has the Ahukini State Recreation Pier, six state parks, and the Russian Fort Elizabeth State Historical Park. Maui has two state monuments, several state parks, and the Polipoli Spring State Recreation Area. Moloka'i has the Pala'au State Park. Oahu has several state parks, a number of state recreation areas, and a number of monuments, including the Ulu Pō Heiau State Monument. Literature The literature of Hawaii is diverse and includes authors Kiana Davenport, Lois-Ann Yamanaka, and Kaui Hart Hemmings. Hawaiian magazines include Hana Hou!, Hawaii Business Magazine and Honolulu, among others. Music The music of Hawaii includes traditional and popular styles, ranging from native Hawaiian folk music to modern rock and hip hop. Hawaii's musical contributions to the music of the United States are out of proportion to the state's small size. Styles such as slack-key guitar are well known worldwide, while Hawaiian-tinged music is a frequent part of Hollywood soundtracks. Hawaii also made a major contribution to country music with the introduction of the steel guitar. Traditional Hawaiian folk music is a major part of the state's musical heritage. The Hawaiian people have inhabited the islands for centuries and have retained much of their traditional musical knowledge. Their music is largely religious in nature, and includes chanting and dance music. Hawaiian music has had an enormous impact on the music of other Polynesian islands; according to Peter Manuel, the influence of Hawaiian music is a "unifying factor in the development of modern Pacific musics". Native Hawaiian musician and Hawaiian sovereignty activist Israel Kamakawiwoʻole, famous for his medley of "Somewhere Over the Rainbow/What a Wonderful World", was named "The Voice of Hawaii" by NPR in 2010 in its 50 great voices series. Sports Due to its distance from the
which removed racial and national barriers and resulted in significantly altering the demographic mix in the U.S. Oahu was the target of a surprise attack on Pearl Harbor by Imperial Japan on December 7, 1941. The attack on Pearl Harbor and other military and naval installations, carried out by aircraft and by midget submarines, brought the United States into World War II. Political changes of 1954 – State of Hawaii (1959–present) In the 1950s, the power of the plantation owners was broken by the descendants of immigrant laborers, who were born in Hawaii and were U.S. citizens. They voted against the Hawaii Republican Party, strongly supported by plantation owners. The new majority voted for the Democratic Party of Hawaii, which dominated territorial and state politics for more than 40 years. Eager to gain full representation in Congress and the Electoral College, residents actively campaigned for statehood. In Washington there was talk that Hawaii would be a Republican Party stronghold so it was matched with the admission of Alaska, seen as a Democratic Party stronghold. These predictions turned out to be inaccurate; today, Hawaii votes Democratic predominantly, while Alaska votes Republican. In March 1959, Congress passed the Hawaii Admissions Act, which U.S. President Dwight D. Eisenhower signed into law. The act excluded Palmyra Atoll from statehood; it had been part of the Kingdom and Territory of Hawaii. On June 27, 1959, a referendum asked residents of Hawaii to vote on the statehood bill; 94.3% voted in favor of statehood and 5.7% opposed it. The referendum asked voters to choose between accepting the Act and remaining a U.S. territory. The United Nations' Special Committee on Decolonization later removed Hawaii from its list of non-self-governing territories. After attaining statehood, Hawaii quickly modernized through construction and a rapidly growing tourism economy. Later, state programs promoted Hawaiian culture. The Hawaii State Constitutional Convention of 1978 created institutions such as the Office of Hawaiian Affairs to promote indigenous language and culture. Demographics Population After Europeans and mainland Americans first arrived during the Kingdom of Hawaii period, the overall population of Hawaii—which until that time composed solely of Indigenous Hawaiians—fell dramatically. Many people of the Indigenous Hawaiian population died to foreign diseases, declining from 300,000 in the 1770s, to 60,000 in the 1850s, to 24,000 in 1920. In 1923, 42% of the population was of Japanese descent, 9% was of Chinese descent, and 16% was native descent. The population of Hawaii began to finally increase after an influx of primarily Asian settlers that arrived as migrant laborers at the end of the 19thcentury. The unmixed indigenous Hawaiian population has still not restored itself to its 300,000 pre-contact level. , only 156,000 persons declared themselves to be of Native Hawaiian-only ancestry, just over half the pre-contact level Native Hawaiian population, although an additional 371,000 persons declared themselves to possess Native Hawaiian ancestry in combination with one or more other races (including other Polynesian groups, but mostly Asian and/or Caucasian). , the United States Census Bureau estimates the population of Hawaii at 1,420,491, a decrease of 7,047 from the previous year and an increase of 60,190 (4.42%) since 2010. This includes a natural increase of 48,111 (96,028 births minus 47,917 deaths) and an increase due to net migration of 16,956 people into the state. Immigration from outside the United States resulted in a net increase of 30,068; migration within the country produced a net loss of 13,112 people. The center of population of Hawaii is located on the island of O'ahu. Large numbers of Native Hawaiians have moved to Las Vegas, which has been called the "ninth island" of Hawaii. Hawaii has a de facto population of over 1.4million, due in part to a large number of military personnel and tourist residents. O'ahu is the most populous island; it has the highest population density with a resident population of just under one million in , approximately 1,650 people per square mile. Hawaii's 1.4million residents, spread across of land, result in an average population density of 188.6 persons per square mile. The state has a lower population density than Ohio and Illinois. The average projected lifespan of people born in Hawaii in 2000 is 79.8 years; 77.1 years if male, 82.5 if female—longer than the average lifespan of any other U.S. state. the U.S. military reported it had 42,371 personnel on the islands. Ancestry According to the 2020 United States Census, Hawaii had a population of 1,455,271. The state's population identified as 37.2% Asian; 25.3% Multiracial; 22.9% White; 10.0% Native Hawaiians and other Pacific Islanders; 9.5% Hispanic and Latinos of any race; 1.6% Black or African American; 1.8% from some other race; and 0.3% Native American and Alaskan Native. Hawaii has the highest percentage of Asian Americans and multiracial Americans and the lowest percentage of White Americans of any state. It is the only state where people who identify as Asian Americans are the largest ethnic group. In 2012, 14.5% of the resident population under age 1 was non-Hispanic white. Hawaii's Asian population consists mainly of 198,000 (14.6%) Filipino Americans, 185,000 (13.6%) Japanese Americans, roughly 55,000 (4.0%) Chinese Americans, and 24,000 (1.8%) Korean Americans. There are more than 80,000 Indigenous Hawaiians—5.9% of the population. Including those with partial ancestry, Samoan Americans constitute 2.8% of Hawaii's population, and Tongan Americans constitute 0.6%. Over 120,000 (8.8%) Hispanic and Latino Americans live in Hawaii. Mexican Americans number over 35,000 (2.6%); Puerto Ricans exceed 44,000 (3.2%). Multiracial Americans constitute almost 25% of Hawaii's population, exceeding 320,000 people. Eurasian Americans are a prominent mixed-race group, numbering about 66,000 (4.9%). The non-Hispanic White population numbers around 310,000—just over 20% of the population. The multi-racial population outnumbers the non-Hispanic white population by about 10,000 people. In 1970, the Census Bureau reported Hawaii's population was 38.8% white and 57.7% Asian and Pacific Islander. The five largest European ancestries in Hawaii are German (7.4%), Irish (5.2%), English (4.6%), Portuguese (4.3%) and Italian (2.7%). About 82.2% of the state's residents were born in the United States. Roughly 75% of foreign-born residents originate in Asia. Hawaii is a majority-minority state. It was expected to be one of three states that will not have a non-Hispanic white plurality in 2014; the other two are California and New Mexico. The third group of foreigners to arrive in Hawaii were from China. Chinese workers on Western trading ships settled in Hawaii starting in 1789. In 1820, the first American missionaries arrived to preach Christianity and teach the Hawaiians Western ways. , a large proportion of Hawaii's population have Asian ancestry—especially Filipino, Japanese and Chinese. Many are descendants of immigrants brought to work on the sugarcane plantations in the mid-to-late 19th century. The first 153 Japanese immigrants arrived in Hawaii on June 19, 1868. They were not approved by the then-current Japanese government because the contract was between a broker and the Tokugawa shogunate—by then replaced by the Meiji Restoration. The first Japanese current-government-approved immigrants arrived on February 9, 1885, after Kalākaua's petition to Emperor Meiji when Kalākaua visited Japan in 1881. Almost 13,000 Portuguese migrants had arrived by 1899; they also worked on the sugarcane plantations. By 1901, more than 5,000 Puerto Ricans were living in Hawaii. Languages English and Hawaiian are listed as Hawaii's official languages in the state's 1978 constitution, in Article XV, Section 4. However, the use of Hawaiian is limited because the constitution specifies that "Hawaiian shall be required for public acts and transactions only as provided by law". Hawaiʻi Creole English, locally referred to as "Pidgin", is the native language of many native residents and is a second language for many others. As of the 2000 Census, 73.4% of Hawaii residents age5 and older exclusively speak English at home. According to the 2008 American Community Survey, 74.6% of Hawaii's residents older than5 speak only English at home. In their homes, 21.0% of state residents speak an additional Asian language, 2.6% speak Spanish, 1.6% speak other Indo-European languages and 0.2% speak another language. After English, other languages popularly spoken in the state are Tagalog, Japanese and Ilocano. Significant numbers of European immigrants and their descendants also speak their native languages; the most numerous are German, Portuguese, Italian and French. 5.4% of residents speak Tagalog—which includes non-native speakers of Filipino language, the national, co-official, Tagalog-based language; 5.0% speak Japanese and 4.0% speak Ilocano; 1.2% speak Chinese, 1.7% speak Hawaiian; 1.7% speak Spanish; 1.6% speak Korean; and 1.0% speak Samoan. Hawaiian The Hawaiian language has about 2,000 native speakers, about 0.15% of the total population. According to the United States Census, there were more than 24,000 total speakers of the language in Hawaii in 2006–2008. Hawaiian is a Polynesian member of the Austronesian language family. It is closely related to other Polynesian languages, such as Marquesan, Tahitian, Māori, Rapa Nui (the language of Easter Island), and less closely to Samoan and Tongan. According to Schütz, the Marquesans colonized the archipelago in roughly 300 CE and were later followed by waves of seafarers from the Society Islands, Samoa and Tonga. These Polynesians remained in the islands; they eventually became the Hawaiian people and their languages evolved into the Hawaiian language. Kimura and Wilson say, "[l]inguists agree that Hawaiian is closely related to Eastern Polynesian, with a particularly strong link in the Southern Marquesas, and a secondary link in Tahiti, which may be explained by voyaging between the Hawaiian and Society Islands". Before the arrival of Captain James Cook, the Hawaiian language had no written form. That form was developed mainly by American Protestant missionaries between 1820 and 1826 who assigned to the Hawaiian phonemes letters from the Latin alphabet. Interest in Hawaiian increased significantly in the late 20th century. With the help of the Office of Hawaiian Affairs, specially designated immersion schools in which all subjects would be taught in Hawaiian were established. The University of Hawaii developed a Hawaiian language graduate studies program. Municipal codes were altered to favor Hawaiian place and street names for new civic developments. Hawaiian distinguishes between long and short vowel sounds. In modern practice, vowel length is indicated with a macron (kahakō). Hawaiian-language newspapers (nūpepa) published from 1834 to 1948 and traditional native speakers of Hawaiian generally omit the marks in their own writing. The ʻokina and kahakō are intended to help non-native speakers. The Hawaiian language uses the glottal stop (ʻOkina) as a consonant. It is written as a symbol similar to the apostrophe or left-hanging (opening) single quotation mark. The keyboard layout used for Hawaiian is QWERTY. Hawaiian Pidgin Some residents of Hawaii speak Hawaiʻi Creole English (HCE), endonymically called pidgin or pidgin English. The lexicon of HCE derives mainly from English but also uses words that have derived from Hawaiian, Chinese, Japanese, Portuguese, Ilocano and Tagalog. During the 19th century, the increase in immigration—mainly from China, Japan, Portugal—especially from the Azores and Madeira, and Spain—catalyzed the development of a hybrid variant of English known to its speakers as pidgin. By the early 20th century, pidgin speakers had children who acquired it as their first language. HCE speakers use some Hawaiian words without those words being considered archaic. Most place names are retained from Hawaiian, as are some names for plants and animals. For example, tuna fish is often called by its Hawaiian name, ahi. HCE speakers have modified the meanings of some English words. For example, "aunty" and "uncle" may either refer to any adult who is a friend or be used to show respect to an elder. Syntax and grammar follow distinctive rules different from those of General American English. For example, instead of "it is hot today, isn't it?", an HCE speaker would say simply "stay hot, eh?" The term da kine is used as a filler; a substitute for virtually any word or phrase. During the surfing boom in Hawaii, HCE was influenced by surfer slang. Some HCE expressions, such as brah and da kine, have found their ways elsewhere through surfing communities. Hawaiʻi Sign Language Hawaiʻi Sign Language, a sign language for the Deaf based on the Hawaiian language, has been in use in the islands since the early 1800s. It is dwindling in numbers due to American Sign Language supplanting HSL through schooling and various other domains. Religion Hawaii is among the most religiously diverse states in the U.S., with one in ten residents practicing a non-Christian faith. Christianity remains the majority religion, mainly represented by various Protestants groups and Roman Catholics. The second largest religion is Buddhism, which is concentrated in the Japanese community, and comprises a larger proportion of the population than any other state. The unaffiliated and nonreligious account for roughly half the population, making Hawaii one of the most secular states. The Cathedral Church of Saint Andrew in Honolulu was formally the seat of the Hawaiian Reformed Catholic Church, a province of the Anglican Communion that had been the state church of the Kingdom of Hawaii; it subsequently merged into the Episcopal Church in the 1890s following the overthrow of the Kingdom of Hawaii, becoming the seat of the Episcopal Diocese of Hawaii. The Cathedral Basilica of Our Lady of Peace and the Co-Cathedral of Saint Theresa of the Child Jesus serve as seats of the Roman Catholic Diocese of Honolulu. The Eastern Orthodox community is centered around the Saints Constantine and Helen Greek Orthodox Cathedral of the Pacific. The largest denominations by membership were the Roman Catholic Church with 249,619 adherents in 2010; the Church of Jesus Christ of Latter-day Saints with 68,128 adherents in 2009; the United Church of Christ with 115 congregations and 20,000 members; and the Southern Baptist Convention with 108 congregations and 18,000 members. All non-denominational churches have 128 congregations and 32,000 members. According to data provided by religious establishments, religion in Hawaii in 2000 was distributed as follows: Christianity: 351,000 (29%) Buddhism: 110,000 (9%) Judaism: 10,000 (1%) Other: 100,000 (10%) Unaffiliated: 650,000 (51%) A Pew poll found that the religious composition was as follows: Birth data Note: Births in this table do not add up, because Hispanic peoples are counted both by their ethnicity and by their race, giving a higher overall number. 1) Until 2016, data for births of Asian origin, included also births of the Pacific Islander group. 2) 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. LGBT Hawaii has had a long history of LGBT identities. Māhū ("in the middle") were a precolonial third gender with traditional spiritual and social roles, widely respected as healers. Homosexual relationships known as aikāne were widespread and normal in ancient Hawaiian society. Among men, aikāne relationships often began as teens and continued throughout their adult lives, even if they also maintained heterosexual partners. While aikāne usually refers to male homosexuality, some stories also refer to women, implying that women may have been involved in aikāne relationships as well. Journals written by Captain Cook's crew record that many aliʻi (hereditary nobles) also engaged in aikāne relationships, and Kamehameha the Great, the founder and first ruler of the Kingdom of Hawaii, was also known to participate. Cook's second lieutenant and co-astronomer James King observed that "all the chiefs had them", and recounts that Cook was actually asked by one chief to leave King behind, considering the role a great honor. Hawaiian scholar Lilikalā Kameʻeleihiwa notes that aikāne served a practical purpose of building mutual trust and cohesion; "If you didn't sleep with a man, how could you trust him when you went into battle? How would you know if he was going to be the warrior that would protect you at all costs, if he wasn't your lover?" As Western colonial influences intensified in the late 19th and early 20th century, the word aikāne was expurgated of its original sexual meaning, and in print simply meant "friend". Nonetheless, in Hawaiian language publications its metaphorical meaning can still mean either "friend" or "lover" without stigmatization. A 2012 Gallup poll found that Hawaii had the largest proportion of LGBT adults in the U.S., at 5.1%, an estimated 53,966 individuals. The number of same-sex couple households in 2010 was 3,239, representing a 35.5% increase from a decade earlier. In 2013, Hawaii became the fifteenth U.S. state to legalize same-sex marriage; this reportedly boosted tourism by $217million. Economy The history of Hawaii's economy can be traced through a succession of dominant industries: sandalwood, whaling, sugarcane, pineapple, the military, tourism and education. Since statehood in 1959, tourism has been the largest industry, contributing 24.3% of the gross state product (GSP) in 1997, despite efforts to diversify. The state's gross output for 2003 was billion; per capita income for Hawaii residents in 2014 was . Hawaiian exports include food and clothing. These industries play a small role in the Hawaiian economy, due to the shipping distance to viable markets, such as the West Coast of the United States. The state's food exports include coffee, macadamia nuts, pineapple, livestock, sugarcane and honey. By weight, honey bees may be the state's most valuable export. According to the Hawaii Agricultural Statistics Service, agricultural sales were million from diversified agriculture, million from pineapple, and million from sugarcane. Hawaii's relatively consistent climate has attracted the seed industry, which is able to test three generations of crops per year on the islands, compared with one or two on the mainland. Seeds yielded million in 2012, supporting 1,400 workers. , the state's unemployment rate was 3.2%. In 2009, the United States military spent billion in Hawaii, accounting for 18% of spending in the state for that year. 75,000 United States Department of Defense personnel live in Hawaii. According to a 2013 study by Phoenix Marketing International, Hawaii had the fourth-largest number of millionaires per capita in the United States, with a ratio of 7.2%. Taxation Tax is collected by the Hawaii Department of Taxation. Most government revenue comes from personal income taxes and a general excise tax (GET) levied primarily on businesses; there is no statewide tax on sales, personal property, or stock transfers, while the effective property tax rate is among the lowest in the country. The high rate of tourism means that millions of visitors generate public revenue through GET and the hotel room tax. However, Hawaii residents generally pay among the most state taxes per person in the U.S. The Tax Foundation of Hawaii considers the state's tax burden too high, claiming that it contributes to higher prices and the perception of an unfriendly business climate. The nonprofit Tax Foundation ranks Hawaii third in income tax burden and second in its overall tax burden, though notes that a significant portion of taxes are borne by tourists. Former State Senator Sam Slom attributed Hawaii's comparatively high tax rate to the fact that the state government is responsible for education, health care, and social services that are usually handled at a county or municipal level in most other states. Cost of living The cost of living in Hawaii, specifically Honolulu, is high compared to that of most major U.S. cities, although it is 6.7% lower than in New York City and 3.6% lower than in San Francisco. These numbers may not take into account some costs, such as increased travel costs for flights, additional shipping fees, and the loss of promotional participation opportunities for customers outside the contiguous U.S. While some online stores offer free shipping on orders to Hawaii, many merchants exclude Hawaii, Alaska, Puerto Rico and certain other U.S. territories. Hawaiian Electric Industries, a privately owned company, provides 95% of the state's population with electricity, mostly from fossil-fuel power stations. Average electricity prices in October 2014 () were nearly three times the national average () and 80% higher than the second-highest state, Connecticut. The median home value in Hawaii in the 2000 U.S. Census was , while the national median home value was . Hawaii home values were the highest of all states, including California with a median home value of . Research from the National Association of Realtors places the 2010 median sale price of a single family home in Honolulu, Hawaii, at and the U.S. median sales price at . The sale price of single family homes in Hawaii was the highest of any U.S. city in 2010, just above that of the Silicon Valley area of California (). Hawaii's very high cost of living is the result of several interwoven factors of the global economy in addition to domestic U.S. government trade policy. Like other regions with desirable weather year-round, such as California, Arizona and Florida, Hawaii's residents can be considered to be subject to a "sunshine tax". This situation is further exacerbated by the natural factors of geography and world distribution that lead to higher prices for goods due to increased shipping costs, a problem which many island states and territories suffer from as well. The higher costs to ship goods across an ocean may be further increased by the requirements of the Jones Act, which generally requires that goods be transported between places within the U.S., including between the mainland U.S. west coast and Hawaii, using only U.S.-owned, built, and crewed ships. Jones Act-compliant vessels are often more expensive to build and operate than foreign equivalents, which can drive up shipping costs. While the Jones Act does not affect transportation of goods to Hawaii directly from Asia, this type of trade is nonetheless not common; this is a result of other primarily economic reasons including additional costs associated with stopping over in Hawaii (e.g. pilot and port fees), the market size of Hawaii, and the economics of using ever-larger ships that cannot be handled in Hawaii for transoceanic voyages. Therefore, Hawaii relies on receiving most inbound goods on Jones Act-qualified vessels originating from the U.S. west coast, which may contribute to the increased cost of some consumer goods and therefore the overall cost of living. Critics of the Jones Act contend that Hawaii consumers ultimately bear the expense of transporting goods imposed by the Jones Act. Culture The aboriginal culture of Hawaii is Polynesian. Hawaii represents the northernmost extension of the vast Polynesian Triangle of the south and central Pacific Ocean. While traditional Hawaiian culture remains as vestiges in modern Hawaiian society, there are re-enactments of the ceremonies and traditions throughout the islands. Some of these cultural influences, including the popularity (in greatly modified form) of lūau and hula, are strong enough to affect the wider United States. Cuisine The cuisine of Hawaii is a fusion of many foods brought by immigrants to the Hawaiian Islands, including the earliest Polynesians and Native Hawaiian cuisine, and American, Chinese, Filipino, Japanese, Korean, Polynesian, Puerto Rican, and Portuguese origins. Plant and animal food sources are imported from around the world for agricultural use in Hawaii. Poi, a starch made by pounding taro, is one of the traditional foods of the islands. Many local restaurants serve the ubiquitous plate lunch, which features two scoops of rice, a simplified version of American macaroni salad and a variety of toppings including hamburger patties, a fried egg, and gravy of a loco moco, Japanese style tonkatsu or the traditional lūau favorites, including kālua pork and laulau. Spam musubi is an example of the fusion of ethnic cuisine that developed on the islands among the mix of immigrant groups and military personnel. In the 1990s, a group of chefs developed Hawaii regional cuisine as a contemporary fusion cuisine. Customs and etiquette Some key customs and etiquette in Hawaii are as follows: when visiting a home, it is considered good manners to bring a small gift for one's host (for example, a dessert). Thus, parties are usually in the form of potlucks. Most locals take their shoes off before entering a home. It is customary for Hawaiian families, regardless of ethnicity, to hold a luau to celebrate a child's first birthday. It is also customary at Hawaiian weddings, especially at Filipino weddings, for the bride and groom to do a money dance (also called the pandanggo). Print media and local residents recommend that one refer to non-Hawaiians as "locals of Hawaii" or "people of Hawaii". Hawaiian mythology Hawaiian mythology includes the legends, historical tales, and sayings of the ancient Hawaiian people. It is considered a variant of a more general Polynesian mythology that developed a unique character for several centuries before circa 1800. It is associated with the Hawaiian religion, which was officially suppressed in the 19th century but was kept alive by some practitioners to the modern day. Prominent figures and terms include Aumakua, the spirit of an ancestor or family god and Kāne, the highest of the four major Hawaiian deities. Polynesian mythology Polynesian mythology is the oral traditions of the people of Polynesia, a grouping of Central and South Pacific Ocean island archipelagos in the Polynesian triangle together with the scattered cultures known as the Polynesian outliers. Polynesians speak languages that descend from a language reconstructed as Proto-Polynesian that was probably spoken in the area around Tonga and Samoa in around 1000 BC. Prior to the 15th century, Polynesian people migrated east to the Cook Islands, and from there to other island groups such as Tahiti and the Marquesas. Their descendants later discovered the islands Tahiti, Rapa Nui and later the Hawaiian Islands and New Zealand. The Polynesian languages are part of the Austronesian language family. Many are close enough in terms of vocabulary and grammar to be mutually intelligible. There are also substantial cultural similarities between the various groups, especially in terms of social organization, childrearing, horticulture, building and textile technologies. Their mythologies in particular demonstrate local reworkings of commonly shared tales. The Polynesian cultures each have distinct but related oral traditions; legends or myths are traditionally considered to recount ancient history (the time of "pō") and the adventures of gods ("atua") and deified ancestors. List of state parks There are many Hawaiian state parks. The Island of Hawaii has state parks, recreation areas, and historical parks. Kauai has the Ahukini State Recreation Pier, six state parks, and the Russian Fort Elizabeth State Historical Park. Maui has two state monuments, several state parks, and the Polipoli Spring State Recreation Area. Moloka'i has the Pala'au State Park. Oahu has several state parks, a number of state recreation areas, and a number of monuments, including the Ulu Pō Heiau State Monument. Literature The literature of Hawaii is diverse and includes authors Kiana Davenport, Lois-Ann Yamanaka, and Kaui Hart Hemmings. Hawaiian magazines include Hana Hou!, Hawaii Business Magazine and Honolulu, among others. Music The music of Hawaii includes traditional and popular styles, ranging from native Hawaiian folk music to modern rock and hip hop. Hawaii's musical contributions to the music of the United States are out of proportion to the state's small size. Styles such as slack-key guitar are well known worldwide, while Hawaiian-tinged music is a frequent part of Hollywood soundtracks. Hawaii also made a major contribution to country music with the introduction of the steel guitar. Traditional Hawaiian folk music is a major part of the state's musical heritage. The Hawaiian people have inhabited the islands for centuries and have retained much of their traditional musical knowledge. Their music is largely religious in nature, and includes chanting and dance music. Hawaiian music has had an enormous impact on the music of other Polynesian islands; according to Peter Manuel, the influence of Hawaiian music is a "unifying factor in the development of modern Pacific musics". Native Hawaiian musician and Hawaiian sovereignty activist Israel Kamakawiwoʻole, famous for his medley of "Somewhere Over the Rainbow/What a Wonderful World", was named "The Voice of Hawaii" by NPR in 2010 in its 50 great voices series. Sports Due to its distance from the continental United States, team sports in Hawaii are characterised by youth, collegial and amateur teams over professional teams, although some professional teams sports teams have at one time played in the state. Notable professional teams include The Hawaiians, which played at the World Football League in 1974 and 1975; the Hawaii Islanders, a Triple-A minor league baseball team that played at the Pacific Coast League from 1961 to 1987; and Team Hawaii, a North American Soccer League team that played in 1977. Notable college sports events in Hawaii include the Maui Invitational Tournament, Diamond Head Classic (basketball)
which the coffin was placed. Thus from about 1650 it came to denote the vehicle on which the dead are carried to the grave. Hearses were originally hand-drawn then horse-drawn after the decoration and weight of the hearse increased. The first electric motorized hearses were introduced to the United States in the early 1900s. Petrol-powered hearses began to be produced from 1907 and, after slow initial uptake due to their high cost, became widely accepted in the 1920s. The vast majority of hearses since then have been based on larger, more powerful car chassis, generally retaining the front end up to and possibly including the front doors but with custom bodywork to the rear to contain the coffin. First Call vehicles A First Call vehicle is used to pick up the remains of a recently deceased person, and transport that person to a funeral home or morgue. Rail transport A few big cities provided special rail lines and/or funeral trolley cars and/or subway cars to carry bodies and mourners to remote cemeteries such as in Sydney, NSW and London and tram services were common. Chicago, Illinois operated 3 different funeral trolley cars over the elevated tracks in downtown Chicago to outlying cemeteries in the western suburbs. A special funeral bureau handled the funeral trains which sometimes operated 3–4 funeral trains a week over the "L". Motorcycle hearses A motorcycle hearse may be used during the funeral of a motorcycle enthusiast. It is either a motorcycle with a sidecar built to carry a casket or urn at the side of the rider, or a trike that carries the casket behind the rider. Modern usage Two styles of formal hearse bodywork are common. One style has opaque rear panels so the coffin is barely glimpsed. This American style is fitted with a heavily padded leather or vinyl roof and each side decorated with large mock landau bars resembling the braces used for the folding leather tops on some horse-drawn carriages. The other has narrow pillars and large windows revealing the coffin. Since the working life of a hearse is generally one of light duty and short, sedate drives, hearses often remain serviceable for a long time and hearses 30 years old or more may still be in service. Due to the costs of owning an expensive custom vehicle that sits idle "80 to 90 percent of the week", individual funeral homes reduce costs by renting or utilizing a shared motor pool. Perhaps owing to the morbid associations of the hearse, its luxurious accommodations for the driver, or both, the hearse has a number of enthusiasts who own and drive retired hearses. There are several hearse clubs. North America Usually, more luxurious automobile brands are used as a base for funeral cars; since the 1930s, the vast majority of hearses in the United States and Canada have been Cadillacs and less frequently, Lincolns. The Cadillac Commercial Chassis was a longer and strengthened version of the long-wheelbase Fleetwood limousine frame to carry the extra weight of bodywork, rear deck and cargo. The rear of the Cadillac commercial chassis was considerably lower than the passenger car frame, thereby lowering the rear deck height as well for ease of loading and unloading. The Cadillac hearses were shipped as incomplete cars to coachbuilders for final assembly. Since the late 1990s, most Cadillac based funeral cars have been constructed from modified Cadillac sedans, until late 2019; The XTS chassis was discontinued from General Motors, and as such any new Cadillac hearse will be built on the XT5 SUV chassis, with the S&S Coach Company now building certain models of hearse on the XT6 platform. The fleet division of Ford Motor Company sells a Lincoln Town Car with a special "hearse package" strictly to coachbuilders. Shipped without rear seat, rear interior trim, rear window or decklid, the hearse package also features upgraded suspension, brakes, charging system and tires. This was replaced with the Lincoln MKT, which has also been discontinued, followed by the Continental which also was discontinued after a short run. The limousine style of hearse is more popular in the United States. It is common practice in the US for the windows to be curtained, while in other countries the windows are normally left unobscured. Until the 1970s, it was common for many hearses to also be used as ambulances, due to the large cargo capacity in the rear of the vehicle. These vehicles were called "combination cars" and were especially used in small towns and rural areas. Car-based ambulances and combination coaches were unable to meet stricter Federal specifications for such vehicles and were discontinued after 1979. Europe Coachbuilders modify Mercedes-Benz, Jaguar, Opel, Ford, Vauxhall Motors and Volvo products to hearses. Some second-hand Rolls-Royce cars have traditionally been used as hearses though the high cost of newer models is generally considered prohibitive. Japan In Japan, hearses, called , can come in two styles: "Foreign" style, which is similar in build and style to an American hearse, or a "Japanese" style, in which the rear area of the vehicle is modified to resemble a small, ornate Buddhist temple. The Japanese-style hearse generally requires the rear of the vehicle to be extensively altered; commonly, the rear roof is cut away
second-hand Rolls-Royce cars have traditionally been used as hearses though the high cost of newer models is generally considered prohibitive. Japan In Japan, hearses, called , can come in two styles: "Foreign" style, which is similar in build and style to an American hearse, or a "Japanese" style, in which the rear area of the vehicle is modified to resemble a small, ornate Buddhist temple. The Japanese-style hearse generally requires the rear of the vehicle to be extensively altered; commonly, the rear roof is cut away from the front windows back and all interior parts are removed from the rear as well. The ornate Buddhist-style rear area, generally constructed of wood and in which the casket or urn is placed, is built on top of this empty cavity and most often is wider than the base of the vehicle, so that it sticks out on the sides, over the rear body panels. Popular bases for these hearses are large sedans, minivans and pickup trucks. The ornaments on a Japanese-style hearse vary by region. Nagoya style decorates both the upper and lower halves of the car body. Kansai style has a relatively modest decorations unpainted. Kanazawa style is known for having a red body (other styles mostly have black bodies) with gilded ornaments. Tokyo style, found anywhere else in Japan, features painted/gilded ornaments on the upper half of the body. "Foreign" style hearses are mostly similar in appearance to their US counterparts, although their exterior dimensions and interiors reflect the Japanese preference for smaller, less ornate caskets (this in light of the national preference for cremation). This means that, in contrast to American hearses, the rear quarter panels require less, and sometimes no, alteration. These are generally built from station wagons such as the Nissan Stagea, or from executive sedans such as the Toyota Celsior (Lexus LS in the US) and Nissan Cima (Infiniti Q45 in the US). American market vehicles such as the Lincoln Town Car and Cadillac DeVille, which are otherwise fairly uncommon in Japan, are often converted to hearses in both styles. Hong Kong In Hong Kong, light goods vehicles of Isuzu, Volkswagen and Ford are used as hearses by most of the privately operated funeral homes. Singapore In Singapore, most standard hearses are built on a commercial van chassis, such as the Toyota Hiace, the Nissan Urvan and the Mercedes-Benz Vito, while the grand/traditional Chinese/Indian hearses are built on a lorry chassis like the Mitsubishi Fuso Canter and the Isuzu Elf. There are also some limousine hearses in Singapore, mostly built on Mercedes-Benz car chassis. In popular culture Amongst enthusiasts, the 1959 Cadillac Miller-Meteor hearse is considered one of the most desirable, due to its especially ornate styling and appearances in several feature films, notably an ambulance version (Ecto-1) in the 1984 film Ghostbusters. In the 2016 Ghostbusters reboot, the Ecto-1 is a 1984 Cadillac Superior hearse. In the 1971 film Harold and Maude the character Harold, played by Bud Cort, drives two hearses: originally a 1959 Cadillac Superior 3-way; and then later a custom hearse he makes from a 1971 Jaguar XK-E 4.2 Series II. The Cadillac hearse used in the film is now privately owned in central California and is preserved, looking essentially identical to the way it did in the film. Only one Jaguar "hearse" was built and was destroyed as part of the film's storyline. Several Harold and Maude fans have since built similar hearses from E-Types and photos of them can be found online. Jane Goldman, wife of British TV and radio personality Jonathan Ross, owns a similar style "hearse" built from a Jaguar XK8 convertible. The Rogues prowl around in a graffitied 1955 Cadillac Hearse in the film The Warriors. Musician Neil Young's first car was a hearse, which was used to transport the band's equipment. Celebrity hearse enthusiasts include rock singer Neil Young and three-time NASCAR Sprint Cup Champion Tony Stewart, who had his hearse customised for a television show.Sam the Sham of the Pharaohs (known for Wooly Bully and Lil' Red Riding Hood) was known for transporting all his equipment in a 1952 Packard hearse. In the 2014 film Dumb and Dumber To, Harry (Jeff Daniels) and Lloyd (Jim Carrey) are lent a customized 1972 Cadillac Miller-Meteor hearse by Fraida (Kathleen Turner) to drive to Oxford, Maryland. In the HBO television show Six Feet Under, which dealt with death every week, premieres with the Fisher
in Transylvania and invaded Croatia in 1091. The Croatian campaign culminated in the Battle of Gvozd Mountain in 1097 and a personal union of Croatia and Hungary in 1102, ruled by Coloman i.e. Könyves Kálmán. The most powerful and wealthiest king of the Árpád dynasty was Béla III, who disposed of the equivalent of 23 tonnes of pure silver a year. This exceeded the income of the French king (estimated at 17 tonnes) and was double the receipts of the English Crown. Andrew II issued the Diploma Andreanum which secured the special privileges of the Transylvanian Saxons and is considered the first Autonomy law in the world. He led the Fifth Crusade to the Holy Land in 1217, setting up the largest royal army in the history of Crusades. His Golden Bull of 1222 was the first constitution in Continental Europe. The lesser nobles also began to present Andrew with grievances, a practice that evolved into the institution of the parliament (parlamentum publicum). In 1241–1242, the kingdom received a major blow with the Mongol (Tatar) invasion. Up to half of Hungary's then population of 2,000,000 were victims of the invasion. King Béla IV let Cumans and Jassic people into the country, who were fleeing the Mongols. Over the centuries, they were fully assimilated into the Hungarian population. As a consequence, after the Mongols retreated, King Béla ordered the construction of hundreds of stone castles and fortifications, to defend against a possible second Mongol invasion. The Mongols returned to Hungary in 1285, but the newly built stone-castle systems and new tactics (using a higher proportion of heavily armed knights) stopped them. The invading Mongol force was defeated near Pest by the royal army of Ladislaus IV of Hungary. As with later invasions, it was repelled handily, the Mongols losing much of their invading force. Age of elected kings The Kingdom of Hungary reached one of its greatest extents during the Árpádian kings, yet royal power was weakened at the end of their rule in 1301. After a destructive period of interregnum (1301–1308), the first Angevin king, Charles I of Hungary – a bilineal descendant of the Árpád dynasty – successfully restored royal power, and defeated oligarch rivals, the so-called "little kings". The second Angevin Hungarian king, Louis the Great (1342–1382), led many successful military campaigns from Lithuania to Southern Italy (Kingdom of Naples), and was also King of Poland from 1370. After King Louis died without a male heir, the country was stabilised only when Sigismund of Luxembourg (1387–1437) succeeded to the throne, who in 1433 also became Holy Roman Emperor. Sigismund was also (in several ways) a bilineal descendant of the Árpád dynasty. The first Hungarian Bible translation was completed in 1439. For half a year in 1437, there was an antifeudal and anticlerical peasant revolt in Transylvania, the Budai Nagy Antal Revolt, which was strongly influenced by Hussite ideas. From a small noble family in Transylvania, John Hunyadi grew to become one of the country's most powerful lords, thanks to his outstanding capabilities as a mercenary commander. He was elected governor then regent. He was a successful crusader against the Ottoman Turks, one of his greatest victories being the Siege of Belgrade in 1456. The last strong king of medieval Hungary was the Renaissance king Matthias Corvinus (1458–1490), son of John Hunyadi. His election was the first time that a member of the nobility mounted to the Hungarian royal throne without dynastic background. He was a successful military leader and an enlightened patron of the arts and learning. His library, the Bibliotheca Corviniana, was Europe's greatest collection of historical chronicles, philosophic and scientific works in the 15th century, and second only in size to the Vatican Library. Items from the Bibliotheca Corviniana were inscribed on UNESCO's Memory of the World Register in 2005. The serfs and common people considered him a just ruler because he protected them from excessive demands and other abuses by the magnates. Under his rule, in 1479, the Hungarian army destroyed the Ottoman and Wallachian troops at the Battle of Breadfield. Abroad he defeated the Polish and German imperial armies of Frederick at Breslau (Wrocław). Matthias' mercenary standing army, the Black Army of Hungary, was an unusually large army for its time, and it conquered parts of Austria, Vienna (1485), and parts of Bohemia. Decline of Hungary (1490–1526) King Matthias died without lawful sons, and the Hungarian magnates procured the accession of the Pole Vladislaus II (1490–1516), supposedly because of his weak influence on Hungarian aristocracy. Hungary's international role declined, its political stability shaken, and social progress was deadlocked. In 1514, the weakened old King Vladislaus II faced a major peasant rebellion led by György Dózsa, which was ruthlessly crushed by the nobles, led by John Zápolya. The resulting degradation of order paved the way for Ottoman pre-eminence. In 1521, the strongest Hungarian fortress in the South, Nándorfehérvár (today's Belgrade, Serbia), fell to the Turks. The early appearance of Protestantism further worsened internal relations in the country. Ottoman wars (1526–1699) After some 150 years of wars with the Hungarians and other states, the Ottomans gained a decisive victory over the Hungarian army at the Battle of Mohács in 1526, where King Louis II died while fleeing. Amid political chaos, the divided Hungarian nobility elected two kings simultaneously, John Zápolya and Ferdinand I of the Habsburg dynasty. With the conquest of Buda by the Turks in 1541, Hungary was divided into three parts and remained so until the end of the 17th century. The north-western part, termed as Royal Hungary, was annexed by the Habsburgs who ruled as Kings of Hungary. The eastern part of the kingdom became independent as the Principality of Transylvania, under Ottoman (and later Habsburg) suzerainty. The remaining central area, including the capital Buda, was known as the Pashalik of Buda. The vast majority of the seventeen and nineteen thousand Ottoman soldiers in service in the Ottoman fortresses in the territory of Hungary were Orthodox and Muslim Balkan Slavs rather than ethnic Turkish people. Orthodox Southern Slavs were also acting as akinjis and other light troops intended for pillaging in the territory of present-day Hungary. In 1686, the Holy League's army, containing over 74,000 men from various nations, reconquered Buda from the Turks. After some more crushing defeats of the Ottomans in the next few years, the entire Kingdom of Hungary was removed from Ottoman rule by 1718. The last raid into Hungary by the Ottoman vassals Tatars from Crimea took place in 1717. The constrained Habsburg Counter-Reformation efforts in the 17th century reconverted the majority of the kingdom to Catholicism. The ethnic composition of Hungary was fundamentally changed as a consequence of the prolonged warfare with the Turks. A large part of the country became devastated, population growth was stunted, and many smaller settlements perished. The Austrian-Habsburg government settled large groups of Serbs and other Slavs in the depopulated south, and settled Germans (called Danube Swabians) in various areas, but Hungarians were not allowed to settle or re-settle in the south of the Great Plain. From the 18th century to World War I (1699–1918) Between 1703 and 1711, there was a large-scale uprising led by Francis II Rákóczi, who after the dethronement of the Habsburgs in 1707 at the Diet of Ónod, took power provisionally as the Ruling Prince of Hungary for the wartime period, but refused the Hungarian Crown and the title "King". The uprisings lasted for years. The Hungarian Kuruc army, although taking over most of the country, lost the main battle at Trencsén (1708). Three years later, because of the growing desertion, defeatism and low morale, the Kuruc forces finally surrendered. During the Napoleonic Wars and afterward, the Hungarian Diet had not convened for decades. In the 1820s, the Emperor was forced to convene the Diet, which marked the beginning of a Reform Period (1825–1848, ). Count István Széchenyi, one of the most prominent statesmen of the country, recognised the urgent need for modernisation and his message got through. The Hungarian Parliament was reconvened in 1825 to handle financial needs. A liberal party emerged and focused on providing for the peasantry. Lajos Kossuth – a famous journalist at that time – emerged as a leader of the lower gentry in the Parliament. A remarkable upswing started as the nation concentrated its forces on modernisation even though the Habsburg monarchs obstructed all important liberal laws relating to civil and political rights and economic reforms. Many reformers (Lajos Kossuth, Mihály Táncsics) were imprisoned by the authorities. On 15 March 1848, mass demonstrations in Pest and Buda enabled Hungarian reformists to push through a list of 12 demands. Under governor and president Lajos Kossuth and the first Prime Minister, Lajos Batthyány, the House of Habsburg was dethroned. The Habsburg Ruler and his advisors skillfully manipulated the Croatian, Serbian and Romanian peasantry, led by priests and officers firmly loyal to the Habsburgs, and induced them to rebel against the Hungarian government, though the Hungarians were supported by the vast majority of the Slovak, German and Rusyn nationalities and by all the Jews of the kingdom, as well as by a large number of Polish, Austrian and Italian volunteers. In July 1849 the Hungarian Parliament proclaimed and enacted the first laws of ethnic and minority rights in the world. Many members of the nationalities gained the coveted highest positions within the Hungarian Army, like General János Damjanich, an ethnic Serb who became a Hungarian national hero through his command of the 3rd Hungarian Army Corps or Józef Bem, who was Polish and also became a national hero in Hungary. The Hungarian forces (Honvédség) defeated Austrian armies. To counter the successes of the Hungarian revolutionary army, Habsburg Emperor Franz Joseph I asked for help from the "Gendarme of Europe", Tsar Nicholas I, whose Russian armies invaded Hungary. This made Artúr Görgey surrender in August 1849. The leader of the Austrian army, Julius Jacob von Haynau, became governor of Hungary for a few months and ordered the execution of the 13 Martyrs of Arad, leaders of the Hungarian army, and Prime Minister Batthyány in October 1849. Lajos Kossuth escaped into exile. Following the war of 1848–1849, the whole country was in "passive resistance". Because of external and internal problems, reforms seemed inevitable, and major military defeats of Austria forced the Habsburgs to negotiate the Austro-Hungarian Compromise of 1867, by which the dual Monarchy of Austria-Hungary was formed. This Empire had the second largest area in Europe (after the Russian Empire), and it was the third most populous (after Russia and the German Empire). The two realms were governed separately by two parliaments from two capital cities, with a common monarch and common external and military policies. Economically, the empire was a customs union. The old Hungarian Constitution was restored, and Franz Joseph I was crowned as King of Hungary. The era witnessed impressive economic development. The formerly backward Hungarian economy became relatively modern and industrialised by the turn of the 20th century, although agriculture remained dominant until 1890. In 1873, the old capital Buda and Óbuda were officially united with Pest, thus creating the new metropolis of Budapest. Many of the state institutions and the modern administrative system of Hungary were established during this period. After the Assassination of Archduke Franz Ferdinand in Sarajevo, the Hungarian prime minister István Tisza and his cabinet tried to avoid the outbreak and escalating of a war in Europe, but their diplomatic efforts were unsuccessful. Austria-Hungary drafted 9 million (fighting forces: 7.8 million) soldiers in World War I (over 4 million from the Kingdom of Hungary) on the side of Germany, Bulgaria, and Turkey. The troops raised in the Kingdom of Hungary spent little time defending the actual territory of Hungary, with the exceptions of the Brusilov Offensive in June 1916, and a few months later, when the Romanian army made an attack into Transylvania, both of which were repelled. In comparison, of the total army, Hungary's loss ratio was more than any other nation of Austria-Hungary. The Central Powers conquered Serbia. Romania declared war. The Central Powers conquered Southern Romania and the Romanian capital Bucharest. In 1916 Emperor Franz Joseph died, and the new monarch Charles IV sympathised with the pacifists. With great difficulty, the Central powers stopped and repelled the attacks of the Russian Empire. The Eastern front of the Allied (Entente) Powers completely collapsed. The Austro-Hungarian Empire then withdrew from all defeated countries. On the Italian front, the Austro-Hungarian army made no progress against Italy after January 1918. Despite great Eastern successes, Germany suffered complete defeat on the more important Western front. By 1918, the economic situation had deteriorated (strikes in factories were organised by leftist and pacifist movements) and uprisings in the army had become commonplace. In the capital cities, the Austrian and Hungarian leftist liberal movements (the maverick parties) and their leaders supported the separatism of ethnic minorities. Austria-Hungary signed a general armistice in Padua on 3 November 1918. In October 1918, Hungary's union with Austria was dissolved. Between the World Wars (1918–1941) Following the First World War, Hungary underwent a period of profound political upheaval, beginning with the Aster Revolution in 1918, which brought the social-democratic Mihály Károlyi to power as Prime Minister. The Hungarian Royal Honvéd army still had more than 1,400,000 soldiers when Mihály Károlyi was announced as prime minister of Hungary. Károlyi yielded to U.S. President Woodrow Wilson's demand for pacifism by ordering the disarmament of the Hungarian army. This happened under the direction of Béla Linder, minister of war in the Károlyi government. Due to the full disarmament of its army, Hungary was to remain without a national defence at a time of particular vulnerability. During the rule of Károlyi's pacifist cabinet, Hungary lost control over approx. 75% of its former pre-WW1 territories () without a fight and was subject to foreign occupation. The Little Entente, sensing an opportunity, invaded the country from three sides—Romania invaded Transylvania, Czechoslovakia annexed Upper Hungary (today's Slovakia), and a joint Serb-French coalition annexed Vojvodina and other southern regions. In March 1919, communists led by Béla Kun ousted the Károlyi government and proclaimed the Hungarian Soviet Republic (Tanácsköztársaság), followed by a thorough Red Terror campaign. Despite some successes on the Czechoslovak front, Kun's forces were ultimately unable to resist the Romanian invasion; by August 1919, Romanian troops occupied Budapest and ousted Kun. In November 1919, rightist forces led by former Austro-Hungarian admiral Miklós Horthy entered Budapest; exhausted by the war and its aftermath, the populace accepted Horthy's leadership. In January 1920, parliamentary elections were held and Horthy was proclaimed Regent of the reestablished Kingdom of Hungary, inaugurating the so-called "Horthy era" (Horthy-kor). The new government worked quickly to normalise foreign relations while turning a blind eye to a White Terror that swept through the countryside; extrajudicial killings of suspected communists and Jews lasted well into 1920. On 4 June of that year, the Treaty of Trianon established new borders for Hungary. The country lost 71% of its territory and 66% of its antebellum population, as well as many sources of raw materials and its sole port, Fiume. Though the revision of the Treaty quickly rose to the top of the national political agenda, the Horthy government was not willing to resort to military intervention to do so. The initial years of the Horthy regime were preoccupied with putsch attempts by Charles IV, the Austro-Hungarian pretender; continued suppression of communists; and a migration crisis triggered by the Trianon territorial changes. Though free elections continued, Horthy's personality, and those of his personally selected prime ministers, dominated the political scene. The government's actions continued to drift right with the passage of antisemitic laws and, due to the continued isolation of the Little Entente, economic and then political gravitation towards Italy and Germany. The Great Depression further exacerbated the situation and the popularity of fascist politicians such as Gyula Gömbös and Ferenc Szálasi, promising economic and social recovery, rose. Horthy's nationalist agenda reached its apogee in 1938 and 1940, when the Nazis rewarded Hungary's staunchly pro-Germany foreign policy in the First and Second Vienna Awards, respectively, peacefully restoring ethnic-Hungarian-majority areas lost after Trianon. In 1939, Hungary regained further territory from Czechoslovakia through force. Hungary formally joined the Axis Powers on 20 November 1940, and in 1941, participated in the invasion of Yugoslavia, gaining some of its former territories in the south. World War II (1941–1945) Hungary formally entered World War II as an Axis Power on 26 June 1941, declaring war on the Soviet Union after unidentified planes bombed Kassa, Munkács, and Rahó. Hungarian troops fought on the Eastern Front for two years. Despite some early successes, the Hungarian government began seeking a secret peace pact with the Allies after the Second Army suffered catastrophic losses at the River Don in January 1943. Learning of the planned defection, German troops occupied Hungary on 19 March 1944 to guarantee Horthy's compliance. In October, as the Soviet front approached and the Hungarian government made further efforts to disengage from the war, German troops ousted Horthy and installed a puppet government under Szálasi's fascist Arrow Cross Party. Szálasi pledged all the country's capabilities in service of the German war machine. By October 1944, the Soviets had reached the river Tisza, and despite some losses, succeeded in encircling and besieging Budapest in December. After German occupation, Hungary participated in the Holocaust. During the German occupation in May–June 1944, the Arrow Cross and Hungarian police deported nearly 440,000 Jews, mainly to Auschwitz. Nearly all of them were murdered. The Swedish Diplomat Raoul Wallenberg managed to save a considerable number of Hungarian Jews by giving them Swedish passports. Rezső Kasztner, one of the leaders of the Hungarian Aid and Rescue Committee, bribed senior SS officers such as Adolf Eichmann to allow some Jews to escape. The Horthy government's complicity in the Holocaust remains a point of controversy and contention. The war left Hungary devastated, destroying over 60% of the economy and causing significant loss of life. In addition to the over 600,000 Hungarian Jews killed, as many as 280,000 other Hungarians were raped, murdered and executed or deported for slave labour by Czechoslovaks, Soviet Red Army troops, and Yugoslavs. On 13 February 1945, Budapest surrendered; by April, German troops left the country under Soviet military occupation. 200,000 Hungarians were expelled from Czechoslovakia in exchange for 70,000 Slovaks living in Hungary. 202,000 ethnic Germans were expelled to Germany, and through the 1947 Paris Peace Treaties, Hungary was again reduced to its immediate post-Trianon borders. Communism (1945–1989) Following the defeat of Nazi Germany, Hungary became a satellite state of the Soviet Union. The Soviet leadership selected Mátyás Rákosi to front the Stalinisation of the country, and Rákosi de facto ruled Hungary from 1949 to 1956. His government's policies of militarisation, industrialisation, collectivisation, and war compensation led to a severe decline in living standards. In imitation of Stalin's KGB, the Rákosi government established a secret political police, the ÁVH, to enforce the new regime. In the ensuing purges, approximately 350,000 officials and intellectuals were imprisoned or executed from 1948 to 1956. Many freethinkers, democrats, and Horthy-era dignitaries were secretly arrested and extrajudicially interned in domestic and foreign Gulags. Some 600,000 Hungarians were deported to Soviet labour camps, where at least 200,000 died. After Stalin's death in 1953, the Soviet Union pursued a programme of destalinisation that was inimical to Rákosi, leading to his deposition. The following political cooling saw the ascent of Imre Nagy to the premiership and the growing interest of students and intellectuals in political life. Nagy promised market liberalisation and political openness, while Rákosi opposed both vigorously. Rákosi eventually managed to discredit Nagy and replace him with the more hard-line Ernő Gerő. Hungary joined the Warsaw Pact in May 1955, as societal dissatisfaction with the regime swelled. Following the firing on peaceful demonstrations by Soviet soldiers and secret police, and rallies throughout the country on 23 October 1956, protesters took to the streets in Budapest, initiating the 1956 Revolution. In an effort to quell the chaos, Nagy returned as premier, promised free elections, and took Hungary out of the Warsaw Pact. The violence nonetheless continued as revolutionary militias sprung up against the Soviet Army and the ÁVH; the roughly 3,000-strong resistance fought Soviet tanks using Molotov cocktails and machine-pistols. Though the preponderance of the Soviets was immense, they suffered heavy losses, and by 30 October 1956, most Soviet troops had withdrawn from Budapest to garrison the countryside. For a time, the Soviet leadership was unsure how to respond to developments in Hungary but eventually decided to intervene to prevent a destabilisation of the Soviet bloc. On 4 November, reinforcements of more than 150,000 troops and 2,500 tanks entered the country from the Soviet Union. Nearly 20,000 Hungarians were killed resisting the intervention, while an additional 21,600 were imprisoned afterward for political reasons. Some 13,000 were interned and 230 brought to trial and executed. Nagy was secretly tried, found guilty, sentenced to death, and executed by hanging in June 1958. Because borders were briefly opened, nearly a quarter of a million people fled the country by the time the revolution was suppressed. Kádár era (1956–1988) After a second, briefer period of Soviet military occupation, János Kádár, Nagy's former Minister of State, was chosen by the Soviet leadership to head the new government and chair the new ruling Socialist Workers' Party (MSzMP). Kádár quickly normalised the situation. In 1963, the government granted a general amnesty and released the majority of those imprisoned for their active participation in the uprising. Kádár proclaimed a new policy line, according to which the people were no longer compelled to profess loyalty to the party if they tacitly accepted the Socialist regime as a fact of life. In many speeches, he described this as, "Those who are not against us are with us." Kádár introduced new planning priorities in the economy, such as allowing farmers significant plots of private land within the collective farm system (háztáji gazdálkodás). The living standard rose as consumer goods and food production took precedence over military production, which was reduced to one-tenth of pre-revolutionary levels. In 1968, the New Economic Mechanism (NEM) introduced free-market elements into the socialist command economy. From the 1960s through the late 1980s, Hungary was often referred to as "the happiest barrack" within the Eastern bloc. During the latter part of the Cold War Hungary's GDP per capita was fourth only to East Germany, Czechoslovakia, and the Soviet Union itself. As a result of this relatively high standard of living, a more liberalised economy, a less censored press, and less restricted travel rights, Hungary was generally considered one of the more liberal countries in which to live in Central Europe during communism. In the 1980s, however, living standards steeply declined again due to a worldwide recession to which communism was unable to respond. By the time Kádár died in 1989, the Soviet Union was in steep decline and a younger generation of reformists saw liberalisation as the solution to economic and social issues. Third Republic (1989–present) Hungary's transition from communism to democracy and capitalism (rendszerváltás, "regime change") was peaceful and prompted by economic stagnation, domestic political pressure, and changing relations with other Warsaw Pact countries. Although the MSzMP began Round Table Talks with various opposition groups in March 1989, the reburial of Imre Nagy as a revolutionary martyr that June is widely considered the symbolic end of communism in Hungary. Over 100,000 people attended the Budapest ceremony without any significant government interference, and many speakers openly called for Soviet troops to leave the country. Free elections were held in May 1990, and the Hungarian Democratic Forum, a major conservative opposition group, was elected to the head of a coalition government. József Antall became the first democratically elected Prime Minister since World War II. With the removal of state subsidies and rapid privatisation in 1991, Hungary was affected by a severe economic recession. The Antall government's austerity measures proved unpopular, and the Communist Party's legal and political heir, the Socialist Party, won the subsequent 1994 elections. This abrupt shift in the political landscape was repeated in 1998 and 2002; each electoral cycle, the governing party was ousted and the erstwhile opposition elected. Like most other post-communist European states, however, Hungary broadly pursued an integrationist agenda, joining NATO in 1999 and the European Union in 2004. As a NATO member, Hungary was involved in the Yugoslav Wars. In 2006, major nationwide protests erupted after it was revealed that Prime Minister Ferenc Gyurcsány had claimed in a closed-door speech that his party "lied" to win the recent elections. The popularity of left-wing parties plummeted in the ensuing political upheaval, and in 2010, Viktor Orbán's national-conservative Fidesz was elected to a parliamentary supermajority. The legislature consequently approved a new constitution, among other sweeping governmental and legal changes. Although these developments were met with and still engender controversy, Fidesz secured a second parliamentary supermajority in 2014 and a third in 2018. In the late 2010s, Orbán's government came under increased international scrutiny over alleged rule-of-law violations. In 2018, the European Parliament voted to act against Hungary under the terms of Article 7 of the Treaty on European Union. Hungary has and continues to dispute these allegations. Hungary was impacted by the COVID-19 pandemic. In March 2020, the Hungarian parliament passed a law granting the government the power to rule by decree, suspending by-elections and outlawing certain forms of medical disinformation. Parliament rescinded this law on 16 June 2020 due to the improving epidemiological situation in Hungary. Geography Hungary's geography has traditionally been defined by its two main waterways, the Danube and Tisza rivers. The common tripartite division of the country into three sections—Dunántúl ("beyond the Danube", Transdanubia), Tiszántúl ("beyond the Tisza"), and Duna-Tisza kőze ("between the Danube and Tisza")—is a reflection of this. The Danube flows north–south right through the centre of contemporary Hungary, and the entire country lies within its drainage basin. Transdanubia, which stretches westward from the centre of the country towards Austria, is a primarily hilly region with a terrain varied by low mountains. These include the very eastern stretch of the Alps, Alpokalja, in the west of the country, the Transdanubian Mountains in the central region of Transdanubia, and the Mecsek Mountains and Villány Mountains in the south. The highest point of the area is the Írott-kő in the Alps, at . The Little Hungarian Plain (Kisalfőld) is found in northern Transdanubia. Lake Balaton and Lake Hévíz, the largest lake in Central Europe and the largest thermal lake in the world, respectively, are in Transdanubia as well. The Duna-Tisza kőze and Tiszántúl are characterised mainly by the Great Hungarian Plain (Alfőld), which stretches across most of the eastern and southeastern areas of the country. To the north of the Plain are the foothills of the Carpathians in a wide band near the Slovakian border. The Kékes at is the tallest mountain in Hungary and is found here. Phytogeographically, Hungary belongs to the Central European province of the Circumboreal Region within the Boreal Kingdom. According to the WWF, the territory of Hungary belongs to the terrestrial ecoregion of Pannonian mixed forests. It had a 2019 Forest Landscape Integrity Index mean score of 2.25/10, ranking it 156th globally out of 172 countries. Hungary has 10 national parks, 145 minor nature reserves, and 35 landscape protection areas. Hungary is a landlocked country. Climate Hungary has a temperate seasonal climate, with generally warm summers with low overall humidity levels but frequent rainshowers and cold snowy winters. Average annual temperature is . Temperature extremes are on 20 July 2007 at Kiskunhalas in the summer and on 16 February 1940 Miskolc-Gőrőmbőlytapolca in the winter. Average high temperature in the summer is and average low temperature in the winter is . The average yearly rainfall is approximately . Hungary is ranked sixth in an environmental protection index by GW/CAN. Government and politics Hungary is a unitary, parliamentary republic. The Hungarian political system operates under a framework reformed in 2012; this constitutional document is the Fundamental Law of Hungary. Amendments generally require a two-thirds majority of parliament; the fundamental principles of the constitution (as expressed in the articles guaranteeing human dignity, the separation of powers, the state structure, and the rule of law) are valid in perpetuity. 199 Members of Parliament (országgyűlési képviselő) are elected to the highest organ of state authority, the unicameral Országgyűlés (National Assembly), every four years in a single-round first-past-the-post election with an election threshold of 5%. The President of the Republic (köztársasági elnök) serves as the head of state and is elected by the National Assembly every five years. The president is invested primarily with representative responsibilities and powers: receiving foreign heads of state, formally nominating the Prime Minister at the recommendation of the National Assembly, and serving as Commander-in-chief of the armed forces. Importantly, the president is also invested with veto power and may send legislation to the 15-member Constitutional Court for review. The third most significant governmental position in Hungary is the Speaker of the National Assembly, who is elected by the National Assembly and responsible for overseeing the daily sessions of the body. The Prime Minister (miniszterelnök) is elected by the National Assembly, serving as the head of government and exercising executive power. Traditionally, the Prime Minister is the leader of the largest party in parliament. The Prime Minister selects Cabinet ministers and has the exclusive right to dismiss them, although cabinet nominees must
Army, like General János Damjanich, an ethnic Serb who became a Hungarian national hero through his command of the 3rd Hungarian Army Corps or Józef Bem, who was Polish and also became a national hero in Hungary. The Hungarian forces (Honvédség) defeated Austrian armies. To counter the successes of the Hungarian revolutionary army, Habsburg Emperor Franz Joseph I asked for help from the "Gendarme of Europe", Tsar Nicholas I, whose Russian armies invaded Hungary. This made Artúr Görgey surrender in August 1849. The leader of the Austrian army, Julius Jacob von Haynau, became governor of Hungary for a few months and ordered the execution of the 13 Martyrs of Arad, leaders of the Hungarian army, and Prime Minister Batthyány in October 1849. Lajos Kossuth escaped into exile. Following the war of 1848–1849, the whole country was in "passive resistance". Because of external and internal problems, reforms seemed inevitable, and major military defeats of Austria forced the Habsburgs to negotiate the Austro-Hungarian Compromise of 1867, by which the dual Monarchy of Austria-Hungary was formed. This Empire had the second largest area in Europe (after the Russian Empire), and it was the third most populous (after Russia and the German Empire). The two realms were governed separately by two parliaments from two capital cities, with a common monarch and common external and military policies. Economically, the empire was a customs union. The old Hungarian Constitution was restored, and Franz Joseph I was crowned as King of Hungary. The era witnessed impressive economic development. The formerly backward Hungarian economy became relatively modern and industrialised by the turn of the 20th century, although agriculture remained dominant until 1890. In 1873, the old capital Buda and Óbuda were officially united with Pest, thus creating the new metropolis of Budapest. Many of the state institutions and the modern administrative system of Hungary were established during this period. After the Assassination of Archduke Franz Ferdinand in Sarajevo, the Hungarian prime minister István Tisza and his cabinet tried to avoid the outbreak and escalating of a war in Europe, but their diplomatic efforts were unsuccessful. Austria-Hungary drafted 9 million (fighting forces: 7.8 million) soldiers in World War I (over 4 million from the Kingdom of Hungary) on the side of Germany, Bulgaria, and Turkey. The troops raised in the Kingdom of Hungary spent little time defending the actual territory of Hungary, with the exceptions of the Brusilov Offensive in June 1916, and a few months later, when the Romanian army made an attack into Transylvania, both of which were repelled. In comparison, of the total army, Hungary's loss ratio was more than any other nation of Austria-Hungary. The Central Powers conquered Serbia. Romania declared war. The Central Powers conquered Southern Romania and the Romanian capital Bucharest. In 1916 Emperor Franz Joseph died, and the new monarch Charles IV sympathised with the pacifists. With great difficulty, the Central powers stopped and repelled the attacks of the Russian Empire. The Eastern front of the Allied (Entente) Powers completely collapsed. The Austro-Hungarian Empire then withdrew from all defeated countries. On the Italian front, the Austro-Hungarian army made no progress against Italy after January 1918. Despite great Eastern successes, Germany suffered complete defeat on the more important Western front. By 1918, the economic situation had deteriorated (strikes in factories were organised by leftist and pacifist movements) and uprisings in the army had become commonplace. In the capital cities, the Austrian and Hungarian leftist liberal movements (the maverick parties) and their leaders supported the separatism of ethnic minorities. Austria-Hungary signed a general armistice in Padua on 3 November 1918. In October 1918, Hungary's union with Austria was dissolved. Between the World Wars (1918–1941) Following the First World War, Hungary underwent a period of profound political upheaval, beginning with the Aster Revolution in 1918, which brought the social-democratic Mihály Károlyi to power as Prime Minister. The Hungarian Royal Honvéd army still had more than 1,400,000 soldiers when Mihály Károlyi was announced as prime minister of Hungary. Károlyi yielded to U.S. President Woodrow Wilson's demand for pacifism by ordering the disarmament of the Hungarian army. This happened under the direction of Béla Linder, minister of war in the Károlyi government. Due to the full disarmament of its army, Hungary was to remain without a national defence at a time of particular vulnerability. During the rule of Károlyi's pacifist cabinet, Hungary lost control over approx. 75% of its former pre-WW1 territories () without a fight and was subject to foreign occupation. The Little Entente, sensing an opportunity, invaded the country from three sides—Romania invaded Transylvania, Czechoslovakia annexed Upper Hungary (today's Slovakia), and a joint Serb-French coalition annexed Vojvodina and other southern regions. In March 1919, communists led by Béla Kun ousted the Károlyi government and proclaimed the Hungarian Soviet Republic (Tanácsköztársaság), followed by a thorough Red Terror campaign. Despite some successes on the Czechoslovak front, Kun's forces were ultimately unable to resist the Romanian invasion; by August 1919, Romanian troops occupied Budapest and ousted Kun. In November 1919, rightist forces led by former Austro-Hungarian admiral Miklós Horthy entered Budapest; exhausted by the war and its aftermath, the populace accepted Horthy's leadership. In January 1920, parliamentary elections were held and Horthy was proclaimed Regent of the reestablished Kingdom of Hungary, inaugurating the so-called "Horthy era" (Horthy-kor). The new government worked quickly to normalise foreign relations while turning a blind eye to a White Terror that swept through the countryside; extrajudicial killings of suspected communists and Jews lasted well into 1920. On 4 June of that year, the Treaty of Trianon established new borders for Hungary. The country lost 71% of its territory and 66% of its antebellum population, as well as many sources of raw materials and its sole port, Fiume. Though the revision of the Treaty quickly rose to the top of the national political agenda, the Horthy government was not willing to resort to military intervention to do so. The initial years of the Horthy regime were preoccupied with putsch attempts by Charles IV, the Austro-Hungarian pretender; continued suppression of communists; and a migration crisis triggered by the Trianon territorial changes. Though free elections continued, Horthy's personality, and those of his personally selected prime ministers, dominated the political scene. The government's actions continued to drift right with the passage of antisemitic laws and, due to the continued isolation of the Little Entente, economic and then political gravitation towards Italy and Germany. The Great Depression further exacerbated the situation and the popularity of fascist politicians such as Gyula Gömbös and Ferenc Szálasi, promising economic and social recovery, rose. Horthy's nationalist agenda reached its apogee in 1938 and 1940, when the Nazis rewarded Hungary's staunchly pro-Germany foreign policy in the First and Second Vienna Awards, respectively, peacefully restoring ethnic-Hungarian-majority areas lost after Trianon. In 1939, Hungary regained further territory from Czechoslovakia through force. Hungary formally joined the Axis Powers on 20 November 1940, and in 1941, participated in the invasion of Yugoslavia, gaining some of its former territories in the south. World War II (1941–1945) Hungary formally entered World War II as an Axis Power on 26 June 1941, declaring war on the Soviet Union after unidentified planes bombed Kassa, Munkács, and Rahó. Hungarian troops fought on the Eastern Front for two years. Despite some early successes, the Hungarian government began seeking a secret peace pact with the Allies after the Second Army suffered catastrophic losses at the River Don in January 1943. Learning of the planned defection, German troops occupied Hungary on 19 March 1944 to guarantee Horthy's compliance. In October, as the Soviet front approached and the Hungarian government made further efforts to disengage from the war, German troops ousted Horthy and installed a puppet government under Szálasi's fascist Arrow Cross Party. Szálasi pledged all the country's capabilities in service of the German war machine. By October 1944, the Soviets had reached the river Tisza, and despite some losses, succeeded in encircling and besieging Budapest in December. After German occupation, Hungary participated in the Holocaust. During the German occupation in May–June 1944, the Arrow Cross and Hungarian police deported nearly 440,000 Jews, mainly to Auschwitz. Nearly all of them were murdered. The Swedish Diplomat Raoul Wallenberg managed to save a considerable number of Hungarian Jews by giving them Swedish passports. Rezső Kasztner, one of the leaders of the Hungarian Aid and Rescue Committee, bribed senior SS officers such as Adolf Eichmann to allow some Jews to escape. The Horthy government's complicity in the Holocaust remains a point of controversy and contention. The war left Hungary devastated, destroying over 60% of the economy and causing significant loss of life. In addition to the over 600,000 Hungarian Jews killed, as many as 280,000 other Hungarians were raped, murdered and executed or deported for slave labour by Czechoslovaks, Soviet Red Army troops, and Yugoslavs. On 13 February 1945, Budapest surrendered; by April, German troops left the country under Soviet military occupation. 200,000 Hungarians were expelled from Czechoslovakia in exchange for 70,000 Slovaks living in Hungary. 202,000 ethnic Germans were expelled to Germany, and through the 1947 Paris Peace Treaties, Hungary was again reduced to its immediate post-Trianon borders. Communism (1945–1989) Following the defeat of Nazi Germany, Hungary became a satellite state of the Soviet Union. The Soviet leadership selected Mátyás Rákosi to front the Stalinisation of the country, and Rákosi de facto ruled Hungary from 1949 to 1956. His government's policies of militarisation, industrialisation, collectivisation, and war compensation led to a severe decline in living standards. In imitation of Stalin's KGB, the Rákosi government established a secret political police, the ÁVH, to enforce the new regime. In the ensuing purges, approximately 350,000 officials and intellectuals were imprisoned or executed from 1948 to 1956. Many freethinkers, democrats, and Horthy-era dignitaries were secretly arrested and extrajudicially interned in domestic and foreign Gulags. Some 600,000 Hungarians were deported to Soviet labour camps, where at least 200,000 died. After Stalin's death in 1953, the Soviet Union pursued a programme of destalinisation that was inimical to Rákosi, leading to his deposition. The following political cooling saw the ascent of Imre Nagy to the premiership and the growing interest of students and intellectuals in political life. Nagy promised market liberalisation and political openness, while Rákosi opposed both vigorously. Rákosi eventually managed to discredit Nagy and replace him with the more hard-line Ernő Gerő. Hungary joined the Warsaw Pact in May 1955, as societal dissatisfaction with the regime swelled. Following the firing on peaceful demonstrations by Soviet soldiers and secret police, and rallies throughout the country on 23 October 1956, protesters took to the streets in Budapest, initiating the 1956 Revolution. In an effort to quell the chaos, Nagy returned as premier, promised free elections, and took Hungary out of the Warsaw Pact. The violence nonetheless continued as revolutionary militias sprung up against the Soviet Army and the ÁVH; the roughly 3,000-strong resistance fought Soviet tanks using Molotov cocktails and machine-pistols. Though the preponderance of the Soviets was immense, they suffered heavy losses, and by 30 October 1956, most Soviet troops had withdrawn from Budapest to garrison the countryside. For a time, the Soviet leadership was unsure how to respond to developments in Hungary but eventually decided to intervene to prevent a destabilisation of the Soviet bloc. On 4 November, reinforcements of more than 150,000 troops and 2,500 tanks entered the country from the Soviet Union. Nearly 20,000 Hungarians were killed resisting the intervention, while an additional 21,600 were imprisoned afterward for political reasons. Some 13,000 were interned and 230 brought to trial and executed. Nagy was secretly tried, found guilty, sentenced to death, and executed by hanging in June 1958. Because borders were briefly opened, nearly a quarter of a million people fled the country by the time the revolution was suppressed. Kádár era (1956–1988) After a second, briefer period of Soviet military occupation, János Kádár, Nagy's former Minister of State, was chosen by the Soviet leadership to head the new government and chair the new ruling Socialist Workers' Party (MSzMP). Kádár quickly normalised the situation. In 1963, the government granted a general amnesty and released the majority of those imprisoned for their active participation in the uprising. Kádár proclaimed a new policy line, according to which the people were no longer compelled to profess loyalty to the party if they tacitly accepted the Socialist regime as a fact of life. In many speeches, he described this as, "Those who are not against us are with us." Kádár introduced new planning priorities in the economy, such as allowing farmers significant plots of private land within the collective farm system (háztáji gazdálkodás). The living standard rose as consumer goods and food production took precedence over military production, which was reduced to one-tenth of pre-revolutionary levels. In 1968, the New Economic Mechanism (NEM) introduced free-market elements into the socialist command economy. From the 1960s through the late 1980s, Hungary was often referred to as "the happiest barrack" within the Eastern bloc. During the latter part of the Cold War Hungary's GDP per capita was fourth only to East Germany, Czechoslovakia, and the Soviet Union itself. As a result of this relatively high standard of living, a more liberalised economy, a less censored press, and less restricted travel rights, Hungary was generally considered one of the more liberal countries in which to live in Central Europe during communism. In the 1980s, however, living standards steeply declined again due to a worldwide recession to which communism was unable to respond. By the time Kádár died in 1989, the Soviet Union was in steep decline and a younger generation of reformists saw liberalisation as the solution to economic and social issues. Third Republic (1989–present) Hungary's transition from communism to democracy and capitalism (rendszerváltás, "regime change") was peaceful and prompted by economic stagnation, domestic political pressure, and changing relations with other Warsaw Pact countries. Although the MSzMP began Round Table Talks with various opposition groups in March 1989, the reburial of Imre Nagy as a revolutionary martyr that June is widely considered the symbolic end of communism in Hungary. Over 100,000 people attended the Budapest ceremony without any significant government interference, and many speakers openly called for Soviet troops to leave the country. Free elections were held in May 1990, and the Hungarian Democratic Forum, a major conservative opposition group, was elected to the head of a coalition government. József Antall became the first democratically elected Prime Minister since World War II. With the removal of state subsidies and rapid privatisation in 1991, Hungary was affected by a severe economic recession. The Antall government's austerity measures proved unpopular, and the Communist Party's legal and political heir, the Socialist Party, won the subsequent 1994 elections. This abrupt shift in the political landscape was repeated in 1998 and 2002; each electoral cycle, the governing party was ousted and the erstwhile opposition elected. Like most other post-communist European states, however, Hungary broadly pursued an integrationist agenda, joining NATO in 1999 and the European Union in 2004. As a NATO member, Hungary was involved in the Yugoslav Wars. In 2006, major nationwide protests erupted after it was revealed that Prime Minister Ferenc Gyurcsány had claimed in a closed-door speech that his party "lied" to win the recent elections. The popularity of left-wing parties plummeted in the ensuing political upheaval, and in 2010, Viktor Orbán's national-conservative Fidesz was elected to a parliamentary supermajority. The legislature consequently approved a new constitution, among other sweeping governmental and legal changes. Although these developments were met with and still engender controversy, Fidesz secured a second parliamentary supermajority in 2014 and a third in 2018. In the late 2010s, Orbán's government came under increased international scrutiny over alleged rule-of-law violations. In 2018, the European Parliament voted to act against Hungary under the terms of Article 7 of the Treaty on European Union. Hungary has and continues to dispute these allegations. Hungary was impacted by the COVID-19 pandemic. In March 2020, the Hungarian parliament passed a law granting the government the power to rule by decree, suspending by-elections and outlawing certain forms of medical disinformation. Parliament rescinded this law on 16 June 2020 due to the improving epidemiological situation in Hungary. Geography Hungary's geography has traditionally been defined by its two main waterways, the Danube and Tisza rivers. The common tripartite division of the country into three sections—Dunántúl ("beyond the Danube", Transdanubia), Tiszántúl ("beyond the Tisza"), and Duna-Tisza kőze ("between the Danube and Tisza")—is a reflection of this. The Danube flows north–south right through the centre of contemporary Hungary, and the entire country lies within its drainage basin. Transdanubia, which stretches westward from the centre of the country towards Austria, is a primarily hilly region with a terrain varied by low mountains. These include the very eastern stretch of the Alps, Alpokalja, in the west of the country, the Transdanubian Mountains in the central region of Transdanubia, and the Mecsek Mountains and Villány Mountains in the south. The highest point of the area is the Írott-kő in the Alps, at . The Little Hungarian Plain (Kisalfőld) is found in northern Transdanubia. Lake Balaton and Lake Hévíz, the largest lake in Central Europe and the largest thermal lake in the world, respectively, are in Transdanubia as well. The Duna-Tisza kőze and Tiszántúl are characterised mainly by the Great Hungarian Plain (Alfőld), which stretches across most of the eastern and southeastern areas of the country. To the north of the Plain are the foothills of the Carpathians in a wide band near the Slovakian border. The Kékes at is the tallest mountain in Hungary and is found here. Phytogeographically, Hungary belongs to the Central European province of the Circumboreal Region within the Boreal Kingdom. According to the WWF, the territory of Hungary belongs to the terrestrial ecoregion of Pannonian mixed forests. It had a 2019 Forest Landscape Integrity Index mean score of 2.25/10, ranking it 156th globally out of 172 countries. Hungary has 10 national parks, 145 minor nature reserves, and 35 landscape protection areas. Hungary is a landlocked country. Climate Hungary has a temperate seasonal climate, with generally warm summers with low overall humidity levels but frequent rainshowers and cold snowy winters. Average annual temperature is . Temperature extremes are on 20 July 2007 at Kiskunhalas in the summer and on 16 February 1940 Miskolc-Gőrőmbőlytapolca in the winter. Average high temperature in the summer is and average low temperature in the winter is . The average yearly rainfall is approximately . Hungary is ranked sixth in an environmental protection index by GW/CAN. Government and politics Hungary is a unitary, parliamentary republic. The Hungarian political system operates under a framework reformed in 2012; this constitutional document is the Fundamental Law of Hungary. Amendments generally require a two-thirds majority of parliament; the fundamental principles of the constitution (as expressed in the articles guaranteeing human dignity, the separation of powers, the state structure, and the rule of law) are valid in perpetuity. 199 Members of Parliament (országgyűlési képviselő) are elected to the highest organ of state authority, the unicameral Országgyűlés (National Assembly), every four years in a single-round first-past-the-post election with an election threshold of 5%. The President of the Republic (köztársasági elnök) serves as the head of state and is elected by the National Assembly every five years. The president is invested primarily with representative responsibilities and powers: receiving foreign heads of state, formally nominating the Prime Minister at the recommendation of the National Assembly, and serving as Commander-in-chief of the armed forces. Importantly, the president is also invested with veto power and may send legislation to the 15-member Constitutional Court for review. The third most significant governmental position in Hungary is the Speaker of the National Assembly, who is elected by the National Assembly and responsible for overseeing the daily sessions of the body. The Prime Minister (miniszterelnök) is elected by the National Assembly, serving as the head of government and exercising executive power. Traditionally, the Prime Minister is the leader of the largest party in parliament. The Prime Minister selects Cabinet ministers and has the exclusive right to dismiss them, although cabinet nominees must appear before consultative open hearings before one or more parliamentary committees, survive a vote in the National Assembly, and be formally approved by the president. The cabinet reports to parliament. In 2009 Hungary, due to strong economic difficulties, had to request the help of the IMF for about €9 billion (10.4 billion US Dollars). The debt-to-GDP ratio of Hungary had its peak in 2011 when it stood at 83% and decreased since then. According to Eurostat, the government gross debt of Hungary amounts to 25.119 billion HUF or 74.1% of its GDP in 2016. The government achieved a budget deficit 1.9% of the GDP in 2015. Hungary's credit rating by credit rating agencies Standard & Poor's, Moody's and Fitch Ratings stands at Investment Grade BBB with a stable outlook in 2016. On Transparency International's 2019 Corruption Perceptions Index Hungary's public sector has deteriorated from a score of 51 in 2015 to 44 in 2019 making it the 2nd most corrupt EU member at pair with Romania and behind Bulgaria. Following a decade of Fidesz-KDNP rule lead by Viktor Orbán, Freedom House's Nations in Transit 2020 report reclassified Hungary from a democracy to a transitional or hybrid regime. According to the report, "the right-wing alliance... has gradually undermined the rule of law in Hungary and established tight control over the country's independent institutions... [it] has steadily rewritten the Hungarian constitution, and eliminated democratic safeguards statutorily embodied in the Constitutional Court, Prosecutors Office, Media Authority, and State Audit Office...". It also limited parliamentary oversight, independent media, non-governmental organisations and academics, while consolidating power around the central government. Other democracy barometers have also rated Hungary as not a democracy, and there are a wide variety of labels for Hungary's political system found in scholarship. According to data from the V-Dem Institute, Hungary is one of the most rapidly autocratising countries in the world as of 2021. Political parties Since the fall of communism, Hungary has a multi-party system. The last Hungarian parliamentary election took place on 8 April 2018. This parliamentary election was the 7th since the 1990 first multi-party election. The result was a victory for Fidesz–KDNP alliance, preserving its two-thirds majority with Viktor Orbán remaining Prime Minister. It was the second election according to the new Constitution of Hungary which went into force on 1 January 2012. The new electoral law also entered into force that day. The voters elected 199 MPs instead of previous 386 lawmakers. The current political landscape in Hungary is dominated by the conservative Fidesz, who have a near supermajority, and two medium-sized parties, the left-wing Democratic Coalition (DK) and liberal Momentum. The democratic character of the Hungarian parliament was reestablished with the fall of the Iron Curtain and the end of communist dictatorship in 1989. Today's parliament is still called Országgyűlés just like in royal times, but in order to differentiate between the historical royal diet is referred to as the "National Assembly" now. The Diet of Hungary was a legislative institution in the medieval kingdom of Hungary from the 1290s, and in its successor states, Royal Hungary and the Habsburg kingdom of Hungary throughout the Early Modern period. The articles of the 1790 diet set out that the diet should meet at least once every 3 years, but, since the diet was called by the Habsburg monarchy, this promise was not kept on several occasions thereafter. As a result of the Austro-Hungarian Compromise, it was reconstituted in 1867. The Latin term Natio Hungarica ("Hungarian nation") was used to designate the political elite which had participation in the diet, consisting of the nobility, the Catholic clergy, and a few enfranchised burghers, regardless of language or ethnicity. Law and judicial system The judicial system of Hungary is a civil law system divided between courts with regular civil and criminal jurisdiction and administrative courts with jurisdiction over litigation between individuals and the public administration. Hungarian law is codified and based on German law and in a wider sense, civil law or Roman law. The court system for civil and criminal jurisdiction consists of local courts (járásbíróság), regional appellate courts (ítélőtábla), and the supreme court (Kúria). Hungary's highest courts are located in Budapest. Law enforcement in Hungary is split among the police and the National Tax and Customs Administration. The Hungarian Police is the main and largest state law enforcement agency in Hungary. It carries nearly all general police duties such as criminal investigation, patrol activity, traffic policing, border control. It is led by the National Police Commissioner under the control of the Minister of the Interior. The body is divided into county police departments which are also divided into regional and town police departments. The National Police also have subordinate agencies with nationwide jurisdiction, such as the "Nemzeti Nyomozó Iroda" (National Bureau of Investigation), a civilian police force specialised in investigating serious crimes, and the gendarmerie-like, militarised "Készenléti Rendőrség" (Stand-by Police) mainly dealing with riots and often reinforcing local police forces. Due to Hungary's accession to the Schengen Treaty, the Police and Border Guards were merged into a single national corps, with the Border Guards becoming Police Officers. This merger took place in January 2008. The Customs and Excise Authority remained subject to the Ministry of Finance under the National Tax and Customs Administration. Administrative divisions Hungary is a unitary state nation divided into 19 counties (megye). In addition, the capital (főváros), Budapest, is an independent entity. The counties and the capital are the 20 NUTS third-level units of Hungary. The states are further subdivided into 174 districts (járás) . The districts are further
as he did." However, J. R. Western wrote that: "Despite its age and blemishes, Macaulay's History of England has still to be superseded by a full-scale modern history of the period". The Whig consensus was steadily undermined during the post-World War I re-evaluation of European history, and Butterfield's critique exemplified this trend. Intellectuals no longer believed the world was automatically getting better and better. Subsequent generations of academic historians have similarly rejected Whig history because of its presentist and teleological assumption that history is driving toward some sort of goal. Other criticized 'Whig' assumptions included viewing the British system as the apex of human political development, assuming that political figures in the past held current political beliefs (anachronism), considering British history as a march of progress with inevitable outcomes and presenting political figures of the past as heroes, who advanced the cause of this political progress, or villains, who sought to hinder its inevitable triumph. J. Hart says "a Whig interpretation requires human heroes and villains in the story." 20th century 20th-century historiography in major countries is characterized by a move to universities and academic research centers. Popular history continued to be written by self-educated amateurs, but scholarly history increasingly became the province of PhD's trained in research seminars at a university. The training emphasized working with primary sources in archives. Seminars taught graduate students how to review the historiography of the topics, so that they could understand the conceptual frameworks currently in use, and the criticisms regarding their strengths and weaknesses. Western Europe and the United States took leading roles in this development. The emergence of area studies of other regions also developed historiographical practices. France: Annales school The French Annales school radically changed the focus of historical research in France during the 20th century by stressing long-term social history, rather than political or diplomatic themes. The school emphasized the use of quantification and the paying of special attention to geography. The Annales d'histoire économique et sociale journal was founded in 1929 in Strasbourg by Marc Bloch and Lucien Febvre. These authors, the former a medieval historian and the latter an early modernist, quickly became associated with the distinctive Annales approach, which combined geography, history, and the sociological approaches of the Année Sociologique (many members of which were their colleagues at Strasbourg) to produce an approach which rejected the predominant emphasis on politics, diplomacy and war of many 19th and early 20th-century historians as spearheaded by historians whom Febvre called Les Sorbonnistes. Instead, they pioneered an approach to a study of long-term historical structures (la longue durée) over events and political transformations. Geography, material culture, and what later Annalistes called mentalités, or the psychology of the epoch, are also characteristic areas of study. The goal of the Annales was to undo the work of the Sorbonnistes, to turn French historians away from the narrowly political and diplomatic toward the new vistas in social and economic history. For early modern Mexican history, the work of Marc Bloch's student François Chevalier on the formation of landed estates (haciendas) from the sixteenth century to the seventeenth had a major impact on Mexican history and historiography, setting off an important debate about whether landed estates were basically feudal or capitalistic. An eminent member of this school, Georges Duby, described his approach to history as one that relegated the sensational to the sidelines and was reluctant to give a simple accounting of events, but strived on the contrary to pose and solve problems and, neglecting surface disturbances, to observe the long and medium-term evolution of economy, society and civilisation. The Annalistes, especially Lucien Febvre, advocated a histoire totale, or histoire tout court, a complete study of a historical problem. The second era of the school was led by Fernand Braudel and was very influential throughout the 1960s and 1970s, especially for his work on the Mediterranean region in the era of Philip II of Spain. Braudel developed the idea, often associated with Annalistes, of different modes of historical time: l'histoire quasi immobile (motionless history) of historical geography, the history of social, political and economic structures (la longue durée), and the history of men and events, in the context of their structures. His 'longue durée' approach stressed slow, and often imperceptible effects of space, climate and technology on the actions of human beings in the past. The Annales historians, after living through two world wars and major political upheavals in France, were deeply uncomfortable with the notion that multiple ruptures and discontinuities created history. They preferred to stress slow change and the longue durée. They paid special attention to geography, climate, and demography as long-term factors. They considered the continuities of the deepest structures were central to history, beside which upheavals in institutions or the superstructure of social life were of little significance, for history lies beyond the reach of conscious actors, especially the will of revolutionaries. Noting the political upheavals in Europe and especially in France in 1968, Eric Hobsbawm argued that "in France the virtual hegemony of Braudelian history and the Annales came to an end after 1968, and the international influence of the journal dropped steeply." Multiple responses were attempted by the school. Scholars moved in multiple directions, covering in disconnected fashion the social, economic, and cultural history of different eras and different parts of the globe. By the time of crisis the school was building a vast publishing and research network reaching across France, Europe, and the rest of the world. Influence indeed spread out from Paris, but few new ideas came in. Much emphasis was given to quantitative data, seen as the key to unlocking all of social history. However, the Annales ignored the developments in quantitative studies underway in the U.S. and Britain, which reshaped economic, political and demographic research. Marxist historiography Marxist historiography developed as a school of historiography influenced by the chief tenets of Marxism, including the centrality of social class and economic constraints in determining historical outcomes (historical materialism). Friedrich Engels wrote The Peasant War in Germany, which analysed social warfare in early Protestant Germany in terms of emerging capitalist classes. Although it lacked a rigorous engagement with archival sources, it indicated an early interest in history from below and class analysis, and it attempts a dialectical analysis. Another treatise of Engels, The Condition of the Working Class in England in 1844, was salient in creating the socialist impetus in British politics from then on, e.g. the Fabian Society. R. H. Tawney was an early historian working in this tradition. The Agrarian Problem in the Sixteenth Century (1912) and Religion and the Rise of Capitalism (1926), reflected his ethical concerns and preoccupations in economic history. He was profoundly interested in the issue of the enclosure of land in the English countryside in the sixteenth and seventeenth centuries and in Max Weber's thesis on the connection between the appearance of Protestantism and the rise of capitalism. His belief in the rise of the gentry in the century before the outbreak of the Civil War in England provoked the 'Storm over the Gentry' in which his methods were subjected to severe criticisms by Hugh Trevor-Roper and John Cooper. Historiography in the Soviet Union was greatly influenced by Marxist historiography, as historical materialism was extended into the Soviet version of dialectical materialism. A circle of historians inside the Communist Party of Great Britain (CPGB) formed in 1946 and became a highly influential cluster of British Marxist historians, who contributed to history from below and class structure in early capitalist society. While some members of the group (most notably Christopher Hill and E. P. Thompson) left the CPGB after the 1956 Hungarian Revolution, the common points of British Marxist historiography continued in their works. They placed a great emphasis on the subjective determination of history. Christopher Hill's studies on 17th-century English history were widely acknowledged and recognised as representative of this school. His books include Puritanism and Revolution (1958), Intellectual Origins of the English Revolution (1965 and revised in 1996), The Century of Revolution (1961), AntiChrist in 17th-century England (1971), The World Turned Upside Down (1972) and many others. E. P. Thompson pioneered the study of history from below in his work, The Making of the English Working Class, published in 1963. It focused on the forgotten history of the first working-class political left in the world in the late-18th and early-19th centuries. In his preface to this book, Thompson set out his approach to writing history from below: Thompson's work was also significant because of the way he defined "class". He argued that class was not a structure, but a relationship that changed over time. He opened the gates for a generation of labor historians, such as David Montgomery and Herbert Gutman, who made similar studies of the American working classes. Other important Marxist historians included Eric Hobsbawm, C. L. R. James, Raphael Samuel, A. L. Morton and Brian Pearce. Biography Biography has been a major form of historiography since the days when Plutarch wrote the parallel lives of great Roman and Greek leaders. It is a field especially attractive to nonacademic historians, and often to the spouses or children of famous people, who have access to the trove of letters and documents. Academic historians tend to downplay biography because it pays too little attention to broad social, cultural, political and economic forces, and perhaps too much attention to popular psychology. The "Great Man" tradition in Britain originated in the multi-volume Dictionary of National Biography (which originated in 1882 and issued updates into the 1970s); it continues to this day in the new Oxford Dictionary of National Biography. In the United States, the Dictionary of American Biography was planned in the late 1920s and appeared with numerous supplements into the 1980s. It has now been displaced by the American National Biography as well as numerous smaller historical encyclopedias that give thorough coverage to Great Persons. Bookstores do a thriving business in biographies, which sell far more copies than the esoteric monographs based on post-structuralism, cultural, racial or gender history. Michael Holroyd says the last forty years "may be seen as a golden age of biography", but nevertheless calls it the "shallow end of history". Nicolas Barker argues that "more and more biographies command an ever larger readership", as he speculates that biography has come "to express the spirit of our age". Daniel R. Meister argues that: British debates Marxist historian E. H. Carr developed a controversial theory of history in his 1961 book What Is History?, which proved to be one of the most influential books ever written on the subject. He presented a middle-of-the-road position between the empirical or (Rankean) view of history and R. G. Collingwood's idealism, and rejected the empirical view of the historian's work being an accretion of "facts" that they have at their disposal as nonsense. He maintained that there is such a vast quantity of information that the historian always chooses the "facts" they decide to make use of. In Carr's famous example, he claimed that millions had crossed the Rubicon, but only Julius Caesar's crossing in 49 BC is declared noteworthy by historians. For this reason, Carr argued that Leopold von Ranke's famous dictum wie es eigentlich gewesen (show what actually happened) was wrong because it presumed that the "facts" influenced what the historian wrote, rather than the historian choosing what "facts of the past" they intended to turn into "historical facts". At the same time, Carr argued that the study of the facts may lead the historian to change his or her views. In this way, Carr argued that history was "an unending dialogue between the past and present". Carr is held by some critics to have had a deterministic outlook in history. Others have modified or rejected this use of the label "determinist". He took a hostile view of those historians who stress the workings of chance and contingency in the workings of history. In Carr's view, no individual is truly free of the social environment in which they live, but contended that within those limitations, there was room, albeit very narrow room for people to make decisions that affect history. Carr emphatically contended that history was a social science, not an art, because historians like scientists seek generalizations that helped to broaden the understanding of one's subject. One of Carr's most forthright critics was Hugh Trevor-Roper, who argued that Carr's dismissal of the "might-have-beens of history" reflected a fundamental lack of interest in examining historical causation. Trevor-Roper asserted that examining possible alternative outcomes of history was far from being a "parlour-game" was rather an essential part of the historians' work, as only by considering all possible outcomes of a given situation could a historian properly understand the period. The controversy inspired Sir Geoffrey Elton to write his 1967 book The Practice of History. Elton criticized Carr for his "whimsical" distinction between the "historical facts" and the "facts of the past", arguing that it reflected "...an extraordinarily arrogant attitude both to the past and to the place of the historian studying it". Elton, instead, strongly defended the traditional methods of history and was also appalled by the inroads made by postmodernism. Elton saw the duty of historians as empirically gathering evidence and objectively analyzing what the evidence has to say. As a traditionalist, he placed great emphasis on the role of individuals in history instead of abstract, impersonal forces. Elton saw political history as the highest kind of history. Elton had no use for those who seek history to make myths, to create laws to explain the past, or to produce theories such as Marxism. U.S. approaches Classical and European history was part of the 19th-century grammar curriculum. American history became a topic later in the 19th century. In the historiography of the United States, there were a series of major approaches in the 20th century. In 2009–2012, there were an average of 16,000 new academic history books published in the U.S. every year. Progressive historians From 1910 to the 1940s, "Progressive" historiography was dominant, especially in political studies. It stressed the central importance of class conflict in American history. Important leaders included Vernon L. Parrington, Carl L. Becker, Arthur M. Schlesinger, Sr., John Hicks, and C. Vann Woodward. The movement established a strong base at the History Department at the University of Wisconsin with Curtis Nettels, William Hesseltine, Merle Curti, Howard K. Beale, Merrill Jensen, Fred Harvey Harrington (who became the university president), William Appleman Williams, and a host of graduate students. Charles A. Beard was the most prominent representative with his "Beardian" approach that reached both scholars and the general public. In covering the Civil War, Charles and Mary Beard did not find it useful to examine nationalism, unionism, states' rights, slavery, abolition or the motivations of soldiers in battle. Instead, they proclaimed it was a: Arthur Schlesinger, Jr. wrote the Age of Jackson (1945), one of the last major books from this viewpoint. Schlesinger made Jackson a hero for his successful attacks on the Second Bank of the United States. His own views were clear enough: "Moved typically by personal and class, rarely by public, considerations, the business community has invariably brought national affairs to a state of crisis and exasperated the rest of society into dissatisfaction bordering on revolt." Consensus history Consensus history emphasizes the basic unity of American values and downplays conflict as superficial. It was especially attractive in the 1950s and 1960s. Prominent leaders included Richard Hofstadter, Louis Hartz, Daniel Boorstin, Allan Nevins, Clinton Rossiter, Edmund Morgan, and David M. Potter. In 1948 Hofstadter made a compelling statement of the consensus model of the U.S. political tradition: New Left history Consensus history was rejected by New Left viewpoints that attracted a younger generation of radical historians in the 1960s. These viewpoints stress conflict and emphasize the central roles of class, race and gender. The history of dissent, and the experiences of racial minorities and disadvantaged classes was central to the narratives produced by New Left historians. Quantification and new approaches to history Social history, sometimes called the "new social history", is a broad branch that studies the experiences of ordinary people in the past. It had major growth as a field in the 1960s and 1970s, and still is well represented in history departments. However, after 1980 the "cultural turn" directed the next generation to new topics. In the two decades from 1975 to 1995, the proportion of professors of history in U.S. universities identifying with social history rose from 31 to 41 percent, while the proportion of political historians fell from 40 to 30 percent. The growth was enabled by the social sciences, computers, statistics, new data sources such as individual census information, and summer training programs at the Newberry Library and the University of Michigan. The New Political History saw the application of social history methods to politics, as the focus shifted from politicians and legislation to voters and elections. The Social Science History Association was formed in 1976 as an interdisciplinary group with a journal Social Science History and an annual convention. The goal was to incorporate in historical studies perspectives from all the social sciences, especially political science, sociology and economics. The pioneers shared a commitment to quantification. However, by the 1980s the first blush of quantification had worn off, as traditional historians counterattacked. Harvey J. Graff says: Meanwhile, quantitative history became well-established in other disciplines, especially economics (where they called it "cliometrics"), as well as in political science. In history, however, quantification remained central to demographic studies, but slipped behind in political and social history as traditional narrative approaches made a comeback. Latin America Latin America is the former Spanish American empire in the Western Hemisphere plus Portuguese Brazil. Professional historians pioneered the creation of this field, starting in the late nineteenth century. The term “Latin America” did not come into general usage until the twentieth century and in some cases it was rejected. The historiography of the field has been more fragmented than unified, with historians of Spanish America and Brazil generally remaining in separate spheres. Another standard division within the historiography is the temporal factor, with works falling into either the early modern period (or “colonial era”) or the post-independence (or “national”) period, from the early nineteenth onward. Relatively few works span the two eras and few works except textbooks unite Spanish America and Brazil. There is a tendency to focus on histories of particular countries or regions (the Andes, the Southern Cone, the Caribbean) with relatively little comparative work. Historians of Latin America have contributed to various types of historical writing, but one major, innovative development in Spanish American history is the emergence of ethnohistory, the history of indigenous peoples, especially in Mexico based on alphabetic sources in Spanish or in indigenous languages. For the early modern period, the emergence of Atlantic history, based on comparisons and linkages of Europe, the Americas, and Africa from 1450 to 1850 that developed as a field in its own right has integrated early modern Latin American history into a larger framework. For all periods, global or world history have focused on the connections between areas, likewise integrating Latin America into a larger perspective. Latin America's importance to world history is notable but often overlooked. "Latin America’s central, and sometimes pioneering, role in the development of globalization and modernity did not cease with the end of colonial rule and the early modern period. Indeed, the region’s political independence places it at the forefront of two trends that are regularly considered thresholds of the modern world. The first is the so-called liberal revolution, the shift from monarchies of the ancien régime, where inheritance legitimated political power, to constitutional republics... The second, and related, trend consistently considered a threshold of modern history that saw Latin America in the forefront is the development of nation-states." Historical research appears in a number of specialized journals. These include Hispanic American Historical Review (est. 1918), published by the Conference on Latin American History; The Americas, (est. 1944); Journal of Latin American Studies (1969); Canadian Journal of Latin American and Caribbean Studies,(est.1976) Bulletin of Latin American Research, (est. 1981); Colonial Latin American Review (1992); and Colonial Latin American Historical Review (est. 1992). Latin American Research Review (est. 1969), published by the Latin American Studies Association, does not focus primarily on history, but it has often published historiographical essays on particular topics. General works on Latin American history have appeared since the 1950s, when the teaching of
writers often included summaries of important historical events prior to the period covered by the work. Writing history was popular among Christian monks and clergy in the Middle Ages. They wrote about the history of Jesus Christ, that of the Church and that of their patrons, the dynastic history of the local rulers. In the Early Middle Ages historical writing often took the form of annals or chronicles recording events year by year, but this style tended to hamper the analysis of events and causes. An example of this type of writing is the Anglo-Saxon Chronicle, which was the work of several different writers: it was started during the reign of Alfred the Great in the late 9th century, but one copy was still being updated in 1154. Some writers in the period did construct a more narrative form of history. These included Gregory of Tours and more successfully Bede, who wrote both secular and ecclesiastical history and who is known for writing the Ecclesiastical History of the English People. During the Renaissance, history was written about states or nations. The study of history changed during the Enlightenment and Romanticism. Voltaire described the history of certain ages that he considered important, rather than describing events in chronological order. History became an independent discipline. It was not called philosophia historiae anymore, but merely history (historia). Islamic world Muslim historical writings first began to develop in the 7th century, with the reconstruction of the Prophet Muhammad's life in the centuries following his death. With numerous conflicting narratives regarding Muhammad and his companions from various sources, it was necessary to verify which sources were more reliable. In order to evaluate these sources, various methodologies were developed, such as the "science of biography", "science of hadith" and "Isnad" (chain of transmission). These methodologies were later applied to other historical figures in the Islamic civilization. Famous historians in this tradition include Urwah (d. 712), Wahb ibn Munabbih (d. 728), Ibn Ishaq (d. 761), al-Waqidi (745–822), Ibn Hisham (d. 834), Muhammad al-Bukhari (810–870) and Ibn Hajar (1372–1449). Historians of the medieval Islamic world also developed an interest in world history. Islamic historical writing eventually culminated in the works of the Arab Muslim historian Ibn Khaldun (1332–1406), who published his historiographical studies in the Muqaddimah (translated as Prolegomena) and Kitab al-I'bar (Book of Advice). His work was forgotten until it was rediscovered in the late 19th century. East Asia Japan The earliest works of history produced in Japan were the Rikkokushi (Six National Histories), a corpus of six national histories covering the history of Japan from its mythological beginnings until the 9th century. The first of these works were the Nihon Shoki, compiled by Prince Toneri in 720. Korea The tradition of Korean historiography was established with the Samguk Sagi, a history of Korea from its allegedly earliest times. It was compiled by Goryeo court historian Kim Busik after its commission by King Injong of Goryeo (r. 1122–1146). It was completed in 1145 and relied not only on earlier Chinese histories for source material, but also on the Hwarang Segi written by the Silla historian Kim Daemun in the 8th century. The latter work is now lost. China In 1084 the Song dynasty official Sima Guang completed the Zizhi Tongjian (Comprehensive Mirror to Aid in Government), which laid out the entire history of China from the beginning of the Warring States period (403 BCE) to the end of the Five Dynasties period (959 CE) in chronological annals form, rather than in the traditional annals-biography form. This work is considered much more accessible than the "Official Histories" for the Six dynasties, Tang dynasty, and Five Dynasties, and in practice superseded those works in the mind of the general reader. The great Song Neo-Confucian Zhu Xi found the Mirror to be overly long for the average reader, as well as too morally nihilist, and therefore prepared a didactic summary of it called the Zizhi Tongjian Gangmu (Digest of the Comprehensive Mirror to Aid in Government), posthumously published in 1219. It reduced the original's 249 chapters to just 59, and for the rest of imperial Chinese history would be the first history book most people ever read. South East Asia Philippines Historiography of the Philippines refers to the studies, sources, critical methods and interpretations used by scholars to study the history of the Philippines. It includes historical and archival research and writing on the history of the Philippine archipelago including the islands of Luzon, Visayas, and Mindanao. The Philippine archipelago was part of many empires before the Spanish Empire arrived in the 16th century. Before the arrival of Spanish colonial powers, the Philippines did not actually exist. Southeast Asia is classified as part of the Indosphere and the Sinosphere. The archipelago had direct contact with China during the Song dynasty (960-1279), and was a part of the Srivijaya and Majapahit empires. The pre-colonial Philippines widely used the Abugida system in writing and seals on documents, though it was for communication and no recorded writings of early literature or history. Ancient Filipinos usually wrote documents on bamboo, bark, and leaves, which did not survive, unlike inscriptions on clay, metal, and ivory did, such as the Laguna Copperplate Inscription and Butuan Ivory Seal. The discovery of the Butuan Ivory Seal also proves the use of paper documents in ancient Philippines. The arrival of the Spanish colonizers, pre-colonial Filipino manuscripts and documents were gathered and burned to eliminate pagan beliefs. This has been the burden of historians in the accumulation of data and the development of theories that gave historians many aspects of Philippine history that were left unexplained. The interplay of pre-colonial events and the use of secondary sources written by historians to evaluate the primary sources, do not provide a critical examination of the methodology of the early Philippine historical study. Enlightenment During the Age of Enlightenment, the modern development of historiography through the application of scrupulous methods began. Among the many Italians who contributed to this were Leonardo Bruni (c. 1370–1444), Francesco Guicciardini (1483–1540), and Cesare Baronio (1538–1607). Voltaire French philosophe Voltaire (1694–1778) had an enormous influence on the development of historiography during the Age of Enlightenment through his demonstration of fresh new ways to look at the past. Guillaume de Syon argues: Voltaire's best-known histories are The Age of Louis XIV (1751), and his Essay on the Customs and the Spirit of the Nations (1756). He broke from the tradition of narrating diplomatic and military events, and emphasized customs, social history and achievements in the arts and sciences. He was the first scholar to make a serious attempt to write the history of the world, eliminating theological frameworks, and emphasizing economics, culture and political history. Although he repeatedly warned against political bias on the part of the historian, he did not miss many opportunities to expose the intolerance and frauds of the church over the ages. Voltaire advised scholars that anything contradicting the normal course of nature was not to be believed. Although he found evil in the historical record, he fervently believed reason and educating the illiterate masses would lead to progress. Voltaire explains his view of historiography in his article on "History" in Diderot's Encyclopédie: "One demands of modern historians more details, better ascertained facts, precise dates, more attention to customs, laws, mores, commerce, finance, agriculture, population." Already in 1739 he had written: "My chief object is not political or military history, it is the history of the arts, of commerce, of civilization – in a word, – of the human mind." Voltaire's histories used the values of the Enlightenment to evaluate the past. He helped free historiography from antiquarianism, Eurocentrism, religious intolerance and a concentration on great men, diplomacy, and warfare. Peter Gay says Voltaire wrote "very good history", citing his "scrupulous concern for truths", "careful sifting of evidence", "intelligent selection of what is important", "keen sense of drama", and "grasp of the fact that a whole civilization is a unit of study". David Hume At the same time, philosopher David Hume was having a similar effect on the study of history in Great Britain. In 1754 he published The History of England, a 6-volume work which extended "From the Invasion of Julius Caesar to the Revolution in 1688". Hume adopted a similar scope to Voltaire in his history; as well as the history of Kings, Parliaments, and armies, he examined the history of culture, including literature and science, as well. His short biographies of leading scientists explored the process of scientific change and he developed new ways of seeing scientists in the context of their times by looking at how they interacted with society and each other – he paid special attention to Francis Bacon, Robert Boyle, Isaac Newton and William Harvey. He also argued that the quest for liberty was the highest standard for judging the past, and concluded that after considerable fluctuation, England at the time of his writing had achieved "the most entire system of liberty, that was ever known amongst mankind". Edward Gibbon The apex of Enlightenment history was reached with Edward Gibbon's monumental six-volume work, The History of the Decline and Fall of the Roman Empire, published on 17 February 1776. Because of its relative objectivity and heavy use of primary sources, its methodology became a model for later historians. This has led to Gibbon being called the first "modern historian". The book sold impressively, earning its author a total of about £9000. Biographer Leslie Stephen wrote that thereafter, "His fame was as rapid as it has been lasting." Gibbon's work has been praised for its style, its piquant epigrams and its effective irony. Winston Churchill memorably noted, "I set out upon ... Gibbon's Decline and Fall of the Roman Empire [and] was immediately dominated both by the story and the style. ... I devoured Gibbon. I rode triumphantly through it from end to end and enjoyed it all." Gibbon was pivotal in the secularizing and 'desanctifying' of history, remarking, for example, on the "want of truth and common sense" of biographies composed by Saint Jerome. Unusually for an 18th-century historian, Gibbon was never content with secondhand accounts when the primary sources were accessible (though most of these were drawn from well-known printed editions). He said, "I have always endeavoured to draw from the fountain-head; that my curiosity, as well as a sense of duty, has always urged me to study the originals; and that, if they have sometimes eluded my search, I have carefully marked the secondary evidence, on whose faith a passage or a fact were reduced to depend." In this insistence upon the importance of primary sources, Gibbon broke new ground in the methodical study of history: In accuracy, thoroughness, lucidity, and comprehensive grasp of a vast subject, the 'History' is unsurpassable. It is the one English history which may be regarded as definitive. ... Whatever its shortcomings the book is artistically imposing as well as historically unimpeachable as a vast panorama of a great period. 19th century The tumultuous events surrounding the French Revolution inspired much of the historiography and analysis of the early 19th century. Interest in the 1688 Glorious Revolution was also rekindled by the Great Reform Act of 1832 in England. Thomas Carlyle Thomas Carlyle published his three-volume The French Revolution: A History, in 1837. The first volume was accidentally burned by John Stuart Mill's maid. Carlyle rewrote it from scratch. Carlyle's style of historical writing stressed the immediacy of action, often using the present tense. He emphasised the role of forces of the spirit in history and thought that chaotic events demanded what he called 'heroes' to take control over the competing forces erupting within society. He considered the dynamic forces of history as being the hopes and aspirations of people that took the form of ideas, and were often ossified into ideologies. Carlyle's The French Revolution was written in a highly unorthodox style, far removed from the neutral and detached tone of the tradition of Gibbon. Carlyle presented the history as dramatic events unfolding in the present as though he and the reader were participants on the streets of Paris at the famous events. Carlyle's invented style was epic poetry combined with philosophical treatise. It is rarely read or cited in the last century. French historians: Michelet and Taine In his main work Histoire de France (1855), French historian Jules Michelet (1798–1874) coined the term Renaissance (meaning "rebirth" in French), as a period in Europe's cultural history that represented a break from the Middle Ages, creating a modern understanding of humanity and its place in the world. The 19-volume work covered French history from Charlemagne to the outbreak of the French Revolution. His inquiry into manuscript and printed authorities was most laborious, but his lively imagination, and his strong religious and political prejudices, made him regard all things from a singularly personal point of view. Michelet was one of the first historians to shift the emphasis of history to the common people, rather than the leaders and institutions of the country. He had a decisive impact on scholars. Gayana Jurkevich argues that led by Michelet: Hippolyte Taine (1828–1893), although unable to secure an academic position, was the chief theoretical influence of French naturalism, a major proponent of sociological positivism, and one of the first practitioners of historicist criticism. He pioneered the idea of "the milieu" as an active historical force which amalgamated geographical, psychological, and social factors. Historical writing for him was a search for general laws. His brilliant style kept his writing in circulation long after his theoretical approaches were passé. Cultural and constitutional history One of the major progenitors of the history of culture and art, was the Swiss historian Jacob Burckhardt. Siegfried Giedion described Burckhardt's achievement in the following terms: "The great discoverer of the age of the Renaissance, he first showed how a period should be treated in its entirety, with regard not only for its painting, sculpture and architecture, but for the social institutions of its daily life as well." His most famous work was The Civilization of the Renaissance in Italy, published in 1860; it was the most influential interpretation of the Italian Renaissance in the nineteenth century and is still widely read. According to John Lukacs, he was the first master of cultural history, which seeks to describe the spirit and the forms of expression of a particular age, a particular people, or a particular place. His innovative approach to historical research stressed the importance of art and its inestimable value as a primary source for the study of history. He was one of the first historians to rise above the narrow nineteenth-century notion that "history is past politics and politics current history. By the mid-19th century, scholars were beginning to analyse the history of institutional change, particularly the development of constitutional government. William Stubbs's Constitutional History of England (3 vols., 1874–1878) was an important influence on this developing field. The work traced the development of the English constitution from the Teutonic invasions of Britain until 1485, and marked a distinct step in the advance of English historical learning. He argued that the theory of the unity and continuity of history should not remove distinctions between ancient and modern history. He believed that, though work on ancient history is a useful preparation for the study of modern history, either may advantageously be studied apart. He was a good palaeographer, and excelled in textual criticism, in examination of authorship, and other such matters, while his vast erudition and retentive memory made him second to none in interpretation and exposition. Von Ranke and professionalization in Germany The modern academic study of history and methods of historiography were pioneered in 19th-century German universities, especially the University of Göttingen. Leopold von Ranke (1795–1886) at Berlin was a pivotal influence in this regard, and was the founder of modern source-based history. According to Caroline Hoefferle, "Ranke was probably the most important historian to shape historical profession as it emerged in Europe and the United States in the late 19th century." Specifically, he implemented the seminar teaching method in his classroom, and focused on archival research and analysis of historical documents. Beginning with his first book in 1824, the History of the Latin and Teutonic Peoples from 1494 to 1514, Ranke used an unusually wide variety of sources for a historian of the age, including "memoirs, diaries, personal and formal missives, government documents, diplomatic dispatches and first-hand accounts of eye-witnesses". Over a career that spanned much of the century, Ranke set the standards for much of later historical writing, introducing such ideas as reliance on primary sources, an emphasis on narrative history and especially international politics (). Sources had to be solid, not speculations and rationalizations. His credo was to write history the way it was. He insisted on primary sources with proven authenticity. Ranke also rejected the 'teleological approach' to history, which traditionally viewed each period as inferior to the period which follows. In Ranke's view, the historian had to understand a period on its own terms, and seek to find only the general ideas which animated every period of history. In 1831 and at the behest of the Prussian government, Ranke founded and edited the first historical journal in the world, called . Another important German thinker was Georg Wilhelm Friedrich Hegel, whose theory of historical progress ran counter to Ranke's approach. In Hegel's own words, his philosophical theory of "World history ... represents the development of the spirit's consciousness of its own freedom and of the consequent realization of this freedom." This realization is seen by studying the various cultures that have developed over the millennia, and trying to understand the way that freedom has worked itself out through them: World history is the record of the spirit's efforts to attain knowledge of what it is in itself. The Orientals do not know that the spirit or man as such are free in themselves. And because they do not know that, they are not themselves free. They only know that One is free. ... The consciousness of freedom first awoke among the Greeks, and they were accordingly free; but, like the Romans, they only knew that Some, and not all men as such, are free. ... The Germanic nations, with the rise of Christianity, were the first to realize that All men are by nature free, and that freedom of spirit is his very essence. Karl Marx introduced the concept of historical materialism into the study of world historical development. In his conception, the economic conditions and dominant modes of production determined the structure of society at that point. In his view five successive stages in the development of material conditions would occur in Western Europe. The first stage was primitive communism where property was shared and there was no concept of "leadership". This progressed to a slave society where the idea of class emerged and the State developed. Feudalism was characterized by an aristocracy working in partnership with a theocracy and the emergence of the nation-state. Capitalism appeared after the bourgeois revolution when the capitalists (or their merchant predecessors) overthrew the feudal system and established a market economy, with private property and parliamentary democracy. Marx then predicted the eventual proletarian revolution that would result in the attainment of socialism, followed by communism, where property would be communally owned. Previous historians had focused on cyclical events of the rise and decline of rulers and nations. Process of nationalization of history, as part of national revivals in the 19th century, resulted with separation of "one's own" history from common universal history by such way of perceiving, understanding and treating the past that constructed history as history of a nation. A new discipline, sociology, emerged in the late 19th century and analyzed and compared these perspectives on a larger scale. Macaulay and Whig history The term "Whig history", coined by Herbert Butterfield in his short book The Whig Interpretation of History in 1931, means the approach to historiography which presents the past as an inevitable progression towards ever greater liberty and enlightenment, culminating in modern forms of liberal democracy and constitutional monarchy. In general, Whig historians emphasized the rise of constitutional government, personal freedoms and scientific progress. The term has been also applied widely in historical disciplines outside of British history (the history of science, for example) to criticize any teleological (or goal-directed), hero-based, and transhistorical narrative. Paul Rapin de Thoyras's history of England, published in 1723, became "the classic Whig history" for the first half of the 18th century. It was later supplanted by the immensely popular The History of England by David Hume. Whig historians emphasized the achievements of the Glorious Revolution of 1688. This included James Mackintosh's History of the Revolution in England in 1688, William Blackstone's Commentaries on the Laws of England, and Henry Hallam's Constitutional History of England. The most famous exponent of 'Whiggery' was Thomas Babington Macaulay. His writings are famous for their ringing prose and for their confident, sometimes dogmatic, emphasis on a progressive model of British history, according to which the country threw off superstition, autocracy and confusion to create a balanced constitution and a forward-looking culture combined with freedom of belief and expression. This model of human progress has been called the Whig interpretation of history. He published the first volumes of his most famous work of history, The History of England from the Accession of James II, in 1848. It proved an immediate success and replaced Hume's history to become the new orthodoxy. His 'Whiggish convictions' are spelled out in his first chapter: His legacy continues to be controversial; Gertrude Himmelfarb wrote that "most professional historians have long since given up reading Macaulay, as they have given up writing the kind of history he wrote and thinking about history as he did." However, J. R. Western wrote that: "Despite its age and blemishes, Macaulay's History of England has still to be superseded by a full-scale modern history of the period". The Whig consensus was steadily undermined during the post-World War I re-evaluation of European history, and Butterfield's critique exemplified this trend. Intellectuals no longer believed the world was automatically getting better and better. Subsequent generations of academic historians have similarly rejected Whig history because of its presentist and teleological assumption that history is driving toward some sort of goal. Other criticized 'Whig' assumptions included viewing the British system as the apex of human political development, assuming that political figures in the past held current political beliefs (anachronism), considering British history as a march of progress with inevitable outcomes and presenting political figures of the past as heroes, who advanced the cause of this political progress, or villains, who sought to hinder its inevitable triumph. J. Hart says "a Whig interpretation requires human heroes and villains in the story." 20th century 20th-century historiography in major countries is characterized by a move to universities and academic research centers. Popular history continued to be written by self-educated amateurs, but scholarly history increasingly became the province of PhD's trained in research seminars at a university. The training emphasized working with primary sources in archives. Seminars taught graduate students how to review the historiography of the topics, so that they could understand the conceptual frameworks currently in use, and the criticisms regarding their strengths and weaknesses. Western Europe and the United States took leading roles in this development. The emergence of area studies of other regions also developed historiographical practices. France: Annales school The French Annales school radically changed the focus of historical research in France during the 20th century by stressing long-term social history, rather than political or diplomatic themes. The school emphasized the use of quantification and the paying of special attention to geography. The Annales d'histoire économique et sociale journal was founded in 1929 in Strasbourg by Marc Bloch and Lucien Febvre. These authors, the former a medieval historian and the latter an early modernist, quickly became associated with the distinctive Annales approach, which combined geography, history, and the sociological approaches of the Année Sociologique (many members of which were their colleagues at Strasbourg) to produce an approach which rejected the predominant emphasis on politics, diplomacy and war of many 19th and early 20th-century historians as spearheaded by historians whom Febvre called Les Sorbonnistes. Instead, they pioneered an approach to a study of long-term historical structures (la longue durée) over events and political transformations. Geography, material culture, and what later Annalistes called mentalités, or the psychology of the epoch, are also characteristic areas of study. The goal of the Annales was to undo the work of the Sorbonnistes, to turn French historians away from the narrowly political and diplomatic toward the new vistas in social and economic history. For early modern Mexican history, the work of Marc Bloch's student François Chevalier on the formation of landed estates (haciendas) from the sixteenth century to the seventeenth had a major impact on Mexican history and historiography, setting off an important debate about whether landed estates were basically feudal or capitalistic. An eminent member of this school, Georges Duby, described his approach to history as one that relegated the sensational to the sidelines and was reluctant to give a simple accounting of events, but strived on the contrary to pose and solve problems and, neglecting surface disturbances, to observe the long and medium-term evolution of economy, society and civilisation. The Annalistes, especially Lucien Febvre, advocated a histoire totale, or histoire tout court, a complete study of a historical problem. The second era of the school was led by Fernand Braudel and was very influential throughout the 1960s and 1970s, especially for his work on the Mediterranean region in the era of Philip II of Spain. Braudel developed the idea, often associated with Annalistes, of different modes of historical time: l'histoire quasi immobile (motionless history) of historical geography, the history of social, political and economic structures (la longue durée), and the history of men and events, in the context of their structures. His 'longue durée' approach stressed slow, and often imperceptible effects of space, climate and technology on the actions of human beings in the past. The Annales historians, after living through two world wars and major political upheavals in France, were deeply uncomfortable with the notion that multiple ruptures and discontinuities created history. They preferred to stress slow change and the longue durée. They paid special attention to geography, climate, and demography as long-term factors. They considered the continuities of the deepest structures were central to history, beside which upheavals in institutions or the superstructure of social life were of little significance, for history lies beyond the reach of conscious actors, especially the will of revolutionaries. Noting the political upheavals in Europe and especially in France in 1968, Eric Hobsbawm argued that "in France the virtual hegemony of Braudelian history and the Annales came to an end after 1968, and the international influence of the journal dropped steeply." Multiple responses were attempted by the school. Scholars moved in multiple directions, covering in disconnected fashion the social, economic, and cultural history of different eras and different parts of the globe. By the time of crisis the school was building a vast publishing and research network reaching across France, Europe, and the rest of the world. Influence indeed spread out from Paris, but few new ideas came in. Much emphasis was given to quantitative data, seen as the key to unlocking all of social history. However, the Annales ignored the developments in quantitative studies underway in the U.S. and Britain, which reshaped economic, political and demographic research. Marxist historiography Marxist historiography developed as a school of historiography influenced by the chief tenets of Marxism, including the centrality of social class and economic constraints in determining historical outcomes (historical materialism). Friedrich Engels wrote The Peasant War in Germany, which analysed social warfare in early Protestant Germany in terms of emerging capitalist classes. Although it lacked a rigorous engagement with archival sources, it indicated an early interest in history from below and class analysis, and it attempts a dialectical analysis. Another treatise of Engels, The Condition of the Working Class in England in 1844, was salient in creating the socialist impetus in British politics from then on, e.g. the Fabian Society. R. H. Tawney was an early historian working in this tradition. The Agrarian Problem in the Sixteenth Century (1912) and Religion and the Rise of Capitalism (1926), reflected his ethical concerns and preoccupations in economic history. He was profoundly interested in the issue of the enclosure of land in the English countryside in the sixteenth and seventeenth centuries and in Max Weber's thesis on the connection between the appearance of Protestantism and the rise of capitalism. His belief in the rise of the gentry in the century before the outbreak of the Civil War in England provoked the 'Storm over the Gentry' in which his methods were subjected to severe criticisms by Hugh Trevor-Roper and John Cooper. Historiography in the Soviet Union was greatly influenced by Marxist historiography, as historical materialism was extended into the Soviet version of dialectical materialism. A circle of historians inside the Communist Party of Great Britain (CPGB) formed in 1946 and became a highly influential cluster of British Marxist historians, who contributed to history from below and class structure in early capitalist society. While some members of the group (most notably Christopher Hill and E. P. Thompson) left the CPGB after the 1956 Hungarian Revolution, the common points of British Marxist historiography continued in their works. They placed a great emphasis on the subjective determination of history. Christopher Hill's studies on 17th-century English history were widely acknowledged and recognised as representative of this school. His books include Puritanism and Revolution (1958), Intellectual Origins of the English Revolution (1965 and revised in 1996), The Century of Revolution (1961), AntiChrist in 17th-century England (1971), The World Turned Upside Down (1972) and many others. E. P. Thompson pioneered the study of history from below in his work, The Making of the English Working Class, published in 1963. It focused on the forgotten history of the first working-class political left in the world in the late-18th and early-19th centuries. In his preface to this book, Thompson set out his approach to writing history from below: Thompson's work was also significant because of the way he defined "class". He argued that class was not a structure, but a relationship that changed over time. He opened the gates for a generation of labor historians, such as David Montgomery and Herbert Gutman, who made similar studies of the American working classes. Other important Marxist historians included Eric Hobsbawm, C. L. R. James, Raphael Samuel, A. L. Morton and Brian Pearce. Biography Biography has been a major form of historiography since the days when Plutarch wrote the parallel lives of great Roman and Greek leaders. It is a field especially attractive to nonacademic historians, and often to the spouses or children of famous people, who have access to the trove of letters and documents. Academic historians tend to downplay biography because it pays too little attention to broad social, cultural, political and economic forces, and perhaps too much attention to popular psychology. The "Great Man" tradition in Britain originated in the multi-volume Dictionary of National Biography (which originated in 1882 and issued updates into the 1970s); it continues to this day in the new Oxford Dictionary of National Biography. In the United States, the Dictionary of American Biography was planned in the late 1920s and appeared with numerous supplements into the 1980s. It has now been displaced by the American National Biography as well as numerous smaller historical encyclopedias that give thorough coverage to Great Persons. Bookstores do a thriving business in biographies, which sell far more copies than the esoteric monographs based on post-structuralism, cultural, racial or gender history. Michael Holroyd says the last forty years "may be seen as a golden age of biography", but nevertheless calls it the "shallow end of history". Nicolas Barker argues that "more and more biographies command an ever larger readership", as he speculates that biography has come "to express the spirit of our age". Daniel R. Meister argues that: British debates Marxist historian E. H. Carr developed a controversial theory of history in his 1961 book What Is History?, which proved to be one of the most influential books ever written on the subject. He presented a middle-of-the-road position between the empirical or (Rankean) view of history and R. G. Collingwood's idealism, and rejected the empirical view of the historian's work being an accretion of "facts" that they have at their disposal as nonsense. He maintained that there is such a vast quantity of information that the historian always chooses the "facts" they decide to make
revived again in 962 when Otto I, King of Germany, was crowned emperor, fashioning himself as the successor of Charlemagne and beginning a continuous existence of the empire for over eight centuries. Some historians refer to the coronation of Charlemagne as the origin of the empire, while others prefer the coronation of Otto I as its beginning. Scholars generally concur, however, in relating an evolution of the institutions and principles constituting the empire, describing a gradual assumption of the imperial title and role. The exact term "Holy Roman Empire" was not used until the 13th century, but the Emperor's legitimacy always rested on the concept of translatio imperii, that he held supreme power inherited from the ancient emperors of Rome. The imperial office was traditionally elective through the mostly German prince-electors. During the final phase of the reign of Emperor Frederick III (ruled 1452–1493), Imperial Reform began. The reform would largely be materialized during Maximilian I's rule (from 1486 as King of the Romans, from 1493 as sole ruler, and from 1508 as Holy Roman Emperor, until his death in 1519). The Empire transformed into the Holy Roman Empire of the German nation. It was during this time that the Empire gained most of its institutions, that endured until its final demise in the nineteenth century. Thomas Brady Jr. opines that the Imperial Reform was successful, although perhaps at the expense of the reform of the Church, partly because Maximilian was not really serious about the religious matter. According to Brady Jr., the Empire, after the Imperial Reform, was a political body of remarkable longevity and stability, "resembled in some respects the monarchical polities of Europe’s western tier, and in others the loosely integrated, elective polities of East Central Europe." The new corporate German Nation, instead of simply obeying the emperor, negotiated with him. On 6 August 1806, Emperor Francis II dissolved the empire following the creation of the Confederation of the Rhine by French Emperor Napoleon I the month before. Name and general perception The Empire was considered by the Roman Catholic Church to be the only legal successor of the Roman Empire during the Middle Ages and the early modern period. Since Charlemagne, the realm was merely referred to as the Roman Empire. The term sacrum ("holy", in the sense of "consecrated") in connection with the medieval Roman Empire was used beginning in 1157 under Frederick I Barbarossa ("Holy Empire"): the term was added to reflect Frederick's ambition to dominate Italy and the Papacy. The form "Holy Roman Empire" is attested from 1254 onward. The exact term "Holy Roman Empire" was not used until the 13th century, before which the empire was referred to variously as universum regnum ("the whole kingdom", as opposed to the regional kingdoms), imperium christianum ("Christian empire"), or Romanum imperium ("Roman empire"), but the Emperor's legitimacy always rested on the concept of translatio imperii, that he held supreme power inherited from the ancient emperors of Rome. In a decree following the Diet of Cologne in 1512, the name was changed to the Holy Roman Empire of the German Nation (, ), a form first used in a document in 1474. The new title was adopted partly because the Empire lost most of its territories in Italy and Burgundy to the south and west by the late 15th century, but also to emphasize the new importance of the German Imperial Estates in ruling the Empire due to the Imperial Reform. By the end of the 18th century, the term "Holy Roman Empire of the German Nation" fell out of official use. Contradicting the traditional view concerning that designation, Hermann Weisert has argued in a study on imperial titulature that, despite the claims of many textbooks, the name "Holy Roman Empire of the German Nation" never had an official status and points out that documents were thirty times as likely to omit the national suffix as include it. In a famous assessment of the name, the political philosopher Voltaire remarked sardonically: "This body which was called and which still calls itself the Holy Roman Empire was in no way holy, nor Roman, nor an empire." In the modern period, the Empire was often informally called the German Empire () or Roman-German Empire (). After its dissolution through the end of the German Empire, it was often called "the old Empire" (). Beginning in 1923, early twentieth-century German nationalists and Nazi Party propaganda would identify the Holy Roman Empire as the "First" Reich (Erstes Reich, Reich meaning empire), with the German Empire as the "Second" Reich and what would eventually become Nazi Germany as the "Third" Reich. Until the end of the 15th century, the empire was in theory composed of three major blocks – Italy, Germany and Burgundy. Later territorially only the Kingdom of Germany and Bohemia remained, with the Burgundian territories lost to France. Although the Italian territories were formally part of the empire, the territories were ignored in the Imperial Reform and splintered into numerous de facto independent territorial entities. The status of Italy in particular varied throughout the 16th to 18th centuries. Some territories like Piedmont-Savoy became increasingly independent, while others became more dependent due to the extinction of their ruling noble houses causing these territories to often fall under the dominions of the Habsburgs and their cadet branches. Barring the loss of Franche-Comté in 1678, the external borders of the Empire did not change noticeably from the Peace of Westphalia – which acknowledged the exclusion of Switzerland and the Northern Netherlands, and the French protectorate over Alsace – to the dissolution of the Empire. At the conclusion of the Napoleonic Wars in 1815, most of the Holy Roman Empire was included in the German Confederation, with the main exceptions being the Italian states. History Early Middle Ages Carolingian period As Roman power in Gaul declined during the 5th century, local Germanic tribes assumed control. In the late 5th and early 6th centuries, the Merovingians, under Clovis I and his successors, consolidated Frankish tribes and extended hegemony over others to gain control of northern Gaul and the middle Rhine river valley region. By the middle of the 8th century, however, the Merovingians were reduced to figureheads, and the Carolingians, led by Charles Martel, became the de facto rulers. In 751, Martel's son Pepin became King of the Franks, and later gained the sanction of the Pope. The Carolingians would maintain a close alliance with the Papacy. In 768, Pepin's son Charlemagne became King of the Franks and began an extensive expansion of the realm. He eventually incorporated the territories of present-day France, Germany, northern Italy, the Low Countries and beyond, linking the Frankish kingdom with Papal lands. Although antagonism about the expense of Byzantine domination had long persisted within Italy, a political rupture was set in motion in earnest in 726 by the iconoclasm of Emperor Leo III the Isaurian, in what Pope Gregory II saw as the latest in a series of imperial heresies. In 797, the Eastern Roman Emperor Constantine VI was removed from the throne by his mother Irene who declared herself Empress. As the Latin Church only regarded a male Roman Emperor as the head of Christendom, Pope Leo III sought a new candidate for the dignity, excluding consultation with the Patriarch of Constantinople. Charlemagne's good service to the Church in his defense of Papal possessions against the Lombards made him the ideal candidate. On Christmas Day of 800, Pope Leo III crowned Charlemagne emperor, restoring the title in the West for the first time in over three centuries. This can be seen as symbolic of the papacy turning away from the declining Byzantine Empire towards the new power of Carolingian Francia. Charlemagne adopted the formula Renovatio imperii Romanorum ("renewal of the Roman Empire"). In 802, Irene was overthrown and exiled by Nikephoros I and henceforth there were two Roman Emperors. After Charlemagne died in 814, the imperial crown passed to his son, Louis the Pious. Upon Louis' death in 840, it passed to his son Lothair, who was his co-ruler. By this point the territory of Charlemagne was divided into several territories (cf. Treaty of Verdun, Treaty of Prüm, Treaty of Meerssen and Treaty of Ribemont), and over the course of the later ninth century the title of Emperor was disputed by the Carolingian rulers of Western Francia and Eastern Francia, with first the western king (Charles the Bald) and then the eastern (Charles the Fat), who briefly reunited the Empire, attaining the prize. In the ninth century, Charlemagne and his successors promoted the intellectual revival, known as the Carolingian Renaissance. Some, like Mortimer Chambers, opines that the Carolingian Renaissance made possible the subsequent renaissances (even though by the early tenth century, the revival already diminished). After the death of Charles the Fat in 888 the Carolingian Empire broke apart, and was never restored. According to Regino of Prüm, the parts of the realm "spewed forth kinglets", and each part elected a kinglet "from its own bowels". After the death of Charles the Fat, those crowned emperor by the pope controlled only territories in Italy. The last such emperor was Berengar I of Italy, who died in 924. Formation of the Holy Roman Empire Around 900, autonomous stem duchies (Franconia, Bavaria, Swabia, Saxony, and Lotharingia) reemerged in East Francia. After the Carolingian king Louis the Child died without issue in 911, East Francia did not turn to the Carolingian ruler of West Francia to take over the realm but instead elected one of the dukes, Conrad of Franconia, as Rex Francorum Orientalium. On his deathbed, Conrad yielded the crown to his main rival, Henry the Fowler of Saxony (r. 919–36), who was elected king at the Diet of Fritzlar in 919. Henry reached a truce with the raiding Magyars, and in 933 he won a first victory against them in the Battle of Riade. Henry died in 936, but his descendants, the Liudolfing (or Ottonian) dynasty, would continue to rule the Eastern kingdom for roughly a century. Upon Henry the Fowler's death, Otto, his son and designated successor, was elected King in Aachen in 936. He overcame a series of revolts from a younger brother and from several dukes. After that, the king managed to control the appointment of dukes and often also employed bishops in administrative affairs. He replaced leaders of most of the major East Frankish duchies with his own relatives. At the same time, he was careful as to prevent member of his own family from making infringements on his royal prerogatives. In 951, Otto came to the aid of Adelaide, the widowed queen of Italy, defeating her enemies, marrying her, and taking control over Italy. In 955, Otto won a decisive victory over the Magyars in the Battle of Lechfeld. In 962, Otto was crowned emperor by Pope John XII, thus intertwining the affairs of the German kingdom with those of Italy and the Papacy. Otto's coronation as Emperor marked the German kings as successors to the Empire of Charlemagne, which through the concept of translatio imperii, also made them consider themselves as successors to Ancient Rome. The flowering of arts beginning with Otto the Great's reign is known as the Ottonian Renaissance, centered in Germany but also happening in Northern Italy and France. In 963, Otto deposed the current Pope John XII and chose Pope Leo VIII as the new pope (although John XII and Leo VIII both claimed the papacy until 964 when John XII died). This also renewed the conflict with the Eastern Emperor in Constantinople, especially after Otto's son Otto II (r. 967–83) adopted the designation imperator Romanorum. Still, Otto II formed marital ties with the east when he married the Byzantine princess Theophanu. Their son, Otto III, came to the throne only three years old, and was subjected to a power struggle and series of regencies until his age of majority in 994. Up to that time, he remained in Germany, while a deposed duke, Crescentius II, ruled over Rome and part of Italy, ostensibly in his stead. In 996 Otto III appointed his cousin Gregory V the first German Pope. A foreign pope and foreign papal officers were seen with suspicion by Roman nobles, who were led by Crescentius II to revolt. Otto III's former mentor Antipope John XVI briefly held Rome, until the Holy Roman Emperor seized the city. Otto died young in 1002, and was succeeded by his cousin Henry II, who focused on Germany. Henry II died in 1024 and Conrad II, first of the Salian dynasty, was elected king only after some debate among dukes and nobles. This group eventually developed into the college of Electors. The Holy Roman Empire eventually came to be composed of four kingdoms. The kingdoms were: Kingdom of Germany (part of the empire since 962), Kingdom of Italy (from 962 until 1801), Kingdom of Bohemia (from 1002 as the Duchy of Bohemia and raised to a kingdom in 1198), Kingdom of Burgundy (from 1032 to 1378). High Middle Ages Investiture controversy Kings often employed bishops in administrative affairs and often determined who would be appointed to ecclesiastical offices. In the wake of the Cluniac Reforms, this involvement was increasingly seen as inappropriate by the Papacy. The reform-minded Pope Gregory VII was determined to oppose such practices, which led to the Investiture Controversy with Henry IV (r. 1056–1106), the King of the Romans and Holy Roman Emperor. Henry IV repudiated the Pope's interference and persuaded his bishops to excommunicate the Pope, whom he famously addressed by his born name "Hildebrand", rather than his regnal name "Pope Gregory VII". The Pope, in turn, excommunicated the king, declared him deposed, and dissolved the oaths of loyalty made to Henry. The king found himself with almost no political support and was forced to make the famous Walk to Canossa in 1077, by which he achieved a lifting of the excommunication at the price of humiliation. Meanwhile, the German princes had elected another king, Rudolf of Swabia. Henry managed to defeat Rudolf, but was subsequently confronted with more uprisings, renewed excommunication, and even the rebellion of his sons. After his death, his second son, Henry V, reached an agreement with the Pope and the bishops in the 1122 Concordat of Worms. The political power of the Empire was maintained, but the conflict had demonstrated the limits of the ruler's power, especially in regard to the Church, and it robbed the king of the sacral status he had previously enjoyed. The Pope and the German princes had surfaced as major players in the political system of the empire. Ostsiedlung As the result of Ostsiedlung, less-populated regions of Central Europe (i.e. sparsely populated border areas in present-day Poland and the Czech Republic) received a significant number of German speakers. Silesia became part of the Holy Roman Empire as the result of the local Piast dukes' push for autonomy from the Polish Crown. From the late 12th century, the Duchy of Pomerania was under the suzerainty of the Holy Roman Empire and the conquests of the Teutonic Order made that region German-speaking. Hohenstaufen dynasty When the Salian dynasty ended with Henry V's death in 1125, the princes chose not to elect the next of kin, but rather Lothair, the moderately powerful but already old Duke of Saxony. When he died in 1137, the princes again aimed to check royal power; accordingly they did not elect Lothair's favoured heir, his son-in-law Henry the Proud of the Welf family, but Conrad III of the Hohenstaufen family, the grandson of Emperor Henry IV and thus a nephew of Emperor Henry V. This led to over a century of strife between the two houses. Conrad ousted the Welfs from their possessions, but after his death in 1152, his nephew Frederick I "Barbarossa" succeeded him and made peace with the Welfs, restoring his cousin Henry the Lion to his – albeit diminished – possessions. The Hohenstaufen rulers increasingly lent land to ministerialia, formerly non-free servicemen, who Frederick hoped would be more reliable than dukes. Initially used mainly for war services, this new class of people would form the basis for the later knights, another basis of imperial power. A further important constitutional move at Roncaglia was the establishment of a new peace mechanism for the entire empire, the Landfrieden, with the first imperial one being issued in 1103 under Henry IV at Mainz. This was an attempt to abolish private feuds, between the many dukes and other people, and to tie the emperor's subordinates to a legal system of jurisdiction and public prosecution of criminal acts – a predecessor of the modern concept of "rule of law". Another new concept of the time was the systematic founding of new cities by the Emperor and by the local dukes. These were partly a result of the explosion in population; they also concentrated economic power at strategic locations. Before this, cities had only existed in the form of old Roman foundations or older bishoprics. Cities that were founded in the 12th century include Freiburg, possibly the economic model for many later cities, and Munich. Frederick I, also called Frederick Barbarossa, was crowned emperor in 1155. He emphasized the "Romanness" of the empire, partly in an attempt to justify the power of the emperor independent of the (now strengthened) pope. An imperial assembly at the fields of Roncaglia in 1158 reclaimed imperial rights in reference to Justinian I's Corpus Juris Civilis. Imperial rights had been referred to as regalia since the Investiture Controversy but were enumerated for the first time at Roncaglia. This comprehensive list included public roads, tariffs, coining, collecting punitive fees, and the seating and unseating of office-holders. These rights were now explicitly rooted in Roman law, a far-reaching constitutional act. Frederick's policies were primarily directed at Italy, where he clashed with the increasingly wealthy and free-minded cities of the north, especially Milan. He also embroiled himself in another conflict with the Papacy by supporting a candidate elected by a minority against Pope Alexander III (1159–81). Frederick supported a succession of antipopes before finally making peace with Alexander in 1177. In Germany, the Emperor had repeatedly protected Henry the Lion against complaints by rival princes or cities (especially in the cases of Munich and Lübeck). Henry gave only lackluster support to Frederick's policies, and, in a critical situation during the Italian wars, Henry refused the Emperor's plea for military support. After returning to Germany, an embittered Frederick opened proceedings against the Duke, resulting in a public ban and the confiscation of all Henry's territories. In 1190, Frederick participated in the Third Crusade, dying in the Armenian Kingdom of Cilicia. During the Hohenstaufen period, German princes facilitated a successful, peaceful eastward settlement of lands that were uninhabited or inhabited sparsely by West Slavs. German-speaking farmers, traders, and craftsmen from the western part of the Empire, both Christians and Jews, moved into these areas. The gradual Germanization of these lands was a complex phenomenon that should not be interpreted in the biased terms of 19th-century nationalism. The eastward settlement expanded the influence of the empire to include Pomerania and Silesia, as did the intermarriage of the local, still mostly Slavic, rulers with German spouses. The Teutonic Knights were invited to Prussia by Duke Konrad of Masovia to Christianize the Prussians in 1226. The monastic state of the Teutonic Order () and its later German successor state of Prussia were never part of the Holy Roman Empire. Under the son and successor of Frederick Barbarossa, Henry VI, the Hohenstaufen dynasty reached its apex. Henry added the Norman kingdom of Sicily to his domains, held English king Richard the Lionheart captive, and aimed to establish a hereditary monarchy when he died in 1197. As his son, Frederick II, though already elected king, was still a small child and living in Sicily, German princes chose to elect an adult king, resulting in the dual election of Frederick Barbarossa's youngest son Philip of Swabia and Henry the Lion's son Otto of Brunswick, who competed for the crown. Otto prevailed for a while after Philip was murdered in a private squabble in 1208 until he began to also claim Sicily. Pope Innocent III, who feared the threat posed by a union of the empire and Sicily, was now supported by Frederick II, who marched to Germany and defeated Otto. After his victory, Frederick did not act upon his promise to keep the two realms separate. Though he had made his son Henry king of Sicily before marching on Germany, he still reserved real political power for himself. This continued after Frederick was crowned Emperor in 1220. Fearing Frederick's concentration of power, the Pope finally excommunicated him. Another point of contention was the Crusade, which Frederick had promised but repeatedly postponed. Now, although excommunicated, Frederick led the Sixth Crusade in 1228, which ended in negotiations and a temporary restoration of the Kingdom of Jerusalem. Despite his imperial claims, Frederick's rule was a major turning point towards the disintegration of central rule in the Empire. While concentrated on establishing a modern, centralized state in Sicily, he was mostly absent from Germany and issued far-reaching privileges to Germany's secular and ecclesiastical princes: in the 1220 Confoederatio cum principibus ecclesiasticis, Frederick gave up a number of regalia in favour of the bishops, among them tariffs, coining, and fortification. The 1232 Statutum in favorem principum mostly extended these privileges to secular territories. Although many of these privileges had existed earlier, they were now granted globally, and once and for all, to allow the German princes to maintain order north of the Alps while Frederick concentrated on Italy. The 1232 document marked the first time that the German dukes were called domini terræ, owners of their lands, a remarkable change in terminology as well. Kingdom of Bohemia The Kingdom of Bohemia was a significant regional power during the Middle Ages. In 1212, King Ottokar I (bearing the title "king" since 1198) extracted a Golden Bull of Sicily (a formal edict) from the emperor Frederick II, confirming the royal title for Ottokar and his descendants, and the Duchy of Bohemia was raised to a kingdom. Bohemian kings would be exempt from all future obligations to the Holy Roman Empire except for participation in the imperial councils. Charles IV set Prague to be the seat of the Holy Roman Emperor. Interregnum After the death of Frederick II in 1250, the German kingdom was divided between his son Conrad IV (died 1254) and the anti-king, William of Holland (died 1256). Conrad's death was followed by the Interregnum, during which no king could achieve universal recognition, allowing the princes to consolidate their holdings and become even more independent as rulers. After 1257, the crown was contested between Richard of Cornwall, who was supported by the Guelph party, and Alfonso X of Castile, who was recognized by the Hohenstaufen party but never set foot on German soil. After
result. For James D.Tracy, it was the polycentric character of the European civilization that made it hard to maintain "a dynasty whose territories bestrode the continent from the Low Countries to Sicily and from Spain to Hungary—not to mention Spain's overseas possessions". Others point out the religious tensions, fiscal problems and obstruction from external forces including France and the Ottomans. On a more personal level, Charles failed to persuade the German princes to support his son Philip, whose "awkward and withdrawn character and lack of German language skills doomed this enterprise to failure". Before Charles's reign in the Holy Roman Empire began, in 1517, Martin Luther launched what would later be known as the Reformation. The empire then became divided along religious lines, with the north, the east, and many of the major cities – Strasbourg, Frankfurt, and Nuremberg – becoming Protestant while the southern and western regions largely remained Catholic. At the beginning of Charles's reign, another Reichsregiment was set up again (1522), although Charles declared that he would only tolerate it in his absence and its chairman had to be a representative of his. Charles V was absent in Germany from 1521 to 1530. Similar to the one set up in the early 1500s, the Reichsregiment failed to create a federal authority independent of the emperor, due to the unsteady participation and differences between princes. Charles V defeated the Protestant princes in 1547 in the Schmalkaldic War, but the momentum was lost and the Protestant estates were able to survive politically despite military defeat. In the 1555 Peace of Augsburg, Charles V, through his brother Ferdinand, officially recognized the right of rulers to choose Catholicism or Lutheranism (Zwinglians, Calvinists and radicals were not included). In 1555, Paul IV was elected pope and took the side of France, whereupon an exhausted Charles finally gave up his hopes of a world Christian empire. Baroque period Germany would enjoy relative peace for the next six decades. On the eastern front, the Turks continued to loom large as a threat, although war would mean further compromises with the Protestant princes, and so the Emperor sought to avoid it. In the west, the Rhineland increasingly fell under French influence. After the Dutch revolt against Spain erupted, the Empire remained neutral, de facto allowing the Netherlands to depart the empire in 1581, a secession acknowledged in 1648. A side effect was the Cologne War, which ravaged much of the upper Rhine. After Ferdinand died in 1564, his son Maximilian II became Emperor, and like his father accepted the existence of Protestantism and the need for occasional compromise with it. Maximilian was succeeded in 1576 by Rudolf II, who preferred classical Greek philosophy to Christianity and lived an isolated existence in Bohemia. He became afraid to act when the Catholic Church was forcibly reasserting control in Austria and Hungary, and the Protestant princes became upset over this. Imperial power sharply deteriorated by the time of Rudolf's death in 1612. When Bohemians rebelled against the Emperor, the immediate result was the series of conflicts known as the Thirty Years' War (1618–48), which devastated the Empire. Foreign powers, including France and Sweden, intervened in the conflict and strengthened those fighting Imperial power, but also seized considerable territory for themselves. The long conflict so bled the Empire that it never recovered its strength. The actual end of the empire came in several steps. The Peace of Westphalia in 1648, which ended the Thirty Years' War, gave the territories almost complete independence. Calvinism was now allowed, but Anabaptists, Arminians and other Protestant communities would still lack any support and continue to be persecuted well until the end of the Empire. The Swiss Confederation, which had already established quasi-independence in 1499, as well as the Northern Netherlands, left the Empire. The Habsburg Emperors focused on consolidating their own estates in Austria and elsewhere. At the Battle of Vienna (1683), the Army of the Holy Roman Empire, led by the Polish King John III Sobieski, decisively defeated a large Turkish army, stopping the western Ottoman advance and leading to the eventual dismemberment of the Ottoman Empire in Europe. The army was one third forces of the Polish–Lithuanian Commonwealth and two thirds forces of the Holy Roman Empire. Modern period Prussia and Austria By the rise of Louis XIV, the Habsburgs were chiefly dependent on their hereditary lands to counter the rise of Prussia, which possessed territories inside the Empire. Throughout the 18th century, the Habsburgs were embroiled in various European conflicts, such as the War of the Spanish Succession (1701–1714), the War of the Polish Succession (1733–1735), and the War of the Austrian Succession (1740–1748). The German dualism between Austria and Prussia dominated the empire's history after 1740. French Revolutionary Wars and final dissolution From 1792 onwards, revolutionary France was at war with various parts of the Empire intermittently. The German mediatization was the series of mediatizations and secularizations that occurred between 1795 and 1814, during the latter part of the era of the French Revolution and then the Napoleonic Era. "Mediatization" was the process of annexing the lands of one imperial estate to another, often leaving the annexed some rights. For example, the estates of the Imperial Knights were formally mediatized in 1806, having de facto been seized by the great territorial states in 1803 in the so-called Rittersturm. "Secularization" was the abolition of the temporal power of an ecclesiastical ruler such as a bishop or an abbot and the annexation of the secularized territory to a secular territory. The empire was dissolved on 6 August 1806, when the last Holy Roman Emperor Francis II (from 1804, Emperor Francis I of Austria) abdicated, following a military defeat by the French under Napoleon at Austerlitz (see Treaty of Pressburg). Napoleon reorganized much of the Empire into the Confederation of the Rhine, a French satellite. Francis' House of Habsburg-Lorraine survived the demise of the empire, continuing to reign as Emperors of Austria and Kings of Hungary until the Habsburg empire's final dissolution in 1918 in the aftermath of World War I. The Napoleonic Confederation of the Rhine was replaced by a new union, the German Confederation in 1815, following the end of the Napoleonic Wars. It lasted until 1866 when Prussia founded the North German Confederation, a forerunner of the German Empire which united the German-speaking territories outside of Austria and Switzerland under Prussian leadership in 1871. This state developed into modern Germany. The only princely member states of the Holy Roman Empire that have preserved their status as monarchies until today are the Grand Duchy of Luxembourg and the Principality of Liechtenstein. The only Free Imperial Cities still existing as states within Germany are Hamburg and Bremen. All other historic member states of the Holy Roman Empire were either dissolved or have adopted republican systems of government. Institutions The Holy Roman Empire was neither a centralized state nor a nation-state. Instead, it was divided into dozens – eventually hundreds – of individual entities governed by kings, dukes, counts, bishops, abbots, and other rulers, collectively known as princes. There were also some areas ruled directly by the Emperor. From the High Middle Ages onwards, the Holy Roman Empire was marked by an uneasy coexistence with the princes of the local territories who were struggling to take power away from it. To a greater extent than in other medieval kingdoms such as France and England, the emperors were unable to gain much control over the lands that they formally owned. Instead, to secure their own position from the threat of being deposed, emperors were forced to grant more and more autonomy to local rulers, both nobles and bishops. This process began in the 11th century with the Investiture Controversy and was more or less concluded with the 1648 Peace of Westphalia. Several Emperors attempted to reverse this steady dilution of their authority but were thwarted both by the papacy and by the princes of the Empire. Imperial estates The number of territories represented in the Imperial Diet was considerable, numbering about 300 at the time of the Peace of Westphalia. Many of these Kleinstaaten ("little states") covered no more than a few square miles, and/or included several non-contiguous pieces, so the Empire was often called a Flickenteppich ("patchwork carpet"). An entity was considered a Reichsstand (imperial estate) if, according to feudal law, it had no authority above it except the Holy Roman Emperor himself. The imperial estates comprised: Territories ruled by a hereditary nobleman, such as a prince, archduke, duke, or count. Territories in which secular authority was held by an ecclesiastical dignitary, such as an archbishop, bishop, or abbot. Such an ecclesiastic or Churchman was a prince of the Church. In the common case of a prince-bishop, this temporal territory (called a prince-bishopric) frequently overlapped with his often larger ecclesiastical diocese, giving the bishop both civil and ecclesiastical powers. Examples are the prince-archbishoprics of Cologne, Trier, and Mainz. Free imperial cities and Imperial villages, which were subject only to the jurisdiction of the emperor. The scattered estates of the free Imperial Knights and Imperial Counts, immediate subject to the Emperor but unrepresented in the Imperial Diet. A sum total of 1,500 Imperial estates has been reckoned. For a list of Reichsstände in 1792, see List of Imperial Diet participants (1792). The most powerful lords of the later empire were the Austrian Habsburgs, who ruled of land within the Empire in the first half of the 17th century, mostly in modern-day Austria and Czechia. At the same time the lands ruled by the electors of Saxony, Bavaria, and Brandenburg (prior to the acquisition of Prussia) were all close to ; the Duke of Brunswick-Lüneburg (later the Elector of Hanover) had a territory around the same size. These were the largest of the German realms. The Elector of the Palatinate had significantly less at , and the ecclesiastical Electorates of Mainz, Cologne, and Trier were much smaller, with around . Just larger than them, with roughly , were the Duchy of Württemberg, the Landgraviate of Hessen-Kassel, and the Duchy of Mecklenburg-Schwerin. They were roughly matched in size by the prince-bishoprics of Salzburg and Münster. The majority of the other German territories, including the other prince-bishoprics, were under , the smallest being those of the Imperial Knights; around 1790 the Knights consisted of 350 families ruling a total of only collectively. Imperial Italy was more centralized, most of it c. 1600 being divided between Savoy (Savoy, Piedmont, Nice, Aosta), the Grand Duchy of Tuscany (Tuscany, bar Lucca), the Republic of Genoa (Liguria, Corisca), the duchies of Modena-Reggio and Parma-Piacenza (Emilia), and the Spanish Duchy of Milan (most of Lombardy), each with between half a million and one and a half million people. The Low Countries were also more coherent than Germany, being entirely under the dominion of the Spanish Netherlands as part of the Burgundian Circle, at least nominally. King of the Romans A prospective Emperor first had to be elected King of the Romans (Latin: Rex Romanorum; German: römischer König). German kings had been elected since the 9th century; at that point they were chosen by the leaders of the five most important tribes (the Salian Franks of Lorraine, Ripuarian Franks of Franconia, Saxons, Bavarians, and Swabians). In the Holy Roman Empire, the main dukes and bishops of the kingdom elected the King of the Romans. The imperial throne was transferred by election, but Emperors often ensured their own sons were elected during their lifetimes, enabling them to keep the crown for their families. This only changed after the end of the Salian dynasty in the 12th century. In 1356, Emperor Charles IV issued the Golden Bull, which limited the electors to seven: the King of Bohemia, the Count Palatine of the Rhine, the Duke of Saxony, the Margrave of Brandenburg, and the archbishops of Cologne, Mainz, and Trier. During the Thirty Years' War, the Duke of Bavaria was given the right to vote as the eighth elector, and the Duke of Brunswick-Lüneburg (colloquially, Hanover) was granted a ninth electorate; additionally, the Napoleonic Wars resulted in several electorates being reallocated, but these new electors never voted before the Empire's dissolution. A candidate for election would be expected to offer concessions of land or money to the electors in order to secure their vote. After being elected, the King of the Romans could theoretically claim the title of "Emperor" only after being crowned by the Pope. In many cases, this took several years while the King was held up by other tasks: frequently he first had to resolve conflicts in rebellious northern Italy or was quarreling with the Pope himself. Later Emperors dispensed with the papal coronation altogether, being content with the styling Emperor-Elect: the last Emperor to be crowned by the Pope was Charles V in 1530. The Emperor had to be male and of noble blood. No law required him to be a Catholic, but as the majority of the Electors adhered to this faith, no Protestant was ever elected. Whether and to what degree he had to be German was disputed among the Electors, contemporary experts in constitutional law, and the public. During the Middle Ages, some Kings and Emperors were not of German origin, but since the Renaissance, German heritage was regarded as vital for a candidate in order to be eligible for imperial office. Imperial Diet (Reichstag) The Imperial Diet (Reichstag, or Reichsversammlung) was not a legislative body as is understood today, as its members envisioned it to be more like a central forum, where it was more important to negotiate than to decide. The Diet was theoretically superior to the emperor himself. It was divided into three classes. The first class, the Council of Electors, consisted of the electors, or the princes who could vote for King of the Romans. The second class, the Council of Princes, consisted of the other princes. The Council of Princes was divided into two "benches", one for secular rulers and one for ecclesiastical ones. Higher-ranking princes had individual votes, while lower-ranking princes were grouped into "colleges" by geography. Each college had one vote. The third class was the Council of Imperial Cities, which was divided into two colleges: Swabia and the Rhine. The Council of Imperial Cities was not fully equal with the others; it could not vote on several matters such as the admission of new territories. The representation of the Free Cities at the Diet had become common since the late Middle Ages. Nevertheless, their participation was formally acknowledged only as late as 1648 with the Peace of Westphalia ending the Thirty Years' War. Imperial courts The Empire also had two courts: the Reichshofrat (also known in English as the Aulic Council) at the court of the King/Emperor, and the Reichskammergericht (Imperial Chamber Court), established with the Imperial Reform of 1495 by Maximillian I. The Reichskammergericht and the Auclic Council were the two highest judicial instances in the Old Empire. The Imperial Chamber court's composition was determined by both the Holy Roman Emperor and the subject states of the Empire. Within this court, the Emperor appointed the chief justice, always a highborn aristocrat, several divisional chief judges, and some of the other puisne judges. The Aulic Council held standing over many judicial disputes of state, both in concurrence with the Imperial Chamber court and exclusively on their own. The provinces Imperial Chamber Court extended to breaches of the public peace, cases of arbitrary distraint or imprisonment, pleas which concerned the treasury, violations of the Emperor's decrees or the laws passed by the Imperial Diet, disputes about property between immediate tenants of the Empire or the subjects of different rulers, and finally suits against immediate tenants of the Empire, with the exception of criminal charges and matters relating to imperial fiefs, which went to the Aulic Council. The Aulic Council even allowed the emperors the means to depose rulers who did not live up to expectations. Imperial circles As part of the Imperial Reform, six Imperial Circles were established in 1500; four more were established in 1512. These were regional groupings of most (though not all) of the various states of the Empire for the purposes of defense, imperial taxation, supervision of coining, peace-keeping functions, and public security. Each circle had its own parliament, known as a Kreistag ("Circle Diet"), and one or more directors, who coordinated the affairs of the circle. Not all imperial territories were included within the imperial circles, even after 1512; the Lands of the Bohemian Crown were excluded, as were Switzerland, the imperial fiefs in northern Italy, the lands of the Imperial Knights, and certain other small territories like the Lordship of Jever. Army The Army of the Holy Roman Empire (German Reichsarmee, Reichsheer or Reichsarmatur; Latin exercitus imperii) was created in 1422 and as a result of the Napoleonic Wars came to an end even before the Empire. It must not be confused with the Imperial Army (Kaiserliche Armee) of the Emperor. Despite appearances to the contrary, the Army of the Empire did not constitute a permanent standing army that was always at the ready to fight for the Empire. When there was danger, an Army of the Empire was mustered from among the elements constituting it, in order to conduct an imperial military campaign or Reichsheerfahrt. In practice, the imperial troops often had local allegiances stronger than their loyalty to the Emperor. Administrative centres Throughout the first half of its history the Holy Roman Empire was reigned by a travelling court. Kings and emperors toured between the numerous Kaiserpfalzes (Imperial palaces), usually resided for several weeks or months and furnished local legal matters, law and administration. Most rulers maintained one or a number of favourites Imperial palace sites, where they would advance development and spent most of their time: Charlemagne (Aachen from 794), Otto I (Magdeburg, from 955), Frederick II (Palermo 1220–1254), Wittelsbacher (Munich 1328–1347 and 1744–1745), Habsburger (Prague 1355–1437 and 1576–1611; and Vienna 1438–1576, 1611–1740 and 1745–1806). This practice eventually ended during the 16th century, as the emperors of the Habsburg dynasty chose Vienna and Prague and the Wittelsbach rulers chose Munich as their permanent residences (Maximilian I's "true home" was still "the stirrup, the overnight rest and the saddle", although Innsbruck was probably his most important base; Charles V was also a nomadic emperor). Vienna became Imperial capital during the 1550s under Ferdinand I (reigned 1556–1564). Except for a period under Rudolf II (reigned 1570–1612) who moved to Prague, Vienna kept its primacy under his successors. Before that, certain sites served only as the individual residence for a particular sovereign. A number of cities held official status, where the Imperial Estates would summon at Imperial Diets, the deliberative assembly of the empire. The Imperial Diet (Reichstag) resided variously in Paderborn, Bad Lippspringe, Ingelheim am Rhein, Diedenhofen (now Thionville), Aachen, Worms, Forchheim, Trebur, Fritzlar, Ravenna, Quedlinburg, Dortmund, Verona, Minden, Mainz, Frankfurt am Main, Merseburg, Goslar, Würzburg, Bamberg, Schwäbisch Hall, Augsburg, Nuremberg, Quierzy-sur-Oise, Speyer, Gelnhausen, Erfurt, Eger (now Cheb), Esslingen, Lindau, Freiburg, Cologne, Konstanz and Trier before it was moved permanently to Regensburg. Until the 15th century the elected emperor was crowned and anointed by the Pope in Rome, among some exceptions in Ravenna, Bologna and Reims. Since 1508 (emperor Maximilian I) Imperial elections took place in Frankfurt am Main, Augsburg, Rhens, Cologne or Regensburg. In December 1497 the Aulic Council (Reichshofrat) was established in Vienna. In 1495 the Reichskammergericht was established, which variously resided in Worms, Augsburg, Nuremberg, Regensburg, Speyer and Esslingen before it was moved permanently to Wetzlar. Foreign relations The Habsburg royal family had its own diplomats to represent its interests. The larger principalities in the Holy Roman Empire, beginning around 1648, also did the same. The Holy Roman Empire did not have its own dedicated ministry of foreign affairs and therefore the Imperial Diet had no control over these diplomats; occasionally the Diet criticised them. When Regensburg served as the site of the Diet, France and, in the late 1700s, Russia, had diplomatic representatives there. Denmark, Great Britain, and Sweden had land holdings in Germany and so had representation in the Diet itself. The Netherlands also had envoys in Regensburg. Regensburg was the place where envoys met as it was where representatives of the Diet could be reached. Demographics Population Overall population figures for the Holy Roman Empire are extremely vague and vary widely. The empire of Charlemagne may have had as many as 20 million people. Given the political fragmentation of the later Empire, there were no central agencies that could compile such figures. Nevertheless, it is believed the demographic disaster of the Thirty Years War meant that the population of the Empire in the early 17th century was similar to what it was in the early 18th century; by one estimate, the Empire didn't exceed 1618 levels of population until 1750. In the early 17th century, the electors held under their rule the following number of Imperial subjects: Habsburg monarchy: 5,350,000 (including 3 million in the Bohemian crown lands)Wilson, p. 788 Electorate of Saxony: 1,200,000 Duchy of Bavaria (later Electorate of Bavaria): 800,000 Electoral Palatinate: 600,000 Electorate of Brandenburg: 350,000 Electorates of Mainz, Trier, and Cologne: 300–400,000 altogether While not electors, the Spanish Habsburgs had the second highest number of subjects within the Empire after the Austrian Habsburgs, with over 3 million in the early 17th century in the Burgundian Circle and Duchy of Milan. Peter Wilson estimates the Empire's population at 25 million in 1700, of whom 5 million lived in Imperial Italy. By 1800 he estimates the Empire's population at 29 million (excluding Italy), with another 12.6 million held by the Austrians and Prussians outside of the Empire. According to an overgenerous contemporary estimate of the Austrian War Archives for the first decade of the 18th century, the Empire—including Bohemia and the Spanish Netherlands—had a population of close to 28 million with a breakdown as follows: 65 ecclesiastical states with 14 percent of the total land area and 12 percent of the population; 45 dynastic principalities with 80 percent of the land and 80 percent of the population; 60 dynastic counties and lordships with 3 percent of the land and 3.5 percent of the population; 60 imperial towns with 1 percent of the land and 3.5 percent of the population; Imperial knights' territories, numbering into the several hundreds, with 2 percent of the land and 1 percent of the population. German demographic historians have traditionally worked on estimates of the population of the Holy Roman Empire based on assumed population within the frontiers of Germany in 1871 or 1914. More recent estimates use less outdated criteria, but they remain guesswork. One estimate based on the frontiers of Germany in 1870 gives a population of some 15–17 million around 1600, declined to 10–13 million around 1650 (following the Thirty Years' War). Other historians who work on estimates of the population of the early modern Empire suggest the population declined from 20 million to some 16–17 million by 1650. A credible estimate for 1800 gives 27–28 million inhabitants for the Empire (which at this point had already lost the remaining Low Countries, Italy, and the Left Bank of the Rhine in the 1797 Treaty of Campo Fornio) with an overall breakdown as follows: 9 million Austrian subjects (including Silesia, Bohemia and Moravia); 4 million Prussian subjects; 14–15 million inhabitants for the rest of the Empire. There are also numerous estimates for the Italian states that were formally part of the Empire: Largest cities Largest cities or towns of the Empire by year: 1050: Regensburg 40,000 people. Rome 35,000. Mainz 30,000. Speyer 25,000. Cologne 21,000. Trier 20,000. Worms 20,000. Lyon 20,000. Verona 20,000. Florence 15,000. 1300–1350: Prague 77,000 people. Cologne 54,000 people. Aachen 21,000 people. Magdeburg 20,000 people. Nuremberg 20,000 people. Vienna 20,000 people. Danzig (now Gdańsk) 20,000 people. Straßburg (now Strasbourg) 20,000 people. Lübeck 15,000 people. Regensburg 11,000 people. 1500: Prague 70,000. Cologne 45,000. Nuremberg 38,000. Augsburg 30,000. Danzig (now Gdańsk) 30,000. Lübeck 25,000. Breslau (now Wrocław) 25,000. Regensburg 22,000. Vienna 20,000. Straßburg (now Strasbourg) 20,000. Magdeburg 18,000. Ulm 16,000. Hamburg 15,000. 1600: Milan 130,000. Prague 100,000. Vienna 50,000. Augsburg 45,000. Cologne 40,000. Nuremberg 40,000. Hamburg 40,000. Magdeburg 40,000. Breslau (now Wrocław) 40,000. Straßburg (now Strasbourg) 25,000. Lübeck 23,000. Ulm 21,000. Regensburg 20,000. Frankfurt am Main 20,000.
a holiday may only be nominally observed. For example, many people in England treat Bank Holiday as a "working holiday", changing very little of their daily routines for this day. The word holiday has differing connotations in different regions. In the United States the word is used exclusively to refer to the nationally, religiously or culturally observed day(s) of rest or celebration, or the events themselves, whereas in the United Kingdom and other Commonwealth nations, the word may refer to the period of time where leave from one's duties has been agreed, and is used as a synonym to the US preferred vacation. This time is usually set aside for rest, travel or the participation in recreational activities, with entire industries targeted to coincide or enhance these experiences. The days of leave may not coincide with any specific customs or laws. Employers and educational institutes may designate ‘holidays’ themselves which may or may not overlap nationally or culturally relevant dates, which again comes under this connotation, but it is the first implication detailed that this article is concerned with. Etymology The word holiday comes from the Old English word hāligdæg (hālig "holy" + dæg "day"). The word originally referred only to special religious days. The modern use varies geographically. In North America, it means any dedicated day or period of celebration. In the United Kingdom, Australia and New Zealand, holiday is often used instead of the word vacation. Types of holiday (observance) National holidays Sovereign nations and territories observe holidays based on events of significance to their history. For example, the American Independence Day celebrates the signing of the Declaration of Independence in 1776. Other secular holidays Other secular (non-religious) holidays are observed nationally, internationally (often in conjunction with organizations such as the United Nations), and across multi-country regions. The United Nations Calendar of Observances dedicates decades to a specific topic, but also a complete year, month, week and days. Holidays dedicated to an observance such as the commemoration of the ending of World War II, or the Shoah, can also be part of the reparation obligation as per UN General Assembly Resolution 60/147 Basic Principles and Guidelines on the Right to a Remedy and Reparation for Victims of Gross Violations of International Human Rights Law and Serious Violations of International Humanitarian Law. Another example of a major secular holiday is the Lunar New Year, which is celebrated across East Asia and South East Asia. Many other days are marked to celebrate events or people, but are not strictly holidays as time off work is rarely given; examples include Arbor Day (originally U.S.), Labor Day (celebrated sometimes under different names and on different days in different countries), and Earth Day (22 April). Unofficial holidays These are holidays that are not traditionally marked on calendars. These holidays are celebrated by various groups and individuals. Some promote a cause, others recognize historical events not officially recognized, and others are "funny" holidays celebrated with humorous intent. For example, Monkey Day is celebrated
Holidays dedicated to an observance such as the commemoration of the ending of World War II, or the Shoah, can also be part of the reparation obligation as per UN General Assembly Resolution 60/147 Basic Principles and Guidelines on the Right to a Remedy and Reparation for Victims of Gross Violations of International Human Rights Law and Serious Violations of International Humanitarian Law. Another example of a major secular holiday is the Lunar New Year, which is celebrated across East Asia and South East Asia. Many other days are marked to celebrate events or people, but are not strictly holidays as time off work is rarely given; examples include Arbor Day (originally U.S.), Labor Day (celebrated sometimes under different names and on different days in different countries), and Earth Day (22 April). Unofficial holidays These are holidays that are not traditionally marked on calendars. These holidays are celebrated by various groups and individuals. Some promote a cause, others recognize historical events not officially recognized, and others are "funny" holidays celebrated with humorous intent. For example, Monkey Day is celebrated on December 14, International Talk Like a Pirate Day is observed on September 19, and Blasphemy Day is held on September 30. Other examples are April Fools' Day on April 1 and World No Tobacco Day on May 31. Various community organizers and marketers promote odd social media holidays. Religious holidays Many holidays are linked to faiths and religions (see etymology above). Christian holidays are defined as part of the liturgical year, the chief ones being Easter and Christmas. The Orthodox Christian and Western-Roman Catholic patronal feast day or "name day" are celebrated in each place's patron saint's day, according to the Calendar of saints. Jehovah's Witnesses annually commemorate "The Memorial of Jesus Christ's Death", but do not celebrate other holidays with any religious significance such as Easter, Christmas or New Year's. This holds especially true for those holidays that have combined and absorbed rituals, overtones or practices from non-Christian beliefs into the celebration, as well as those holidays that distract from or replace the worship of Jehovah. In Islam, the largest holidays are Eid al-Fitr (immediately after Ramadan) and Eid al-Adha (at the end of the Hajj). Ahmadi Muslims additionally celebrate Promised Messiah Day, Promised Reformer Day, and Khilafat Day, but contrary to popular belief, neither are regarded as holidays. Hindus, Jains and Sikhs observe several holidays, one of the largest being Diwali (Festival of Light). Japanese holidays as well as few Catholic holidays contain heavy references to several different faiths and beliefs. Celtic, Norse, and Neopagan holidays follow the order of the Wheel of the Year. For example, Christmas ideas like decorating trees and colors (green, red, and white) have very similar ideas to modern Wicca (a modern Pagan belief) Yule which is a lesser Sabbat of the wheel of the year. Some are closely linked to Swedish festivities. The Baháʼí Faith observes 11 annual holidays
During the 20th century the term hobby suggested activities, such as stamp collecting, embroidery, knitting, painting, woodwork, and photography. Typically the description did not include activities like listening to music, watching television, or reading. These latter activities bring pleasure, but lack the sense of achievement usually associated with a hobby. They are usually not structured, organised pursuits, as most hobbies are. The pleasure of a hobby is usually associated with making something of value or achieving something of value. "Such leisure is socially valorised precisely because it produces feelings of satisfaction with something that looks very much like work but that is done of its own sake." "Hobbies are a contradiction: they take work and turn it into leisure, and take leisure and turn it into work." Hobbies change with time. In the 21st century, the video game industry is a very large hobby involving millions of kids and adults in various forms of 'play'. Stamp collecting declined along with the importance of the postal system. Woodwork and knitting declined as hobbies, because manufactured goods provide cheap alternatives for handmade goods. Through the internet, an online community has become a hobby for many people; sharing advice, information and support, and in some cases, allowing a traditional hobby, such as collecting, to flourish and support trading in a new environment. Hobbyists Hobbyists are a part of a wider group of people engaged in leisure pursuits where the boundaries of each group overlap to some extent. The Serious Leisure Perspective groups hobbyists with amateurs and volunteers and identifies three broad groups of leisure activity with hobbies being found mainly in the Serious leisure category. Casual leisure is intrinsically rewarding, short-lived, pleasurable activity requiring little or no preparation. Serious leisure is the systematic pursuit of an amateur, hobbyist, or volunteer that is substantial, rewarding and results in a sense of accomplishment. Finally, project-based leisure is a short-term often a one-off project that is rewarding. The terms amateur and hobbyist are often used interchangeably. Stebbins has a framework which distinguishes the terms in a useful categorisation of leisure in which casual leisure is separated from serious Leisure. He describes serious leisure as undertaken by amateurs, hobbyists and volunteers. Amateurs engage in pursuits that have a professional counterpart, such as playing an instrument or astronomy. Hobbyists engage in five broad types of activity: collecting, making and tinkering (like embroidery and car restoration), activity participation (like fishing and singing), sports and games, and liberal-arts hobbies (like languages, cuisine, literature). Volunteers commit to organisations where they work as guides, counsellors, gardeners and so on. The separation of the amateur from the hobbyist is because the amateur has the ethos of the professional practitioner as a guide to practice. An amateur clarinetist is conscious of the role and procedures of a professional clarinetist. A large proportion of hobbies are mainly solitary in nature. However, individual pursuit of a hobby often includes club memberships, organised sharing of products and regular communication between participants. For many hobbies there is an important role in being in touch with fellow hobbyists. Some hobbies are of communal nature, like choral singing and volunteering. People who engage in hobbies have an interest in and time to pursue them. Children have been an important group of hobbyists because they are enthusiastic for collecting, making and exploring, in addition to this they have the leisure time that allows them to pursue those hobbies. The growth in hobbies occurred during industrialisation which gave workers set time for leisure. During the Depression there was an increase in the participation in hobbies because the unemployed had the time and a desire to be purposefully occupied. Hobbies are often pursued with an increased interest by retired people because they have the time and seek the intellectual and physical stimulation a hobby provides. Types of hobbies Hobbies are a diverse set of activities and it is difficult to categorize them in a logical manner. The following categorization of hobbies was developed by Stebbins. Collecting Collecting includes seeking, locating, acquiring, organizing, cataloging, displaying and storing. Collecting is appealing to many people due to their interest in a particular subject and a desire to categorise and make order out of complexity. Some collectors are generalists, accumulating items from countries of the world. Others focus on a subtopic within their area of interest, perhaps 19th century postage stamps, milk bottle labels from Sussex, or Mongolian harnesses and tack, Firearms (both modern and vintage). Collecting is an ancient hobby, with the list of coin collectors showing Caesar Augustus as one. Sometimes collectors have turned their hobby into a business, becoming commercial dealers that trade in the items being collected. An alternative to collecting physical objects is collecting records of events of a particular kind. Examples include train spotting, bird-watching, aircraft spotting, railfans, and any other form of systematic recording a particular phenomenon. The recording form can be written, photographic, online, etc. Making and tinkering Making and tinkering includes working on self-motivated projects for fulfillment. These projects may be progressive, irregular tasks performed over a long period of time. Making and Tinkering hobbies include higher-end projects, such as building or restoring a car or building a computer from individual parts, like CPUs and SSDs. For computer savvy do-it-yourself hobbyists, CNC (Computer Numerical Control) machining may also popular. A CNC machine can be assembled and programmed to make different parts from wood or metal. Tinkering is 'dabbling' with the making process, often applied to the hobby of tinkering with car repairs, and various kinds of restoration: of furniture, antique cars, etc. It also applies to household tinkering: repairing a wall, laying a pathway, etc. Examples of Making and Tinkering hobbies include Scale modeling, model engineering, 3D printing, dressmaking, and cooking. Scale modeling is making a replica of a real-life object in a smaller scale and dates back to prehistoric times with small clay "dolls" and other children's toys that have been found near known populated areas. Some of the earliest scale models of residences were found in Cucuteni–Trypillia culture in Eastern Europe. These artifacts were dated to be around 3000-6000 BC. Similar models dating back to the same period were found in ancient Egypt, India, China and Mesopotamia archaeological sites. At the turn of the Industrial Age and through the 1920s, some families could afford things such as electric trains, wind-up toys (typically boats or cars) and the increasingly valuable tin toy soldiers. Scale modeling as we know it today became popular shortly after World War II. Before 1946, children as well as adults were content in carving and shaping wooden replicas from block wood kits, often depicting enemy aircraft to help with identification in case of an invasion. With the advent of modern plastics, the amount of skill required to get the basic shape accurately shown for any given subject was lessened, making it easier for people of all ages to begin assembling replicas in varying scales. Superheroes, aeroplanes, boats, cars, tanks, artillery, and even figures of soldiers became quite popular subjects to build, paint and display. Although almost any subject can be found in almost any scale, there are common scales for such miniatures which remain constant today. Model engineering refers to building functioning machinery in metal, such as internal combustion motors and live steam models or locomotives. This is a demanding hobby that requires a multitude of large and expensive tools, such as lathes and mills. This hobby originated in the United Kingdom in the late 19th century, later spreading and flourishing in the mid-20th century. Due to the expense and space required, it is becoming rare. 3D Printing is a relatively new technology and already a major hobby as the cost of printers has fallen sharply. It is a good example of how hobbyists quickly engage with new technologies, communicate with one another and become producers related to their former hobby. 3D modeling is the process of making mathematical representations of three dimensional items and is an aspect of 3D printing. Dressmaking has been a major hobby up until the late 20th century, in order to make cheap clothes, but also as a creative design and craft challenge. It has been reduced by the low cost of manufactured clothes. Cooking is for some people an interest, a hobby, a challenge and a source of significant satisfaction. For many other people it is a job, a chore, a duty, like cleaning. In the early 21st century the importance of cooking as a hobby was demonstrated by the high popularity of competitive television cooking programs. Activity participation Activity participation includes partaking in "non-competitive, rule-based pursuits." Outdoor pursuits are the group of activities which occur outdoors.
the participation in hobbies because the unemployed had the time and a desire to be purposefully occupied. Hobbies are often pursued with an increased interest by retired people because they have the time and seek the intellectual and physical stimulation a hobby provides. Types of hobbies Hobbies are a diverse set of activities and it is difficult to categorize them in a logical manner. The following categorization of hobbies was developed by Stebbins. Collecting Collecting includes seeking, locating, acquiring, organizing, cataloging, displaying and storing. Collecting is appealing to many people due to their interest in a particular subject and a desire to categorise and make order out of complexity. Some collectors are generalists, accumulating items from countries of the world. Others focus on a subtopic within their area of interest, perhaps 19th century postage stamps, milk bottle labels from Sussex, or Mongolian harnesses and tack, Firearms (both modern and vintage). Collecting is an ancient hobby, with the list of coin collectors showing Caesar Augustus as one. Sometimes collectors have turned their hobby into a business, becoming commercial dealers that trade in the items being collected. An alternative to collecting physical objects is collecting records of events of a particular kind. Examples include train spotting, bird-watching, aircraft spotting, railfans, and any other form of systematic recording a particular phenomenon. The recording form can be written, photographic, online, etc. Making and tinkering Making and tinkering includes working on self-motivated projects for fulfillment. These projects may be progressive, irregular tasks performed over a long period of time. Making and Tinkering hobbies include higher-end projects, such as building or restoring a car or building a computer from individual parts, like CPUs and SSDs. For computer savvy do-it-yourself hobbyists, CNC (Computer Numerical Control) machining may also popular. A CNC machine can be assembled and programmed to make different parts from wood or metal. Tinkering is 'dabbling' with the making process, often applied to the hobby of tinkering with car repairs, and various kinds of restoration: of furniture, antique cars, etc. It also applies to household tinkering: repairing a wall, laying a pathway, etc. Examples of Making and Tinkering hobbies include Scale modeling, model engineering, 3D printing, dressmaking, and cooking. Scale modeling is making a replica of a real-life object in a smaller scale and dates back to prehistoric times with small clay "dolls" and other children's toys that have been found near known populated areas. Some of the earliest scale models of residences were found in Cucuteni–Trypillia culture in Eastern Europe. These artifacts were dated to be around 3000-6000 BC. Similar models dating back to the same period were found in ancient Egypt, India, China and Mesopotamia archaeological sites. At the turn of the Industrial Age and through the 1920s, some families could afford things such as electric trains, wind-up toys (typically boats or cars) and the increasingly valuable tin toy soldiers. Scale modeling as we know it today became popular shortly after World War II. Before 1946, children as well as adults were content in carving and shaping wooden replicas from block wood kits, often depicting enemy aircraft to help with identification in case of an invasion. With the advent of modern plastics, the amount of skill required to get the basic shape accurately shown for any given subject was lessened, making it easier for people of all ages to begin assembling replicas in varying scales. Superheroes, aeroplanes, boats, cars, tanks, artillery, and even figures of soldiers became quite popular subjects to build, paint and display. Although almost any subject can be found in almost any scale, there are common scales for such miniatures which remain constant today. Model engineering refers to building functioning machinery in metal, such as internal combustion motors and live steam models or locomotives. This is a demanding hobby that requires a multitude of large and expensive tools, such as lathes and mills. This hobby originated in the United Kingdom in the late 19th century, later spreading and flourishing in the mid-20th century. Due to the expense and space required, it is becoming rare. 3D Printing is a relatively new technology and already a major hobby as the cost of printers has fallen sharply. It is a good example of how hobbyists quickly engage with new technologies, communicate with one another and become producers related to their former hobby. 3D modeling is the process of making mathematical representations of three dimensional items and is an aspect of 3D printing. Dressmaking has been a major hobby up until the late 20th century, in order to make cheap clothes, but also as a creative design and craft challenge. It has been reduced by the low cost of manufactured clothes. Cooking is for some people an interest, a hobby, a challenge and a source of significant satisfaction. For many other people it is a job, a chore, a duty, like cleaning. In the early 21st century the importance of cooking as a hobby was demonstrated by the high popularity of competitive television cooking programs. Activity participation Activity participation includes partaking in "non-competitive, rule-based pursuits." Outdoor pursuits are the group of activities which occur outdoors. These hobbies include gardening, hill walking, hiking, backpacking, cycling, canoeing, climbing, caving, fishing, hunting, target shooting (informal or formal), wildlife viewing (as birdwatching) and engaging in watersports and snowsports. One large subset of outdoor pursuits is gardening. Residential gardening most often takes place in or about one's own residence, in a space referred to as the garden. Although a garden typically is located on the land near a residence, it may also be located on a roof, in an atrium, on a balcony, in a windowbox, or on a patio or vivarium. Gardening also takes place in non-residential green areas, such as parks, public or semi-public gardens (botanical gardens or zoological gardens), amusement and theme parks, along transportation corridors, and around tourist attractions and hotels. In these situations, a staff of gardeners or groundskeepers maintains the gardens. Indoor gardening is concerned with growing houseplants within a residence or building, in a conservatory, or in a greenhouse. Indoor gardens are sometimes incorporated into air conditioning or heating systems. Water gardening is concerned with growing plants that have adapted to pools and ponds, along with aquascaping in planted aquariums. Bog gardens are also considered a type of water garden. A simple water garden may consist solely of a tub containing the water and plants. Container gardening is concerned with growing plants in containers that are placed above the ground. Liberal arts pursuits Many hobbies involve performances by the hobbyist, such as singing, acting, juggling, magic, dancing, playing a musical instrument, martial arts, and other performing arts. Some hobbies may result in an end product. Examples of this would be woodworking, photography, moviemaking, jewelry making, software projects such as Photoshopping and home music or video production, making bracelets, artistic projects such as drawing, painting, Cosplay (design, creation, and
"Holland" was the official name for the county as a whole, after Napoleon made his brother Louis Bonaparte the monarch of the Kingdom of Holland. The people of Holland are referred to as "Hollanders" in both Dutch and English, though in English this is now unusual. Today this refers specifically to people from the current provinces of North Holland and South Holland. Strictly speaking, the term "Hollanders" does not refer to people from the other provinces in the Netherlands, but colloquially "Hollanders" is sometimes used in this wider sense. In Dutch, the word Hollands is the adjectival form for Holland. Hollands is also colloquially used by some Dutch people in the sense of Nederlands (the Dutch language), occasionally with the intention of contrasting with other types of Dutch people or forms of the language—for example Limburgish, the Belgian varieties of the Dutch language ("Flemish"), or even any southern variety of Dutch within the Netherlands itself. In English, Dutch refers to the Netherlands as a whole, but there is no commonly used adjective for "Holland". The word "Hollandish" is no longer in common use. "Hollandic" is the name linguists give to the dialect spoken in Holland, and is occasionally also used by historians and when referring to pre-Napoleonic Holland. History Initially, Holland was a remote corner of the Holy Roman Empire. Gradually, its regional importance increased until it began to have a decisive, and ultimately dominant, influence on the History of the Netherlands. County of Holland Until the start of the 12th century, the inhabitants of the area that became Holland were known as Frisians. The area was initially part of Frisia. At the end of the 9th century, West-Frisia became a separate county in the Holy Roman Empire. The first Count known about with certainty was Dirk I, who ruled from 896 to 931. He was succeeded by a long line of counts in the House of Holland (who were in fact known as counts of Frisia until 1101). When John I died childless in 1299, the county was inherited by Count John II of Hainaut. By the time of William V (House of Wittelsbach; 1354–1388) the count of Holland was also the count of Hainaut and Zealand. After the St. Lucia's flood in 1287 the part of Frisia west of the later Zuiderzee, West Friesland, was conquered. As a result, most provincial institutions, including the States of Holland and West Frisia, would for more than five centuries refer to "Holland and West Frisia" as a unit. The Hook and Cod wars started around this time and ended when the countess of Holland, Jacoba or Jacqueline was forced to cede Holland to the Burgundian Philip III, known as Philip the Good, in 1432. In 1432, Holland became part of the Burgundian Netherlands and since 1477 of the Habsburg Seventeen Provinces. In the 16th century the county became the most densely urbanised region in Europe, with the majority of the population living in cities. Within the Burgundian Netherlands, Holland was the dominant province in the north; the political influence of Holland largely determined the extent of Burgundian dominion in that area. The last count of Holland was Philip III, better known as Philip II, king of Spain. He was deposed in 1581 by the Act of Abjuration, although the kings of Spain continued to carry the titular appellation of Count of Holland until the Peace of Münster signed in 1648. Dutch Republic In the Dutch Rebellion against the Habsburgs during the Eighty Years' War, the naval forces of the rebels, the Watergeuzen, established their first permanent base in 1572 in the town of Brill. In this way, Holland, now a sovereign state in a larger Dutch confederation, became the centre of the rebellion. It became the cultural, political and economic centre of the United Provinces (), in the 17th century, the Dutch Golden Age, the wealthiest nation in the world. After the King of Spain was deposed as the count of Holland, the executive and legislative power rested with the States of Holland, which was led by a political figure who held the office of Grand Pensionary. The largest cities in the Dutch Republic were in the province of Holland, such as Amsterdam, Rotterdam, Leiden, Alkmaar, The Hague, Delft, Dordrecht and Haarlem. From the great ports of Holland, Hollandic merchants sailed to and from destinations all over Europe, and merchants from all over Europe gathered to trade in the warehouses of Amsterdam and other trading cities of Holland. Many Europeans thought of the United Provinces first as Holland rather than as the Republic of the Seven United Provinces of the Netherlands. A strong impression of Holland was planted in the minds of other Europeans, which then was projected back onto the Republic as a whole. Within the provinces themselves, a gradual slow process of cultural expansion took place, leading to a "Hollandification" of the other provinces and a more uniform culture for the whole of the Republic. The dialect of urban Holland became the standard language. Under French rule The formation of the Batavian Republic, inspired by the French revolution, led to a more centralised government. Holland became a province of a unitary state. Its independence was further reduced by an administrative reform in 1798, in which its territory was divided into several departments called Amstel, Delf, Texel, and part of Schelde en Maas. From 1806 to 1810 Napoleon styled his vassal state, governed by his brother Louis Napoleon and shortly by the son of Louis, Napoleon Louis Bonaparte, as the "Kingdom of Holland". This kingdom encompassed much of what would become the modern Netherlands. The name reflects how natural at the time it had become to equate Holland with the non-Belgian Netherlands as a whole. During the period when the Low Countries were annexed by the French Empire and actually incorporated into France (from 1810 to 1813), Holland was divided into départements Zuyderzée, and Bouches-de-la-Meuse. From 1811 to 1813 Charles-François Lebrun, duc de Plaisance served as governor-general. He was assisted by Antoine de Celles, Goswin de Stassart and François Jean-Baptiste d'Alphonse. In 1813, Dutch dignitaries proclaimed the Sovereign Principality of the United Netherlands. Kingdom of the Netherlands In 1815, Holland was restored as a province of the United
of Holland. By the 17th century, the province of Holland had risen to become a maritime and economic power, dominating the other provinces of the newly independent Dutch Republic. The area of the former County of Holland roughly coincides with the two current Dutch provinces of North Holland and South Holland into which it was divided, and which together include the Netherlands' three largest cities: the capital city (Amsterdam), the home of Europe's largest port (Rotterdam), and the seat of government (The Hague). Holland has a population of 6,583,534 as of November 2019, and a density of . The name Holland has also frequently been used informally to refer to the whole of the country of the Netherlands. This casual usage is commonly accepted in other countries, and is even employed by the Dutch themselves. However, some in the Netherlands (particularly those from regions outside Holland) find it undesirable or misrepresentative to use the term for the whole country. In January 2020, the Netherlands officially dropped its support of the word Holland for the whole country, which included a logo redesign that changed "Holland" to "NL". Etymology and terminology The name Holland first appeared in sources for the region around Haarlem, and by 1064 was being used as the name of the entire county. By the early twelfth century, the inhabitants of Holland were called Hollandi in a Latin text. Holland is derived from the Old Dutch term holtlant ('wood-land'). This spelling variation remained in use until around the 14th century, at which time the name stabilised as Holland (alternative spellings at the time were Hollant and Hollandt). A popular but erroneous folk etymology holds that Holland is derived from hol land ('hollow land' in Dutch), purportedly inspired by the low-lying geography of the land. "Holland" is informally used in English and other languages, including sometimes the Dutch language itself, to mean the whole of the modern country of the Netherlands. This example of pars pro toto or synecdoche is similar to the tendency to refer to the United Kingdom as "England", and developed due to Holland's becoming the dominant province and thus having the majority of political and economic interactions with other countries. Between 1806 and 1810 "Holland" was the official name for the county as a whole, after Napoleon made his brother Louis Bonaparte the monarch of the Kingdom of Holland. The people of Holland are referred to as "Hollanders" in both Dutch and English, though in English this is now unusual. Today this refers specifically to people from the current provinces of North Holland and South Holland. Strictly speaking, the term "Hollanders" does not refer to people from the other provinces in the Netherlands, but colloquially "Hollanders" is sometimes used in this wider sense. In Dutch, the word Hollands is the adjectival form for Holland. Hollands is also colloquially used by some Dutch people in the sense of Nederlands (the Dutch language), occasionally with the intention of contrasting with other types of Dutch people or forms of the language—for example Limburgish, the Belgian varieties of the Dutch language ("Flemish"), or even any southern variety of Dutch within the Netherlands itself. In English, Dutch refers to the Netherlands as a whole, but there is no commonly used adjective for "Holland". The word "Hollandish" is no longer in common use. "Hollandic" is the name linguists give to the dialect spoken in Holland, and is occasionally also used by historians and when referring to pre-Napoleonic Holland. History Initially, Holland was a remote corner of the Holy Roman Empire. Gradually, its regional importance increased until it began to have a decisive, and ultimately dominant, influence on the History of the Netherlands. County of Holland Until the start of the 12th century, the inhabitants of the area that became Holland were known as Frisians. The area was initially part of Frisia. At the end of the 9th century, West-Frisia became a separate county in the Holy Roman Empire. The first Count known about with certainty was Dirk I, who ruled from 896 to 931. He was succeeded by a long line of counts in the House of Holland (who were in fact known as counts of Frisia until 1101). When John I died childless in 1299, the county was inherited by Count John II of Hainaut. By the time of William V (House of Wittelsbach; 1354–1388) the count of Holland was also the count of Hainaut and Zealand. After the St. Lucia's flood in 1287 the part of Frisia west of the later Zuiderzee, West Friesland, was conquered. As a result, most provincial institutions, including the States of Holland and West Frisia, would for more than five centuries refer to "Holland and West Frisia" as a unit. The Hook and Cod wars started around this time and ended when the countess of Holland, Jacoba or Jacqueline was forced to cede Holland to the Burgundian Philip III, known as Philip the Good, in 1432. In 1432, Holland became part of the Burgundian Netherlands and since 1477 of the Habsburg Seventeen Provinces. In the 16th century the county became the most densely urbanised region in Europe, with the majority of the population living in cities. Within the Burgundian Netherlands, Holland was the dominant province in the north; the political influence of Holland largely determined the extent of Burgundian dominion in that area. The last count of Holland was Philip III, better known as Philip II, king of Spain. He was deposed in 1581 by the Act of Abjuration, although the kings of Spain continued to carry the titular appellation of Count of Holland until the Peace of Münster signed in 1648. Dutch Republic In the Dutch Rebellion against the Habsburgs during the Eighty Years' War, the naval forces of the rebels, the Watergeuzen, established their first permanent base in 1572 in the town of Brill. In this way, Holland, now a sovereign state in a larger Dutch confederation, became the centre of the rebellion. It became the cultural, political and economic centre of the United Provinces (), in the 17th century, the Dutch Golden Age, the wealthiest nation in the world. After the King of Spain was deposed as the count of Holland, the executive and legislative power rested with the States of Holland, which was led by a political figure who held the office of Grand Pensionary. The largest cities in the Dutch Republic were in the province of Holland, such as Amsterdam, Rotterdam, Leiden, Alkmaar, The Hague, Delft, Dordrecht and Haarlem. From the great ports of Holland, Hollandic merchants sailed to and from destinations all over Europe, and merchants from all over Europe gathered to trade in the warehouses of Amsterdam and other trading cities of Holland. Many Europeans thought of the United Provinces first as Holland rather than as the Republic of the Seven United Provinces of the Netherlands. A strong impression of Holland was planted in the minds of other Europeans, which then was projected back onto the Republic as a whole. Within the provinces themselves, a gradual slow process of cultural expansion took place, leading to a "Hollandification" of the other provinces and a more uniform culture for the whole of the Republic. The dialect of urban Holland became the standard language. Under French rule The formation of the Batavian Republic, inspired by the French revolution, led to a more centralised government. Holland became a province of a unitary state. Its independence was further reduced by an administrative reform in 1798, in which its territory was divided into several departments called Amstel, Delf, Texel, and part of Schelde en Maas. From 1806 to 1810 Napoleon styled his vassal state, governed by his brother Louis Napoleon and shortly by the son of Louis, Napoleon Louis Bonaparte, as the "Kingdom of Holland". This kingdom encompassed much of what would become the modern Netherlands. The name reflects how natural at the time it had become to equate Holland with the non-Belgian Netherlands as a whole. During the period when the Low Countries were annexed by the French Empire and actually incorporated into France (from 1810 to 1813), Holland was divided into départements Zuyderzée, and Bouches-de-la-Meuse. From 1811
burnt. Other Roman soldiers in Xanten and elsewhere and auxiliary troops of Batavians and Canninefatae in the legions of Vitellius) joined the revolt, thus splitting the northern part of the Roman army. In April 70 AD, a few legions sent by Vespasianus and commanded by Quintus Petillius Cerialis eventually defeated the Batavians and negotiated surrender with Gaius Julius Civilis somewhere between the Waal and the Meuse () near Noviomagus (Nijmegen), which was probably called "Batavodurum" by the Batavians. The Batavians later merged with other tribes and became part of the Salian Franks. Dutch writers in the 17th and 18th centuries saw the rebellion of the independent and freedom-loving Batavians as mirroring the Dutch revolt against Spain and other forms of tyranny. According to this nationalist view, the Batavians were the "true" forefathers of the Dutch, which explains the recurring use of the name over the centuries. Jakarta was named "Batavia" by the Dutch in 1619. The Dutch republic created in 1795 on the basis of French revolutionary principles was called the Batavian Republic. Even today Batavian is a term sometimes used to describe the Dutch people; this is similar to use of Gallic to describe the French and Teutonic to describe the Germans. Emergence of the Franks Modern scholars of the Migration Period are in agreement that the Frankish identity emerged at the first half of the 3rd century out of various earlier, smaller Germanic groups, including the Salii, Sicambri, Chamavi, Bructeri, Chatti, Chattuarii, Ampsivarii, Tencteri, Ubii, Batavi and the Tungri, who inhabited the lower and middle Rhine valley between the Zuyder Zee and the river Lahn and extended eastwards as far as the Weser, but were the most densely settled around the IJssel and between the Lippe and the Sieg. The Frankish confederation probably began to coalesce in the 210s. The Franks eventually were divided into two groups: the Ripuarian Franks (Latin: Ripuari), who were the Franks that lived along the middle-Rhine River during the Roman Era, and the Salian Franks, who were the Franks that originated in the area of the Netherlands. Franks appear in Roman texts as both allies and enemies (laeti and dediticii). By about 320, the Franks had the region of the Scheldt river (present day west Flanders and southwest Netherlands) under control, and were raiding the Channel, disrupting transportation to Britain. Roman forces pacified the region, but did not expel the Franks, who continued to be feared as pirates along the shores at least until the time of Julian the Apostate (358), when Salian Franks were allowed to settle as foederati in Toxandria, according to Ammianus Marcellinus. Disappearance of the Frisii? Three factors contributed to the probable disappearance of the Frisii from the northern Netherlands. First, according to the Panegyrici Latini (Manuscript VIII), the ancient Frisii were forced to resettle within Roman territory as laeti (i.e., Roman-era serfs) in c. 296. This is the last reference to the ancient Frisii in the historical record. What happened to them, however, is suggested in the archaeological record. The discovery of a type of earthenware unique to 4th-century Frisia, called terp Tritzum, shows that an unknown number of them were resettled in Flanders and Kent, likely as laeti under Roman coercion. Second, the environment in the low-lying coastal regions of northwestern Europe began to lower c. 250 and gradually receded over the next 200 years. Tectonic subsidence, a rising water table and storm surges combined to flood some areas with marine transgressions. This was accelerated by a shift to a cooler, wetter climate in the region. Any Frisii left in the lower areas of Frisia would have drowned. Third, after the collapse of the Roman Empire, there was a decline in population as Roman activity stopped and Roman institutions withdrew. As a result of these three factors, it has been postulated that the Frisii and Frisiaevones disappeared from the area, leaving the coastal lands largely unpopulated for the next two centuries. However, recent excavations in the coastal dunes of Kennemerland show clear indication of a permanent habitation. Early Middle Ages (411–1000) Frisians As climatic conditions improved, there was another mass migration of Germanic peoples into the area from the east. This is known as the "Migration Period" (Volksverhuizingen). The northern Netherlands received an influx of new migrants and settlers, mostly Saxons, but also Angles and Jutes. Many of these migrants did not stay in the northern Netherlands but moved on to England and are known today as the Anglo-Saxons. The newcomers who stayed in the northern Netherlands would eventually be referred to as "Frisians", although they were not descended from the ancient Frisii. These new Frisians settled in the northern Netherlands and would become the ancestors of the modern Frisians. (Because the early Frisians and Anglo-Saxons were formed from largely identical tribal confederacies, their respective languages were very similar. Old Frisian is the most closely related language to Old English and the modern Frisian dialects are in turn the closest related languages to contemporary English.) By the end of the 6th century, the Frisian territory in the northern Netherlands had expanded west to the North Sea coast and, by the 7th century, south to Dorestad. During this period most of the northern Netherlands was known as Frisia. This extended Frisian territory is sometimes referred to as Frisia Magna (or Greater Frisia). In the 7th and 8th centuries, the Frankish chronologies mention this area as the kingdom of the Frisians. This kingdom comprised the coastal provinces of the Netherlands and the German North Sea coast. During this time, the Frisian language was spoken along the entire southern North Sea coast. The 7th-century Frisian Kingdom (650–734) under King Aldegisel and King Redbad, had its centre of power in Utrecht. Dorestad was the largest settlement (emporia) in northwestern Europe. It had grown around a former Roman fortress. It was a large, flourishing trading place, three kilometers long and situated where the rivers Rhine and Lek diverge southeast of Utrecht near the modern town of Wijk bij Duurstede. Although inland, it was a North Sea trading centre that primarily handled goods from the Middle Rhineland. Wine was among the major products traded at Dorestad, likely from vineyards south of Mainz. It was also widely known because of its mint. Between 600 and around 719 Dorestad was often fought over between the Frisians and the Franks. Franks After Roman government in the area collapsed, the Franks expanded their territories until there were numerous small Frankish kingdoms, especially at Cologne, Tournai, Le Mans and Cambrai. The kings of Tournai eventually came to subdue the other Frankish kings. By the 490s, Clovis I had conquered and united all the Frankish territories to the west of the Meuse, including those in the southern Netherlands. He continued his conquests into Gaul. After the death of Clovis I in 511, his four sons partitioned his kingdom amongst themselves, with Theuderic I receiving the lands that were to become Austrasia (including the southern Netherlands). A line of kings descended from Theuderic ruled Austrasia until 555, when it was united with the other Frankish kingdoms of Chlothar I, who inherited all the Frankish realms by 558. He redivided the Frankish territory amongst his four sons, but the four kingdoms coalesced into three on the death of Charibert I in 567. Austrasia (including the southern Netherlands) was given to Sigebert I. The southern Netherlands remained the northern part of Austrasia until the rise of the Carolingians. The Franks who expanded south into Gaul settled there and eventually adopted the Vulgar Latin of the local population. However, a Germanic language was spoken as a second tongue by public officials in western Austrasia and Neustria as late as the 850s. It completely disappeared as a spoken language from these regions during the 10th century. During this expansion to the south, many Frankish people remained in the north (i.e. southern Netherlands, Flanders and a small part of northern France). A widening cultural divide grew between the Franks remaining in the north and the rulers far to the south in what is now France. Salian Franks continued to reside in their original homeland and the area directly to the south and to speak their original language, Old Frankish, which by the 9th century had evolved into Old Dutch. A Dutch-French language boundary came into existence (but this was originally south of where it is today). In the Maas and Rhine areas of the Netherlands, the Franks had political and trading centres, especially at Nijmegen and Maastricht. These Franks remained in contact with the Frisians to the north, especially in places like Dorestad and Utrecht. Modern doubts about the traditional Frisian, Frank and Saxon distinction In the late 19th century, Dutch historians believed that the Franks, Frisians, and Saxons were the original ancestors of the Dutch people. Some went further by ascribing certain attributes, values and strengths to these various groups and proposing that they reflected 19th-century nationalist and religious views. In particular, it was believed that this theory explained why Belgium and the southern Netherlands (i.e. the Franks) had become Catholic and the northern Netherlands (Frisians and Saxons) had become Protestant. The success of this theory was partly due to anthropological theories based on a tribal paradigm. Being politically and geographically inclusive, and yet accounting for diversity, this theory was in accordance with the need for nation-building and integration during the 1890–1914 period. The theory was taught in Dutch schools. However, the disadvantages of this historical interpretation became apparent. This tribal-based theory suggested that external borders were weak or non-existent and that there were clear-cut internal borders. This origins myth provided an historical premise, especially during the Second World War, for regional separatism and annexation to Germany. After 1945 the tribal paradigm lost its appeal for anthropological scholars and historians. When the accuracy of the three-tribe theme was fundamentally questioned, the theory fell out of favour. Due to the scarcity of written sources, knowledge of this period depends to a large degree on the interpretation of archaeological data. The traditional view of a clear-cut division between Frisians in the north and coast, Franks in the south and Saxons in the east has proven historically problematic. Archeological evidence suggests dramatically different models for different regions, with demographic continuity for some parts of the country and depopulation and possible replacement in other parts, notably the coastal areas of Frisia and Holland. The emergence of the Dutch language The language from which Old Dutch (also sometimes called Old West Low Franconian, Old Low Franconian or Old Frankish) arose is unknown with certainty, but it is thought to be the language spoken by the Salian Franks. Even though the Franks are traditionally categorized as Weser-Rhine Germanic, Dutch has a number of Ingvaeonic characteristics and is classified by modern linguists as an Ingvaeonic language. Dutch also has a number of Old Saxon characteristics. There was a close relationship between Old Dutch, Old Saxon, Old English and Old Frisian. Because texts written in the language spoken by the Franks are almost non-existent, and Old Dutch texts scarce and fragmentary, not much is known about the development of Old Dutch. Old Dutch made the transition to Middle Dutch around 1150. Christianization The Christianity that arrived in the Netherlands with the Romans appears not to have died out completely (in Maastricht, at least) after the withdrawal of the Romans in about 411. The Franks became Christians after their king Clovis I converted to Catholicism, an event which is traditionally set in 496. Christianity was introduced in the north after the conquest of Friesland by the Franks. The Saxons in the east were converted before the conquest of Saxony, and became Frankish allies. Hiberno-Scottish and Anglo-Saxon missionaries, particularly Willibrord, Wulfram and Boniface, played an important role in converting the Frankish and Frisian peoples to Christianity by the 8th century. Boniface was martyred by the Frisians in Dokkum (754). Frankish dominance and incorporation into the Holy Roman Empire In the early 8th century the Frisians came increasingly into conflict with the Franks to the south, resulting in a series of wars in which the Frankish Empire eventually subjugated Frisia. In 734, at the Battle of the Boarn, the Frisians in the Netherlands were defeated by the Franks, who thereby conquered the area west of the Lauwers. The Franks then conquered the area east of the Lauwers in 785 when Charlemagne defeated Widukind. The linguistic descendants of the Franks, the modern Dutch -speakers of the Netherlands and Flanders, seem to have broken with the endonym "Frank" around the 9th century. By this time Frankish identity had changed from an ethnic identity to a national identity, becoming localized and confined to the modern Franconia and principally to the French province of Île-de-France. Although the people no longer referred to themselves as "Franks", the Netherlands was still part of the Frankish empire of Charlemagne. Indeed, because of the Austrasian origins of the Carolingians in the area between the Rhine and the Maas, the cities of Aachen, Maastricht, Liège and Nijmegen were at the heart of Carolingian culture. Charlemagne maintained his palatium in Nijmegen at least four times. The Carolingian empire would eventually include France, Germany, northern Italy and much of Western Europe. In 843, the Frankish empire was divided into three parts, giving rise to West Francia in the west, East Francia in the east, and Middle Francia in the centre. Most of what is today the Netherlands became part of Middle Francia; Flanders became part of West Francia. This division was an important factor in the historical distinction between Flanders and the other Dutch-speaking areas. Middle Francia () was an ephemeral Frankish kingdom that had no historical or ethnic identity to bind its varied peoples. It was created by the Treaty of Verdun in 843, which divided the Carolingian Empire among the sons of Louis the Pious. Situated between the realms of East and West Francia, Middle Francia comprised the Frankish territory between the rivers Rhine and Scheldt, the Frisian coast of the North Sea, the former Kingdom of Burgundy (except for a western portion, later known as Bourgogne), Provence and the Kingdom of Italy. Middle Francia fell to Lothair I, the eldest son and successor of Louis the Pious, after an intermittent civil war with his younger brothers Louis the German and Charles the Bald. In acknowledgement of Lothair's Imperial title, Middle Francia contained the imperial cities of Aachen, the residence of Charlemagne, as well as Rome. In 855, on his deathbed at Prüm Abbey, Emperor Lothair I again partitioned his realm amongst his sons. Most of the lands north of the Alps, including the Netherlands, passed to Lothair II and consecutively were named Lotharingia. After Lothair II died in 869, Lotharingia was partitioned by his uncles Louis the German and Charles the Bald in the Treaty of Meerssen in 870. Although some of the Netherlands had come under Viking control, in 870 it technically became part of East Francia, which became the Holy Roman Empire in 962. Viking raids In the 9th and 10th centuries, the Vikings raided the largely defenceless Frisian and Frankish towns lying on the coast and along the rivers of the Low Countries. Although Vikings never settled in large numbers in those areas, they did set up long-term bases and were even acknowledged as lords in a few cases. In Dutch and Frisian historical tradition, the trading centre of Dorestad declined after Viking raids from 834 to 863; however, since no convincing Viking archaeological evidence has been found at the site (as of 2007), doubts about this have grown in recent years. One of the most important Viking families in the Low Countries was that of Rorik of Dorestad (based in Wieringen) and his brother the "younger Harald" (based in Walcheren), both thought to be nephews of Harald Klak. Around 850, Lothair I acknowledged Rorik as ruler of most of Friesland. And again in 870, Rorik was received by Charles the Bald in Nijmegen, to whom he became a vassal. Viking raids continued during that period. Harald's son Rodulf and his men were killed by the people of Oostergo in 873. Rorik died sometime before 882. Buried Viking treasures consisting mainly of silver have been found in the Low Countries. Two such treasures have been found in Wieringen. A large treasure found in Wieringen in 1996 dates from around 850 and is thought perhaps to have been connected to Rorik. The burial of such a valuable treasure is seen as an indication that there was a permanent settlement in Wieringen. Around 879, Godfrid arrived in Frisian lands as the head of a large force that terrorised the Low Countries. Using Ghent as his base, they ravaged Ghent, Maastricht, Liège, Stavelot, Prüm, Cologne, and Koblenz. Controlling most of Frisia between 882 and his death in 885, Godfrid became known to history as Godfrid, Duke of Frisia. His lordship over Frisia was acknowledged by Charles the Fat, to whom he became a vassal. Godfried was assassinated in 885, after which Gerolf of Holland assumed lordship and Viking rule of Frisia came to an end. Viking raids of the Low Countries continued for over a century. Remains of Viking attacks dating from 880 to 890 have been found in Zutphen and Deventer. In 920, King Henry of Germany liberated Utrecht. According to a number of chronicles, the last attacks took place in the first decade of the 11th century and were directed at Tiel and/or Utrecht. These Viking raids occurred about the same time that French and German lords were fighting for supremacy over the middle empire that included the Netherlands, so their sway over this area was weak. Resistance to the Vikings, if any, came from local nobles, who gained in stature as a result. High and Late Middle Ages (1000–1433) Part of the Holy Roman Empire The German kings and emperors ruled the Netherlands in the 10th and 11th century, with the assistance of the Dukes of Lotharingia, and the bishops of Utrecht and Liège. Germany was called the Holy Roman Empire after the coronation of King Otto the Great as emperor. The Dutch city of Nijmegen used to be the spot of an important domain of the German emperors. Several German emperors were born and died there, including for example Byzantine empress Theophanu, who died in Nijmegen. Utrecht was also an important city and trading port at the time. Political disunity The Holy Roman Empire was not able to maintain political unity. In addition to the growing independence of the towns, local rulers turned their counties and duchies into private kingdoms and felt little sense of obligation to the emperor who reigned over large parts of the nation in name only. Large parts of what now comprise the Netherlands were governed by the Count of Holland, the Duke of Gelre, the Duke of Brabant and the Bishop of Utrecht. Friesland and Groningen in the north maintained their independence and were governed by the lower nobility. The various feudal states were in a state of almost continual war. Gelre and Holland fought for control of Utrecht. Utrecht, whose bishop had in 1000 ruled over half of what is today the Netherlands, was marginalised as it experienced continuing difficulty in electing new bishops. At the same time, the dynasties of neighbouring states were more stable. Groningen, Drenthe and most of Gelre, which used to be part of Utrecht, became independent. Brabant tried to conquer its neighbours, but was not successful. Holland also tried to assert itself in Zeeland and Friesland, but its attempts failed. The Frisians The language and culture of most of the people who lived in the area that is now Holland were originally Frisian. The sparsely populated area was known as "West Friesland" (Westfriesland). As Frankish settlement progressed, the Frisians migrated away or were absorbed and the area quickly became Dutch. (The part of North Holland situated north of Alkmaar is still colloquially known as West Friesland). The rest of Friesland in the north continued to maintain its independence during this time. It had its own institutions (collectively called the "Frisian freedom") and resented the imposition of the feudal system and the patriciate found in other European towns. They regarded themselves as allies of Switzerland. The Frisian battle cry was "better dead than a slave". They later lost their independence when they were defeated in 1498 by the German Landsknecht mercenaries of Duke Albrecht of Saxony-Meissen. The rise of Holland The center of power in these emerging independent territories was in the County of Holland. Originally granted as a fief to the Danish chieftain Rorik in return for loyalty to the emperor in 862, the region of Kennemara (the region around modern Haarlem) rapidly grew under Rorik's descendants in size and importance. By the early 11th century, Dirk III, Count of Holland was levying tolls on the Meuse estuary and was able to resist military intervention from his overlord, the Duke of Lower Lorraine. In 1083, the name "Holland" first appears in a deed referring to a region corresponding more or less to the current province of South Holland and the southern half of what is now North Holland. Holland's influence continued to grow over the next two centuries. The counts of Holland conquered most of Zeeland but it was not until 1289 that Count Floris V was able to subjugate the Frisians in West Friesland (that is, the northern half of North Holland). Expansion and growth Around 1000 AD there were several agricultural developments (described sometimes as an agricultural revolution) that resulted in an increase in production, especially food production. The economy started to develop at a fast pace, and the higher productivity allowed workers to farm more land or to become tradesmen. Much of the western Netherlands was barely inhabited between the end of the Roman period until around 1100 AD, when farmers from Flanders and Utrecht began purchasing the swampy land, draining it and cultivating it. This process happened quickly and the uninhabited territory was settled in a few generations. They built independent farms that were not part of villages, something unique in Europe at the time. Guilds were established and markets developed as production exceeded local needs. Also, the introduction of currency made trading a much easier affair than it had been before. Existing towns grew and new towns sprang into existence around monasteries and castles, and a mercantile middle class began to develop in these urban areas. Commerce and town development increased as the population grew. The Crusades were popular in the Low Countries and drew many to fight in the Holy Land. At home, there was relative peace. Viking pillaging had stopped. Both the Crusades and the relative peace at home contributed to trade and the growth in commerce. Cities arose and flourished, especially in Flanders and Brabant. As the cities grew in wealth and power, they started to buy certain privileges for themselves from the sovereign, including city rights, the right to self-government and the right to pass laws. In practice, this meant that the wealthiest cities became quasi-independent republics in their own right. Two of the most important cities were Bruges and Antwerp (in Flanders) which would later develop into some of the most important cities and ports in Europe. Hook and Cod Wars The Hook and Cod Wars () were a series of wars and battles in the County of Holland between 1350 and 1490. Most of these wars were fought over the title of count of Holland, but some have argued that the underlying reason was because of the power struggle of the traders in the cities against the ruling nobility. The Cod faction generally consisted of the more progressive cities of Holland. The Hook faction consisted for a large part of the conservative noblemen. Some of the main figures in this multi-generational conflict were William IV, Margaret, William V, William VI, Count of Holland and Hainaut, John and Philip the Good, Duke of Burgundy. But perhaps the most well known is Jacqueline, Countess of Hainaut. The conquest of the county of Holland by the Duke Philip the Good of Burgundy was an odd affair. Leading noblemen in Holland invited the duke to conquer Holland, even though he had no historical claim to it. Some historians say that the ruling class in Holland wanted Holland to integrate with the Flemish economic system and adopt Flemish legal institutions. Europe had been wracked by many civil wars in the 14th and 15th centuries, while Flanders had grown rich and enjoyed peace. Burgundian and Habsburg period (1433–1567) Burgundian period Most of what is now the Netherlands and Belgium was eventually united by the Duke of Burgundy in 1433. Before the Burgundian union, the Dutch identified themselves by the town they lived in, their local duchy or county or as subjects of the Holy Roman Empire. The Burgundian period is when the Dutch began the road to nationhood. Holland's trade developed rapidly, especially in the areas of shipping and transport. The new rulers defended Dutch trading interests. The fleets of Holland defeated the fleets of the Hanseatic League several times. Amsterdam grew and in the 15th century became the primary trading port in Europe for grain from the Baltic region. Amsterdam distributed grain to the major cities of Belgium, Northern France and England. This trade was vital to the people of Holland, because Holland could no longer produce enough grain to feed itself. Land drainage had caused the peat of the former wetlands to reduce to a level that was too low for drainage to be maintained. Habsburg rule from Spain Charles V (1500–1558) was born and raised in the Flemish city of Ghent; he spoke French. Charles extended the Burgundian territory with the annexation of Tournai, Artois, Utrecht, Groningen and Guelders. The Seventeen Provinces had been unified by Charles's Burgundian ancestors, but nominally were fiefs of either France or the Holy Roman Empire. When he was a minor, his aunt Margaret acted as regent until 1515. France relinquished its ancient claim on Flanders in 1528. From 1515 to 1523, Charles's government in the Netherlands had to contend with the rebellion of Frisian peasants (led by Pier Gerlofs Donia and Wijard Jelckama). Gelre attempted to build up its own state in northeast Netherlands and northwest Germany. Lacking funds in the 16th century, Gelre had its soldiers provide for themselves by pillaging enemy terrain. These soldiers were a great menace to the Burgundian Netherlands, as when they pillaged The Hague. The dukes of Burgundy over the years through astute marriages, purchases and wars, had taken control of the Seventeen Provinces that made up the Low Countries. They are now the Netherlands in the north, the Southern Netherlands (now Belgium) in the south, and Luxemburg in the southeast. Known as the "Burgundian Circle," these lands came under the control of the Habsburg family. Charles (1500–1558) became the owner in 1506, but in 1515 he left to become king of Spain and later became the Holy Roman Emperor. Charles turned over control to regents (his close relatives), and in practice rule was exercised by Spaniards he controlled. The provinces each had their own governments and courts, controlled by the local nobility, and their own traditions and rights ("liberties") dating back centuries. Likewise the numerous cities had their own legal rights and local governments, usually controlled by the merchants. On top of this the Spanish had imposed an overall government, the Estates General of the Netherlands, with its own officials and courts. The Spanish officials sent by Charles ignored traditions and the Dutch nobility as well as local officials, inciting an anti-Spanish sense of nationalism, and leading to the Dutch Revolt. With the emergence of the Protestant Reformation, Charles—now the Emperor—was determined to crush Protestantism and never compromise with it. Unrest began in the south, centered in the large rich metropolis of Antwerp. The Netherlands was an especially rich unit of the Spanish realm, especially after the Treaty of Cateau-Cambresis of 1559; it ended four decades of warfare between France and Spain and allowed Spain to reposition its army. In 1548, Charles granted the Netherlands status as an entity in which many of the laws of the Holy Roman Empire became obsolete. The "Transaction of Augsburg." created the Burgundian Circle of the Holy Roman Empire, which comprised the Netherlands and Franche-Comté. A year later the Pragmatic Sanction of 1549 stated that the Seventeen Provinces could only be passed on to his heirs as a composite entity. The Reformation During the 16th century, the Protestant Reformation rapidly gained ground in northern Europe, especially in its Lutheran and Calvinist forms. Dutch Protestants, after initial repression, were tolerated by local authorities. By the 1560s, the Protestant community had become a significant influence in the Netherlands, although it clearly formed a minority then. In a society dependent on trade, freedom and tolerance were considered essential. Nevertheless, the Catholic rulers Charles V, and later Philip II, made it their mission to defeat Protestantism, which was considered a heresy by the Catholic Church and a threat to the stability of the whole hierarchical political system. On the other hand, the intensely moralistic Dutch Protestants insisted their Biblical theology, sincere piety and humble lifestyle was morally superior to the luxurious habits and superficial religiosity of the ecclesiastical nobility. The rulers' harsh punitive measures led to increasing grievances in the Netherlands, where the local governments had embarked on a course of peaceful coexistence. In the second half of the century, the situation escalated. Philip sent troops to crush the rebellion and make the Netherlands once more a Catholic region. In the first wave of the Reformation, Lutheranism won over the elites in Antwerp and the South. The Spanish successfully suppressed it there, and Lutheranism only flourished in east Friesland. The second wave of the Reformation, came in the form of Anabaptism, that was popular among ordinary farmers in Holland and Friesland. Anabaptists were socially very radical and equalitarian; they believed that the apocalypse was very near. They refused to live the old way, and began new communities, creating considerable chaos. A prominent Dutch Anabaptist was Menno Simons, who initiated the Mennonite church. The movement was allowed in the north, but never grew to a large scale. The third wave of the Reformation, that ultimately proved to be permanent, was Calvinism. It arrived in the Netherlands in the 1540s, attracting both the elite and the common population, especially in Flanders. The Catholic Spanish responded with harsh persecution and introduced the Inquisition of the Netherlands. Calvinists rebelled. First there was the iconoclasm in 1566, which was the systematic destruction of statues of saints and other Catholic devotional depictions in churches. In 1566, William the Silent, a Calvinist, started the Eighty Years' War to liberate all Dutch of whatever religion from Catholic Spain. Blum says, "His patience, tolerance, determination, concern for his people, and belief in government by consent held the Dutch together and kept alive their spirit of revolt." The provinces of Holland and Zeeland, being mainly Calvinist by 1572, submitted to the rule of William. The other states remained almost entirely Catholic. Prelude to war The Netherlands was a valuable part of the Spanish Empire, especially after the Treaty of Cateau-Cambresis of 1559. This treaty ended a forty-year period of warfare between France and Spain conducted in Italy from 1521 to 1559. The Treaty of Cateau-Cambresis was somewhat of a watershed—not only for the battleground that Italy had been, but also for northern Europe. Spain had been keeping troops in the Netherlands to be ready to attack France from the north as well as from the south. With the settlement of so many major issues between France and Spain by the Treaty of Cateau-Cambresis, there was no longer any reason to keep Spanish troops in the Netherlands. Thus, the people of the Netherlands could get on with their peacetime pursuits. As they did so they found that there was a great deal of demand for their products. Fishing had long been an important part of the economy of the Netherlands. However, now the fishing of herring alone came to occupy 2,000 boats operating out of Dutch ports. Spain, still the Dutch trader's best customer, was buying fifty large ships full of furniture and household utensils from Flanders merchants. Additionally, Dutch woolen goods were desired everywhere. The Netherlands bought and processed enough Spanish wool to sell four million florins of wool products through merchants in Bruges. So strong was the Dutch appetite for raw wool at this time that they bought nearly as much English wool as they did Spanish wool. Total commerce with England alone amounted to 24 million florins. Much of the export going to England resulted in pure profit to the Dutch because the exported items were of their own manufacture. The Netherlands was just starting to enter its "Golden Age." Brabant and Flanders were the richest and most flourishing parts of the Dutch Republic at the time. The Netherlands was one of the richest places in the world. The population reached 3 million in 1560, with 25 cities of 10,000 people or more, by far the largest urban presence in Europe; with the trading and financial center of Antwerp being especially important (population 100,000). Spain could not afford to lose this rich land, nor allow it to fall from Catholic control. Thus came 80 years of warfare. A devout Catholic, Philip was appalled by the success of the Reformation in the Low Countries, which had led to an increasing number of Calvinists. His attempts to enforce religious persecution of the Protestants, and his centralization of government, law enforcement, and taxes, made him unpopular and led to a revolt. Fernando Alvarez de Toledo, Duke of Alba, was sent with a Spanish Army to punish the unruly Dutch in 1567. The only opposition the Duke of Alba faced in his march across the Netherlands were the nobles, Lamoral, Count of Egmont; Philippe de Montmorency, Count of Horn and others. With the approach of Alba and the Spanish army, William the Silent of Orange fled to Germany with his three brothers and his whole family on 11 April 1567. The Duke of Alba sought to meet and negotiate with the nobles that now faced him with armies. However, when the nobles arrived in Brussels they were all arrested and Egmont and Horn were executed. Alba then revoked all the prior treaties that Margaret, the Duchess of Parma had signed with the Protestants of the Netherlands and instituted the Inquisition to enforce the decrees of the Council of Trent. The Eighty Years' War (1568–1648) The Dutch War for Independence from Spain is frequently called the Eighty Years' War (1568–1648). The first fifty years (1568 through 1618) were uniquely a war between Spain and the Netherlands. During the last thirty years (1618–1648) the conflict between Spain and the Netherlands was submerged in the general European War that became known as the Thirty Years' War. The seven rebellious provinces of the Netherlands were eventually united by the Union of Utrecht in 1579 and formed the Republic of the Seven United Netherlands (also known as the "United Provinces"). The Act of Abjuration or Plakkaat van Verlatinghe was signed on 26 July 1581, and was the formal declaration of independence of the northern Low Countries from the Spanish king. William of Orange (Slot Dillenburg, 24 April 1533 – Delft, 10 July 1584), the founder of the Dutch royal family, led the Dutch during the first part of the war, following the death of Egmont and Horn in 1568. The very first years were a success for the Spanish troops. However, the Dutch countered subsequent sieges in Holland. In November and December 1572, all the citizens of Zutphen and Naarden were slaughtered by the Spanish. From 11 December that year the city of Haarlem was besieged, holding out for seven months until 13 July 1573. Oudewater was conquered by the Spanish on 7 August 1575, and most of its inhabitants were killed. Maastricht was besieged, sacked and destroyed twice in succession (in 1576 and 1579) by the Spanish. In a war composed mostly of sieges rather than battles, Governor-General Alexander Farnese proved his mettle. His strategy was to offer generous terms for the surrender of a city: there would be no more massacres or looting; historic urban privileges were retained; there was a full pardon and amnesty; return to the Catholic Church would be gradual. The conservative Catholics in the south and east supported the Spanish. Farnese recaptured Antwerp and nearly all of what became Belgium. Most of the Dutch-speaking territory in the Netherlands was taken from Spain, but not in Flanders, which to this day remains part of Belgium. Flanders was the most radical anti-Spanish territory. Many Flemish fled to Holland, among them half of the population of Antwerp, 3/4 of Bruges and Ghent and the entire population of Nieuwpoort, Dunkerque and countryside. His successful campaign gave the Catholics control of the lower half of the Low Countries, and was part of the Catholic Counter-Reformation. The war dragged on for another half century, but the main fighting was over. The Peace of Westphalia, signed in 1648, confirmed the independence of the United Provinces from Spain. The Dutch people started to develop a national identity since the 15th century, but they officially remained a part of the Holy Roman Empire until 1648. National identity was mainly formed by the province people came from. Holland was the most important province by far. The republic of the Seven Provinces came to be known as Holland across Europe. The Catholics in the Netherlands were an outlawed minority that had been suppressed by the Calvinists. After 1572, however, they made a striking comeback (also as part of the Catholic Counter-Reformation), setting up seminaries, reforming their Church, and sending missionaries into Protestant districts. Laity often took the lead; the Calvinist government often arrested or harassed priests who seemed too effective. Catholic numbers stabilized at about a third of the population in the Netherlands; they were strongest in the southeast. Golden Age During the Eighty Years' War the Dutch provinces became the most important trading centre of Northern Europe, replacing Flanders in this respect. During the Golden Age, there was a great flowering of trade, industry, the arts and the sciences in the Netherlands. In the 17th and 18th centuries, the Dutch were arguably the most economically wealthy and scientifically advanced of all European nations. This new, officially Calvinist nation flourished culturally and economically, creating what historian Simon Schama has called an "embarrassment of riches". Speculation in the tulip trade led to a first stock market crash in 1637, but the economic crisis was soon overcome. Due to these developments the 17th century has been dubbed the Golden Age of the Netherlands. The invention of the sawmill enabled the construction of a massive fleet of ships for worldwide trading and for defence of the republic's economic interests by military means. National industries such as shipyards and sugar refineries expanded as well. The Dutch, traditionally able seafarers and keen mapmakers, obtained an increasingly dominant position in world trade, a position which before had been occupied by the Portuguese and Spaniards. In 1602 the Dutch East India Company (Dutch: Verenigde Oostindische Compagnie or VOC) was founded. It was the first-ever multinational corporation, financed by shares that established the first modern stock exchange. It became the world's largest commercial enterprise of the 17th century. To finance the growing trade within the region, the Bank of Amsterdam was established in 1609, the precursor to, if not the first true central bank. Dutch ships hunted whales off Svalbard, traded spices in India and Indonesia (via the Dutch East India Company) and founded colonies in New Amsterdam (now New York), South Africa and the West Indies. In addition some Portuguese colonies were conquered, namely in Northeastern Brazil, Angola, Indonesia and Ceylon. In 1640 by the Dutch East India Company began a trade monopoly with Japan through the trading post on Dejima. The Dutch also dominated trade between European countries. The Low Countries were favorably positioned on a crossing of east–west and north–south trade routes and connected to a large German hinterland through the Rhine river. Dutch traders shipped wine from France and Portugal to the Baltic lands and returned with grain destined for countries around the Mediterranean Sea. By the 1680s, an average of nearly 1000 Dutch ships entered the Baltic Sea each year. The Dutch were able to gain control of much of the trade with the nascent English colonies in North America and following the end of war with Spain in 1648, Dutch trade with that country also flourished. Renaissance Humanism, of which Desiderius Erasmus (c. 1466–1536) was an important advocate, had also gained a firm foothold and was partially responsible for a climate of tolerance. Overall, levels of tolerance were sufficiently high to attract religious refugees from other countries, notably Jewish merchants from Portugal who brought much wealth with them. The revocation of the Edict of Nantes in France in 1685 resulted in the immigration of many French Huguenots, many of whom were shopkeepers or scientists. Still tolerance had its limits, as philosopher Baruch de Spinoza (1632–1677) would find out. Due to its climate of intellectual tolerance the Dutch Republic attracted scientists and other thinkers from all over Europe. Especially the renowned University of Leiden (established in 1575 by
trade developed rapidly, especially in the areas of shipping and transport. The new rulers defended Dutch trading interests. The fleets of Holland defeated the fleets of the Hanseatic League several times. Amsterdam grew and in the 15th century became the primary trading port in Europe for grain from the Baltic region. Amsterdam distributed grain to the major cities of Belgium, Northern France and England. This trade was vital to the people of Holland, because Holland could no longer produce enough grain to feed itself. Land drainage had caused the peat of the former wetlands to reduce to a level that was too low for drainage to be maintained. Habsburg rule from Spain Charles V (1500–1558) was born and raised in the Flemish city of Ghent; he spoke French. Charles extended the Burgundian territory with the annexation of Tournai, Artois, Utrecht, Groningen and Guelders. The Seventeen Provinces had been unified by Charles's Burgundian ancestors, but nominally were fiefs of either France or the Holy Roman Empire. When he was a minor, his aunt Margaret acted as regent until 1515. France relinquished its ancient claim on Flanders in 1528. From 1515 to 1523, Charles's government in the Netherlands had to contend with the rebellion of Frisian peasants (led by Pier Gerlofs Donia and Wijard Jelckama). Gelre attempted to build up its own state in northeast Netherlands and northwest Germany. Lacking funds in the 16th century, Gelre had its soldiers provide for themselves by pillaging enemy terrain. These soldiers were a great menace to the Burgundian Netherlands, as when they pillaged The Hague. The dukes of Burgundy over the years through astute marriages, purchases and wars, had taken control of the Seventeen Provinces that made up the Low Countries. They are now the Netherlands in the north, the Southern Netherlands (now Belgium) in the south, and Luxemburg in the southeast. Known as the "Burgundian Circle," these lands came under the control of the Habsburg family. Charles (1500–1558) became the owner in 1506, but in 1515 he left to become king of Spain and later became the Holy Roman Emperor. Charles turned over control to regents (his close relatives), and in practice rule was exercised by Spaniards he controlled. The provinces each had their own governments and courts, controlled by the local nobility, and their own traditions and rights ("liberties") dating back centuries. Likewise the numerous cities had their own legal rights and local governments, usually controlled by the merchants. On top of this the Spanish had imposed an overall government, the Estates General of the Netherlands, with its own officials and courts. The Spanish officials sent by Charles ignored traditions and the Dutch nobility as well as local officials, inciting an anti-Spanish sense of nationalism, and leading to the Dutch Revolt. With the emergence of the Protestant Reformation, Charles—now the Emperor—was determined to crush Protestantism and never compromise with it. Unrest began in the south, centered in the large rich metropolis of Antwerp. The Netherlands was an especially rich unit of the Spanish realm, especially after the Treaty of Cateau-Cambresis of 1559; it ended four decades of warfare between France and Spain and allowed Spain to reposition its army. In 1548, Charles granted the Netherlands status as an entity in which many of the laws of the Holy Roman Empire became obsolete. The "Transaction of Augsburg." created the Burgundian Circle of the Holy Roman Empire, which comprised the Netherlands and Franche-Comté. A year later the Pragmatic Sanction of 1549 stated that the Seventeen Provinces could only be passed on to his heirs as a composite entity. The Reformation During the 16th century, the Protestant Reformation rapidly gained ground in northern Europe, especially in its Lutheran and Calvinist forms. Dutch Protestants, after initial repression, were tolerated by local authorities. By the 1560s, the Protestant community had become a significant influence in the Netherlands, although it clearly formed a minority then. In a society dependent on trade, freedom and tolerance were considered essential. Nevertheless, the Catholic rulers Charles V, and later Philip II, made it their mission to defeat Protestantism, which was considered a heresy by the Catholic Church and a threat to the stability of the whole hierarchical political system. On the other hand, the intensely moralistic Dutch Protestants insisted their Biblical theology, sincere piety and humble lifestyle was morally superior to the luxurious habits and superficial religiosity of the ecclesiastical nobility. The rulers' harsh punitive measures led to increasing grievances in the Netherlands, where the local governments had embarked on a course of peaceful coexistence. In the second half of the century, the situation escalated. Philip sent troops to crush the rebellion and make the Netherlands once more a Catholic region. In the first wave of the Reformation, Lutheranism won over the elites in Antwerp and the South. The Spanish successfully suppressed it there, and Lutheranism only flourished in east Friesland. The second wave of the Reformation, came in the form of Anabaptism, that was popular among ordinary farmers in Holland and Friesland. Anabaptists were socially very radical and equalitarian; they believed that the apocalypse was very near. They refused to live the old way, and began new communities, creating considerable chaos. A prominent Dutch Anabaptist was Menno Simons, who initiated the Mennonite church. The movement was allowed in the north, but never grew to a large scale. The third wave of the Reformation, that ultimately proved to be permanent, was Calvinism. It arrived in the Netherlands in the 1540s, attracting both the elite and the common population, especially in Flanders. The Catholic Spanish responded with harsh persecution and introduced the Inquisition of the Netherlands. Calvinists rebelled. First there was the iconoclasm in 1566, which was the systematic destruction of statues of saints and other Catholic devotional depictions in churches. In 1566, William the Silent, a Calvinist, started the Eighty Years' War to liberate all Dutch of whatever religion from Catholic Spain. Blum says, "His patience, tolerance, determination, concern for his people, and belief in government by consent held the Dutch together and kept alive their spirit of revolt." The provinces of Holland and Zeeland, being mainly Calvinist by 1572, submitted to the rule of William. The other states remained almost entirely Catholic. Prelude to war The Netherlands was a valuable part of the Spanish Empire, especially after the Treaty of Cateau-Cambresis of 1559. This treaty ended a forty-year period of warfare between France and Spain conducted in Italy from 1521 to 1559. The Treaty of Cateau-Cambresis was somewhat of a watershed—not only for the battleground that Italy had been, but also for northern Europe. Spain had been keeping troops in the Netherlands to be ready to attack France from the north as well as from the south. With the settlement of so many major issues between France and Spain by the Treaty of Cateau-Cambresis, there was no longer any reason to keep Spanish troops in the Netherlands. Thus, the people of the Netherlands could get on with their peacetime pursuits. As they did so they found that there was a great deal of demand for their products. Fishing had long been an important part of the economy of the Netherlands. However, now the fishing of herring alone came to occupy 2,000 boats operating out of Dutch ports. Spain, still the Dutch trader's best customer, was buying fifty large ships full of furniture and household utensils from Flanders merchants. Additionally, Dutch woolen goods were desired everywhere. The Netherlands bought and processed enough Spanish wool to sell four million florins of wool products through merchants in Bruges. So strong was the Dutch appetite for raw wool at this time that they bought nearly as much English wool as they did Spanish wool. Total commerce with England alone amounted to 24 million florins. Much of the export going to England resulted in pure profit to the Dutch because the exported items were of their own manufacture. The Netherlands was just starting to enter its "Golden Age." Brabant and Flanders were the richest and most flourishing parts of the Dutch Republic at the time. The Netherlands was one of the richest places in the world. The population reached 3 million in 1560, with 25 cities of 10,000 people or more, by far the largest urban presence in Europe; with the trading and financial center of Antwerp being especially important (population 100,000). Spain could not afford to lose this rich land, nor allow it to fall from Catholic control. Thus came 80 years of warfare. A devout Catholic, Philip was appalled by the success of the Reformation in the Low Countries, which had led to an increasing number of Calvinists. His attempts to enforce religious persecution of the Protestants, and his centralization of government, law enforcement, and taxes, made him unpopular and led to a revolt. Fernando Alvarez de Toledo, Duke of Alba, was sent with a Spanish Army to punish the unruly Dutch in 1567. The only opposition the Duke of Alba faced in his march across the Netherlands were the nobles, Lamoral, Count of Egmont; Philippe de Montmorency, Count of Horn and others. With the approach of Alba and the Spanish army, William the Silent of Orange fled to Germany with his three brothers and his whole family on 11 April 1567. The Duke of Alba sought to meet and negotiate with the nobles that now faced him with armies. However, when the nobles arrived in Brussels they were all arrested and Egmont and Horn were executed. Alba then revoked all the prior treaties that Margaret, the Duchess of Parma had signed with the Protestants of the Netherlands and instituted the Inquisition to enforce the decrees of the Council of Trent. The Eighty Years' War (1568–1648) The Dutch War for Independence from Spain is frequently called the Eighty Years' War (1568–1648). The first fifty years (1568 through 1618) were uniquely a war between Spain and the Netherlands. During the last thirty years (1618–1648) the conflict between Spain and the Netherlands was submerged in the general European War that became known as the Thirty Years' War. The seven rebellious provinces of the Netherlands were eventually united by the Union of Utrecht in 1579 and formed the Republic of the Seven United Netherlands (also known as the "United Provinces"). The Act of Abjuration or Plakkaat van Verlatinghe was signed on 26 July 1581, and was the formal declaration of independence of the northern Low Countries from the Spanish king. William of Orange (Slot Dillenburg, 24 April 1533 – Delft, 10 July 1584), the founder of the Dutch royal family, led the Dutch during the first part of the war, following the death of Egmont and Horn in 1568. The very first years were a success for the Spanish troops. However, the Dutch countered subsequent sieges in Holland. In November and December 1572, all the citizens of Zutphen and Naarden were slaughtered by the Spanish. From 11 December that year the city of Haarlem was besieged, holding out for seven months until 13 July 1573. Oudewater was conquered by the Spanish on 7 August 1575, and most of its inhabitants were killed. Maastricht was besieged, sacked and destroyed twice in succession (in 1576 and 1579) by the Spanish. In a war composed mostly of sieges rather than battles, Governor-General Alexander Farnese proved his mettle. His strategy was to offer generous terms for the surrender of a city: there would be no more massacres or looting; historic urban privileges were retained; there was a full pardon and amnesty; return to the Catholic Church would be gradual. The conservative Catholics in the south and east supported the Spanish. Farnese recaptured Antwerp and nearly all of what became Belgium. Most of the Dutch-speaking territory in the Netherlands was taken from Spain, but not in Flanders, which to this day remains part of Belgium. Flanders was the most radical anti-Spanish territory. Many Flemish fled to Holland, among them half of the population of Antwerp, 3/4 of Bruges and Ghent and the entire population of Nieuwpoort, Dunkerque and countryside. His successful campaign gave the Catholics control of the lower half of the Low Countries, and was part of the Catholic Counter-Reformation. The war dragged on for another half century, but the main fighting was over. The Peace of Westphalia, signed in 1648, confirmed the independence of the United Provinces from Spain. The Dutch people started to develop a national identity since the 15th century, but they officially remained a part of the Holy Roman Empire until 1648. National identity was mainly formed by the province people came from. Holland was the most important province by far. The republic of the Seven Provinces came to be known as Holland across Europe. The Catholics in the Netherlands were an outlawed minority that had been suppressed by the Calvinists. After 1572, however, they made a striking comeback (also as part of the Catholic Counter-Reformation), setting up seminaries, reforming their Church, and sending missionaries into Protestant districts. Laity often took the lead; the Calvinist government often arrested or harassed priests who seemed too effective. Catholic numbers stabilized at about a third of the population in the Netherlands; they were strongest in the southeast. Golden Age During the Eighty Years' War the Dutch provinces became the most important trading centre of Northern Europe, replacing Flanders in this respect. During the Golden Age, there was a great flowering of trade, industry, the arts and the sciences in the Netherlands. In the 17th and 18th centuries, the Dutch were arguably the most economically wealthy and scientifically advanced of all European nations. This new, officially Calvinist nation flourished culturally and economically, creating what historian Simon Schama has called an "embarrassment of riches". Speculation in the tulip trade led to a first stock market crash in 1637, but the economic crisis was soon overcome. Due to these developments the 17th century has been dubbed the Golden Age of the Netherlands. The invention of the sawmill enabled the construction of a massive fleet of ships for worldwide trading and for defence of the republic's economic interests by military means. National industries such as shipyards and sugar refineries expanded as well. The Dutch, traditionally able seafarers and keen mapmakers, obtained an increasingly dominant position in world trade, a position which before had been occupied by the Portuguese and Spaniards. In 1602 the Dutch East India Company (Dutch: Verenigde Oostindische Compagnie or VOC) was founded. It was the first-ever multinational corporation, financed by shares that established the first modern stock exchange. It became the world's largest commercial enterprise of the 17th century. To finance the growing trade within the region, the Bank of Amsterdam was established in 1609, the precursor to, if not the first true central bank. Dutch ships hunted whales off Svalbard, traded spices in India and Indonesia (via the Dutch East India Company) and founded colonies in New Amsterdam (now New York), South Africa and the West Indies. In addition some Portuguese colonies were conquered, namely in Northeastern Brazil, Angola, Indonesia and Ceylon. In 1640 by the Dutch East India Company began a trade monopoly with Japan through the trading post on Dejima. The Dutch also dominated trade between European countries. The Low Countries were favorably positioned on a crossing of east–west and north–south trade routes and connected to a large German hinterland through the Rhine river. Dutch traders shipped wine from France and Portugal to the Baltic lands and returned with grain destined for countries around the Mediterranean Sea. By the 1680s, an average of nearly 1000 Dutch ships entered the Baltic Sea each year. The Dutch were able to gain control of much of the trade with the nascent English colonies in North America and following the end of war with Spain in 1648, Dutch trade with that country also flourished. Renaissance Humanism, of which Desiderius Erasmus (c. 1466–1536) was an important advocate, had also gained a firm foothold and was partially responsible for a climate of tolerance. Overall, levels of tolerance were sufficiently high to attract religious refugees from other countries, notably Jewish merchants from Portugal who brought much wealth with them. The revocation of the Edict of Nantes in France in 1685 resulted in the immigration of many French Huguenots, many of whom were shopkeepers or scientists. Still tolerance had its limits, as philosopher Baruch de Spinoza (1632–1677) would find out. Due to its climate of intellectual tolerance the Dutch Republic attracted scientists and other thinkers from all over Europe. Especially the renowned University of Leiden (established in 1575 by the Dutch stadtholder, William of Oranje, as a token of gratitude for Leiden's fierce resistance against Spain during the Eighty Years' War) became a gathering place for these people. For instance French philosopher René Descartes lived in Leiden from 1628 until 1649. Dutch lawyers were famous for their knowledge of international law of the sea and commercial law. Hugo Grotius (1583–1645) played a leading part in the foundation of international law. Again due to the Dutch climate of tolerance, book publishers flourished. Many books about religion, philosophy and science that might have been deemed controversial abroad were printed in the Netherlands and secretly exported to other countries. Thus during the 17th century the Dutch Republic became more and more Europe's publishing house. Christiaan Huygens (1629–1695) was a famous astronomer, physicist and mathematician. He invented the pendulum clock, which was a major step forward towards exact timekeeping. He contributed to the fields of optics. The most famous Dutch scientist in the area of optics is certainly Anton van Leeuwenhoek (1632-1723), who invented or greatly improved the microscope (opinions differ) and was the first to methodically study microscopic life, thus laying the foundations for the field of microbiology. Famous Dutch hydraulic engineer Jan Leeghwater (1575–1650) gained important victories in the Netherlands's eternal battle against the sea. Leeghwater added a considerable amount of land to the republic by converting several large lakes into polders, pumping all water out with windmills. Painting was the dominant art form in 17th-century Holland. Dutch Golden Age painting followed many of the tendencies that dominated Baroque art in other parts of Europe, as with the Utrecht Caravaggisti, but was the leader in developing the subjects of still life, landscape, and genre painting. Portraiture were also popular, but history painting – traditionally the most-elevated genre struggled to find buyers. Church art was virtually non-existent, and little sculpture of any kind produced. While art collecting and painting for the open market was also common elsewhere, art historians point to the growing number of wealthy Dutch middle-class and successful mercantile patrons as driving forces in the popularity of certain pictorial subjects. Today, the best-known painters of the Dutch Golden Age are the period's most dominant figure Rembrandt, the Delft master of genre Johannes Vermeer, the innovative landscape painter Jacob van Ruisdael, and Frans Hals, who infused new life into portraiture. Some notable artistic styles and trends include Haarlem Mannerism, Utrecht Caravaggism, the School of Delft, the Leiden fijnschilders, and Dutch classicism. Due to the thriving economy, cities expanded greatly. New town halls, weighhouses and storehouses were built. Merchants that had gained a fortune ordered a new house built along one of the many new canals that were dug out in and around many cities (for defence and transport purposes), a house with an ornamented façade that befitted their new status. In the countryside, many new castles and stately homes were built. Most of them have not survived. Starting at 1595 Reformed churches were commissioned, many of which are still landmarks today. The most famous Dutch architects of the 17th century were Jacob van Campen, Pieter Post, Pieter Vingbooms, Lieven de Key, Hendrick de Keyser. Overall, Dutch architecture, which generally combined traditional building styles with some foreign elements, did not develop to the level of painting. The Golden Age was also an important time for developments in literature. Some of the major figures of this period were Gerbrand Adriaenszoon Bredero, Jacob Cats, Pieter Corneliszoon Hooft and Joost van den Vondel. Since Latin was the lingua franca of education, relatively few men could speak, write, and read Dutch all at the same time. Music did not develop very much in the Netherlands since the Calvinists considered it an unnecessary extravagance, and organ music was forbidden in Reformed Church services, although it remained common at secular functions. Dutch Empire The Dutch in the Americas The Dutch West India Company was a chartered company (known as the "GWC") of Dutch merchants. On 2 June 1621, it was granted a charter for a trade monopoly in the West Indies (meaning the Caribbean) by the Republic of the Seven United Netherlands and given jurisdiction over the African slave trade, Brazil, the Caribbean, and North America. Its area of operations stretched from West Africa to the Americas, and the Pacific islands. The company became instrumental in the Dutch colonization of the Americas. The first forts and settlements in Guyana and on the Amazon River date from the 1590s. Actual colonization, with Dutch settling in the new lands, was not as common as with England and France. Many of the Dutch settlements were lost or abandoned by the end of that century, but the Netherlands managed to retain possession of Suriname and a number of Dutch Caribbean islands. The colony was a private business venture to exploit the fur trade in beaver pelts. New Netherland was slowly settled during its first decades, partially as a result of policy mismanagement by the Dutch West India Company (WIC), and conflicts with Native Americans. During the 1650s, the colony experienced dramatic growth and became a major port for trade in the Atlantic World, tolerating a highly diverse ethnic mix. The surrender of Fort Amsterdam to the British control in 1664 was formalized in 1667, contributing to the Second Anglo–Dutch War. In 1673 the Dutch re-took the area, but later relinquished it under the 5 April 1674 Treaty of Westminster ending the Third Anglo-Dutch War. Descendants of the original settlers played a prominent role in the History of the United States, as typified by the Roosevelt and Vanderbilt families. The Hudson Valley still boasts a Dutch heritage. The concepts of civil liberties and pluralism introduced in the province became mainstays of American political and social life. Slave trade Although slavery was illegal inside the Netherlands it flourished in the Dutch Empire, and helped support the economy. In 1619 The Netherlands took the lead in building a large-scale slave trade between Africa and Virginia, by 1650 becoming the pre-eminent slave trading country in Europe. It was overtaken by Britain around 1700. Historians agree that in all the Dutch shipped about 550,000 African slaves across the Atlantic, about 75,000 of whom died on board before reaching their destinations. From 1596 to 1829, the Dutch traders sold 250,000 slaves in the Dutch Guianas, 142,000 in the Dutch Caribbean islands, and 28,000 in Dutch Brazil. In addition, tens of thousands of slaves, mostly from India and some from Africa, were carried to the Dutch East Indies and slaves from the East Indies to Africa and the West Indies. The Dutch in Asia: The Dutch East India Company The Dutch East India Company, called the VOC, began in 1602, when the government gave it a monopoly to trade with Asia, mainly to Mughal India. It had many world firsts—the first multinational corporation, the first company to issue stock, and was the first megacorporation, possessing quasi-governmental powers, including the ability to wage war, negotiate treaties, coin money, and establish colonial settlements. England and France soon copied its model but could not match its record. Between 1602 and 1796 the VOC sent almost a million Europeans to work in the Asia trade on 4,785 ships. It returned over 2.5 million tons of Asian trade goods. The VOC enjoyed huge profits from its spice monopoly through most of the 17th century. The VOC was active chiefly in the Dutch East Indies, now Indonesia, where its base was Batavia (now Jakarta), which remained an important trading concern and paid an 18% annual dividend for almost 200 years; colonized parts of Taiwan between 1624–1662 and 1664–1667 and the only western trading post in Japan, Dejima. During the period of Proto-industrialization, the empire received 50% of textiles and 80% of silks import from the India's Mughal Empire, chiefly from its most developed region known as Bengal Subah. By the 17th century, the Dutch East India Company established their base in parts of Ceylon (modern-day Sri Lanka). Afterward, they established ports in Dutch occupied Malabar, leading to Dutch settlements and trading posts in India. However, their expansion into India was halted, after their defeat in the Battle of Colachel by the Kingdom of Travancore, during the Travancore-Dutch War. The Dutch never recovered from the defeat and no longer posed a large colonial threat to India. Eventually, the Dutch East India Company was weighted down by corruption, the VOC went bankrupt in 1800. Its possessions were taken over by the government and turned into the Dutch East Indies. The Dutch in Africa In 1647, a Dutch vessel was wrecked in the present-day Table Bay at Cape Town. The marooned crew, the first Europeans to attempt settlement in the area, built a fort and stayed for a year until they were rescued. Shortly thereafter, the Dutch East India Company (in the Dutch of the day: Vereenigde Oostindische Compagnie, or VOC) decided to establish a permanent settlement. The VOC, one of the major European trading houses sailing the spice route to East Asia, had no intention of colonizing the area, instead wanting only to establish a secure base camp where passing ships could shelter, and where hungry sailors could stock up on fresh supplies of meat, fruit, and vegetables. To this end, a small VOC expedition under the command of Jan van Riebeeck reached Table Bay on 6 April 1652. To remedy a labour shortage, the VOC released a small number of VOC employees from their contracts and permitted them to establish farms with which they would supply the VOC settlement from their harvests. This arrangement proved highly successful, producing abundant supplies of fruit, vegetables, wheat, and wine; they also later raised livestock. The small initial group of "free burghers", as these farmers were known, steadily increased in number and began to expand their farms further north and east. The majority of burghers had Dutch ancestry and belonged to the Calvinist Reformed Church of the Netherlands, but there were also numerous Germans as well as some Scandinavians. In 1688 the Dutch and the Germans were joined by French Huguenots, also Calvinists, who were fleeing religious persecution in France under King Louis XIV. The Huguenots in South Africa were absorbed into the Dutch population but they played a prominent role in South Africa's history. From the beginning, the VOC used the cape as a place to supply ships travelling between the Netherlands and the Dutch East Indies. There was a close association between the cape and these Dutch possessions in the far east. Van Riebeeck and the VOC began to import large numbers of slaves, primarily from Madagascar and Indonesia. These slaves often married Dutch settlers, and their descendants became known as the Cape Coloureds and the Cape Malays. During the 18th century, the Dutch settlement in the area of the cape grew and prospered. By the late 1700s, the Cape Colony was one of the best developed European settlements outside Europe or the Americas. The two bases of the Cape Colony's economy for almost the entirety of its history were shipping and agriculture. Its strategic position meant that almost every ship sailing between Europe and Asia stopped off at the colony's capital Cape Town. The supplying of these ships with fresh provisions, fruit, and wine provided a very large market for the surplus produce of the colony. Some free burghers continued to expand into the rugged hinterlands of the north and east, many began to take up a semi-nomadic pastoralist lifestyle, in some ways not far removed from that of the Khoikhoi they had displaced. In addition to its herds, a family might have a wagon, a tent, a Bible, and a few guns. As they became more settled, they would build a mud-walled cottage, frequently located, by choice, days of travel from the nearest European settlement. These were the first of the Trekboers (Wandering Farmers, later shortened to Boers), completely independent of official controls, extraordinarily self-sufficient, and isolated from the government and the main settlement in Cape Town. Dutch was the official language, but a dialect had formed that was quite distinct from Dutch. The Afrikaans language originated mainly from 17th-century Dutch dialects. This Dutch dialect sometimes referred to as the "kitchen language" (kombuistaal), would eventually in the late 19th century be recognised as a distinct language called Afrikaans and replace Dutch as the official language of the Afrikaners. As the 18th century drew to a close, Dutch mercantile power began to fade and the British moved in to fill the vacuum. They seized the Cape Colony in 1795 to prevent it from falling into French hands, then briefly relinquished it back to the Dutch (1803), before definitively conquering it in 1806. British sovereignty of the area was recognised at the Congress of Vienna in 1815. By the time the Dutch colony was seized by the British in 1806, it had grown into an established settlement with 25,000 slaves, 20,000 white colonists, 15,000 Khoisan, and 1,000 freed black slaves. Outside Cape Town and the immediate hinterland, isolated black and white pastoralists populated the country. Dutch interest in South Africa was mainly as a strategically located VOC port. Yet in the 17th and 18th centuries the Dutch created the foundation of the modern state of South Africa. The Dutch legacy in South Africa is evident everywhere, but particularly in the Afrikaner people and the Afrikaans language. Dutch Republic: Regents and Stadholders (1649–1784) The Netherlands gained independence from Spain as a result of the Eighty Years' War, during which the Dutch Republic was founded. As the Netherlands was a republic, it was largely governed by an aristocracy of city-merchants called the regents, rather than by a king. Every city and province had its own government and laws, and a large degree of autonomy. After attempts to find a competent sovereign proved unsuccessful, it was decided that sovereignty would be vested in the various provincial Estates, the governing bodies of the provinces. The Estates-General, with its representatives from all the provinces, would decide on matters important to the Republic as a whole. However, at the head of each province was the stadtholder of that province, a position held by a descendant of the House of Orange. Usually the stadtholdership of several provinces was held by a single man. After having gained its independence in 1648, the Netherlands tried in various coalitions to help to contain France, which had replaced Spain as the strongest nation of Europe. The end of the War of the Spanish Succession (1713) marked the end of the Dutch Republic as a major player. In the 18th century, it just tried to maintain its independence and stuck to a policy of neutrality. The economy, based on Amsterdam's role as the center of world trade, remained robust. In 1670 the Dutch merchant marine totalled 568,000 tons of shipping—about half the European total. The province of Holland was highly commercial and dominated the country. Its nobility was small and closed and had little influence, for it was numerically small, politically weak, and formed a strictly closed caste. Most land in the province of Holland was commercialized for cash crops and was owned by urban capitalists, not nobles; there were few links between Holland's nobility and the merchants. By 1650 the burgher families which had grown wealthy through commerce and become influential in government controlled the province of Holland, and to a large extent shaped national policies. The other six provinces were more rural and traditional in life style, had an active nobility, and played a small role in commerce and national politics. Instead they concentrated on their flood protections and land reclamation projects. Refugees The Netherlands sheltered many notable refugees, including Protestants from Antwerp and Flanders, Portuguese and German Jews, French Protestants (Huguenots) (including Descartes) and English Dissenters (including the Pilgrim Fathers). Many immigrants came to the cities of Holland in the 17th and 18th century from the Protestant parts of Germany and elsewhere. The amount of first generation immigrants from outside the Netherlands in Amsterdam was nearly 50% in the 17th and 18th centuries. Indeed, Amsterdam's population consisted primarily of immigrants, if one includes second and third generation immigrants and migrants from the Dutch countryside. People in most parts of Europe were poor and many were unemployed. But in Amsterdam there was always work. Tolerance was important, because a continuous influx of immigrants was necessary for the economy. Travellers visiting Amsterdam reported their surprise at the lack of control over the influx. Economic growth The era of explosive economic growth is roughly coterminous with the period of social and cultural bloom that has been called the Dutch Golden Age, and that actually formed the material basis for that cultural era. Amsterdam became the hub of world trade, the center into which staples and luxuries flowed for sorting, processing, and distribution, and then reexported around Europe and the world. During 1585 through 1622 there was the rapid accumulation of trade capital, often brought in by refugee merchantes from Antwerp and other ports. The money was typically invested in high-risk ventures like pioneering expeditions to the East Indies to engage in the spice trade. These ventures were soon consolidated in the Dutch East India Company (VOC). There were similar ventures in different fields however, like the trade on Russia and the Levant. The profits of these ventures were ploughed back in the financing of new trade, which led to its exponential growth. Rapid industrialization led to the rapid growth of the nonagricultural labor force and the increase in real wages during the same time. In the half-century between 1570 and 1620 this labor supply increased 3 percent per annum, a truly phenomenal growth. Despite this, nominal wages were repeatedly increased, outstripping price increases. In consequence, real wages for unskilled laborers were 62 percent higher in 1615–1619 than in 1575–1579. Amsterdam By the mid-1660s Amsterdam had reached the optimum population (about 200,000) for the level of trade, commerce and agriculture then available to support it. The city contributed the largest quota in taxes to the States of Holland which in turn contributed over half the quota to the States General. Amsterdam was also one of the most reliable in settling tax demands and therefore was able to use the threat to withhold such payments to good effect. Amsterdam was governed by a body of regents, a large, but closed, oligarchy with control over all aspects of the city's life, and a dominant voice in the foreign affairs of Holland. Only men with sufficient wealth and a long enough residence within the city could join the ruling class. The first step for an ambitious and wealthy merchant family was to arrange a marriage with a long-established regent family. In the 1670s one such union, that of the Trip family (the Amsterdam branch of the Swedish arms makers) with the son of Burgomaster Valckenier, extended the influence and patronage available to the latter and strengthened his dominance of the council. The oligarchy in Amsterdam thus gained strength from its breadth and openness. In the smaller towns family interest could unite members on policy decisions but contraction through intermarriage could lead to the degeneration of the quality of the members. In Amsterdam the network was so large that members of the same family could be related to opposing factions and pursue widely separated interests. The young men who had risen to positions of authority in the 1670s and 1680s consolidated their hold on office well into the 1690s and even the new century. Amsterdam's regents provided good services to residents. They spent heavily on the water-ways and other essential infrastructure, as well as municipal almshouses for the elderly, hospitals and churches. Amsterdam's wealth was generated by its commerce, which was in turn sustained by the judicious encouragement of entrepreneurs whatever their origin. This open door policy has been interpreted as proof of a tolerant ruling class. But toleration was practiced for the convenience of the city. Therefore, the wealthy Sephardic Jews from Portugal were welcomed and accorded all privileges except those of citizenship, but the poor Ashkenazi Jews from Eastern Europe were far more carefully vetted and those who became dependent on the city were encouraged to move on. Similarly, provision for the housing of Huguenot immigrants was made in 1681 when Louis XIV's religious policy was beginning to drive these Protestants out of France; no encouragement was given to the dispossessed Dutch from the countryside or other towns of Holland. The regents encouraged immigrants to build churches and provided sites or buildings for churches and temples for all except the most radical sects and the Catholics by the 1670s (although even the Catholics could practice quietly in a chapel within the Beguinhof). First Stadtholderless Period and the Anglo-Dutch Wars (1650–1674) During the wars a tension had arisen between the Orange-Nassau leaders and the patrician merchants. The former—the Orangists—were soldiers and centralizers who seldom spoke of compromise with the enemy and looked for military solutions. They included many rural gentry as well as ordinary folk attached to the banner of the House of Orange. The latter group were the Republicans, led by the Grand Pensionary (a sort of prime minister) and the regents stood for localism, municipal rights, commerce, and peace. In 1650, the stadtholder William II, Prince of Orange suddenly died; his son was a baby and the Orangists were leaderless. The regents seized the opportunity: there would be no new stadtholder in Holland for 22 years. Johan de Witt, a brilliant politician and diplomat, emerged as the dominant figure. Princes of Orange became the stadtholder and an almost hereditary ruler in 1672 and 1748. The Dutch Republic of the United Provinces was a true republic from 1650 to 1672 and 1702–1748. These periods are called the First Stadtholderless Period and Second Stadtholderless Period. Anglo-Dutch wars The Republic and England were major rivals in world trade and naval power. Halfway through the 17th century the Republic's navy was the rival of Britain's Royal Navy as the most powerful navy in the world. The Republic fought a series of three naval wars against England in 1652–1674. In 1651, England imposed its first Navigation Act, which severely hurt Dutch trade interests. An incident at sea concerning the Act resulted in the First Anglo-Dutch War, which lasted from 1652 to 1654, ending in the Treaty of Westminster (1654), which left the Navigation Act in effect. After the English Restoration in 1660, Charles II tried to serve his dynastic interests by attempting to make Prince William III of Orange, his nephew, stadtholder of the Republic, using some military pressure. King Charles thought a naval war would weaken the Dutch traders and strengthen the English economy and empire, so the Second Anglo-Dutch War was launched in 1665. At first many Dutch ships were captured and the English scored great victories. However, the Raid on the Medway, in June 1667, ended the war with a Dutch victory. The Dutch recovered their trade, while the English economy was seriously hurt and its treasury nearly bankrupt. The greatly expanded Dutch navy was for years after the world's strongest. The Dutch Republic was at the zenith of its power. Franco-Dutch War and Third Anglo-Dutch War (1672–1702) The year 1672 is known in the Netherlands as the "Disaster Year" (Rampjaar). England declared war on the Republic, (the Third Anglo-Dutch War), followed by France, Münster and Cologne, which had all signed alliances against the Republic. France, Cologne and Münster invaded the Republic. Johan de Witt and his brother Cornelis, who had accomplished a diplomatic balancing act for a long time, were now the obvious scapegoats. They were lynched, and a new stadtholder, William III, was appointed. An Anglo-French attempt to land on the Dutch shore was barely repelled in three desperate naval battles under command of Admiral Michiel de Ruyter. The advance of French troops from the south was halted by a costly inundation of its own heartland, by breaching river dikes. With the aid of friendly German princes, the Dutch succeeded in fighting back Cologne and Münster, after which the peace was signed with both of them, although some territory in the east was lost forever. Peace was signed with England as well, in 1674 (Second Treaty of Westminster). In 1678, peace was made with France at the Treaty of Nijmegen, although France's Spanish and German allies felt betrayed by this. In 1688, the relations with England reached crisis level once again. Stadtholder William III decided he had to take a huge gamble when he was invited to invade England by Protestant British nobles feuding with William's father-in-law the Catholic James II of England. This led to the Glorious Revolution and cemented the principle of parliamentary rule and Protestant ascendency in England. James fled to France, and William ascended to the English throne as co-monarch with his wife Mary, James' eldest daughter. This manoeuvre secured England as a critical ally of the United Provinces in its ongoing wars with Louis XIV of France. William was the commander of the Dutch and English armies and fleets until his death in 1702. During William's reign as King of England, his primary focus was leveraging British manpower and finances to aid the Dutch against the French. The combination continued after his death as the combined Dutch, British, and mercenary army conquered Flanders and Brabant, and invaded French territory before the alliance collapsed in 1713 due to British political infighting. Second Stadtholderless Period (1702–1747) The Second Stadtholderless Period () is the designation in Dutch historiography of the period between the death of stadtholder William III on 19 March 1702 and the appointment of William IV, Prince of Orange as stadtholder and captain general in all provinces of the Dutch Republic on 2 May 1747. During this period the office of stadtholder was left vacant in the provinces of Holland, Zeeland, and Utrecht, though in other provinces that office was filled by members of the House of Nassau-Dietz (later called Orange-Nassau) during various periods. During the period, the Republic lost its Great-Power status and its primacy in world trade, processes that went hand-in-hand, the latter causing the former. Though the economy declined considerably, causing deindustralization and deurbanization in the maritime provinces, a rentier-class kept accumulating a large capital fund that formed the basis for the leading position the Republic achieved in the international capital market. A military crisis at the end of the period caused the fall of the States-Party regime and the restoration of the Stadtholderate in all provinces. However, though the new stadtholder acquired near-dictatorial powers, this did not improve the situation. Economic decline after 1730 The slow economic decline after 1730 was relative: other countries grew faster, eroding the Dutch lead and surpassing it. Wilson identifies three causes. Holland lost its world dominance in trade as competitors emerged and copied its practices, built their own ships and ports, and traded on their own account directly without going through Dutch intermediaries. Second, there was no growth in manufacturing, due perhaps to a weaker sense of industrial entrepreneurship and to the high wage scale. Third the wealthy turned their investments to foreign loans. This helped jump-start other nations and provided the Dutch with a steady income from collecting interest, but leaving them with few domestic sectors with a potential for rapid growth. After the Dutch fleet declined, merchant interests became dependent on the goodwill of Britain. The main focus of Dutch leaders was reducing the country's considerable budget deficits. Dutch trade and shipping remained at a fairly steady level through the 18th century, but no longer had a near monopoly and also could not match growing English and French competition. The Netherlands lost its position as the trading centre of Northern Europe to London. Although the Netherlands remained wealthy, investors for the nation's money became more difficult to find. Some investment went into purchases of land for estates, but most went to foreign bonds and Amsterdam remained one of Europe's banking capitals. Culture and society Dutch culture also declined both in the arts and sciences. Literature for example largely imitated English and French styles with little in the way of innovation or originality. The most influential intellectual was Pierre Bayle (1647–1706), a Protestant refugee from France who settled in Rotterdam where he wrote the massive Dictionnaire Historique et Critique (Historical and Critical Dictionary, 1696). It had a major impact on the thinking of The Enlightenment across Europe, giving an arsenal of weapons to critics who wanted to attack religion. It was an encyclopaedia of ideas that argued that most "truths" were merely opinions, and that gullibility and stubbornness were prevalent. Life for the average Dutchman became slower and more relaxed than in the 18th century. The upper and middle classes continued to enjoy prosperity and high living standards. The drive to succeed seemed less urgent. Unskilled laborers remained locked in poverty and hardship. The large underclass of unemployed beggars and riffraff required government and private charity to survive. Religious life became more relaxed as well. Catholics grew from 18% to 23% of the population during the 18th century and enjoyed greater tolerance, even as they continued to be outside the political system. They became divided by the feud between moralistic Jansenists (who denied free will) and orthodox believers. One group of Jansenists formed a splinter sect, the Old Catholic Church in 1723. The upper classes willingly embraced the ideas of the Enlightenment, tempered by the tolerance that meant less hostility to organized religion compared to France. The Orangist revolution (1747–1751) During the term of Anthonie van der Heim as Grand Pensionary from 1737 to 1746, the Republic slowly drifted into the War of Austrian Succession. This started as a Prusso-Austrian conflict, but eventually all the neighbours of the Dutch Republic became involved. On one side were Prussia, France and their allies and on the other Austria, Britain (after 1744) and their allies. At first the Republic strove to remain neutral in this European conflict, but it maintained garrisons in a number of fortresses in the Austrian Netherlands. French grievances and threats spurred the Republic into bring its army up to European standards (84,000 men in 1743) In 1744 and 1745 the French attacked Dutch fortresses at Menen and Tournai. This prompted the Dutch Republic in 1745 to join the Quadruple Alliance, but this alliance was severely defeated at the Battle of Fontenoy in May 1745. In 1746 the French occupied most of the large cities in the Austrian Netherlands. Then, in April 1747, apparently as an exercise in armed diplomacy, a relatively small French military force occupied Zeelandic Flanders, part of the Dutch Republic. This relatively innocuous invasion fully exposed the rot underlying the Dutch defences. The consequences were spectacular. Still mindful of the French invasion in the "Disaster Year" of 1672, many fearful people clamored for the restoration of the stadtholderate. William IV, Prince of Orange, had been waiting impatiently in the wings since acquiring his princely title in 1732. Over the next year he and his supporters engaged in a number of political battles in various provinces and towns in the Netherlands to wrest control from the regents. The aim was for William IV to obtain a firm grip on government patronage and place loyal officials in all strategic government positions. Eventually he managed to achieve this aim in all provinces. Willem Bentinck van Rhoon was a prominent Orangist. People like Bentinck hoped that gathering the reins of power in the hands of a single "eminent head" would soon help restore the state of the Dutch economy and finances. The regents they opposed included the Grand Pensionary Jacob Gilles and Adriaen van der Hoop. This popular revolt had religious, anti-Catholic and democratic overtones and sometimes involved mob violence. It eventually involved political agitation by Daniel Raap, Jean Rousset de Missy and the Doelisten, attacks on tax farmers (pachtersoproer), religious agitation for enforcement of the Sabbath laws and preference for followers of Gisbertus Voetius and various demands by the civil militia. The war against the French was itself brought to a not-too-devastating end for the Dutch Republic with the Treaty of Aix-la-Chapelle (1748). The French retreated of their own accord from the Dutch frontier. William IV died unexpectedly, at the age of 40, on 22 October 1751. Regency and indolent rule (1752–1779) His son, William V, was 3 years old when his father died, and a long regency characterised by corruption and misrule began. His mother delegated most of the powers of the regency to Bentinck and her favorite, Duke Louis Ernest of Brunswick-Lüneburg. All power was concentrated in the hands of an unaccountable few, including the Frisian nobleman Douwe Sirtema van Grovestins. Still a teenager, William V assumed the position of stadtholder in 1766, the last to hold that office. In 1767, he married Princess Wilhelmina of Prussia, the daughter of Augustus William of Prussia, niece of Frederick the Great. The position of the Dutch during the American War of Independence was one of neutrality. William V, leading the pro-British faction within the government, blocked attempts by pro-independence, and later pro-French, elements to drag the government to war. However, things came to a head with the Dutch attempt to join the Russian-led League of Armed Neutrality, leading to the outbreak of the disastrous Fourth Anglo-Dutch War in 1780. After the signing of the Treaty of Paris (1783), the impoverished nation grew restless under William's rule. An English historian summed him up uncharitably as "a Prince of the profoundest lethargy and most abysmal stupidity." And yet he would guide his family through the difficult French-Batavian period and his son would be crowned king. Fourth Anglo-Dutch War (1780–1784) The Fourth Anglo–Dutch War (1780–1784) was a conflict between the Kingdom of Great Britain and the Dutch Republic. The war, tangentially related to the American Revolutionary War, broke out over British and Dutch disagreements on the legality and conduct of Dutch trade with Britain's enemies in that war. Although the Dutch Republic did not enter into a formal alliance with the United States and their allies, U.S. ambassador (and future President) John Adams managed to establish diplomatic relations with the Dutch Republic, making it the second European country to diplomatically recognize the Continental Congress in April 1782. In October 1782, a treaty of amity and commerce was concluded as well. Most of the war consisted of a series of largely successful British operations against Dutch colonial economic interests, although British and Dutch naval forces also met once off the Dutch coast. The war ended disastrously for the Dutch and exposed the weakness of the political and economic foundations of the country. The Treaty of Paris (1784), according to Fernand Braudel, "sounded the knell of Dutch greatness." The French-Batavian period (1785–1815) After the war with Great Britain ended disastrously in 1784, there was growing unrest and a rebellion by the anti-Orangist Patriots. The French Revolution resulted first in the establishment of a pro-French Batavian Republic (1795–1806), then the creation of the Kingdom of Holland, ruled by a member of the House of Bonaparte (1806–1810), and finally annexation by the French Empire (1810–1813). Patriot rebellion and its suppression (1785–1795) Influenced by the American Revolution, the Patriots sought a more democratic form of government. The opening shot of this revolution is often considered to be the 1781 publication of a manifesto called Aan het Volk van Nederland ("To the People of the Netherlands") by Joan van der Capellen tot den Pol, who would become an influential leader of the Patriot movement. Their aim was to reduce corruption and the power held by the stadtholder, William V, Prince of Orange. Support for the Patriots came mostly from the middle class. They formed militias called exercitiegenootschappen. In 1785, there was an open Patriot rebellion, which took the form of an armed insurrection by local militias in certain Dutch towns, Freedom being the rallying cry. Herman Willem Daendels attempted to organise an overthrow of various municipal governments (vroedschap). The goal was to oust government officials and force new elections. "Seen as a whole this revolution was a string of violent and confused events, accidents, speeches, rumours, bitter enmities and armed confrontations", wrote French historian Fernand Braudel, who saw it as a forerunner of the French Revolution. In 1785 the stadholder left The Hague and moved his court to Nijmegen in Guelders, a city remote from the heart of Dutch political life. In June 1787, his energetic wife Wilhelmina (the sister of Frederick William II of Prussia) tried to travel to The Hague. Outside Schoonhoven, she was stopped by Patriot militiamen and taken to a farm near Goejanverwellesluis. Within two days she was forced to return to Nijmegen, an insult not unnoticed in Prussia. The House of Orange reacted with severity, relying on Prussian troops led by Charles William Ferdinand, Duke of Brunswick and a small contingent of British troops to suppress the rebellion. Dutch banks at this time still held much of the world's capital. Government-sponsored banks owned up to 40% of Great Britain's national debt and there were close connections to the House of Stuart. The stadholder had supported British policies after the American Revolution. This severe military response overwhelmed the Patriots and put the stadholder firmly back in control. A small unpaid Prussian army was billeted in the Netherlands and supported themselves by looting and extortion. The exercitiegenootschappen continued urging citizens to resist the government. They distributed pamphlets, formed "Patriot Clubs" and held public demonstrations. The government responded by pillaging those towns where opposition continued. Five leaders were sentenced to death (but fled first). Lynchings also occurred. For a while, no one dared appear in public without an orange cockade to show their support for Orangism. Many Patriots, perhaps around 40,000 in all, fled to Brabant, France (especially Dunkirk and St. Omer) and elsewhere. However, before long the French became involved in Dutch politics and the tide turned. Batavian Republic (1795–1806) The French Revolution was popular, and numerous underground clubs were promoting it when in January 1795 the French army invaded. The underground rose up, overthrew the municipal and provincial governments, and proclaimed the Batavian Republic () in Amsterdam. Stadtholder William V fled to England and the States General dissolved itself. The new government was virtually a puppet of France. The Batavian Republic enjoyed widespread support and sent soldiers to fight in the French armies. The 1799 Anglo-Russian invasion of Holland was repulsed by Batavian–French forces. Nevertheless, Napoleon replaced it because the regime of Grand Pensionary Rutger Jan Schimmelpenninck (1805–1806) was insufficiently docile. The confederal structure of the old Dutch Republic was permanently replaced by a unitary state. The 1798 constitution had a genuinely democratic character, though a coup d'état of 1801 put an authoritarian regime in power. Ministerial government was introduced for the first time in Dutch history and many of the current government departments date their history back to this period. Meanwhile, the exiled stadholder handed over the Dutch colonies in "safekeeping" to Great Britain and ordered the colonial governors to comply. This permanently ended the colonial empire in Guyana, Ceylon and the Cape Colony. The Dutch East Indies was returned to the Netherlands under the Anglo-Dutch Treaty of 1814. Kingdom of Holland to William I (1806–1815) In 1806 Napoleon restyled the Netherlands (along with a small part of what is now Germany) into the Kingdom of Holland, putting his brother Louis Bonaparte (1778–1846), on the throne. The new king was unpopular, but he was willing to cross his brother for the benefit of his new kingdom. Napoleon forced his abdication in 1810 and incorporated the Netherlands directly into the French empire, imposing economic controls and conscription of all young men as soldiers. When the French retreated from the northern provinces in 1813, a Triumvirate took over at the helm of a provisional government. Although most members of the provisional government had been among the men who had driven out William V 18 years earlier, the leaders of the provisional government knew that any new regime would have to be headed by his son, William Frederick. They also knew that it would be better in the long term if the Dutch people themselves installed the prince, rather than have him imposed on the country by the anti-French alliance. Accordingly, the Triumvirate called William Frederick back on 30 November and offered him the crown. He refused, but instead proclaimed himself "hereditary sovereign prince" on 6 December. The Great Powers had secretly agreed to merge the northern Netherlands with the more populated Austrian Netherlands and the smaller Prince-Bishopric of Liège into a single constitutional monarchy. Having a stronger country on France's northern border was considered (especially by Tsar Alexander) to be an important part of the strategy to keep France's power in check. In 1814, William Frederick gained sovereignty over the Austrian Netherlands and Liège as well. Thus, William Frederick had fulfilled his family's three-century quest to unite the Low Countries under a single rule. On 15 March 1815; with the encouragement of the powers gathered at the Congress of Vienna, William Frederick raised the Netherlands to the status of a kingdom and proclaimed himself King William I. This was made official later in 1815, when the Low Countries were formally recognized as the United Kingdom of the Netherlands. The crown was made a hereditary office of the House of Orange-Nassau. United Kingdom of the Netherlands (1815–1839) William I became king and also became the hereditary Grand Duke of Luxembourg, that was part of the Netherlands but at the same time part of the German Confederation. The newly created country had two capitals: Amsterdam and Brussels. The new nation had two equal parts. The north (Netherlands proper) had 2 million people. They spoke chiefly Dutch but were divided religiously between a Protestant majority and a large Catholic minority. The south (which would be known as "Belgium" after 1830) had a population of 3.4 million people. Nearly all were Catholic, but it was divided between French-speaking Walloons and Dutch-speaking Flemings. The upper and middle classes in the south were mostly French-speaking. About 60,000 Belgians were eligible to vote, compared to about 80,000 Dutchmen. Officially Amsterdam was the capital, but in a compromise the government met alternately in Brussels and The Hague. Adolphe Quetelet (1796–1874), the great Belgian statistician, calculated that the new nation was significantly better off than other states. Mortality was low, the food supply was good, education was good, public awareness was high and the charity rate was the highest in the world. The best years were in the mid-1820s. The quality of schooling was dismal, however. According to Schama, about 1800 the local school teacher was the "humble auxiliary of the local priest. Despised by his co-villagers and forced to subsist on the gleanings of the peasants, he combined drumming the catechism into the heads of his unruly charges with the duties of winding the town clock, ringing the church bells or digging its graves. His principal use to the community was to keep its boys out of mischief when there was no labour for them in the fields, or setting the destitute orphans of the town to the 'useful arts' of picking tow or spinning crude flax. As one would expect, standards in such an occupation were dismal." But in 1806 the Dutch, led by Adriaan van den Ende, energetically set out to modernise education, focusing on a new system for advanced training of teachers with an elaborate system of inspectors, training courses, teacher examinations and teaching societies. By 1826, although much smaller than France, the Dutch national government was spending 12 times more than Paris on education. Constitutional monarchy William I, who reigned from 1815 to 1840, had great constitutional power. An enlightened despot, he accepted the modernizing transformations of the previous 25 years, including equality of all before the law. However, he resurrected the estates as a political class and elevated a large number of people to the nobility. Voting rights were still limited, and only the nobility were eligible for seats in the upper house. The old provinces were reestablished in name only. The government was now fundamentally unitary, and all authority flowed from the center. William I was a Calvinist and unsympathetic to the religious culture and practices of the Catholic majority. He promulgated the "Fundamental Law of Holland", with some modifications. This entirely overthrew the old order of things in the southern Netherlands: it abolished the privileges of the Catholic Church, and guaranteed equal protection to every religious creed and the enjoyment of the same civil and political rights to every subject of the king. It reflected the spirit of the French Revolution and in so doing did not please the Catholic bishops in the south, who had detested the Revolution. William I actively promoted economic modernization. The first 15 years of the Kingdom showed progress and prosperity, as industrialization proceeded rapidly in the south, where the Industrial Revolution allowed entrepreneurs and labor to combine in a new textile industry, powered by local coal mines. There was little industry in the northern provinces, but most overseas colonies were restored, and highly profitable trade resumed after a 25-year hiatus. Economic liberalism combined with moderate monarchical authoritarianism accelerated the adaptation of the Netherlands to the new conditions of the 19th century. The country prospered until a crisis arose in relations with the southern provinces. Belgium breaks away William was determined to create a united people, even though the north and south had drifted far apart in the past three centuries. Protestants were the largest denomination in the North (population 2 million), but formed a quarter of the population in the overwhelmingly Catholic South (population 3.5 million). Nevertheless, Protestants dominated William's government and army. The Catholics did not consider themselves an integral part of the United Netherlands, preferring instead to identify with mediaeval Dutch culture. Other factors that contributed to this feeling were economic (the South was industrialising, the North had always been a merchants' nation) and linguistic (French was spoken in Wallonia and a large part of the bourgeoisie in Flemish cities). After having been dominant for centuries, the French-speaking elite in the Southern Netherlands now felt like second-class citizens. In the Catholic South, William's policies were unpopular. The French-speaking Walloons strenuously rejected his attempt to make Dutch the universal language of government, while the population of Flanders was divided. Flemings in the south spoke a Dutch dialect ("Flemish") and welcomed the encouragement of Dutch with a revival of literature and popular culture. Other Flemings, notably the educated bourgeoisie, preferred to speak French. Although Catholics possessed legal equality, they resented their subordination to a government that was fundamentally Protestant in spirit and membership after having been the state church for centuries in the south. Few Catholics held high office in state or army. Furthermore, political liberals in the south complained about the king's authoritarian methods. All southerners complained of underrepresentation in the national legislature. Although the south was industrializing and was more prosperous than the north the accumulated grievances allowed the multiple opposition forces to coalesce. The outbreak of revolution in France in 1830 was a signal for action, at first on behalf of autonomy for Belgium, as the southern provinces were now called, and later on behalf of total independence. William dithered and his half-hearted efforts to reconquer Belgium were thwarted both by the efforts of the Belgians themselves and by the diplomatic opposition of the great powers. At the London Conference of 1830, the chief powers of Europe ordered (in November 1830) an armistice between the Dutch and the Belgians. The first draft for a treaty of separation of Belgium and the Netherlands was rejected by the Belgians. A second draft (June 1831) was rejected by William I, who resumed hostilities. Franco-British intervention forced William to withdraw Dutch forces from Belgium late in 1831, and in 1833 an armistice of indefinite duration was concluded. Belgium was effectively independent but William's attempts to recover Luxembourg and Limburg led to renewed tension. The London Conference of 1838–1839 prepared the final Dutch-Belgian separation treaty of 1839. It divided Luxembourg and Limburg between the Dutch and Belgian crowns. The Kingdom of the Netherlands thereafter was made up of the 11 northern provinces. Democratic and Industrial Development (1840–1900) The Netherlands did not industrialize as rapidly as Belgium after 1830, but it was prosperous enough. Griffiths argues that certain government policies facilitated the emergence of a national economy in the 19th century. They included the abolition of internal tariffs and guilds, a unified coinage system, modern methods of tax collection, standardized weights and measures, and the building of many roads, canals, and railroads. However, compared to Belgium, which was leading in industrialization on the Continent, the Netherlands moved slowly. Possible explanations for this difference are the higher costs due to geography and high wages, and the emphasis of entrepreneurs on trade rather than industry. For example, in the Dutch coastal provinces agricultural productivity was relatively high. Hence, industrial growth arrived relatively late – after 1860 – because incentives to move to labour-intensive industry were quite weak. However, the provinces of North Brabant and Overijssel did industrialize, and they became the most economically advanced areas of the country. As in the rest of Europe, the 19th century saw the gradual transformation of the Netherlands into a modern middle-class industrial society. The number of people employed in agriculture decreased, while the country made a strong effort to revive its stake in the highly competitive shipping and trade business. The Netherlands lagged behind Belgium until the late 19th century in industrialization, and caught up around 1920. Major industries included textiles and (later) the great Philips industrial conglomerate. Rotterdam became a major shipping and manufacturing center. Poverty slowly declined as begging largely disappeared along with steadily improving working conditions for the population. 1848 Constitutional reform and liberalism In 1840 William I abdicated in favor of his son, William II, who attempted to carry on the policies of his father in the face of a powerful liberal movement. In 1848 unrest broke out all over Europe. Although there were no major events in the Netherlands, these foreign developments persuaded King William II to agree to liberal and democratic reform. That same year Johan Rudolf Thorbecke, a prominent liberal, was asked by the king to draft a constitution that would turn the Netherlands into a constitutional monarchy. The new constitution was proclaimed on 3 November 1848. It severely limited the king's powers (making the government accountable only to an elected parliament), and it protected civil liberties. The new liberal constitution, which put the government under the control of the States General, was accepted by the legislature in 1848. The relationship between monarch, government and parliament has remained essentially unchanged ever since. William II was succeeded by William III in 1849. The new king reluctantly chose Thorbecke to head the new government, which introduced several liberal measures, notably the extension of suffrage. However, Thorbecke's government soon fell, when Protestants rioted against the Vatican's reestablishment of the Catholic episcopate, in abeyance since the 16th century. A conservative government was formed, but it did not undo the liberal measures, and the Catholics were finally given equality after two centuries of subordination. Dutch political history from the middle of the 19th century until the First World War was fundamentally one of the extension of liberal reforms in government, the reorganization and modernization of the Dutch economy, and the rise of trade unionism and socialism as working-class movements independent of traditional liberalism. The growth in prosperity was enormous, as real per capita GNP soared from 106 guilders in 1804 to 403 in 1913. Religion and pillarisation Religion was a contentious issue with repeated struggles over the relations of church and state in the field of education. In 1816, the government took full control of the Dutch Reformed Church (Nederlands Hervormde Kerk). In 1857, all religious instruction was ended in public schools, but the various churches set up their own schools, and even universities. Dissident members broke away from the Dutch Reformed Church in the Secession of 1834. They were harassed by the government under an onerous Napoleonic law prohibiting gatherings of more than 20 members without a permit. After the harassment ended in the 1850s, a number of these dissidents eventually created the Christian Reformed Church in 1869; thousands migrated to Michigan, Illinois, and Iowa in the United States. By 1900, the dissidents represented about 10% of the population, compared to 45% of the population who were in the Dutch Reformed Church, which continued to be the only church to receive state money. At mid-century, most Dutch belonged either to the Dutch Reformed Church or dissenter groups that separated from it (around 55%), or the Roman Catholic Church (35% to 40%), together with smaller Protestant (for example, Lutheran) and Jewish groups. A large and powerful sector of nominal Protestants were in fact secular liberals seeking to minimize religious influence. In reaction a novel alliance developed with Catholics and devout Calvinists joining against secular liberals. The Catholics, who had been loosely allied with the liberals in earlier decades, turned against them on the issue of state support, which the liberals insisted should be granted only to public schools, and joined with Protestant political parties in demanding equal state support to schools maintained by religious groups. The Netherlands remained one of the most tolerant countries in Europe towards religious belief, although conservative Protestants objected to the liberalization of the Dutch Reformed Church during the 19th century and faced opposition from the government when they tried to establish separate communities (Catholics and other non-Protestants were left unmolested by Dutch authorities). Some moved to the United States as a consequence, but as the century drew to a close, religious persecution had totally ceased. Dutch social and political life became divided by fairly clear-cut internal borders that were emerging as the society pillarized into three separate parts based on religion. The economy was not affected. One of the people most responsible for designing pillarization was Abraham Kuyper (1837–1920), a leading politician, neo-Calvinist theologian, and journalist. Kuyper established orthodox Calvinist organizations, and also provided a theoretical framework by developing such concepts as "sphere-sovereignty" that celebrated Dutch society as a society of organized minorities. Verzuiling ("pillarization" or "pluralism") after 1850 became the solution to the danger of internal conflict. Everyone was part of one (and only one) pillar (zuil) based chiefly on religion (Protestant, Catholic, secular). The secular pillar eventually split into a socialist/working class pillar and a liberal (pro-business) secular pillar. Each pillar built a full set of its own social organizations, including churches (for the religious pillars), political parties, schools, universities, labor unions, sport clubs, boy scout unions and other youth clubs, and newspapers. The members of different zuilen lived in close proximity in cities and villages, spoke the same language, and did business with one another, but seldom interacted informally and rarely intermarried. In politics Kuyper formed the Anti-Revolutionary Party (ARP) in 1879, and headed it until 1905. Pillarization was officially recognized in the Pacification of 1917, whereby socialists and liberals achieved their goal of universal male suffrage and the religious parties were guaranteed equal funding of all schools. In 1930 radio was organized so that each pillar had full control of its own network. When television began in the late 1940s the pillars divided up time equally on the one station. In politics and civic affairs leaders of the pillar organizations cooperated and they acknowledged the right of the other pillars, so public life generally ran smoothly. Flourishing of art, culture and science The late 19th century saw a cultural revival. The Hague School brought a revival of realist painting, 1860–1890. The world-famous Dutch painter was Vincent van Gogh, but he spent most of his career in France. Literature, music, architecture and science also flourished. A representative leader of science was Johannes Diderik van der Waals (1837–1923), a working class youth who taught himself physics, earned a PhD at the nation's leading school Leiden University, and in 1910 won the Nobel Prize for his discoveries in thermodynamics. Hendrik Lorentz (1853–1928) and his student Pieter Zeeman (1865–1943) shared the 1902 Nobel Prize in physics. Other notable scientists included biologist Hugo de Vries (1848–1935), who rediscovered Mendelian genetics. 1900 to 1940 In 1890, William III died after a long reign and was succeeded by his young daughter, Queen Wilhelmina (1880–1962). She would rule the Netherlands for 58 years. On her accession to the throne, the personal union between the Netherlands and Luxembourg ended because Luxembourg law excluded women from rule. Her remote cousin Adolphe became the Grand Duke of Luxembourg. This was a time of further growth and colonial development, but it was marked by the difficulties of World War I (in which the Netherlands was neutral) and the Great Depression. The Dutch population grew rapidly in the 20th century, as death rates fell, more lands were opened up, and industrialisation created urban jobs. Between 1900 and 1950 the population doubled from 5.1 to 10 million people. Colonial focus The Dutch empire comprised the Dutch East Indies (Indonesia), as well as Surinam in South America and some minor possessions. It was smaller in 1945 than in 1815 because the Netherlands was the only colonial power that did not expand into Africa or anywhere else. The empire was run from Batavia (in Java), where the governor and his technical experts had almost complete authority with little oversight from The Hague. Successive governors improved their bureaucratic and military controls, and allowed very little voice to the locals until the 1920s. The colony brought economic opportunity to the mother country and there was little concern at the time about it. One exception came in 1860 when Eduard Dekker, under the pen name "Multatuli" wrote the novel Max Havelaar: Or the Coffee Auctions of the Dutch Trading Company, one of the most notable books in the history of Dutch literature. He criticized the exploitation of the colony and as well had harsh words about the indigenous princes who collaborated with the governor. The book helped inspire the Indonesian independence movement in the mid-20th century as well as the "Fair trade" movement for coffee at the end of the century. The military forces in the Dutch East Indies were controlled by the governor and were not part of the regular Dutch army. As the map shows, the Dutch slowly expanded their holdings from their base in Java to include all of modern Indonesia by 1920. Most islands were not a problem but there was a long, costly campaign against the Achin (Aceh) state in northern Sumatra. The Netherlands had not fought a major military campaign since the 1760s, and the strength of its armed forces had gradually dwindled. The Dutch decided not to ally themselves with anyone, and kept out of all European wars, especially the First World War that swirled about it. Neutrality during the First World War The German war plan (the Schlieffen Plan) of 1905 was modified in 1908 to invade Belgium on the way to Paris but not the Netherlands. It supplied many essential raw materials to Germany such as rubber, tin, quinine, oil and food. The British used its blockade to limit supplies that the Dutch could pass on. There were other factors that made it expedient for both the Allies and the Central Powers for the Netherlands to remain neutral. The Netherlands controlled the mouths of the Scheldt, the Rhine and the Meuse rivers. Germany had an interest in the Rhine since it ran through the industrial areas of the Ruhr and connected it with the Dutch port of Rotterdam. Britain had an interest in the Scheldt and the Meuse flowed from France. All countries had an interest in keeping the others out of the Netherlands so that no one's interests could be taken away or be changed. If one country were to have invaded the Netherlands, another would certainly have counterattacked to defend their own interest in the rivers.
she has taken an overdose of sleeping pills, and will be dead by midnight, Harold rushes Maude to the hospital. After learning of Maude's death, Harold is shown speeding down a country road, and sending the car off a seaside cliff. After the crash, the final shot reveals Harold standing calmly atop the cliff, holding his banjo and wearing colorful clothing for the first time in the film. After gazing down at the wreckage, he dances away to "If You Want to Sing Out, Sing Out". Cast Ruth Gordon as Dame Marjorie "Maude" Chardin, a 79-year-old free spirit. Maude believes in living each day to the full, and "trying something new every day". Her view of life is so joyful that, true to the film's motif, it crosses a blurred, shifting line into a carefree attitude toward death as well. We know little of her past, but learn that as a young woman she was once a radical suffragette who fought off police constables with her umbrella. also that she lived in pre-war Vienna, was once married, and has a Nazi concentration camp tattoo on her arm. Bud Cort as Harold Parker Chasen, a young man who is obsessed with death. He drives a hearse, attends funerals of strangers and stages elaborate fake suicides. Through meeting and falling in love with Maude, he discovers joy in living for the first time. Vivian Pickles as Mrs. Chasen, Harold's opulently wealthy mother, is controlling, snooty and seemingly incapable of affection. Hoping to force him into respectability, Mrs. Chasen replaces Harold's beloved hearse with a Jaguar (which he then converts to a miniature hearse), and sets up several blind dates (more accurately, "bride interviews") for her son. Cyril Cusack as Glaucus, the sculptor who makes an ice statue of Maude and lends them his tools to transport a tree. Charles Tyner as General Victor Ball, Harold's uncle who lost an arm in the war and now pulls a hidden cord to make his wire prosthetic "salute". At Mrs. Chasen's request, he attempts to prepare Harold to join the armed forces. The effort is thwarted by a planned stunt in which Harold appears to "kill" Maude. Eric Christmas as the Priest. George Wood as Harold's psychiatrist. Ellen Geer as Sunshine Doré, an actress, Harold's third blind date. She is one of the few arranged dates who take part in mimicking Harold's suicides, giving a histrionic rendition of Juliet's death scene. Judy Engles as Candy Gulf, Harold's first blind date, whom he scares off by apparently setting himself on fire. Shari Summers as Edith Phern, Harold's second blind date, whom he dissuades by pretending to cut off his hand. Tom Skerritt (credited as "M. Borman") as the Motorcycle Officer who stops Maude and Harold. Director Hal Ashby appears in an uncredited cameo, seen at a penny arcade watching a model train at the Santa Cruz Beach Boardwalk. Production UCLA film school student Colin Higgins wrote Harold and Maude as his master's thesis. While working as producer Edward Lewis's pool boy, Higgins showed the script to Lewis's wife, Mildred. Mildred was so impressed that she got Edward to give it to Stanley Jaffe at Paramount. Higgins sold the script with the understanding that he would direct the film but he was told he wasn't ready, after tests he shot proved unsatisfactory to the studio heads. Ashby would only commit to directing the film after getting Higgins' blessing and then, so Higgins could watch and learn from him on the set, Ashby made Higgins a co-producer. Higgins says he originally thought of the story as a play. It then became a 20-minute thesis while at film school. The film script was turned into a novel and then a play, which ran for several years in Paris. Ashby felt that the actress portraying Maude should ideally be European and his list of possible actresses included dames Peggy Ashcroft, Edith Evans, Gladys Cooper, and Celia Johnson as well as Lotte Lenya, Luise Rainer, Pola Negri, Minta Durfee, and Agatha Christie. Ruth Gordon indicated that in addition she heard that Edwige Feuillère, Elisabeth Bergner, Mildred Natwick, Mildred Dunnock, and Dorothy Stickney had been considered. For Harold, in addition to Bud Cort, Ashby considered all promising unknowns, Richard Dreyfuss, Bob Balaban, and John Savage. Also on his list were John Rubinstein, for whom Higgins had written the part, and then-up-and-coming British pop star Elton John, whom Ashby had seen live and hoped would also do the music. Anne Brebner, the casting director, was almost cast as Harold's mother, when Vivian Pickles was briefly unable to do the role. Novelization A novelization by Higgins was released alongside the film; they differ in several respects, including the film's omission of certain scenes and characters. Other different details include the novel's version of Maude having white hair (unlike Ruth Gordon in the film) and introducing herself as "the Countess Mathilde Chardin," a different name and title than used in the film. In the novel, Maude's home is characterized as a "cottage" (unlike the retired railroad car Maude inhabits in the movie), and she and Harold briefly interact with Maude's neighbor, Madame Arouet, who is not present in the film. The novel includes an additional scene during the tree-planting expedition where Maude leads Harold in climbing to the top of a very tall pine tree to show him the view over the forest from near its summit. Release Critical response Harold and Maude received mixed reviews, with several critics being offended by the film's dark humor. Roger Ebert, in a review dated January 1, 1972, gave the film one-and-a-half out of four stars. He wrote, "And so what we get, finally, is a movie of attitudes. Harold is death, Maude life, and they manage to make the two seem so similar that life's hardly worth the extra bother. The visual style makes everyone look fresh from the Wax Museum, and all the movie lacks is a lot of day-old gardenias and lilies and roses in the lobby, filling the place with a cloying sweet smell. Nothing more to report today. Harold doesn't even make pallbearer." Vincent Canby also panned the film, stating that the actors "are so aggressive, so creepy and off-putting, that
the novel's version of Maude having white hair (unlike Ruth Gordon in the film) and introducing herself as "the Countess Mathilde Chardin," a different name and title than used in the film. In the novel, Maude's home is characterized as a "cottage" (unlike the retired railroad car Maude inhabits in the movie), and she and Harold briefly interact with Maude's neighbor, Madame Arouet, who is not present in the film. The novel includes an additional scene during the tree-planting expedition where Maude leads Harold in climbing to the top of a very tall pine tree to show him the view over the forest from near its summit. Release Critical response Harold and Maude received mixed reviews, with several critics being offended by the film's dark humor. Roger Ebert, in a review dated January 1, 1972, gave the film one-and-a-half out of four stars. He wrote, "And so what we get, finally, is a movie of attitudes. Harold is death, Maude life, and they manage to make the two seem so similar that life's hardly worth the extra bother. The visual style makes everyone look fresh from the Wax Museum, and all the movie lacks is a lot of day-old gardenias and lilies and roses in the lobby, filling the place with a cloying sweet smell. Nothing more to report today. Harold doesn't even make pallbearer." Vincent Canby also panned the film, stating that the actors "are so aggressive, so creepy and off-putting, that Harold and Maude are obviously made for each other, a point the movie itself refuses to recognize with a twist ending that betrays, I think, its life-affirming pretensions." According to Danny Peary, author of the Cult Movies series: "The film was a runaway cult favorite, and, most memorably, in Minneapolis, residents actually picketed the Westgate Theater, and tried to get the management to replace the picture after a consecutive three-year run." The reputation of the film has increased greatly; Rotten Tomatoes, which labeled the film as "Certified Fresh", gave it a score of 85% based on 46 reviews, with an average score of 7.66/10. A consensus on the site read, "Hal Ashby's comedy is too dark and twisted for some, and occasionally oversteps its bounds, but there's no denying the film's warm humor and big heart." In 2005, the Writers Guild of America ranked the screenplay #86 on its list of 101 Greatest Screenplays ever written. Sight & Sound magazine conducts a poll every ten years of the world's finest film directors, to find out the Ten Greatest Films of All Time. This poll has been going since 1992 and has become the most recognized poll of its kind in the world. In 2012, Niki Caro, Wanuri Kahiu, and Cyrus Frisch voted for Harold and Maude. Frisch commented: "An encouragement to think beyond the obvious!" In 2017, Chicago Tribune critic Mark Caro wrote a belated appreciation, "I'm sorry, Harold and Maude, for denying you for so long. You're my favorite movie once again." Home media The Criterion Collection released Harold and Maude for Region 1 on DVD and Blu-ray on June 12, 2012, including a collection of audio excerpts of director Hal Ashby from January 11, 1972 and of screenwriter Colin Higgins from January 10, 1979, a new video interview with Yusuf/Cat Stevens, a new audio commentary by Ashby biographer Nick Dawson and producer Charles B. Mulvehill, and a booklet which includes a new film essay by Matt Zoller Seitz. Exclusive to the Blu-ray edition are a new digital restoration of the film with an uncompressed monaural soundtrack and an optional remastered uncompressed stereo soundtrack. Other exclusives are a New York Times profile of actress Ruth Gordon from 1971, an interview from 1997 with actor Bud Cort and cinematographer John Alonzo, and an interview from 2001 with executive producer Mildred Lewis. Accolades At the 29th Golden Globe Awards, Bud Cort and Ruth Gordon were nominated as Best Actor and Best Actress in a Musical or Comedy film, respectively. The film was selected for preservation in the National Film Registry in 1997, along with others deemed "culturally, historically or aesthetically significant" by the Library of Congress. Harold and Maude has repeatedly been ranked among the various lists compiled by the American Film Institute. In 2000 the film ranked #45 on the list of 100 Years... 100 Laughs, the top hundred comedies. Two years later Harold and Maude ranked #69 on the AFI list 100 Years... 100 Passions, honoring the most romantic films of the past century. In 2006 the film ranked #89 on the AFI list 100 Years...100 Cheers, recognizing the most inspiring movies. In June 2008 AFI revealed its 10 Top 10: the best ten films in ten "classic" American film genres, placing Harold and Maude at #9 in the romantic comedy genre. In September 2008 Empire ranked Harold and Maude #65 among their 500 Greatest Movies of All Time. Entertainment Weekly ranked the film #4 on their list of "The Top 50 Cult Films." Music The music in Harold and Maude was composed and performed by Cat Stevens. He had been suggested by Elton John to do the music after John had dropped out of the project. Stevens composed two original songs for the film, "Don't Be Shy" and "If You Want to Sing Out, Sing Out" and performed instrumental and alternative versions of the previously released songs "On the Road to Find Out", "I Wish, I Wish", "Miles from Nowhere", "Tea for the Tillerman", "I Think I See the Light", "Where Do the Children Play?" and "Trouble" (all from his albums Mona Bone Jakon or Tea for the Tillerman). "Don't Be Shy" and "If You Want to Sing Out, Sing Out" remained unreleased on any album until the 1984 compilation Footsteps in the Dark: Greatest Hits, Vol. 2. Additional music in the film is sourced from well known compositions. "Greensleeves" is played on the harp during dinner. The opening bars of Tchaikovsky's Piano Concerto No. 1 are heard during the scene of Harold floating face-down in the swimming pool. The Sunnyvale HS Marching Band plays "The Klaxon" by Henry Fillmore outside the church following a funeral. A calliope version of the waltz "Over the Waves" by Juventino Rosas is played at the amusement park. Harold and Maude waltz together in her home to "The Blue Danube" by Johann Strauss II. The soundtrack album charted at number 173 on the US Billboard 200 in July 2021. 1972 soundtrack The first soundtrack was released in Japan in 1972 on vinyl and cassette (A&M Records GP-216). It omitted the two original songs and all instrumental and alternative versions of songs and was generally composed of re-released material that was in the film, along with five songs that were not in the film. Track listing Side one "Morning Has Broken" (not in the film) "Wild World" (not in the film) "I Think I See the Light" "I Wish, I Wish" "Trouble" "Father and Son" (not in the film) Side two "Miles from Nowhere" "Lilywhite" (not in the film) "Where Do the Children Play?" "On the Road to Find Out" "Lady D'Arbanville" (not in the film) "Tea for the Tillerman" 2007 soundtrack The second soundtrack was released in December 2007, by Vinyl Films Records, as a vinyl-only limited-edition release of 2,500 copies. It contained a 30-page oral history of the making of the film, comprising the most extensive series of interviews yet conducted on Harold and Maude. Track listing Side one "Don't Be Shy" "On the Road to Find Out" "I Wish, I Wish" "Miles from Nowhere" "Tea for the Tillerman" "I Think I See the Light" Side two "Where Do the Children Play?" "If You Want to Sing Out, Sing Out" "If You Want to Sing Out, Sing Out (banjo version)"—previously unreleased "Trouble" "Don't Be Shy (alternate version)"—previously unreleased "If You Want to Sing Out, Sing Out (instrumental version)"—previously unreleased Bonus 7" single "Don't Be Shy (demo version)"—previously unreleased "If You Want to Sing Out, Sing Out (alternative version)"—previously unreleased 2021 soundtrack A Record Store Day limited edition, available in yellow or orange vinyl, was released July 2021. It contained all the main songs from the 2007 album, but omitted the bonus material. Side one Don't Be Shy On The Road To Find Out I Wish, I Wish Miles From Nowhere Side two Tea For The Tillerman I Think I See The Light Where Do The Children Play? If You Want To Sing Out, Sing Out Trouble 2022 soundtrack The full soundtrack album received its first regular wide commercial release on February 11, 2022, to commemorate the film's 50th Anniversary. The entire album was remastered at Abbey Road Studios. The disc includes previously unheard audio masters discovered in the Island Records/A&M archive for the two original songs Stevens wrote for the film, "Don't Be Shy" and "If You Want To Sing Out, Sing Out." While there was an LP, this was also the album's first-ever release on CD. Side one "Don't Be Shy" Dialogue 1 (I Go To Funerals) "On the Road to Find Out" "I
were collective and socially shaped. These attitudes, mannerisms, tastes, moral intuitions and habits have influence on the individual's life chances, so the habitus not only is structured by an individual's objective past position in the social structure but also structures the individual's future life path. Bourdieu argued that the reproduction of the social structure results from the habitus of individuals. The notion of habitus is extremely influential (with 400,000 Google Scholar publications using it), yet it also evoked criticism for its alleged determinism, as Bourdieu compared social actors to automata (while relying on Leibniz's theory of Monads). Origins The concept of habitus has been used as early as Aristotle but in contemporary usage was introduced by Marcel Mauss and later Maurice Merleau-Ponty. However, it was Pierre Bourdieu who turned it into a cornerstone of his sociology, and used it to address the sociological problem of agency and structure: the habitus is shaped by structural position and generates action, thus when people act and demonstrate agency they simultaneously reflect and reproduce social structure. Bourdieu elaborated his theory of the habitus while borrowing ideas on cognitive and generative schemes from Noam Chomsky and Jean Piaget dependency on history and human memory. For instance, a certain behaviour or belief becomes part of a society's structure when the original purpose of that behaviour or belief can no longer be recalled and becomes socialized into individuals of that culture. Loïc Wacquant wrote that habitus is an old philosophical notion, originating in the thought of Aristotle, whose notion of hexis ("state") was translated into habitus by the Medieval Scholastics. Bourdieu first adapted the term in his 1967 postface to Erwin Panofsky's Gothic Architecture and Scholasticism. The term was earlier used in sociology by Norbert Elias in The Civilizing Process (1939) and in Marcel Mauss's account of "body techniques" (). The concept is also present in the work of Max Weber, Gilles Deleuze, and Edmund Husserl. Mauss defined habitus as those aspects of culture that are anchored in the body or daily practices of individuals, groups, societies, and nations. It includes the totality of learned habits, bodily skills, styles, tastes, and other non-discursive knowledges that might be said
this sense, habitus has in the past been interpreted as the physical and constitutional characteristics of an individual, especially as related to the tendency to develop a certain disease. For example, "Marfanoid bodily habitus". Scholars researching habitus Loïc Wacquant – a sociologist and ethnographer who studied the construction of the "pugilistic habitus" in a boxing gym of the black ghetto of Chicago in Body and Soul: Notebooks of an Apprentice Boxer (2004) and in "Habitus as Topic and Tool" (2009). Bernard Lahire – a French sociologist who suggested that the habitus is not (or no longer) a system shared by a class, but rather an eclectic set of dispositions that are often contradictory, due to non-typical socialization paths in late modernity. Gabriel Ignatow explored how the notion of habitus can contribute to the sociology of morality. Philippe Bourgois – an anthropologist who incorporates the concept of "habitus" into much of his work with injection drug users in the San Francisco Bay Area. Saba Mahmood – an anthropologist who suggested that the habitus can be shaped and transformed not only through unconscious mimesis but also through pedagogic process, whole reverting from Bourdieu's account to that of Aristotle. Stephen Parkin – a sociologist who considers the "habitus" construct as an explanatory mechanism for the production of drug related harm in drug using environments located in public settings in "Habitus and Drug Using Environments: Health Place and Lived-Experience" (published by Ashgate in August 2013). Heinrich Wilhelm Schäfer – Center for the interdisciplinary research on religion and society (CIRRuS) at Bielefeld University (Germany) Ori Schwarz – a sociologist who studied the "sonic habitus", schemes that organize the production of sounds, their classification (e.g. as "noise") and the reaction to them. Loren Ludwig, US – a musicologist researching the way that instrumental chamber music allows for the cultivation and experience of habitus by its players. Norbert Elias – In The Civilizing Process, Elias illustrates how the habitus is determined on our culturally accepted manners. His theory is also extended to a 'national habitus' of Germans, used to justify the Holocaust. Dov Cohen and Hans IJzerman, who studied the habitus in social psychology, examining how Latinos and Anglos embody honor differently. Victor J. Friedman and Israel J. Sykes likens the idea of habitus to the idea of theory-in-action developed by Chris Aryris and Donald Schön . William Cockerham, American medical sociologist, uses Bourdieu's habitus as a basis for his health lifestyle theory. References Further reading Bourdieu, Pierre. 1977. Outline of a Theory of Practice. Cambridge University Press. Bourdieu, Pierre and Loïc J.D. Wacquant. 1992. An Invitation to Reflexive Sociology. The University of Chicago Press. Elias, Norbert. The Civilizing Process. Hilgers, Mathieu. 2009. Habitus, Freedom and Reflexivity 'Theory and Psychology' Vol. 19 (6), pp. 728–755 MacLeod, Jay. 1995. Ain't No Makin' It. Colorado: Westview Press, Inc. Maton, Karl. 2012 'Habitus', in Grenfell, M. (ed) Pierre Bourdieu: Key concepts. London: Acumen Press, revised edition. Mauss, Marcel. 1934. "Les Techniques du corps", Journal de Psychologie 32 (3-4). Reprinted in Mauss, Sociologie et anthropologie, 1936, Paris: PUF. Rimmer. Mark. 2010. Listening to the monkey: Class, youth and the formation of a musical habitus 'Ethnography' Vol. 11 (2), pp. 255–283 Wacquant, Loïc. 2004. Body and Soul. Oxford: Oxford University Press. Wacquant, Loïc. 2004. "Habitus." pp. 315–319 in International Encyclopedia of
using their cellphones as we put them on monitors." Hypoxia is a common complication of preterm birth in newborn infants. Because the lungs develop late in pregnancy, premature infants frequently possess underdeveloped lungs. To improve lung function, doctors frequently place infants at risk of hypoxia inside incubators (also known as humidicribs) that provide warmth, humidity, and oxygen. More serious cases are treated with CPAP. The 2019 Nobel Prize in Physiology or Medicine was awarded to William G. Kaelin Jr., Sir Peter J. Ratcliffe, and Gregg L. Semenza in recognition of their discovery of cellular mechanisms to sense and adapt to different oxygen concentrations, establishing a basis for how oxygen levels affect physiological function. Generalized hypoxia The symptoms of generalized hypoxia depend on its severity and acceleration of onset. In the case of altitude sickness, where hypoxia develops gradually, the symptoms include fatigue, numbness / tingling of extremities, nausea, and cerebral anoxia. These symptoms are often difficult to identify, but early detection of symptoms can be critical. In severe hypoxia, or hypoxia of very rapid onset, ataxia, confusion, disorientation, hallucinations, behavioral change, severe headaches, reduced level of consciousness, papilloedema, breathlessness, pallor, tachycardia, and pulmonary hypertension eventually leading to the late signs cyanosis, slow heart rate, cor pulmonale, and low blood pressure followed by heart failure eventually leading to shock and death. Because hemoglobin is a darker red when it is not bound to oxygen (deoxyhemoglobin), as opposed to the rich red color that it has when bound to oxygen (oxyhemoglobin), when seen through the skin it has an increased tendency to reflect blue light back to the eye. In cases where the oxygen is displaced by another molecule, such as carbon monoxide, the skin may appear 'cherry red' instead of cyanotic. Hypoxia can cause premature birth, and injure the liver, among other deleterious effects. Local hypoxia If tissue is not being perfused properly, it may feel cold and appear pale; if severe, hypoxia can result in cyanosis, a blue discoloration of the skin. If hypoxia is very severe, a tissue may eventually become gangrenous. Extreme pain may also be felt at or around the site. Tissue hypoxia from low oxygen delivery may be due to low haemoglobin concentration (anaemic hypoxia), low cardiac output (stagnant hypoxia) or low haemoglobin saturation (hypoxic hypoxia). The consequence of oxygen deprivation in tissues is a switch to anaerobic metabolism at the cellular level. As such, reduced systemic blood flow may result in increased serum lactate. Serum lactate levels have been correlated with illness severity and mortality in critically ill adults and in ventilated neonates with respiratory distress. Cause Oxygen passively diffuses in the lung alveoli according to a pressure gradient. Oxygen diffuses from the breathed air, mixed with water vapour, to arterial blood, where its partial pressure is around 100 mmHg (13.3 kPa). In the blood, oxygen is bound to hemoglobin, a protein in red blood cells. The binding capacity of hemoglobin is influenced by the partial pressure of oxygen in the environment, as described in the oxygen–hemoglobin dissociation curve. A smaller amount of oxygen is transported in solution in the blood. In peripheral tissues, oxygen again diffuses down a pressure gradient into cells and their mitochondria, where it is used to produce energy in conjunction with the breakdown of glucose, fats, and some amino acids. Hypoxia can result from a failure at any stage in the delivery of oxygen to cells. This can include decreased partial pressures of oxygen, problems with diffusion of oxygen in the lungs, insufficient available hemoglobin, problems with blood flow to the end tissue, and problems with breathing rhythm. Experimentally, oxygen diffusion becomes rate limiting (and lethal) when arterial oxygen partial pressure falls to 60 mmHg (5.3 kPa) or below. Almost all the oxygen in the blood is bound to hemoglobin, so interfering with this carrier molecule limits oxygen delivery to the periphery. Hemoglobin increases the oxygen-carrying capacity of blood by about 40-fold, with the ability of hemoglobin to carry oxygen influenced by the partial pressure of oxygen in the environment, a relationship described in the oxygen–hemoglobin dissociation curve. When the ability of hemoglobin to carry oxygen is interfered with, a hypoxic state can result. Ischemia Ischemia, meaning insufficient blood flow to a tissue, can also result in hypoxia. This is called 'ischemic hypoxia'. This can include an embolic event, a heart attack that decreases overall blood flow, or trauma to a tissue that results in damage. An example of insufficient blood flow causing local hypoxia is gangrene that occurs in diabetes. Diseases such as peripheral vascular disease can also result in local hypoxia. For this reason, symptoms are worse when a limb is used. Pain may also be felt as a result of increased hydrogen ions leading to a decrease in blood pH (acidity) created as a result of anaerobic metabolism. Hypoxemic hypoxia This refers specifically to hypoxic states where the arterial content of oxygen is insufficient. This can be caused by alterations in respiratory drive, such as in respiratory alkalosis, physiological or pathological shunting of blood, diseases interfering in lung function resulting in a ventilation-perfusion mismatch, such as a pulmonary embolus, or alterations in the partial pressure of oxygen in the environment or lung alveoli, such as may occur at altitude or when diving. Carbon monoxide poisoning Carbon monoxide competes with oxygen for binding sites on hemoglobin molecules. As carbon monoxide binds with hemoglobin hundreds of times tighter than oxygen, it can prevent the carriage of oxygen. Carbon monoxide poisoning can occur acutely, as with smoke intoxication, or over a period of time, as with cigarette smoking. Due to physiological processes, carbon monoxide is maintained at a resting level of 4–6 ppm. This is increased in urban areas (7–13 ppm) and in smokers (20–40 ppm). A carbon monoxide level of 40 ppm is equivalent to a reduction in hemoglobin levels of 10 g/L. CO has a second toxic effect, namely removing the allosteric shift of the oxygen dissociation curve and shifting the foot of the curve to the left. In so doing, the hemoglobin is less likely to release its oxygens at the peripheral tissues. Certain abnormal hemoglobin variants also have higher than normal affinity for oxygen, and so are also poor at delivering oxygen to the periphery. Altitude Atmospheric pressure reduces with altitude and with it, the amount of oxygen. The reduction in the partial pressure of inspired oxygen at higher altitudes lowers the oxygen saturation of the blood, ultimately leading to hypoxia. The clinical features of altitude sickness include: sleep problems, dizziness, headache and oedema. Hypoxic breathing gases The breathing gas in underwater diving may contain an insufficient partial pressure of oxygen, particularly in malfunction of rebreathers. Such situations may lead to unconsciousness without symptoms since carbon dioxide levels are normal and the human body senses pure hypoxia poorly. Hypoxic breathing gases can be defined as mixtures with a lower oxygen fraction than air, though gases containing sufficient oxygen to reliably maintain consciousness at normal sea level atmospheric pressure may be described as normoxic even when slightly hypoxic. Hypoxic mixtures in this context are those which will not reliably maintain consciousness at sea level pressure. Gases
typically a chronic process that is compensated over time by increased levels of red blood cells via upregulated erythropoetin. A chronic hypoxic state can result from a poorly compensated anaemia. Histotoxic hypoxia Cyanide poisoning Histotoxic hypoxia results when the quantity of oxygen reaching the cells is normal, but the cells are unable to use the oxygen effectively as a result of disabled oxidative phosphorylation enzymes. This may occur in cyanide poisoning. Physiological compensation Acute If oxygen delivery to cells is insufficient for the demand (hypoxia), electrons will be shifted to pyruvic acid in the process of lactic acid fermentation. This temporary measure (anaerobic metabolism) allows small amounts of energy to be released. Lactic acid build up (in tissues and blood) is a sign of inadequate mitochondrial oxygenation, which may be due to hypoxemia, poor blood flow (e.g., shock) or a combination of both. If severe or prolonged it could lead to cell death. In humans, hypoxia is detected by the peripheral chemoreceptors in the carotid body and aortic body, with the carotid body chemoreceptors being the major mediators of reflex responses to hypoxia. This response does not control ventilation rate at normal p, but below normal the activity of neurons innervating these receptors increases dramatically, so much so to override the signals from central chemoreceptors in the hypothalamus, increasing p despite a falling p In most tissues of the body, the response to hypoxia is vasodilation. By widening the blood vessels, the tissue allows greater perfusion. By contrast, in the lungs, the response to hypoxia is vasoconstriction. This is known as hypoxic pulmonary vasoconstriction, or "HPV". Chronic When the pulmonary capillary pressure remains elevated chronically (for at least 2 weeks), the lungs become even more resistant to pulmonary edema because the lymph vessels expand greatly, increasing their capability of carrying fluid away from the interstitial spaces perhaps as much as 10-fold. Therefore, in patients with chronic mitral stenosis, pulmonary capillary pressures of 40 to 45 mm Hg have been measured without the development of lethal pulmonary edema.[Guytun and Hall physiology] Hypoxia exists when there is a reduced amount of oxygen in the tissues of the body. Hypoxemia refers to a reduction in PO2 below the normal range, regardless of whether gas exchange is impaired in the lung, CaO2 is adequate, or tissue hypoxia exists. There are several potential physiologic mechanisms for hypoxemia, but in patients with COPD the predominant one is V/Q mismatching, with or without alveolar hypoventilation, as indicated by PaCO2. Hypoxemia caused by V/Q mismatching as seen in COPD is relatively easy to correct, so that only comparatively small amounts of supplemental oxygen (less than 3 L/min for the majority of patients) are required for LTOT. Although hypoxemia normally stimulates ventilation and produces dyspnea, these phenomena and the other symptoms and signs of hypoxia are sufficiently variable in patients with COPD as to be of limited value in patient assessment. Chronic alveolar hypoxia is the main factor leading to development of cor pulmonale—right ventricular hypertrophy with or without overt right ventricular failure—in patients with COPD. Pulmonary hypertension adversely affects survival in COPD, to an extent that parallels the degree to which resting mean pulmonary artery pressure is elevated. Although the severity of airflow obstruction as measured by FEV1 is the best correlate with overall prognosis in patients with COPD, chronic hypoxemia increases mortality and morbidity for any severity of disease. Large-scale studies of LTOT in patients with COPD have demonstrated a dose–response relationship between daily hours of oxygen use and survival. There is reason to believe that continuous, 24-hours-per-day oxygen use in appropriately selected patients would produce a survival benefit even greater than that shown in the NOTT and MRC studies. Treatment To counter the effects of high-altitude diseases, the body must return arterial p toward normal. Acclimatization, the means by which the body adapts to higher altitudes, only partially restores p to standard levels. Hyperventilation, the body's most common response to high-altitude conditions, increases alveolar p by raising the depth and rate of breathing. However, while p does improve with hyperventilation, it does not return to normal. Studies of miners and astronomers working at 3000 meters and above show improved alveolar p with full acclimatization, yet the p level remains equal to or even below the threshold for continuous oxygen therapy for patients with chronic obstructive pulmonary disease (COPD). In addition, there are complications involved with acclimatization. Polycythemia, in which the body increases the number of red blood cells in circulation, thickens the blood, raising the danger that the heart can't pump it. In high-altitude conditions, only oxygen enrichment can counteract
becomes just one of a number of interlocking conflicts known as Wars of the Three Kingdoms. Furthermore, as cultures develop, it may become strategically advantageous for some revision-minded groups to revise their public historical narrative in such a way so as to either discover, or in rarer cases manufacture, a precedent which contemporary members of the given subcultures can use as a basis or rationale for reform or change. Ideology: for example, in the 1940s, it became fashionable to see the English Civil War from a Marxist school of thought. In the words of Christopher Hill, "the Civil War was a class war." After World War II, the influence of Marxist interpretation waned in British academia and by the 1970s this view came under attack by a new school of revisionists and it has been largely overturned as a major mainstream explanation of the mid-17th-century conflict in England, Scotland, and Ireland. Historical causation: Issues of causation in history are often revised with new research: for example, by the mid-20th century the status quo was to see the French Revolution as the result of the triumphant rise of a new middle class. Research in the 1960s prompted by revisionist historians like Alfred Cobban and François Furet revealed the social situation was much more complex, and the question of what caused the revolution is now closely debated. Release of public documents: compared to past decades, a huge volume of archived government records is now available under the thirty-year rule and similar laws. These can provide new sources and therefore new analyses of past events. Specific issues Dark Ages As non-Latin texts, such as Welsh, Gaelic and the Norse sagas have been analysed and added to the canon of knowledge about the period, and as much more archaeological evidence has come to light, the period known as the Dark Ages has narrowed to the point that many historians no longer believe that such a term is useful. Moreover, the term "dark" implies less of a void of culture and law but more a lack of many source texts in Mainland Europe. Many modern scholars who study the era tend to avoid the term altogether for its negative connotations and find it misleading and inaccurate for any part of the Middle Ages. Feudalism The concept of feudalism has been questioned. Revisionist scholars led by historian Elizabeth A. R. Brown have rejected the term. Battle of Agincourt For centuries, historians thought the Battle of Agincourt was an engagement in which the English army, overwhelmingly outnumbered four to one by the French army, pulled off a stunning victory, a version that was especially popularised by Shakespeare's play Henry V. However, recent research by Professor Anne Curry, using the original enrollment records, has brought into question this interpretation. Though her research is not finished, she has published her initial findings, that the French outnumbered the English and the Welsh only by 12,000 to 8,000. If true, the numbers may have been exaggerated for patriotic reasons by the English. New World discovery and European colonization of the Americas In recounting the European colonization of the Americas, some history books of the past paid little attention to the indigenous peoples of the Americas, usually mentioning them only in passing and making no attempt to understand the events from their point of view. That was reflected in the description of Christopher Columbus having discovered America. Those events' portrayal has since been revised to avoid the word "discovery." In his 1990 revisionist book, The Conquest of Paradise: Christopher Columbus and the Columbian Legacy, Kirkpatrick Sale argued that Christopher Columbus was an imperialist bent on conquest from his first voyage. In a New York Times book review, historian and member of the Christopher Columbus Quincentenary Jubilee Committee William Hardy McNeill wrote about Sale: he has set out to destroy the heroic image that earlier writers have transmitted to us. Mr. Sale makes Columbus out to be cruel, greedy and incompetent (even as a sailor), and a man who was perversely intent on abusing the natural paradise on which he intruded." McNeill declares Sale's work to be "unhistorical, in the sense that [it] selects from the often-cloudy record of Columbus's actual motives and deeds what suits the researcher's 20th-century purposes." McNeill states that detractors and advocates of Columbus present a "sort of history [that] caricatures the complexity of human reality by turning Columbus into either a bloody ogre or a plaster saint, as the case may be." New Qing history Historians in China and the West long wrote that the Manchus who conquered China and established the Qing dynasty (1636-1912) adopted the customs and institutions of the Han Chinese dynasties that preceded them and were "sinicized," that is, absorbed into Chinese culture. In the late 20th century, historians, especially in the West, explored Manchu language sources, explored newly accessible imperial archives, and discovered that the emperors retained their Manchu culture and that they regarded China proper as only one part of their larger empire. These scholars differ among themselves but agree on a major revision of the history of the Qing dynasty. French Revolution French attack formations in the Napoleonic wars The military historian James R. Arnold argues: Argentine Civil Wars After the proclamation of the Argentine Republic in late 1861, its first de facto President, Bartolomé Mitre, wrote the first Argentine historiographical works: Historia de Belgrano y de la Independencia Argentina and Historia de San Martín y de la emancipación sudamericana. Although these were criticised by notorious intellectuals such as Dalmacio Vélez Sarsfield and Juan Bautista Alberdi and even by some colleagues like Adolfo Saldías, both stated a liberal-conservative bias on Argentine history through the National Academy of History established in 1893, in despice of caudillos and gauchos. During the Radical Civic Union government of Hipólito Yrigoyen, historians followed the revisionist view of anti-mitrist politicians such as Carlos D'Amico, Ernesto Quesada and David Peña and their theories reached the academy thanks to Dardo Corvalán Mendilharsu. Argentine historical revisionism could reach its peak during the peronist government. In 2011, the Manuel Dorrego National Institute of Argentine and Iberoamerican Historical Revisionism was established by the Secretary of Culture, but this one suffered a rupture between 21st century socialists and nationalists. Three weeks after the Inauguration of Mauricio Macri, the Institute was closed. World War I German guilt In reaction to the orthodox interpretation enshrined in the Versailles Treaty, which declared that Germany was guilty of starting World War I, the self-described "revisionist" historians of the 1920s rejected the orthodox view and presented a complex causation in which several other countries were equally guilty. Intense debate continues among scholars. Poor British and French military leadership The military leadership of the British Army during World War I was frequently condemned as poor by historians and politicians for decades after the war ended. Common charges were that the generals commanding the army were blind to the realities of trench warfare, ignorant of the conditions of their men and unable to learn from their mistakes, thus causing enormous numbers of casualties ("lions led by donkeys").<ref>Lions Led By Donkeys Thompson, P.A. Lions Led By Donkeys: Showing How Victory In The Great War Was Achieved By Those Who Made the Fewest Mistakes T. Werner Laurie, Ltd. 1st English Edition. 1927 Bournes, John. "Lions Led By Donkeys" , Centre for First World War Studies, University of Birmingham.</ref> However, during the 1960s, historians such as John Terraine began to challenge that interpretation. In recent years, as new documents have come forth and the passage of time has allowed for more objective analysis, historians such as Gary D. Sheffield and Richard Holmes observe that the military leadership of the British Army on the Western Front had to cope with many problems that they could not control, such as a lack of adequate military communications, which had not occurred. Furthermore, military leadership improved throughout the war, culminating in the Hundred Days Offensive advance to victory in 1918. Some historians, even revisionists, still criticise the British High Command severely but are less inclined to portray the war in a simplistic manner with brave troops being led by foolish officers. There has been a similar movement regarding the French Army during the war with contributions by historians such as Anthony Clayton. Revisionists are far more likely to view commanders such as French General Ferdinand Foch, British General Douglas Haig and other figures, such as American John Pershing, in a sympathetic light. Reconstruction
mainstream or traditional view of historical events and raise views at odds with traditionalists, which must be freshly judged. Revisionist history is often practiced by those who are in the minority, such as feminist historians, ethnic minority historians, those working outside of mainstream academia in smaller and less known universities, or the youngest scholars, essentially historians who have the most to gain and the least to lose in challenging the status quo. In the friction between the mainstream of accepted beliefs and the new perspectives of historical revisionism, received historical ideas are either changed, solidified, or clarified. If over a period of time, the revisionist ideas become the new establishment status quo a paradigm shift is said to have occurred. The historian Forrest McDonald is often critical of the turn that revisionism has taken but admits that the turmoil of the 1960s America has changed the way history was written: Historians are influenced by the zeitgeist (spirit of the time), and the usually progressive changes to society, politics, and culture, such as occurred after the Second World War (1939–1945); in The Future of the Past (1989), the historian C. Vann Woodward said: Developments in the academy, culture, and politics shaped the contemporary model of writing history, the accepted paradigm of historiography. The philosopher Karl Popper said that "each generation has its own troubles and problems, and, therefore, its own interests and its own point of view". As the social, political, and cultural influences change a society, most historians revise and update their explanation of historical events. The old consensus, based upon limited evidence, might no longer be considered historically valid in explaining the particulars: of cause and effect, of motivation and self-interest – that tell How? and Why? the past occurred as it occurred; therefore, the historical revisionism of the factual record is revised to concord with the contemporary understanding of history. As such, in 1986, the historian John Hope Franklin described four stages in the historiography of the African experience of life in the US, which were based upon different models of historical consensus. Negationism and denial The historian Deborah Lipstadt (Denying the Holocaust: The Growing Assault on Truth and Memory, 1993), and the historians Michael Shermer and Alex Grobman (Denying History: Who Says the Holocaust Never Happened and Why Do They Say It?, 2002), distinguish between historical revisionism and historical negationism, the latter of which is a form of denialism. Lipstadt said that Holocaust deniers, such as Harry Elmer Barnes, disingenuously self-identify as "historical revisionists" in order to obscure their denialism as academic revision of the historical record. As such, Lipstadt, Shermer, and Grobman said that legitimate historical revisionism entails the refinement of existing knowledge about an historical event, not a denial of the event, itself; that such refinement of history emerges from the examination of new, empirical evidence, and a re-examination, and consequent re-interpretation of the existing documentary evidence. That legitimate historical revisionism acknowledges the existence of a "certain body of irrefutable evidence" and the existence of a "convergence of evidence", which suggest that an event – such as the Black Death, American slavery, and the Holocaust – did occur; whereas the denialism of history rejects the entire foundation of historical evidence, which is a form of historical negationism. Influences Some of the influences on historians that may change over time are the following: Access to new data: much historical data has been lost. Even archives must make decisions based on space and interest on what original material to obtain or to keep. At times, documents are discovered or publicized that give new views of well established events. Archived material may be sealed by governments for many years, either to hide political scandals or to protect information vital for national security. When the archives are opened, they can alter the historical perspective on an event. For example, with the release of the ULTRA archives in the 1970s under the British thirty-year rule, much of the Allied high command tactical decisiomaking process was re-evaluated, particularly the Battle of the Atlantic. Before the release of the ULTRA archives, there was much debate over whether Field Marshal Bernard Montgomery could have known that Arnhem was heavily garrisoned. With the release of the archives, which indicated that they were, the balance of the evidence swung in the direction of his detractors. The release of the ULTRA archives also forced a re-evaluation of the history of the electronic computer. New sources in other languages: as more sources in other languages become available historians may review their theories in light of the new sources. The revision of the meaning of the Dark Ages is an example. Developments in other fields of science: DNA analysis has had an impact in various areas of history either confirming established historical theories or presenting new evidence that undermines the current established historical explanation. Professor Andrew Sherratt, a British prehistorian, was responsible for introducing the work of anthropological writings on the consumption of legal and illegal drugs and how to use the papers to explain certain aspects of prehistoric societies. Carbon dating, the examination of ice cores and tree rings, palynology, scanning electron microscope analysis of early metal samples, and measuring oxygen isotopes in bones, have all provided new data in the last few decades with which to argue new hypotheses. Extracting ancient DNA allows historians to debate the meaning and importance of race and indeed current identities. Nationalism: for example, in schoolbooks' history on Europe, it is possible to read about an event from completely-different perspectives. In the Battle of Waterloo, most British, French, Dutch and German schoolbooks slant the battle to emphasise the importance of the contribution of their nations. Sometimes, the name of an event is used to convey political or a national perspective. For example, the same conflict between two English-speaking countries is known by two different names: the "American War of Independence" and the "American Revolutionary War". As perceptions of nationalism change, so do the areas of history that are driven by such ideas. Wars are contests between enemies, and postwar histories select the facts and interpretations to suit their internal needs, The Korean War, for example, has sharply different interpretations in textbooks in the countries involved. Culture: for example, as regionalism has regained some of its old prominence in British politics, some historians have suggested that the older studies of the English Civil War were centred on England and that to understand the war, events that had previously been dismissed as on the periphery should be given greater prominence. To emphasise this, revisionist historians have suggested that the English Civil War becomes just one of a number of interlocking conflicts known as Wars of the Three Kingdoms. Furthermore, as cultures develop, it may become strategically advantageous for some revision-minded groups to revise their public historical narrative in such a way so as to either discover, or in rarer cases manufacture, a precedent which contemporary members of the given subcultures can use as a basis or rationale for reform or change. Ideology: for example, in the 1940s, it became fashionable to see the English Civil War from a Marxist school of thought. In the words of Christopher Hill, "the Civil War was a class war." After World War II, the influence of Marxist interpretation waned in British academia and by the 1970s this view came under attack by a new school of revisionists and it has been largely overturned as a major mainstream explanation of the mid-17th-century conflict in England, Scotland, and Ireland. Historical causation: Issues of causation in history are often revised with new research: for example, by the mid-20th century the status quo was to see the French Revolution as the result of the triumphant rise of a new middle class. Research in the 1960s prompted by revisionist historians like Alfred Cobban and François Furet revealed the social situation was much more complex, and the question of what caused the revolution is now closely debated. Release of public documents: compared to past decades, a huge volume of archived government records is now available under the thirty-year rule and similar laws. These can provide new sources and therefore new analyses of past events. Specific issues Dark Ages As non-Latin texts, such as Welsh, Gaelic and the Norse sagas have been analysed and added to the canon of knowledge about the period, and as much more archaeological evidence has come to light, the period known as the Dark Ages has narrowed to the point that many historians no longer believe that such a term is useful. Moreover, the term "dark" implies less of a void of culture and law but more a lack of many source texts in Mainland Europe. Many modern scholars who study the era tend to avoid the term altogether for its negative connotations and find it misleading and inaccurate for any part of the Middle Ages. Feudalism The concept of feudalism has been questioned. Revisionist scholars led by historian Elizabeth A. R. Brown have rejected the term. Battle of Agincourt For centuries, historians thought the Battle of Agincourt was an engagement in which the English army, overwhelmingly outnumbered four to one by the French army, pulled off a stunning victory, a version that was especially popularised by Shakespeare's play Henry V. However, recent research by Professor Anne Curry, using the original enrollment records, has brought into question this interpretation. Though her research is not finished, she has published her initial findings, that the French outnumbered the English and the Welsh only by 12,000 to 8,000. If true, the numbers may have been exaggerated for patriotic reasons by the English. New World discovery and European colonization of the Americas In recounting the European colonization of the Americas, some history books of the past paid little attention to the indigenous peoples of the Americas, usually mentioning them only in passing and making no attempt to understand the events from their point of view. That was reflected in the description of Christopher Columbus having discovered America. Those events' portrayal has since been revised to avoid the word "discovery." In his 1990 revisionist book, The Conquest of Paradise: Christopher Columbus and the Columbian Legacy, Kirkpatrick Sale argued that Christopher Columbus was an imperialist bent on conquest from his first voyage. In a New York Times book review, historian and member of the Christopher Columbus Quincentenary Jubilee Committee William Hardy McNeill wrote about Sale: he has set out to destroy the heroic image that earlier writers have transmitted to us. Mr. Sale makes Columbus out to be cruel, greedy and incompetent (even as a sailor), and a man who was perversely intent on abusing the natural paradise on which he intruded." McNeill declares Sale's work to be "unhistorical, in the sense that [it] selects from the often-cloudy record of Columbus's actual motives and deeds what suits the researcher's 20th-century purposes." McNeill states that detractors and advocates of Columbus present a "sort of history [that] caricatures the complexity of human reality by turning Columbus into either a bloody ogre or a plaster saint, as the case may be." New Qing history Historians in China and the West long wrote that the Manchus who conquered China and established the Qing dynasty (1636-1912) adopted the customs and institutions of the Han Chinese dynasties that preceded them and were "sinicized," that is, absorbed into Chinese culture. In the late 20th century, historians, especially in the West, explored Manchu language sources, explored newly accessible imperial archives, and discovered that the emperors retained their Manchu culture and that they regarded China proper as only one part of their larger empire. These scholars differ among themselves but agree on a major revision of the history of the Qing dynasty. French Revolution French attack formations in the Napoleonic wars The military historian James R. Arnold argues: Argentine Civil Wars After the proclamation of the Argentine Republic in late 1861, its first de facto President, Bartolomé Mitre, wrote the first Argentine historiographical works: Historia de Belgrano y de la Independencia Argentina and Historia de San Martín y de la emancipación sudamericana. Although these were criticised by notorious intellectuals such as Dalmacio Vélez Sarsfield and Juan Bautista Alberdi and even by some colleagues like Adolfo Saldías, both stated a liberal-conservative bias on Argentine history through the National Academy of History established in 1893, in despice of caudillos and gauchos. During the Radical Civic Union government of Hipólito Yrigoyen, historians followed the revisionist view of anti-mitrist politicians such as Carlos D'Amico, Ernesto Quesada and David Peña and their theories reached the academy thanks to Dardo Corvalán Mendilharsu. Argentine historical revisionism could reach its peak during the peronist government. In 2011, the Manuel Dorrego National Institute of Argentine and Iberoamerican Historical Revisionism was established by the Secretary of Culture, but this one suffered a rupture between 21st century socialists and nationalists. Three weeks after the Inauguration of Mauricio Macri, the Institute was closed. World War I German guilt In reaction to the orthodox interpretation enshrined in the Versailles Treaty, which declared that Germany was guilty of starting World War I, the self-described "revisionist" historians of the 1920s rejected the orthodox view and presented a complex causation in which several other countries were equally
natural gas, which was commonly viewed as an undesirable by-product of oil production and often "flared" or burnt off at the well site. Other innovations in the Caddo-Pine Island Field included the first over-water oil platform, which was constructed in the field on Caddo Lake in 1910. In that same year, a major oil pipeline was constructed from Caddo-Pine Island Field to a refinery built and operated by Standard Oil Company of Louisiana in Baton Rouge, Louisiana. The refinery continues to operate today. Other early petroleum discoveries in North Louisiana included the Bull Bayou Field, Red River Parish, Louisiana (1913), Monroe Gas Field, Ouachita Parish, Louisiana (1916), Homer Field, Claiborne Parish, Louisiana (1919) and Haynesville Field, Claiborne Parish, Louisiana (1921). California Native Americans had known of the tar seeps in southern California for thousands of years, and used the tar to waterproof their canoes. Spanish settlers also knew of the seeps, such as at Rancho La Brea (Spanish for Tar Ranch) in present-day Los Angeles, from which the priests obtained tar to waterproof the roofs of the Los Angeles and San Gabriel missions. Despite the abundance of well-known seeps in southern California, the first commercial oil well in California was drilled in Humboldt County, northern California in 1865. Some attempts were made in the 1860s to exploit oil deposits under tar seeps in the Ventura Basin of Ventura County and northeastern Los Angeles county. The early efforts failed because of complex geology, and, more importantly, because the refining techniques then available could not manufacture high-quality kerosene from California crude oil, which differed chemically from Pennsylvania crude oil. Most California crude oil in the early years was turned into the less lucrative products of fuel oil and asphalt. Oil production in the Los Angeles Basin started with the discovery of the Brea-Olinda Oil Field in 1880, and continued with the development of the Los Angeles City Oil Field in 1893, the Beverly Hills Oil Field in 1900, the Salt Lake Oil Field in 1902, and many others. The discovery of the Long Beach Oil Field in 1921, which proved to be the world's richest in production per-acre of the time, increased the importance of the Los Angeles Basin as a worldwide oil producer. This increased again with the discovery of the Wilmington Oil Field in 1932, and the development of the Port of Los Angeles as a means of shipping crude oil overseas. Production in Santa Barbara County began in the 1890s with the development of the Summerland Oil Field, which included the world's first offshore oil wells. With the discovery of the Orcutt and Lompoc fields, northern Santa Barbara County became a regional center of production; towns such as Orcutt owe their existence to the quickly growing industry. Oil in the San Joaquin Basin was first discovered at the Coalinga field in 1890. By 1901, the San Joaquin Basin was the main oil-producing region of California, and it remains so in the 21st century, with huge oil fields including the Midway-Sunset, Kern River, and Belridge fields producing much of California's onshore oil. Rocky Mountains The first commercial oil well in the Rocky Mountains was drilled near Cañon City, Colorado in 1862. The wells in the Cañon City-Florence field, drilled near surface oil seeps, produced from fractures in the Pierre Shale. Bighorn Basin Denver Basin Green River Basin North Park (Colorado basin) Paradox Basin Piceance Basin Powder River Basin Raton Basin San Juan Basin Uinta Basin Alaska A Russian sea captain noted oil seeps along the shore of the Cook Inlet as early as 1853, and oil drilling began in 1898 in a number of locations along the southern coast of Alaska. Production was relatively small, however, until huge discoveries were made on Alaska's remote North Slope. Petroleum seeps on the North Slope have been known for many years, and in 1923, the federal government created US Naval Petroleum Reserve No. 4 to cover the presumed oil fields beneath the seeps. Some exploration drilling was done in the reserve during World War II and the 1950s, but the remote location deterred intensive exploration until the 1960s. The Prudhoe Bay Oil Field, the largest oil field in the United States in terms of total oil produced, was discovered in 1968. Production began in 1977, following completion of the Trans-Alaska Pipeline. Through 2005, the field has produced of oil (an average of 1.5 million barrels/day), and is estimated to contain another of economically recoverable oil. Brooklyn, New York In the late 1800s, a number of oil refineries were concentrated in the Greenpoint area of Brooklyn, beginning with Astral Oil Works in 1867. In the 1970s, the Greenpoint oil spill was discovered, one of the largest spills in the history of the United States. 20th century Gulf Coast Capt. Anthony Francis Lucas, an experienced mining engineer and salt driller, drilled a well to find oil at Spindletop Hill. On the morning of January 10, 1901, the little hill south of Beaumont, Texas began to tremble and mud bubbled up over the rotary table. A low rumbling sound came from underground, and then, with a force that shot 6 tons of 4-inch (100 mm) diameter pipe out over the top of the derrick, knocking off the crown block, the Lucas Gusher roared in and the Spindletop oil field was born. Spindletop became the focus of frenzied drilling; oil production from the field peaked in 1902 at , but by 1905 production had declined 90% from the peak. Spindletop Hill turned out to be the surface expression of an underground salt dome, around which the oil accumulated. The Spindletop gusher started serious oil exploration of the Gulf Coast in Texas and Louisiana, an area that had previously been dismissed by oil men. Other salt dome mounds were quickly drilled, resulting in discoveries at Sour Lake (1902), Batson (1904) and Humble (1905). The Standard Oil Company was slow to appreciate the economic potential of the Spindletop oil field, and the Gulf Coast generally, which gave greater opportunity to others; Spindletop became the birthplace of oil giants Texaco and Gulf Oil. Although in 1899 Standard Oil controlled more than 85% of the oil production in the older oil regions in the Appalachian Basin and the Lima-Indiana trend, it never controlled more than 10% of the oil production in the new Gulf Coast province. Federal price regulation By the Natural Gas Act of 1938, the federal government imposed price controls on natural gas in interstate commerce. The Federal Power Commission was mandated to set interstate gas prices at "just and reasonable" rates. The FPC at first only regulated the price at which pipelines sold gas to utilities and industry, but later put limits on the wellhead price of gas sold to an interstate pipeline. Gas producers challenged the controls, but lost in the Supreme Court in Phillips Petroleum Co. v. Wisconsin (1954). The federal government had controlled the price of natural gas that crossed state lines, but not of gas produced and sold within a state. In the 1970s, the low interstate price set by the federal government caused supply shortages of gas in consuming states, because gas producers sold as much as they could of their product for
Ohio River Valley, producing salt by evaporating brine from the springs. Salt wells were sunk at the salt springs to increase the supply of brine for evaporation. Some of the wells were hand-dug, but salt producers also learned to drill wells by percussion (cable tool) methods. In a number of locations in western Virginia, Ohio, and Kentucky, oil and natural gas came up the wells along with the brine. The oil was mostly a nuisance, but some salt producers saved it and sold it as illuminating oil or medicine. In some locations, enough natural gas was produced to be used as fuel for the salt evaporating pans. Early salt brine wells that produced byproduct oil included the Thorla-McKee Well of Ohio in 1814, a well near Burkesville, Kentucky, in 1828, and wells at Burning Springs, West Virginia, by 1836. The US natural gas industry started in 1821 at Fredonia, Chautauqua County, New York, when William Hart dug a well to a depth of into gas-bearing shale, then drilled a borehole further, and piped the natural gas to a nearby inn where it was burned for illumination. Soon many gas wells were drilled in the area, and the gas-lit streets of Fredonia became a tourist attraction. Drake well, Titusville, Pennsylvania On August 27, 1859, George Bissell and Edwin L. Drake made the first successful use of a drilling rig on a well drilled especially to produce oil, at a site on Oil Creek near Titusville, Pennsylvania. The Drake partners were encouraged by Benjamin Silliman (1779-1864), a chemistry professor at Yale, who tested a sample of the oil, and assured them that it could be distilled into useful products such as illuminating oil. The Drake well is often referred to as the "first" commercial oil well, although that title is also claimed for wells in Azerbaijan, Ontario, West Virginia, and Poland, among others. However, before the Drake well, oil-producing wells in the United States were wells that were drilled for salt brine, and produced oil and gas only as accidental byproducts. An intended drinking water well at Oil Springs, Ontario found oil in 1858, a year before the Drake well, but it had not been drilled for oil. Historians have noted that the importance of the Drake well was not in being the first well to produce oil, but in attracting the first great wave of investment in oil drilling, refining, and marketing: "The importance of the Drake well was in the fact that it caused prompt additional drilling, thus establishing a supply of petroleum in sufficient quantity to support business enterprises of magnitude. Appalachian Basin The success of the Drake well quickly led to oil drilling in other locations in the western Appalachian mountains, where oil was seeping to the surface, or where salt drillers had previously found oil fouling their salt wells. During the American Civil War, the oil-producing region spread over much of western Pennsylvania, up into western New York state, and down the Ohio River valley into the states of Ohio, Kentucky, and the western part of Virginia (now West Virginia). The Appalachian Basin continued to be the leading oil-producing region in the United States through 1904. The first commercial oil well in New York was drilled in 1865. New York's (and Northwestern Pennsylvania) crude oil is very high in paraffin. The principal product of the oil in the 19th century was kerosene, which quickly replaced whale oil for illuminating purposes in the United States. Originally dealing in whale oil which was widely used for illumination, Charles Pratt (1830–1891) of Massachusetts was an early pioneer of the natural oil industry in the United States. He was founder of Astral Oil Works in the Greenpoint section of Brooklyn, New York. Pratt's product later gave rise to the slogan, "The holy lamps of Tibet are primed with Astral Oil." He joined with his protégé Henry H. Rogers to form Charles Pratt and Company in 1867. Both companies became part of John D. Rockefeller's Standard Oil in 1874. Lima-Indiana District Mid-Continent The Mid-continent area is an area generally including Kansas, Oklahoma, Arkansas, North Louisiana and the part of Texas away from the Gulf Coast. The first commercially successful oil well drilled in Kansas was the Norman No. 1 near Neodesha, Kansas, on November 28, 1892. Corsicana, Texas, 1894, Texas, plus McCamey, 1928, Baker No. 1., Texas. Oklahoma Oil was discovered at Bartlesville and Burbank in 1897. But the initial discoveries created no great excitement until the discovery gusher of the Glenn Pool in 1905. The Glenn discovery came when Gulf Coast production was declining rapidly, and the operators were eager for new areas to drill. The increased drilling resulted in major discoveries at Cushing in 1912 and Healdton in 1913. Greater Seminole, 1926, Oklahoma, plus Oklahoma City, No. 1 Discovery Well, 1928, Oklahoma. The Mary Sudik No. 1, "Wild Mary Sudik", gusher did not blow until March 25, 1930—she sprayed an estimated an hour (133 L/s) for the next 11 days. East Texas The largest oil field in the lower 48 states, the East Texas oil field, was not discovered until 1930, when wildcatter Columbus Marion Joiner (more commonly known as "Dad" Joiner) drilled the Daisy Bradford No. 3 well, in Rusk County, Texas. North Louisiana In 1906, the Caddo-Pine Island Field in northern Caddo Parish, Louisiana was discovered, and a rush of leasing and drilling activity ensued. In 1908, the first natural gas pipeline was constructed to transport gas from Caddo-Pine Island to Shreveport, Louisiana. This was one of the earliest commercial uses of natural gas, which was commonly viewed as an undesirable by-product of oil production and often "flared" or burnt off at the well site. Other innovations in the Caddo-Pine Island Field included the first over-water oil platform, which was constructed in the field on Caddo Lake in 1910. In that same year, a major oil pipeline was constructed from Caddo-Pine Island Field to a refinery built and operated by Standard Oil Company of Louisiana in Baton Rouge, Louisiana. The refinery continues to operate today. Other early petroleum discoveries in North Louisiana included the Bull Bayou Field, Red River Parish, Louisiana (1913), Monroe Gas Field, Ouachita Parish, Louisiana (1916), Homer Field, Claiborne Parish, Louisiana (1919) and Haynesville Field, Claiborne Parish, Louisiana (1921). California Native Americans had known of the tar seeps in southern California for thousands of years, and used the tar to waterproof their canoes. Spanish settlers also knew of the seeps, such as at Rancho La Brea (Spanish for Tar Ranch) in present-day Los Angeles, from which the priests obtained tar to waterproof the roofs of the Los Angeles and San Gabriel missions. Despite the abundance of well-known seeps in southern California, the first commercial oil well in California was drilled in Humboldt County, northern California in 1865. Some attempts were made in the 1860s to exploit oil deposits under tar seeps in the Ventura Basin of Ventura County and northeastern Los Angeles county. The early efforts failed because of complex geology, and, more importantly, because the refining techniques then available could not manufacture high-quality kerosene from California crude oil, which differed chemically from Pennsylvania crude oil. Most California crude oil in the early years was turned into the less lucrative products of fuel oil and asphalt. Oil production in the Los Angeles Basin started with the discovery of the Brea-Olinda Oil Field in 1880, and continued with the development of the Los Angeles City Oil Field in 1893, the Beverly Hills Oil Field in 1900, the Salt Lake Oil Field in 1902, and many others. The discovery of the Long Beach Oil Field in 1921, which proved to be the world's richest in production per-acre of the time, increased the importance of the Los Angeles Basin as a worldwide oil producer. This increased again with the discovery of the Wilmington Oil Field in 1932, and the development of the Port of Los Angeles as a means of shipping crude oil overseas. Production in Santa Barbara County began in the 1890s with the development of the Summerland Oil Field, which included the world's first offshore oil wells. With the discovery of the Orcutt and Lompoc fields, northern Santa Barbara County became a regional center of production; towns such as Orcutt owe their existence to the quickly growing industry. Oil in the San Joaquin Basin was first discovered at the Coalinga field in 1890. By 1901, the San Joaquin Basin was the main oil-producing region of California, and it remains so in the 21st century, with huge oil fields including the Midway-Sunset, Kern River, and Belridge fields producing much of California's onshore oil. Rocky Mountains The first commercial oil well in the Rocky
the trail. The company's stranglehold on the region was broken by the first successful large wagon train to reach Oregon in 1843, led by Marcus Whitman. In the years that followed, thousands of emigrants poured into the Willamette Valley of Oregon. In 1846, the United States acquired full authority south of the 49th parallel; the most settled areas of the Oregon Country were south of the Columbia River in what is now Oregon. McLoughlin, who had once turned away would-be settlers as company director, then welcomed them from his general store at Oregon City. He was later proclaimed the "Father of Oregon". The company retains no presence today in the portion of the Pacific Northwest governed by the United States. California During the 1820s and 1830s, HBC trappers were deeply involved in the early exploration and development of Northern California. Company trapping brigades were sent south from Fort Vancouver, along what became known as the Siskiyou Trail, into Northern California as far south as the San Francisco Bay Area, where the company operated a trading post at Yerba Buena (San Francisco). These trapping brigades in Northern California faced serious risks, and were often the first to explore relatively uncharted territory. They included the lesser known Peter Skene Ogden and Samuel Black. Hudson's Bay Company money Between 1820 and 1870, the HBC issued its own paper money. The notes, denominated in pounds sterling, were printed in London and issued at the York Factory, Fort Garry and the Red River Colony. For forty or so years beginning in 1870, the company employed paddle wheel steamships on the rivers of the prairies. End of monopoly The Guillaume Sayer Trial in 1849 contributed to the end of the HBC monopoly. Sayer, a Métis trapper and trader, was accused of illegal trading in furs. The Court of Assiniboia brought Sayer to trial, before a jury of HBC officials and supporters. During the trial, a crowd of armed Métis men led by Louis Riel, Sr. gathered outside the courtroom. Although Sayer was found guilty of illegal trade, having evaded the HBC monopoly, Judge Adam Thom did not levy a fine or punishment. Some accounts attributed that to the intimidating armed crowd gathered outside the courthouse. With the cry, Le commerce est libre! Le commerce est libre! ("Trade is free! Trade is free!"), the Métis loosened the HBC's previous control of the courts, which had enforced their monopoly on the settlers of Red River. Another factor was the findings of the Palliser Expedition of 1857 to 1860, led by Captain John Palliser. He surveyed the area of the prairies and wilderness from Lake Superior to the southern passes of the Rocky Mountains. Although he recommended against settlement of the region, the report sparked a debate. It ended the myth publicized by Hudson's Bay Company: that the Canadian West was unfit for agricultural settlement. In 1863, the International Financial Society bought controlling interest in the HBC, signalling a shift in the company's outlook: most of the new shareholders were less interested in the fur trade than in real estate speculation and economic development in the West. The Society floated £2 million in public shares on non-ceded land held ostensibly by the Hudson's Bay Company as an asset and leveraged this asset for collateral for these funds. These funds allowed the Society the financial means to weather the financial collapse of 1866 which destroyed many competitors and invest in railways in North America. In 1869, after rejecting the American government offer of , the company approved the return of Rupert's Land to Britain. The government gave it to Canada and loaned the new country the £300,000 required to compensate HBC for its losses. HBC also received one-twentieth of the fertile areas to be opened for settlement and retained title to the lands on which it had built trading establishments. The deal, known as the Deed of Surrender, came into force the following year. The resulting territory, now known as the Northwest Territories, was brought under Canadian jurisdiction under the terms of the Rupert's Land Act 1868, enacted by the Parliament of the United Kingdom. The Deed enabled the admission of the fifth province, Manitoba, to the Confederation on 15 July 1870, the same day that the deed itself came into force. During the 19th century the Hudson's Bay Company went through great changes in response to such factors as growth of population and new settlements in part of its territory, and ongoing pressure from Britain. It seemed unlikely that it would continue to control the future of the West. 20th century Department stores and diversification The iconic department store today evolved from trading posts at the start of the 19th century, when they began to see demand for general merchandise grow rapidly. HBC soon expanded into the interior and set-up posts along river settlements that later developed into the modern cities of Winnipeg, Calgary and Edmonton. In 1857, the first sales shop was established in Fort Langley. This was followed by other sales shops in Fort Victoria (1859), Winnipeg (1881), Calgary (1884), Vancouver (1887), Vernon (1887), Edmonton (1890), Yorkton (1898), and Nelson (1902). The first of the grand "original six" department stores was built in Calgary in 1913. The other department stores that followed were in Edmonton, Vancouver, Victoria, Saskatoon, and Winnipeg. The First World War interrupted a major remodelling and restoration of retail trade shops planned in 1912. Following the war, the company revitalized its fur-trade and real-estate activities, and diversified its operations by venturing into the oil business. Today, the department store business is the only remaining part of the company's operations, in the form of department stores under the Hudson's Bay brand. Oil and gas operations The company co-founded Hudson's Bay Oil and Gas Company (HBOG) in 1926 with Marland Oil Company (which merged with Conoco in 1929). HBOG expanded during the 1940s and 1950s, and in 1960 began shipping Canadian crude through a new link to the Glacier pipeline and on to the refinery in Billings, Montana. The company became the sixth-largest Canadian oil producer in 1967. In 1973, HBOG acquired a 35 per cent stake in Siebens Oil and Gas, and, in 1979, it divested that interest. In 1980, it bought a controlling interest in Roxy Petroleum. In the 1980s, sales and oil prices slipped, while debt from acquisitions piled up which led to Hudson's Bay Company selling its 10.1 per cent stake in HBOG to Dome Petroleum in 1981. Indigenous health During his 1927 Arctic trip with A. Y. Jackson, discoverer of insulin Frederick Banting realized that crew or passengers on board the HBC paddle wheeler SS Distributor were responsible for spreading the influenza virus down the Slave River and Mackenzie River, a virus that had over the summer and autumn spread territory-wide, devastating the aboriginal population of the north. Returning from the trip, Banting gave an interview in Montreal with a Toronto Star reporter under the agreement that his statements on HBC would remain off the record. The conversation was nonetheless published in the Toronto Star and rapidly reached a wide audience across Europe and Australia. Banting was angry at the leak, having promised the Department of the Interior not to make any statements to the press prior to clearing them. The article noted that Banting had given the journalist C. R. Greenaway repeated instances of how the fox fur trade always favoured the company: "For over $100,000 of fox skins, he estimated that the Eskimos had not received $5,000 worth of goods." He traced this treatment to health, consistent with reports made in previous years by RCMP officers, suggesting that "the result was a diet of "flour, biscuits, tea and tobacco," with the skins that once were used for clothing traded merely for "cheap whiteman's goods."" The HBC fur trade commissioner called Banting's remarks "false and slanderous", and a month later, the governor and general manager met Banting at the King Edward Hotel to demand a retraction. Banting stated that the reporter had betrayed his confidence, but did not retract his statement and reaffirmed that HBC was responsible for the death of indigenous residents by supplying the wrong kind of food and introducing diseases into the Arctic. As A. Y. Jackson notes in his memoir, since neither the governor nor the general manager had been to the Arctic, the meeting ended with them asking Banting's advice on what HBC ought to do: "He gave them some good advice and later he received a card at Christmas with the Governor's best wishes." Banting maintained this position in his report to the Department of the Interior:He noted that "infant mortality was high because of the undernourishment of the mother before birth"; that "white man’s food leads to decay of native teeth"; that "tuberculosis has commenced. Saw several cases at Godhavn, Etah, Port Burwell, Arctic Bay"; that "an epidemic resembling influenza killed a considerable proportion of population at Port Burwell"; and that "the gravest danger faces the Eskimo in his transfer from a race-long hunter to a dependent trapper. White flour, sea-biscuits, tea and tobacco do not provide sufficient fuel to warm and nourish him". Furthermore, he discouraged the establishment of an Arctic hospital. The "proposed hospital at Pangnirtung would be a waste of money, as it could be reached by only a few natives". Banting's report contrasted starkly with the bland descriptions provided by the ship's physician, F. H. Stringer. Retail expansion In 1960, the company acquired Morgan's allowing it to expand into Montreal, Toronto, Hamilton, and Ottawa. In 1965, HBC rebranded its department stores as The Bay. The Morgan's logo was changed to match the new visual identity. By 1972 the last of the former Morgan's stores had been rebranded to Bay stores. In 1970, on the company's 300th anniversary, as a result of punishing new British tax laws, the company relocated to Canada, and was rechartered as a Canadian business corporation under Canadian law, Head Office functions were transferred from London to Winnipeg. By 1974, as the company expanded into eastern Canada, head office functions were moved to Toronto. In 1972, the company acquired the four-store Shop-Rite chain of catalogue stores. The chain was quickly expanded to 65 stores in Ontario, but closed in 1982 due to declining sales. In these stores, little merchandise was displayed; customers made their selections from catalogues, and staff would retrieve the merchandise from storerooms. The HBC also acquired Freimans department stores in Ottawa and converted them to The Bay. In 1978, the Zellers discount store chain made a bid to acquire the HBC, but the HBC turned the tables and acquired Zellers. Also in 1978, Simpson's department stores were acquired by Hudson's Bay Company, and were converted to Bay stores in 1991. (The related chain Simpsons-Sears was not acquired by the Bay, but became Sears Canada in 1978.) In 1991, Simpsons disappeared, when the last Simpsons store was converted to the Bay banner. In 1979, Canadian billionaire Kenneth Thomson won control of the company in a battle with George Weston Limited, and acquired a 75 per cent stake for $400 million. Thomson sold the company's oil and gas business, financial services, distillery, and other interests for approximately $550 million, transforming the company into a leaner, more focused operation. In 1997, the Thomson family sold the last of its remaining shares. Hudson's Bay Company reversed a formidable debt problem in 1987, by shedding non-strategic assets such as its wholesale division and getting completely out of the oil and gas business. HBC also sold its Canadian fur-auction business to Hudson's Bay Fur Sales Canada (now North American Fur Auctions). The Northern Stores Division was sold that same year to a group of investors and employees, which adopted The North West Company name three years later. The HBC acquired Towers Department Stores in 1990, combining them with the Zellers chain, and Woodward's stores in 1993, converting them into Bay or Zellers stores. Kmart Canada was acquired in 1998 and merged with Zellers. In 1991, the Bay agreed to stop retailing fur in response to complaints from people opposed to killing animals for this purpose. In 1997, the Bay reopened its fur salons to meet the demand of consumers. 21st century In December 2003, Maple Leaf Heritage Investments, a Nova Scotia-based company created to acquire shares of Hudson's Bay Company, announced that it was considering making an offer to acquire all or some of the common shares of Hudson's Bay Company. Maple Leaf Heritage Investments is a subsidiary of B-Bay Inc. Its CEO and chairman is American businesswoman Anita Zucker, widow of Jerry Zucker. Zucker had previously been the head of the Polymer Group, which acquired another Canadian institution, Dominion Textile. It had been a member of the International Association of Department Stores from 2001 to 2005. On 26 January 2006, the HBC's board agreed to a bid from Jerry Zucker. The South Carolina billionaire financier was a longtime HBC minority shareholder. In a 9 March 2006 press release, the HBC announced that Zucker would replace Yves Fortier as governor and George Heller as CEO, becoming the first US citizen to lead the company. After Jerry Zucker's death, the board named his widow, Anita Zucker, as HBC Governor and HBC Deputy-Governor Rob Johnston as CEO. On 16 July 2008, the company was sold to NRDC Equity Partners for just over $1.1 billion, a private equity firm based in Purchase, New York, which already owned Lord & Taylor, the oldest luxury department store chain in the United States. The Canadian and U.S. holdings were transferred to NRDC Equity Partners' holding company, Hudson's Bay Trading Company, as of late 2008. In June 2019, a consortium including chairman Richard Baker, Rhône Group, WeWork, Hanover Investments (Luxembourg) and Abrams Capital Management announced that it wanted to take the company private. The group then owned just over 50 per cent of HBC shares. In mid-August, the consortium said that it owned 57 per cent of the HBC shares. By 19 August 2019, however, Canadian investment firm Catalyst Capital Group Inc. said it had acquired enough shares to block the plan. A U.S. company, Land & Buildings Investment Management, the owner of over 6 per cent of the shares, had also criticized the Baker plan. In March 2020, Baker and a group of shareholders were successful in taking the company private. Zellers stores In September 2011, the HBC began downsizing the Zellers chain with the announcement that it would sell the majority of the leases for its locations to the U.S.-based retailer Target Corporation and close all of their remaining locations by early 2013. Target used the acquisition of this real estate as a means to enable its entry in the Canadian market. HBC used the proceeds to allow it to pay down debt and to invest in growing its Hudson's Bay and Lord & Taylor banners. In January 2013, it was confirmed that three former Zellers locations, re-purposed as liquidation centers for The Bay and Home Outfitters, would remain open under the banner name. By September 2019, the re-purposed Toronto and Ottawa Zellers locations were still operating as liquidation centres but the company closed both in late January 2020. Lord & Taylor stores On 24 January 2012, the Financial Post reported that Richard Baker (owner of NDRC and governor of Hudson's Bay Company) had dissolved Hudson's Bay Trading Company and that the HBC would now also operate the Lord & Taylor chain. At the time, the company was run by president Bonnie Brooks. Baker remained governor and CEO of the business, and Donald Watros stayed on as chief operating officer. In 2018, HBC sold the building that housed its flagship Lord & Taylor store on Fifth Avenue in Manhattan to WeWork Property Advisors after pressure from Land & Buildings Investment Management. The deal also included the use of floors of certain HBC-owned department stores in New York, Toronto, Vancouver and Germany as WeWork's shared office workspaces. In August 2019, HBC announced that it would sell their Lord & Taylor business to Le Tote Inc., which was to pay in cash when the deal closes (probably before year end 2019) and an additional two years later. HBC was to get a 25 per cent equity stake in Le Tote. The buyer would retain the stores' inventory, with an estimated value of . The deal, expected to close before year end, required HBC to pay the stores' rent for at least three years, leading one news report to describe it as "Not a clean exit". The liability to HBC for the rents was estimated at cash per year. 2012 initial public offering In October 2012, the HBC announced a $1.6 billion initial public offering (IPO); Baker planned to use the IPO to allow Canadian ownership to return to the company, and to help pay off debts with other partners. Additionally, the company also announced that it would re-brand The Bay department store chain as "Hudson's Bay". Other chains From 2004 to 2008, the HBC owned and operated a small chain of off-price stores called Designer Depot. Similar to the Winners and HomeSense retail format, Designer Depot did not meet sales expectations, and its nine stores were sold. Another HBC chain, Fields, was sold to a private firm in 2012. Established in 1950, Fields was acquired by Zellers in 1976. When Zellers was acquired by HBC in 1978, Fields became part of the HBC portfolio. Zellers was still owned by HBC but had been reduced to a chain of two liquidation stores following the sale of its lease portfolio to Target Canada in 2011. The Target Canada chain folded in 2015; the leases were subsequently returned to landlords or re-sold to other retailers. In early 2019, HBC announced that it would close all 37 of the Home Outfitters stores by year end. 2013 re-branding The new Hudson's Bay brand was launched in March 2013, incorporating a new logo with an updated rendition of the classic Hudson's Bay Company coat of arms, designed to be modern and better reflect the company's heritage. Following the IPO, HBC had also introduced a new corporate logo of its own (reviving a wordmark from the original HBC flag), but the new logo was not intended to be a consumer-facing brand. Purchase of Saks, Inc. On 29 July 2013, Hudson's Bay Company announced that it would buy Saks, Inc., operator of the U.S. Saks Fifth Avenue brand, for US$2.9 billion, or $16 per share. The merger was completed on 3 November 2013. The company also stated that as a result of the purchase, Canadian consumers would see Saks stores arriving in their country soon. After the purchase was finalized, HBC had a net loss of $124.2 million in the 2013 3Q due to the cost of the purchase and promotions. In late February 2019, HBC announced that it would close 20 of the 133 Saks stores and that all of the remaining locations would be "subject to review". Gilt Groupe In January 2016, HBC announced it would
Sturgeon Lake (1778), Beaver Lake Posts. In 1779, other traders founded the North West Company (NWC) in Montreal as a seasonal partnership to provide more capital and to continue competing with the HBC. It became operative for the outfit of 1780 and was the first joint-stock company in Canada and possibly North America. The agreement lasted one year. A second agreement established in 1780 had a three-year term. The company became a permanent entity in 1783. By 1784, the NWC had begun to make serious inroads into the HBC's profits. 19th century North West Company: violent competition and merger The North West Company (NWC) was the main rival in the fur trade. The competition led to the small Pemmican War in 1816. The Battle of Seven Oaks on 19 June 1816 was the climax of the long dispute. In 1821, the North West Company of Montreal and Hudson's Bay Company were forcibly merged by intervention of the British government to put an end to often-violent competition. 175 posts, 68 of them the HBC's, were reduced to 52 for efficiency and because many were redundant as a result of the rivalry and were inherently unprofitable. Their combined territory was extended by a licence to the North-Western Territory, which reached to the Arctic Ocean in the north and, with the creation of the Columbia Department in the Pacific Northwest, to the Pacific Ocean in the west. The NWC's regional headquarters at Fort George (Fort Astoria) was relocated to Fort Vancouver on the north bank of the Columbia River; it became the HBC base of operations on the Pacific Slope. Before the merger, the employees of the HBC, unlike those of the North West Company, did not participate in its profits. After the merger, with all operations under the management of Sir George Simpson (1826–60), the company had a corps of commissioned officers: 25 chief factors and 28 chief traders, who shared in the company's profits during the monopoly years. Its trade covered , and it had 1,500 contract employees. They also operated a store in what were then known as the Sandwich Islands (Hawai'i), engaging in merchant shipping to the islands between 1828 and 1859. Careers The career progression for officers, together referred to as the Commissioned Gentlemen, was to enter the company as a fur trader. Typically, they were men who had the capital to invest in starting up their trading. They sought to be promoted to the rank of Chief Trader. A Chief Trader would be in charge of an individual post and was entitled to one share of the company's profits. Chief Factors sat in council with the Governors and were the heads of districts. They were entitled to two shares of the company's profits or losses. The average income of a Chief Trader was £360 and that of a Chief Factor was £720. Competition Although the HBC maintained a monopoly on the fur trade during the early to mid-19th century, there was competition from James Sinclair and Andrew McDermot (Dermott), independent traders in the Red River Colony. They shipped furs by the Red River Trails to Norman Kittson a buyer in the United States. In addition, Americans controlled the Maritime fur trade on the Northwest Coast until the 1830s. Throughout the 1820s and 1830s, the HBC controlled nearly all trading operations in the Pacific Northwest, based at the company headquarters at Fort Vancouver on the Columbia River.Although claims to the region were by agreement in abeyance, commercial operating rights were nominally shared by the United States and Britain through the Anglo-American Convention of 1818, but company policy, enforced via Chief Factor John McLoughlin of the company's Columbia District, was to discourage U.S. settlement of the territory. The company's effective monopoly on trade virtually forbade any settlement in the region. It established Fort Boise in 1834 (in present-day southwestern Idaho) to compete with the American Fort Hall, to the east. In 1837, it purchased Fort Hall, also along the route of the Oregon Trail. The outpost director displayed the abandoned wagons of discouraged settlers to those seeking to move west along the trail. The company's stranglehold on the region was broken by the first successful large wagon train to reach Oregon in 1843, led by Marcus Whitman. In the years that followed, thousands of emigrants poured into the Willamette Valley of Oregon. In 1846, the United States acquired full authority south of the 49th parallel; the most settled areas of the Oregon Country were south of the Columbia River in what is now Oregon. McLoughlin, who had once turned away would-be settlers as company director, then welcomed them from his general store at Oregon City. He was later proclaimed the "Father of Oregon". The company retains no presence today in the portion of the Pacific Northwest governed by the United States. California During the 1820s and 1830s, HBC trappers were deeply involved in the early exploration and development of Northern California. Company trapping brigades were sent south from Fort Vancouver, along what became known as the Siskiyou Trail, into Northern California as far south as the San Francisco Bay Area, where the company operated a trading post at Yerba Buena (San Francisco). These trapping brigades in Northern California faced serious risks, and were often the first to explore relatively uncharted territory. They included the lesser known Peter Skene Ogden and Samuel Black. Hudson's Bay Company money Between 1820 and 1870, the HBC issued its own paper money. The notes, denominated in pounds sterling, were printed in London and issued at the York Factory, Fort Garry and the Red River Colony. For forty or so years beginning in 1870, the company employed paddle wheel steamships on the rivers of the prairies. End of monopoly The Guillaume Sayer Trial in 1849 contributed to the end of the HBC monopoly. Sayer, a Métis trapper and trader, was accused of illegal trading in furs. The Court of Assiniboia brought Sayer to trial, before a jury of HBC officials and supporters. During the trial, a crowd of armed Métis men led by Louis Riel, Sr. gathered outside the courtroom. Although Sayer was found guilty of illegal trade, having evaded the HBC monopoly, Judge Adam Thom did not levy a fine or punishment. Some accounts attributed that to the intimidating armed crowd gathered outside the courthouse. With the cry, Le commerce est libre! Le commerce est libre! ("Trade is free! Trade is free!"), the Métis loosened the HBC's previous control of the courts, which had enforced their monopoly on the settlers of Red River. Another factor was the findings of the Palliser Expedition of 1857 to 1860, led by Captain John Palliser. He surveyed the area of the prairies and wilderness from Lake Superior to the southern passes of the Rocky Mountains. Although he recommended against settlement of the region, the report sparked a debate. It ended the myth publicized by Hudson's Bay Company: that the Canadian West was unfit for agricultural settlement. In 1863, the International Financial Society bought controlling interest in the HBC, signalling a shift in the company's outlook: most of the new shareholders were less interested in the fur trade than in real estate speculation and economic development in the West. The Society floated £2 million in public shares on non-ceded land held ostensibly by the Hudson's Bay Company as an asset and leveraged this asset for collateral for these funds. These funds allowed the Society the financial means to weather the financial collapse of 1866 which destroyed many competitors and invest in railways in North America. In 1869, after rejecting the American government offer of , the company approved the return of Rupert's Land to Britain. The government gave it to Canada and loaned the new country the £300,000 required to compensate HBC for its losses. HBC also received one-twentieth of the fertile areas to be opened for settlement and retained title to the lands on which it had built trading establishments. The deal, known as the Deed of Surrender, came into force the following year. The resulting territory, now known as the Northwest Territories, was brought under Canadian jurisdiction under the terms of the Rupert's Land Act 1868, enacted by the Parliament of the United Kingdom. The Deed enabled the admission of the fifth province, Manitoba, to the Confederation on 15 July 1870, the same day that the deed itself came into force. During the 19th century the Hudson's Bay Company went through great changes in response to such factors as growth of population and new settlements in part of its territory, and ongoing pressure from Britain. It seemed unlikely that it would continue to control the future of the West. 20th century Department stores and diversification The iconic department store today evolved from trading posts at the start of the 19th century, when they began to see demand for general merchandise grow rapidly. HBC soon expanded into the interior and set-up posts along river settlements that later developed into the modern cities of Winnipeg, Calgary and Edmonton. In 1857, the first sales shop was established in Fort Langley. This was followed by other sales shops in Fort Victoria (1859), Winnipeg (1881), Calgary (1884), Vancouver (1887), Vernon (1887), Edmonton (1890), Yorkton (1898), and Nelson (1902). The first of the grand "original six" department stores was built in Calgary in 1913. The other department stores that followed were in Edmonton, Vancouver, Victoria, Saskatoon, and Winnipeg. The First World War interrupted a major remodelling and restoration of retail trade shops planned in 1912. Following the war, the company revitalized its fur-trade and real-estate activities, and diversified its operations by venturing into the oil business. Today, the department store business is the only remaining part of the company's operations, in the form of department stores under the Hudson's Bay brand. Oil and gas operations The company co-founded Hudson's Bay Oil and Gas Company (HBOG) in 1926 with Marland Oil Company (which merged with Conoco in 1929). HBOG expanded during the 1940s and 1950s, and in 1960 began shipping Canadian crude through a new link to the Glacier pipeline and on to the refinery in Billings, Montana. The company became the sixth-largest Canadian oil producer in 1967. In 1973, HBOG acquired a 35 per cent stake in Siebens Oil and Gas, and, in 1979, it divested that interest. In 1980, it bought a controlling interest in Roxy Petroleum. In the 1980s, sales and oil prices slipped, while debt from acquisitions piled up which led to Hudson's Bay Company selling its 10.1 per cent stake in HBOG to Dome Petroleum in 1981. Indigenous health During his 1927 Arctic trip with A. Y. Jackson, discoverer of insulin Frederick Banting realized that crew or passengers on board the HBC paddle wheeler SS Distributor were responsible for spreading the influenza virus down the Slave River and Mackenzie River, a virus that had over the summer and autumn spread territory-wide, devastating the aboriginal population of the north. Returning from the trip, Banting gave an interview in Montreal with a Toronto Star reporter under the agreement that his statements on HBC would remain off the record. The conversation was nonetheless published in the Toronto Star and rapidly reached a wide audience across Europe and Australia. Banting was angry at the leak, having promised the Department of the Interior not to make any statements to the press prior to clearing them. The article noted that Banting had given the journalist C. R. Greenaway repeated instances of how the fox fur trade always favoured the company: "For over $100,000 of fox skins, he estimated that the Eskimos had not received $5,000 worth of goods." He traced this treatment to health, consistent with reports made in previous years by RCMP officers, suggesting that "the result was a diet of "flour, biscuits, tea and tobacco," with the skins that once were used for clothing traded merely for "cheap whiteman's goods."" The HBC fur trade commissioner called Banting's remarks "false and slanderous", and a month later, the governor and general manager met Banting at the King Edward Hotel to demand a retraction. Banting stated that the reporter had betrayed his confidence, but did not retract his statement and reaffirmed that HBC was responsible for the death of indigenous residents by supplying the wrong kind of food and introducing diseases into the Arctic. As A. Y. Jackson notes in his memoir, since neither the governor nor the general manager had been to the Arctic, the meeting ended with them asking Banting's advice on what HBC ought to do: "He gave them some good advice and later he received a card at Christmas with the Governor's best wishes." Banting maintained this position in his report to the Department of the Interior:He noted that "infant mortality was high because of the undernourishment of the mother before birth"; that "white man’s food leads to decay of native teeth"; that "tuberculosis has commenced. Saw several cases at Godhavn, Etah, Port Burwell, Arctic Bay"; that "an epidemic resembling influenza killed a considerable proportion of population at Port Burwell"; and that "the gravest danger faces the Eskimo in his transfer from a race-long hunter to a dependent trapper. White flour, sea-biscuits, tea and tobacco do not provide sufficient fuel to warm and nourish him". Furthermore, he discouraged the establishment of an Arctic hospital. The "proposed hospital at Pangnirtung would be a waste of money, as it could be reached by only a few natives". Banting's report contrasted starkly with the bland descriptions provided by the ship's physician, F. H. Stringer. Retail expansion In 1960, the company acquired Morgan's allowing it to expand into Montreal, Toronto, Hamilton, and Ottawa. In 1965, HBC rebranded its department stores as The Bay. The Morgan's logo was changed to match the new visual identity. By 1972 the last of the former Morgan's stores had been rebranded to Bay stores. In 1970, on the company's 300th anniversary, as a result of punishing new British tax laws, the company relocated to Canada, and was rechartered as a Canadian business corporation under Canadian law, Head Office functions were transferred from London to Winnipeg. By 1974, as the company expanded into eastern Canada, head office functions were moved to Toronto. In 1972, the company acquired the four-store Shop-Rite chain of catalogue stores. The chain was quickly expanded to 65 stores in Ontario, but closed in 1982 due to declining sales. In these stores, little merchandise was displayed; customers made their selections from catalogues, and staff would retrieve the merchandise from storerooms. The HBC also acquired Freimans department stores in Ottawa and converted them to The Bay. In 1978, the Zellers discount store chain made a bid to acquire the HBC, but the HBC turned the tables and acquired Zellers. Also in 1978, Simpson's department stores were acquired by Hudson's Bay Company, and were converted to Bay stores in 1991. (The related chain Simpsons-Sears was not acquired by the Bay, but became Sears Canada in 1978.) In 1991, Simpsons disappeared, when the last Simpsons store was converted to the Bay banner. In 1979, Canadian billionaire Kenneth Thomson won control of the company in a battle with George Weston Limited, and acquired a 75 per cent stake for $400 million. Thomson sold the company's oil and gas business, financial services, distillery, and other interests for approximately $550 million, transforming the company into a leaner, more focused operation. In 1997, the Thomson family sold the last of its remaining shares. Hudson's Bay Company reversed a formidable debt problem in 1987, by shedding non-strategic assets such as its wholesale division and getting completely out of the oil and gas business. HBC also sold its Canadian fur-auction business to Hudson's Bay Fur Sales Canada (now North American Fur Auctions). The Northern Stores Division was sold that same year to a group of investors and employees, which adopted The North West Company name three years later. The HBC acquired Towers Department Stores in 1990, combining them with the Zellers chain, and Woodward's stores in 1993, converting them into Bay or Zellers stores. Kmart Canada was acquired in 1998 and merged with Zellers. In 1991, the Bay agreed to stop retailing fur in response to complaints from people opposed to killing animals for this purpose. In 1997, the Bay reopened its fur salons to meet the demand of consumers. 21st century In December 2003, Maple Leaf Heritage Investments, a Nova Scotia-based company created to acquire shares of Hudson's Bay Company, announced that it was considering making an offer to acquire all or some of the common shares of Hudson's Bay Company. Maple Leaf Heritage Investments is a subsidiary of B-Bay Inc. Its CEO and chairman is American businesswoman Anita Zucker, widow of Jerry Zucker. Zucker had previously been the head of the Polymer Group, which acquired another Canadian institution, Dominion Textile. It had been a member of the International Association of Department Stores from 2001 to 2005. On 26 January 2006, the HBC's board agreed to a bid from Jerry Zucker. The South Carolina billionaire financier was a longtime HBC minority shareholder. In a 9 March 2006 press release, the HBC announced that Zucker would replace Yves Fortier as governor and George Heller as CEO, becoming the first US citizen to lead the company. After Jerry Zucker's death, the board named his widow, Anita Zucker, as HBC Governor and HBC Deputy-Governor Rob Johnston as CEO. On 16 July 2008, the company was sold to NRDC Equity Partners for just over $1.1 billion, a private equity firm based in Purchase, New York, which already owned Lord & Taylor, the oldest luxury department store chain in the United States. The Canadian and U.S. holdings were transferred to NRDC Equity Partners' holding company, Hudson's Bay Trading Company, as of late 2008. In June 2019, a consortium including chairman Richard Baker, Rhône Group, WeWork, Hanover Investments (Luxembourg) and Abrams Capital Management announced that it wanted to take the company private. The group then owned just over 50 per cent of HBC shares. In mid-August, the consortium said that it owned 57 per cent of the HBC shares. By 19 August 2019, however, Canadian investment firm Catalyst Capital Group Inc. said it had acquired enough shares to block the plan. A U.S. company, Land & Buildings Investment Management, the owner of over 6 per cent of the shares, had also criticized the Baker plan. In March 2020, Baker and a group of shareholders were successful in taking the company private. Zellers stores In September 2011, the HBC began downsizing the Zellers chain with the announcement that it would sell the majority of the leases for its locations to the U.S.-based retailer Target Corporation and close all of their remaining locations by early 2013. Target used the acquisition of this real estate as a means to enable its entry in the Canadian market. HBC used the proceeds to allow it to pay down debt and to invest in growing its Hudson's Bay and Lord & Taylor banners. In January 2013, it was confirmed that three former Zellers locations, re-purposed as liquidation centers for The Bay and Home Outfitters, would remain open under the banner name. By September 2019, the re-purposed Toronto and Ottawa Zellers locations were still operating as liquidation centres but the company closed both in late January 2020. Lord & Taylor stores On 24 January 2012, the Financial Post reported that Richard Baker (owner of NDRC and governor of Hudson's Bay Company) had dissolved Hudson's Bay Trading Company and that the HBC would now also operate the Lord & Taylor chain. At the time, the
Plataea in 479 BC during the Second Greco-Persian War. The word hoplite (Greek: hoplítēs; pl. hoplĩtai) derives from hoplon ( : hóplon; plural hópla ), referring to the hoplite's shield. In the modern Hellenic Army, the word hoplite (Greek: : oplítîs) is used to refer to an infantryman. Warfare The fragmented political structure of Ancient Greece, with many competing city-states, increased the frequency of conflict, but at the same time limited the scale of warfare. Limited manpower did not allow most Greek city-states to form large armies which could operate for long periods because they were generally not formed from professional soldiers. Most soldiers had careers as farmers or workers and returned to these professions after the campaign. All hoplites were expected to take part in any military campaign when called for duty by leaders of the state. The Lacedaemonian citizens of Sparta were renowned for their lifelong combat training and almost mythical military prowess, while their greatest adversaries, the Athenians, were exempted from service only after the age of 60. This inevitably reduced the potential duration of campaigns and often resulted in the campaign season being restricted to one summer. Armies generally marched directly to their destination, and in some cases the battlefield was agreed to by the contestants in advance. Battles were fought on level ground, and hoplites preferred to fight with high terrain on both sides of the phalanx so the formation could not be flanked. An example of this was the Battle of Thermopylae, where the Spartans specifically chose a narrow coastal pass to make their stand against the massive Persian army. The vastly outnumbered Greeks held off the Persians for seven days. When battles occurred, they were usually set piece and intended to be decisive. The battlefield would be flat and open to facilitate phalanx warfare. These battles were usually short and required a high degree of discipline. At least in the early classical period, when cavalry was present, its role was restricted to protection of the flanks of the phalanx, pursuit of a defeated enemy, and covering a retreat if required. Light infantry and missile troops took part in the battles but their role was less important. Before the opposing phalanxes engaged, the light troops would skirmish with the enemy's light forces, and then protect the flanks and rear of the phalanx. The military structure created by the Spartans was a rectangular phalanx formation. The formation was organized from eight to ten rows deep and could cover a front of a quarter of a mile or more if sufficient hoplites were available. The two lines would close to a short distance to allow effective use of their spears, while the threw stones and javelins from behind their lines. The shields would clash and the first lines (protostates) would stab at their opponents, at the same time trying to keep in position. The ranks behind them would support them with their own spears and the mass of their shields gently pushing them, not to force them into the enemy formation but to keep them steady and in place. The soldiers in the back provided motivation to the ranks in the front being that most hoplites were close community members. At certain points, a command would be given to the phalanx or a part thereof to collectively take a certain number of steps forward (ranging from half to multiple steps). This was the famed . At this point, the phalanx would put its collective weight to push back the enemy line and thus create fear and panic among its ranks. There could be multiple such instances of attempts to push, but it seems from the accounts of the ancients that these were perfectly orchestrated and attempted organized en masse. Once one of the lines broke, the troops would generally flee from the field, sometimes chased by psiloi, peltasts, or light cavalry. If a hoplite escaped, he would sometimes be forced to drop his cumbersome , thereby disgracing himself to his friends and family (becoming a , one who threw his shield). To lessen the number of casualties inflicted by the enemy during battles, soldiers were positioned to stand shoulder to shoulder with their hoplon. The hoplites' most prominent citizens and generals led from the front. Thus, the war could be decided by a single battle. Victory was enforced by ransoming the fallen back to the defeated, called the "Custom of the Greeks". Individual hoplites carried their shields on their left arm, protecting themselves and the soldier to the left. This meant that the men at the extreme right of the phalanx were only half-protected. In battle, opposing phalanxes would exploit this weakness by attempting to overlap the enemy's right flank. It also meant that, in battle, a phalanx would tend to drift to the right (as hoplites sought to remain behind the shield of their neighbour). The most experienced hoplites were often placed on the right side of the phalanx, to counteract these problems. According to Plutarch's Sayings of Spartans, "a man carried a shield for the sake of the whole line". The phalanx is an example of a military formation in which single combat and other individualistic forms of battle were suppressed for the good of the whole. In earlier Homeric, dark age combat, the words and deeds of supremely powerful heroes turned the tide of battle. Instead of having individual heroes, hoplite warfare relied heavily on the community and unity of soldiers. With friends and family pushing on either side and enemies forming a solid wall of shields in front, the hoplite had little opportunity for feats of technique and weapon skill, but great need for commitment and mental toughness. By forming a human wall to provide a powerful defensive armour, the hoplites became much more effective while suffering fewer casualties. The hoplites had a lot of discipline and were taught to be loyal and trustworthy. They had to trust their neighbours for mutual protection, so a phalanx was only as strong as its weakest elements. Its effectiveness depended on how well the hoplites could maintain this formation in combat, and how well they could stand their ground, especially when engaged against another phalanx. The more disciplined and courageous the army, the more likely it was to win. Often engagements between various city-states of Greece would be resolved by one side fleeing after their phalanx had broken formation. As important as unity among the ranks was in phalanx warfare, individual fighting skill played a role in battle. Hoplites' shields were not locked all of the time. Throughout many points of the fight there were periods where the hoplites separated as far as two to three feet apart in order to have room to swing their shields and swords at the enemy. This led to individual prowess being more important than previously realized by some historians. It would have been near impossible to swing both shield and sword if the man next to you is practically touching. One piece of evidence of this is the picking of individual champions after each battle was fought. This is most evident in Herodotus' account of the Battle of Thermopylae. "Although great valor was displayed by the entire corps of Spartans and Thespians, the man who proved himself best was a Spartan Officer named Dienekes ". The brothers Alpheos and Maron were also honored for their battlefield prowess as well. This is just one example of an ancient historian giving credit to a few individual soldiers and the individuality of phalanx warfare. Equipment Body armour Each hoplite provided his own equipment. Thus, only those who could afford such weaponry fought as hoplites. As with the Roman Republican army it was the middle classes who formed the bulk of the infantry. Equipment was not standardized, although there were doubtless trends in general designs over time, and between city-states. Hoplites had customized armour, the shield was decorated with family or clan emblems, although in later years these were replaced by symbols or monograms of the city states. The equipment might be passed down in families, as it was expensive to manufacture. The hoplite army consisted of heavy infantrymen. Their armour, also called panoply, was sometimes made of full bronze for those who could afford it, weighing nearly , although linen armor now known as linothorax was more common since it was cost-effective and provided decent protection. The average farmer-peasant hoplite could not afford any armor and typically carried only a shield, a spear, and perhaps a helmet plus a secondary weapon. The richer upper-class hoplites typically had a bronze cuirass of either the bell or muscled variety, a bronze helmet with cheekplates, as well as greaves and other armour. The design of helmets used varied through time. The Corinthian helmet was at
Battle of Thermopylae in 480 BC and at the Battle of Plataea in 479 BC during the Second Greco-Persian War. The word hoplite (Greek: hoplítēs; pl. hoplĩtai) derives from hoplon ( : hóplon; plural hópla ), referring to the hoplite's shield. In the modern Hellenic Army, the word hoplite (Greek: : oplítîs) is used to refer to an infantryman. Warfare The fragmented political structure of Ancient Greece, with many competing city-states, increased the frequency of conflict, but at the same time limited the scale of warfare. Limited manpower did not allow most Greek city-states to form large armies which could operate for long periods because they were generally not formed from professional soldiers. Most soldiers had careers as farmers or workers and returned to these professions after the campaign. All hoplites were expected to take part in any military campaign when called for duty by leaders of the state. The Lacedaemonian citizens of Sparta were renowned for their lifelong combat training and almost mythical military prowess, while their greatest adversaries, the Athenians, were exempted from service only after the age of 60. This inevitably reduced the potential duration of campaigns and often resulted in the campaign season being restricted to one summer. Armies generally marched directly to their destination, and in some cases the battlefield was agreed to by the contestants in advance. Battles were fought on level ground, and hoplites preferred to fight with high terrain on both sides of the phalanx so the formation could not be flanked. An example of this was the Battle of Thermopylae, where the Spartans specifically chose a narrow coastal pass to make their stand against the massive Persian army. The vastly outnumbered Greeks held off the Persians for seven days. When battles occurred, they were usually set piece and intended to be decisive. The battlefield would be flat and open to facilitate phalanx warfare. These battles were usually short and required a high degree of discipline. At least in the early classical period, when cavalry was present, its role was restricted to protection of the flanks of the phalanx, pursuit of a defeated enemy, and covering a retreat if required. Light infantry and missile troops took part in the battles but their role was less important. Before the opposing phalanxes engaged, the light troops would skirmish with the enemy's light forces, and then protect the flanks and rear of the phalanx. The military structure created by the Spartans was a rectangular phalanx formation. The formation was organized from eight to ten rows deep and could cover a front of a quarter of a mile or more if sufficient hoplites were available. The two lines would close to a short distance to allow effective use of their spears, while the threw stones and javelins from behind their lines. The shields would clash and the first lines (protostates) would stab at their opponents, at the same time trying to keep in position. The ranks behind them would support them with their own spears and the mass of their shields gently pushing them, not to force them into the enemy formation but to keep them steady and in place. The soldiers in the back provided motivation to the ranks in the front being that most hoplites were close community members. At certain points, a command would be given to the phalanx or a part thereof to collectively take a certain number of steps forward (ranging from half to multiple steps). This was the famed . At this point, the phalanx would put its collective weight to push back the enemy line and thus create fear and panic among its ranks. There could be multiple such instances of attempts to push, but it seems from the accounts of the ancients that these were perfectly orchestrated and attempted organized en masse. Once one of the lines broke, the troops would generally flee from the field, sometimes chased by psiloi, peltasts, or light cavalry. If a hoplite escaped, he would sometimes be forced to drop his cumbersome , thereby disgracing himself to his friends and family (becoming a , one who threw his shield). To lessen the number of casualties inflicted by the enemy during battles, soldiers were positioned to stand shoulder to shoulder with their hoplon. The hoplites' most prominent citizens and generals led from the front. Thus, the war could be decided by a single battle. Victory was enforced by ransoming the fallen back to the defeated, called the "Custom of the Greeks". Individual hoplites carried their shields on their left arm, protecting themselves and the soldier to the left. This meant that the men at the extreme right of the phalanx were only half-protected. In battle, opposing phalanxes would exploit this weakness by attempting to overlap the enemy's right flank. It also meant that, in battle, a phalanx would tend to drift to the right (as hoplites sought to remain behind the shield of their neighbour). The most experienced hoplites were often placed on the right side of the phalanx, to counteract these problems. According to Plutarch's Sayings of Spartans, "a man carried a shield for the sake of the whole line". The phalanx is an example of a military formation in which single combat and other individualistic forms of battle were suppressed for the good of the whole. In earlier Homeric, dark age combat, the words and deeds of supremely powerful heroes turned the tide of battle. Instead of having individual heroes, hoplite warfare relied heavily on the community and unity of soldiers. With friends and family pushing on either side and enemies forming a solid wall of shields in front, the hoplite had little opportunity for feats of technique and weapon skill, but great need for commitment and mental toughness. By forming a human wall to provide a powerful defensive armour, the hoplites became much more effective while suffering fewer casualties. The hoplites had a lot of discipline and were taught to be loyal and trustworthy. They had to trust their neighbours for mutual protection, so a phalanx was only as strong as its weakest elements. Its effectiveness depended on how well the hoplites could maintain this formation in combat, and how well they could stand their ground, especially when engaged against another phalanx. The more disciplined and courageous the army, the more likely it was to win. Often engagements between various city-states of Greece would be resolved by one side fleeing after their phalanx had broken formation. As important as unity among the ranks was in phalanx warfare, individual fighting skill played a role in battle. Hoplites' shields were not locked all of the time. Throughout many points of the fight there were periods where the hoplites separated as far as two to three feet apart in order to have room to swing their shields and swords at the enemy. This led to individual prowess being more important than previously realized by some historians. It would have been near impossible to swing both shield and sword if the man next to you is practically touching. One piece of evidence of this is the picking of individual champions after each battle was fought. This is most evident in Herodotus' account of the Battle of Thermopylae. "Although great valor was displayed by the entire corps of Spartans and Thespians, the man who proved himself best was a Spartan Officer named Dienekes ". The brothers Alpheos and Maron were also honored for their battlefield prowess as well. This is just one example of an ancient historian giving credit to a few individual soldiers and the individuality of phalanx warfare. Equipment Body armour Each hoplite provided his own equipment. Thus, only those who could afford such weaponry fought as hoplites. As with the Roman Republican army it was the middle classes who formed the bulk of the infantry. Equipment was not standardized, although there were doubtless trends in general designs over time, and between city-states. Hoplites had customized armour, the shield was decorated with family or clan emblems, although in later years these were replaced by symbols or monograms of the city states. The equipment might be passed down in families, as it was expensive to manufacture. The hoplite army consisted of heavy infantrymen. Their armour, also called panoply, was sometimes made of full bronze for those who could afford it, weighing nearly , although linen armor now known as linothorax was more common since it was cost-effective and provided decent protection. The average farmer-peasant hoplite could not afford any armor and typically carried only a shield, a spear, and perhaps a helmet plus a secondary weapon. The richer upper-class hoplites typically had a bronze cuirass of either the bell or muscled variety, a bronze helmet with cheekplates, as well as greaves and other armour. The design of helmets used varied through time. The Corinthian helmet was at first standardized and was a successful design. Later variants included the Chalcidian helmet, a lightened version of the Corinthian helmet, and the simple Pilos helmet worn by the later hoplites. Often the helmet was decorated with one, sometimes more horsehair crests, and/or bronze animal horns and ears. Helmets were often painted as well. The Thracian helmet had a large visor to further increase protection. In later periods, linothorax was also used, as it is tougher and cheaper to produce. The linen was thick. By contrast with hoplites, other contemporary infantry (e.g., Persian) tended to wear relatively light armour, wicker shields, and were armed with shorter spears, javelins, and bows. The most famous are the Peltasts, light-armed troops who wore no armour and were armed with a light shield, javelins and a short sword. The Athenian general Iphicrates developed a new type of armour and arms for his mercenary army, which included light linen armour, smaller shields and longer spears, whilst arming his Peltasts with larger shields, helmets and a longer spear, thus enabling them to defend themselves more easily against hoplites. With this new type of army he defeated a Spartan army in 392 BC. The arms and armour described above were most common for hoplites. Shield Hoplites carried a large concave shield called an (often referred to as a ), measuring between 80–100 centimetres (31–39 in) in diameter and weighing between 6.5–8 kilograms (14–18 lbs). This large shield was made possible partly by its shape, which allowed it to be supported on the shoulder. The hoplon shield was assembled in three layers: the center layer was made of thick wood, the outside layer facing the enemy was made of bronze, and leather comprised the inside of the shield. The revolutionary part of the shield was the grip. Known as an Argive grip, it placed the handle at the edge of the shield, and was supported by a leather fastening (for the forearm) at the centre. These two points of contact eliminated the possibility of the shield swaying to the side after being struck, and as a result soldiers rarely lost their shields. This allowed the hoplite soldier more mobility with the shield, as well as the ability to capitalize on its offensive capabilities and better support the phalanx. The large hoplon shields, designed for pushing ahead, were the most essential equipment for the hoplites. Spear The main offensive weapon used was a long and in diameter spear called a . It was held with the right hand, with
important collection of Visigothic metalwork was found in Guadamur, in the Province of Toledo, known as the Treasure of Guarrazar. This archeological find is composed of twenty-six votive crowns and gold crosses from the royal workshop in Toledo, with signs of Byzantine influence. Two important votive crowns are those of Recceswinth and of Suintila, displayed in the National Archaeological Museum of Madrid; both are made of gold, encrusted with sapphires, pearls, and other precious stones. Suintila's crown was stolen in 1921 and never recovered. There are several other small crowns and many votive crosses in the treasure. The aquiliform (eagle-shaped) fibulae that have been discovered in necropolises such as Duraton, Madrona or Castiltierra (cities of Segovia. These fibulae were used individually or in pairs, as clasps or pins in gold, bronze and glass to join clothes. The Visigothic belt buckles, a symbol of rank and status characteristic of Visigothic women's clothing, are also notable as works of goldsmithery. Some pieces contain exceptional Byzantine-style lapis lazuli inlays and are generally rectangular in shape, with copper alloy, garnets and glass. The architecture of Visigothic Hispania During their governance of Hispania, the Visigoths built several churches in the basilical or cruciform style that survive, including the churches of San Pedro de la Nave in El Campillo, Santa María de Melque in San Martín de Montalbán, Santa Lucía del Trampal in Alcuéscar, Santa Comba in Bande, and Santa María de Lara in Quintanilla de las Viñas. The Visigothic crypt (the Crypt of San Antolín) in the Palencia Cathedral is a Visigothic chapel from the mid 7th century, built during the reign of Wamba to preserve the remains of the martyr Saint Antoninus of Pamiers, a Visigothic-Gallic nobleman brought from Narbonne to Visigothic Hispania in 672 or 673 by Wamba himself. These are the only remains of the Visigothic cathedral of Palencia. Reccopolis, located near the tiny modern village of Zorita de los Canes in the province of Guadalajara, Castile-La Mancha, Spain, is an archaeological site of one of at least four cities founded in Hispania by the Visigoths. It is the only city in Western Europe to have been founded between the fifth and eighth centuries. The city's construction was ordered by the Visigothic king Liuvigild to honor his son Reccared and to serve as Reccared's seat as co-king in the Visigothic province of Celtiberia, to the west of Carpetania, where the main capital, Toledo, lay. Religion At the beginning of the Visigothic Kingdom, Arianism was the official religion in Hispania, but only for a brief time, according to historian Rhea Marsh Smith (1905-1991). In 587, Reccared, the Visigothic king at Toledo, converted to Catholicism and launched a movement to unify the various religious doctrines that existed in the Iberian Peninsula. The Councils of Toledo debated the creed and liturgy of orthodox Catholicism, and the Council of Lerida in 546 constrained the clergy and extended the power of law over them with the approval of the pope. While the Visigoths clung to their Arian faith, the Jews were well-tolerated. Previous Roman and Byzantine law determined their status, and already sharply discriminated against them. Historian Jane Gerber relates that some of the Jews "held ranking posts in the government or the army; others were recruited and organized for garrison service; still others continued to hold senatorial rank". In general, then, they were well-respected and well-treated by the Visigothic kings, that is, until their transition from Arianism to Catholicism. Conversion to Catholicism across Visigothic society reduced the friction between the Visigoths and the Hispano-Roman population. However, the Visigothic conversion negatively impacted the Jews, who came under scrutiny for their religious practices. Islamic al-Andalus and the Christian Reconquest (8th–15th centuries) The Arab Islamic conquest dominated most of North Africa by 710 AD. In 711 an Islamic Berber conquering party, led by Tariq ibn Ziyad, was sent to Hispania to intervene in a civil war in the Visigothic Kingdom. Tariq's army contained about 7,000 Berber horsemen, and Musa bin Nusayr is said to have sent an additional 5,000 reinforcements after the conquest. Crossing the Strait of Gibraltar, they won a decisive victory in the summer of 711 when the Visigothic King Roderic was defeated and killed on July 19 at the Battle of Guadalete. Tariq's commander, Musa, quickly crossed with Arab reinforcements, and by 718 the Muslims were in control of nearly the whole Iberian Peninsula. The advance into Western Europe was only stopped in what is now north-central France by the West Germanic Franks under Charles Martel at the Battle of Tours in 732. The Muslim conquerors (also known as "Moors") were Arabs and Berbers; following the conquest, conversion and arabization of the Hispano-Roman population took place, (muwalladum or Muwallad). After a long process, spurred on in the 9th and 10th centuries, the majority of the population in Al-Andalus eventually converted to Islam. The Muslim population was divided per ethnicity (Arabs, Berbers, Muwallad), and the supremacy of Arabs over the rest of group was a recurrent causal for strife, rivalry and hatred, particularly between Arabs and Berbers. Arab elites could be further divided in the Yemenites (first wave) and the Syrians (second wave). Male Muslim rulers were often the offspring of female Christian slaves. Christians and Jews were allowed to live as subordinate groups of a stratified society under the dhimmah system, although Jews became very important in certain fields. Some Christians migrated to the Northern Christian kingdoms, while those who stayed in Al-Andalus progressively arabised and became known as musta'arab (mozarabs). Besides slaves of Iberian origin, the slave population also comprised the Ṣaqāliba (literally meaning "slavs", although they were slaves of generic European origin) as well as Sudanese slaves. The frequent raids in Christian lands provided Al-Andalus with continuous slave stock, including women who often became part of the harems of the Muslim elite. Slaves were also shipped from Spain to elsewhere in the Ummah. In what should not have amounted to much more than a skirmish (later magnified by Spanish nationalism), a Muslim force sent to put down the Christian rebels in the northern mountains was defeated by a force reportedly led by the legendary Pelagius, this is known as the Battle of Covadonga. The figure of Pelagius, a by-product of the Asturian chronicles of Alfonso III (written more than a century after the alleged battle), has been later reconstructed in conflicting historiographical theories, most notably that of a refuged Visigoth noble or an autochthonous Astur chieftain. The consolidation of a Christian polity that would come to be known as the Kingdom of Asturias ensued later. At the end of Visigothic rule, the assimilation of Hispano-Romans and Visigoths was occurring at a fast pace. An unknown number of them fled and took refuge in Asturias or Septimania. In Asturias they supported Pelagius's uprising, and joining with the indigenous leaders, formed a new aristocracy. The population of the mountain region consisted of native Astures, Galicians, Cantabri, Basques and other groups unassimilated into Hispano-Gothic society. In 739, a rebellion in Galicia, assisted by the Asturians, drove out Muslim forces and it joined the Asturian kingdom. In the northern Christian kingdoms, lords and religious organizations often owned Muslim slaves who were employed as day laborers and household servants. Caliph Al-Walid I had paid great attention to the expansion of an organized military, building the strongest navy in the Umayyad Caliphate era (the second major Arab dynasty after Mohammad and the first Arab dynasty of Al-Andalus). It was this tactic that supported the ultimate expansion to Hispania. Islamic power in Spain specifically climaxed in the 10th century under Abd-ar-Rahman III. The rulers of Al-Andalus were granted the rank of Emir by the Umayyad Caliph Al-Walid I in Damascus. When the Abbasids overthrew the Umayyad Caliphate, Abd al-Rahman I managed to escape to al-Andalus. Once arrived, he declared al-Andalus independent. It is not clear if Abd al-Rahman considered himself to be a rival caliph, perpetuating the Umayyad Caliphate, or merely an independent Emir. The state founded by him is known as the Emirate of Cordoba. Al-Andalus was rife with internal conflict between the Islamic Umayyad rulers and people and the Christian Visigoth-Roman leaders and people. The Vikings invaded Galicia in 844, but were heavily defeated by Ramiro I at A Coruña. Many of the Vikings' casualties were caused by the Galicians' ballistas – powerful torsion-powered projectile weapons that looked rather like giant crossbows. 70 Viking ships were captured and burned. Vikings returned to Galicia in 859, during the reign of Ordoño I. Ordoño was at the moment engaged against his constant enemies the Moors; but a count of the province, Don Pedro, attacked the Vikings and defeated them, destroying 38 of their ships. In the 10th century Abd-ar-Rahman III declared the Caliphate of Córdoba, effectively breaking all ties with the Egyptian and Syrian caliphs. The Caliphate was mostly concerned with maintaining its power base in North Africa, but these possessions eventually dwindled to the Ceuta province. The first navy of the Emir of Córdoba was built after the Viking ascent of the Guadalquivir in 844 when they sacked Seville. In 942, Hungarian raids on Spain, especially in Catalonia, took place, according to Ibn Hayyan's work. Meanwhile, a slow but steady migration of Christian subjects to the northern kingdoms in Christian Hispania was slowly increasing the latter's power. Al-Andalus coincided with La Convivencia, an era of relative religious tolerance, and with the Golden age of Jewish culture in the Iberian Peninsula. Muslim interest in the peninsula returned in force around the year 1000 when Al-Mansur (also known as Almanzor) sacked Barcelona in 985, and he assaulted Zamora, Toro, Leon and Astorga in 988 and 989, which controlled access to Galicia. Under his son, other Christian cities were subjected to numerous raids. After his son's death, the caliphate plunged into a civil war and splintered into the so-called "Taifa Kingdoms". The Taifa kings competed against each other not only in war but also in the protection of the arts, and culture enjoyed a brief renaissance. The aceifas (Muslim military expeditions made in summer in medieval Spain) were the continuation of a policy from the times of the emirate: the capture of numerous contingents of Christian slaves, the saqáliba (plural of siqlabi, "slave"). These were the most lucrative part of the booty, and constituted an excellent method of payment for the troops, so much so that many aceifas were real hunts for people. The Almohads, who had taken control of the Almoravids' Maghribi and al-Andalus territories by 1147, surpassed the Almoravides in fundamentalist Islamic outlook, and they treated the non-believer dhimmis harshly. Faced with the choice of death, conversion, or emigration, many Jews and Christians left. By the mid-13th century, the Emirate of Granada was the only independent Muslim realm in Spain, which survived until 1492 by becoming a vassal state to Castile, to which it paid tribute. Warfare between Muslims and Christians Medieval Spain was the scene of almost constant warfare between Muslims and Christians. The Taifa kingdoms lost ground to the Christian realms in the north. After the loss of Toledo in 1085, the Muslim rulers reluctantly invited the Almoravides, who invaded Al-Andalus from North Africa and established an empire. In the 12th century the Almoravid empire broke up again, only to be taken over by the Almohad invasion, who were defeated by an alliance of the Christian kingdoms in the decisive Battle of Las Navas de Tolosa in 1212. By 1250, nearly all of Hispania was back under Christian rule with the exception of the Muslim kingdom of Granada. The Spanish language and universities In the 13th century, many languages were spoken in the Christian kingdoms of Hispania. These were the Latin-based Romance languages of Castilian, Aragonese, Catalan, Galician, Aranese, Asturian, Leonese, and Portuguese, and the ancient language isolate of Basque. Throughout the century, Castilian (what is also known today as Spanish) gained a growing prominence in the Kingdom of Castile as the language of culture and communication, at the expense of Leonese and of other close dialects. One example of this is the oldest preserved Castilian epic poem, Cantar de Mio Cid, written about the military leader El Cid. In the last years of the reign of Ferdinand III of Castile, Castilian began to be used for certain types of documents, and it was during the reign of Alfonso X that it became the official language. Henceforth all public documents were written in Castilian; likewise all translations were made into Castilian instead of Latin. At the same time, Catalan and Galician became the standard languages in their respective territories, developing important literary traditions and being the normal languages in which public and private documents were issued: Galician from the 13th to the 16th century in Galicia and nearby regions of Asturias and Leon, and Catalan from the 12th to the 18th century in Catalonia, the Balearic Islands and Valencia, where it was known as Valencian. Both languages were later substituted in its official status by Castilian Spanish, till the 20th century. In the 13th century many universities were founded in León and in Castile. Some, such as the Leonese Salamanca and the Castilian Palencia, were among the earliest universities in Europe. In 1492, under the Catholic Monarchs, the first edition of the Grammar of the Castilian Language by Antonio de Nebrija was published. Early Modern Spain Dynastic union of the Catholic Monarchs In the 15th century, the most important among all of the separate Christian kingdoms that made up the old Hispania were the Kingdom of Castile (occupying northern and central portions of the Iberian Peninsula), the Kingdom of Aragon (occupying northeastern portions of the peninsula), and the Kingdom of Portugal occupying the far western Iberian Peninsula. The rulers of the kingdoms of Castile and Aragon were allied with dynastic families in Portugal, France, and other neighboring kingdoms. The death of King Henry IV of Castile in 1474 set off a struggle for power called the War of the Castilian Succession (1475–1479). Contenders for the throne of Castile were Henry's one-time heir Joanna la Beltraneja, supported by Portugal and France, and Henry's half-sister Queen Isabella I of Castile, supported by the Kingdom of Aragon and by the Castilian nobility. Isabella retained the throne and ruled jointly with her husband, King Ferdinand II. Isabella and Ferdinand had married in 1469 in Valladolid. Their marriage united both crowns and set the stage for the creation of the Kingdom of Spain, at the dawn of the modern era. That union, however, was a union in title only, as each region retained its own political and judicial structure. Pursuant to an agreement signed by Isabella and Ferdinand on January 15, 1474, Isabella held more authority over the newly unified Spain than her husband, although their rule was shared. Together, Isabella of Castile and Ferdinand of Aragon were known as the "Catholic Monarchs" (), a title bestowed on them by Pope Alexander VI. Conclusion of the Reconquista and expulsions of Jews and Muslims The monarchs oversaw the final stages of the Reconquista of Iberian territory from the Moors with the conquest of Granada, conquered the Canary Islands, and expelled the Jews from Spain under the Alhambra Decree. Although until the 13th century religious minorities (Jews and Muslims) had enjoyed considerable tolerance in Castile and Aragon – the only Christian kingdoms where Jews were not restricted from any professional occupation – the situation of the Jews collapsed over the 14th century, reaching a climax in 1391 with large scale massacres in every major city except Ávila. The Catholic Monarchs ordered the remaining Jews to convert or face expulsion from Spain in 1492, and extended the expulsion decrees to their territories on the Italian peninsula, including Sicily (1493), Naples (1542), and Milan (1597). Over the following decades, Muslims faced the same fate; and about 60 years after the Jews, they were also compelled to convert ("Moriscos") or be expelled. In the early 17th century, the converts were also expelled. Jews and Muslims were not the only people to be persecuted during this time period. Isabella ensured long-term political stability in Spain by arranging strategic marriages for each of her five children. Her firstborn, a daughter named Isabella, married Afonso of Portugal, forging important ties between these two neighboring countries and hopefully ensuring future alliance, but Isabella soon died before giving birth to an heir. Juana, Isabella's second daughter, married into the Habsburg dynasty when she wed Philip the Fair, the son of Maximilian I, King of Bohemia (Austria) and likely heir to the crown of the Holy Roman Emperor. This ensured an alliance with the Habsburgs and the Holy Roman Empire, a powerful, far-reaching territory that assured Spain's future political security. Isabella's only son, Juan, married Margaret of Austria, further strengthening ties with the Habsburg dynasty. Isabella's fourth child, Maria, married Manuel I of Portugal, strengthening the link forged by her older sister's marriage. Her fifth child, Catherine, married King Henry VIII of England and was mother to Queen Mary I of England. Conquest of the Canary Islands, Columbian expeditions to the New World and African expansion The Castilian conquest of the Canary Islands, inhabited by Guanche people, took place between 1402 (with the conquest of Lanzarote) and 1496 (with the conquest of Tenerife). Two periods can be distinguished in this process: the noble conquest, carried out by the nobility in exchange for a pact of vassalage, and the royal conquest, carried out directly by the Crown, during the reign of the Catholic Monarchs. By 1520, European military technology combined with the devastating epidemics such as bubonic plague and pneumonia brought by the Castilians and enslavement and deportation of natives led to the extinction of the Guanches. Isabella and Ferdinand authorized the 1492 expedition of Christopher Columbus, who became the first known European to reach the New World since Leif Ericson. This and subsequent expeditions led to an influx of wealth into Spain, supplementing income from within Castile for the state that would prove to be a dominant power of Europe for the next two centuries. Spain established colonies in North Africa that ranged from the Atlantic Moroccan coast to Tripoli in Libya. Melilla was occupied in 1497, Oran in 1509, Larache in 1610, and Ceuta was annexed from the Portuguese in 1668. Today, both Ceuta and Melilla still remain under Spanish control, together with smaller islets known as the presidios menores (Peñón de Vélez de la Gomera, las Islas de Alhucemas, las Islas de Chafarinas). Spanish empire The Spanish Empire was the first global empire. It was also one of the largest empires in world history. In the 16th century, Spain and Portugal were in the vanguard of European global exploration and colonial expansion. The two kingdoms on the conquest and Iberian Peninsula competed with each other in opening of trade routes across the oceans. Spanish imperial conquest and colonization began with the Canary Islands in 1312 and 1402. which began the Castilian conquest of the Canary Islands, completed in 1495. In the 15th and 16th centuries, trade flourished across the Atlantic between Spain and the Americas and across the Pacific between East Asia and Mexico via the Philippines. Spanish Conquistadors, operating privately, deposed the Aztec, Inca and Maya governments with extensive help from local factions and took control of vast stretches of land. In the Philippines, the Spanish, using Mexican Conquistadors like Juan de Salcedo, conquered the kingdoms and sultanates of the islands by pitting Pagans and Muslims against each other, thus employing the principle of "Divide and Conquer". They considered their war against the native Muslims of the Southeast Asia an extension of the Spanish Reconquista. This New World empire was at first a disappointment, as the natives had little to trade. Diseases such as smallpox and measles that arrived with the colonizers devastated the native populations, especially in the densely populated regions of the Aztec, Maya and Inca civilizations, and this reduced the economic potential of conquered areas. Estimates of the pre-Columbian population of the Americas vary but possibly stood at 100 million—one fifth of humanity in 1492. Between 1500 and 1600 the population of the Americas was halved. In Mexico alone, it has been estimated that the pre-conquest population of around 25 million people was reduced within 80 years to about 1.3 million. In the 1520s, large-scale extraction of silver from the rich deposits of Mexico's Guanajuato began to be greatly augmented by the silver mines in Mexico's Zacatecas and Bolivia's Potosí from 1546. These silver shipments re-oriented the Spanish economy, leading to the importation of luxuries and grain. The resource-rich colonies of Spain thus caused large cash inflows for the country. They also became indispensable in financing the military capability of Habsburg Spain in its long series of European and North African wars, though, with the exception of a few years in the 17th century, Taxes in Castile were the most important source of revenue. Spain enjoyed a cultural golden age in the 16th and 17th centuries. For a time, the Spanish Empire dominated the oceans with its experienced navy and ruled the European battlefield with its fearsome and well trained infantry, the famous . The financial burden within the peninsula was on the backs of the peasant class while the nobility enjoyed an increasingly lavish lifestyle. From the time beginning with the incorporation of the Portuguese Empire in 1580 (lost in 1640) until the loss of its American colonies in the 19th century, Spain maintained one of the largest empires in the world even though it suffered military and economic misfortunes from the 1640s. Religion played a very strong role in the spread of the Spanish empire. The thought that Spain could bring Christianity to the New World and protect Catholicism in Europe certainly played a strong role in the expansion of Spain's empire. Spanish Kingdoms under the 'Great' Habsburgs (16th century) Charles I, Holy Emperor Spain's world empire reached its greatest territorial extent in the late 18th century but it was under the Habsburg dynasty in the 16th and 17th centuries it reached the peak of its power and declined. The Iberian Union with Portugal meant that the monarch of Castile was also the monarch of Portugal, but they were ruled as separate entities both on the peninsula and in Spanish America and Brazil. In 1640, the House of Braganza revolted against Spanish rule and reasserted Portugal's independence. When Spain's first Habsburg ruler Charles I became king of Spain in 1516 (with his mother and co-monarch Queen Juana I effectively powerless and kept imprisoned till her death in 1555), Spain became central to the dynastic struggles of Europe. After he became king of Spain, Charles also became Charles V, Holy Roman Emperor and because of his widely scattered domains was not often in Spain. In 1556 Charles abdicated from his positions, giving his Spanish empire to his only surviving son, Philip II of Spain, and the Holy Roman Empire to his brother, Ferdinand. Philip treated Castile as the foundation of his empire, but the population of Castile (about a third of France's) was never large enough to provide the soldiers needed to support the Empire. His marriage to Mary Tudor allied England with Spain. Philip II and the wars of religion In the 1560s, plans to consolidate control of the Netherlands led to unrest, which gradually led to the Calvinist leadership of the revolt and the Eighty Years' War. The Dutch armies waged a war of maneuver and siege, successfully avoiding set piece battles. This conflict consumed much Spanish expenditure during the later 16th century. Other extremely expensive failures included an attempt to invade Protestant England in 1588 that produced the worst military disaster in Spanish history when the Spanish Armada—costing 10 million ducats—was scattered by a freak storm. Over 8,000 English sailors died from diseases such as dysentery and typhus while the Spanish Armada was at sea. Economic and administrative problems multiplied in Castile, and the weakness of the native economy became evident in the following century. Rising inflation, financially draining wars in Europe, the ongoing aftermath of the expulsion of the Jews and Moors from Spain, and Spain's growing dependency on the silver imports, combined to cause several bankruptcies that caused economic crisis in the country, especially in heavily burdened Castile. The great plague of 1596–1602 killed 600,000 to 700,000 people, or about 10% of the population. Altogether more than 1,250,000 deaths resulted from the extreme incidence of plague in 17th-century Spain. Economically, the plague destroyed the labor force as well as creating a psychological blow to an already problematic Spain. The cultural Golden Age (Siglo de Oro) The Spanish Golden Age (in Spanish, Siglo de Oro) was a period of flourishing arts and letters in the Spanish Empire (now Spain and the Spanish-speaking countries of Latin America), coinciding with the political decline and fall of the Habsburgs (Philip III, Philip IV and Charles II). Arts during the Golden Age flourished despite the decline of the empire in the 17th century. The last great writer of the age, Sor Juana Inés de la Cruz, died in New Spain in 1695. The Habsburgs, both in Spain and Austria, were great patrons of art in their countries. El Escorial, the great royal monastery built by King Philip II, invited the attention of some of Europe's greatest architects and painters. Diego Velázquez, regarded as one of the most influential painters of European history and a greatly respected artist in his own time, cultivated a relationship with King Philip IV and his chief minister, the Count-Duke of Olivares, leaving us several portraits that demonstrate his style and skill. El Greco, a respected Greek artist from the period, settled in Spain, and infused Spanish art with the styles of the Italian renaissance and helped create a uniquely Spanish style of painting. Some of Spain's greatest music is regarded as having been written in the period. Such composers as Tomás Luis de Victoria, Luis de Milán and Alonso Lobo helped to shape Renaissance music and the styles of counterpoint and polychoral music, and their influence lasted far into the Baroque period. Spanish literature blossomed as well, most famously demonstrated in the work of Miguel de Cervantes, the author of Don Quixote de la Mancha. Spain's most prolific playwright, Lope de Vega, wrote possibly as many as one thousand plays over his lifetime, over four hundred of which survive to the present day. Decline under the 'Minor' Habsburgs (17th century) Spain's severe financial difficulties began in the middle 16th century, and would continue for the remainder of Habsburg rule. Despite the successes of Spanish armies, at home the period was marked by monetary inflation, mercantilism, and a variety of government monopolies and interventions. Spanish kings were forced to declare sovereign defaults nine times between 1557 and 1666. Philip II died in 1598, and was succeeded by his son Philip III. In his reign (1598–1621) a ten-year truce with the Dutch was overshadowed in 1618 by Spain's involvement in the European-wide Thirty Years' War. Government policy was dominated by favorites, but it was also the period in which the geniuses of Cervantes and El Greco flourished. Philip III was succeeded in 1621 by his son Philip IV of Spain (reigned 1621–65). Much of the policy was conducted by the Count-Duke of Olivares. The Count-Duke of Olivares was the inept prime minister from 1621 to 1643. He over-exerted Spain in foreign affairs and unsuccessfully attempted domestic reform. His policy of committing Spain to recapture Holland led to a renewal of the Eighty Years' War while Spain was also embroiled in the Thirty Years' War (1618–1648). His attempts to centralise power and increase wartime taxation led to revolts in Catalonia and in Portugal, which brought about his downfall. During the Thirty Years' War, in which various Protestant forces battled Imperial armies, France provided subsidies to Habsburg enemies, especially Sweden. Sweden lost and France's First Minister, Cardinal Richelieu, in 1635 declared war on Spain. The open war with Spain started with a promising victory for the French at Les Avins in 1635. The following year Spanish forces based in the Southern Netherlands hit back with devastating lightning campaigns in northern France that left French forces reeling and the economy of the region in tatters. After 1636, however, Olivares, fearful of provoking another disastrous bankruptcy, stopped the advance. In 1640, both Portugal and Catalonia rebelled. Portugal was lost to the crown for good; in northern Italy and most of Catalonia, French forces were expelled and Catalonia's independence was suppressed. In 1643, the French defeated one of Spain's best armies at Rocroi, northern France. The Spanish "Golden Age" politically ends no later than 1659, with the Treaty of the Pyrenees, ratified between France and Habsburg Spain. During the long regency for Charles II, the last of the Spanish Habsburgs, favouritism milked Spain's treasury, and Spain's government operated principally as a dispenser of patronage. Plague, famine, floods, drought, and renewed war with France wasted the country. The Peace of the Pyrenees (1659) had ended fifty years of warfare with France, whose king, Louis XIV, found the temptation to exploit a weakened Spain
by the Asturians, drove out Muslim forces and it joined the Asturian kingdom. In the northern Christian kingdoms, lords and religious organizations often owned Muslim slaves who were employed as day laborers and household servants. Caliph Al-Walid I had paid great attention to the expansion of an organized military, building the strongest navy in the Umayyad Caliphate era (the second major Arab dynasty after Mohammad and the first Arab dynasty of Al-Andalus). It was this tactic that supported the ultimate expansion to Hispania. Islamic power in Spain specifically climaxed in the 10th century under Abd-ar-Rahman III. The rulers of Al-Andalus were granted the rank of Emir by the Umayyad Caliph Al-Walid I in Damascus. When the Abbasids overthrew the Umayyad Caliphate, Abd al-Rahman I managed to escape to al-Andalus. Once arrived, he declared al-Andalus independent. It is not clear if Abd al-Rahman considered himself to be a rival caliph, perpetuating the Umayyad Caliphate, or merely an independent Emir. The state founded by him is known as the Emirate of Cordoba. Al-Andalus was rife with internal conflict between the Islamic Umayyad rulers and people and the Christian Visigoth-Roman leaders and people. The Vikings invaded Galicia in 844, but were heavily defeated by Ramiro I at A Coruña. Many of the Vikings' casualties were caused by the Galicians' ballistas – powerful torsion-powered projectile weapons that looked rather like giant crossbows. 70 Viking ships were captured and burned. Vikings returned to Galicia in 859, during the reign of Ordoño I. Ordoño was at the moment engaged against his constant enemies the Moors; but a count of the province, Don Pedro, attacked the Vikings and defeated them, destroying 38 of their ships. In the 10th century Abd-ar-Rahman III declared the Caliphate of Córdoba, effectively breaking all ties with the Egyptian and Syrian caliphs. The Caliphate was mostly concerned with maintaining its power base in North Africa, but these possessions eventually dwindled to the Ceuta province. The first navy of the Emir of Córdoba was built after the Viking ascent of the Guadalquivir in 844 when they sacked Seville. In 942, Hungarian raids on Spain, especially in Catalonia, took place, according to Ibn Hayyan's work. Meanwhile, a slow but steady migration of Christian subjects to the northern kingdoms in Christian Hispania was slowly increasing the latter's power. Al-Andalus coincided with La Convivencia, an era of relative religious tolerance, and with the Golden age of Jewish culture in the Iberian Peninsula. Muslim interest in the peninsula returned in force around the year 1000 when Al-Mansur (also known as Almanzor) sacked Barcelona in 985, and he assaulted Zamora, Toro, Leon and Astorga in 988 and 989, which controlled access to Galicia. Under his son, other Christian cities were subjected to numerous raids. After his son's death, the caliphate plunged into a civil war and splintered into the so-called "Taifa Kingdoms". The Taifa kings competed against each other not only in war but also in the protection of the arts, and culture enjoyed a brief renaissance. The aceifas (Muslim military expeditions made in summer in medieval Spain) were the continuation of a policy from the times of the emirate: the capture of numerous contingents of Christian slaves, the saqáliba (plural of siqlabi, "slave"). These were the most lucrative part of the booty, and constituted an excellent method of payment for the troops, so much so that many aceifas were real hunts for people. The Almohads, who had taken control of the Almoravids' Maghribi and al-Andalus territories by 1147, surpassed the Almoravides in fundamentalist Islamic outlook, and they treated the non-believer dhimmis harshly. Faced with the choice of death, conversion, or emigration, many Jews and Christians left. By the mid-13th century, the Emirate of Granada was the only independent Muslim realm in Spain, which survived until 1492 by becoming a vassal state to Castile, to which it paid tribute. Warfare between Muslims and Christians Medieval Spain was the scene of almost constant warfare between Muslims and Christians. The Taifa kingdoms lost ground to the Christian realms in the north. After the loss of Toledo in 1085, the Muslim rulers reluctantly invited the Almoravides, who invaded Al-Andalus from North Africa and established an empire. In the 12th century the Almoravid empire broke up again, only to be taken over by the Almohad invasion, who were defeated by an alliance of the Christian kingdoms in the decisive Battle of Las Navas de Tolosa in 1212. By 1250, nearly all of Hispania was back under Christian rule with the exception of the Muslim kingdom of Granada. The Spanish language and universities In the 13th century, many languages were spoken in the Christian kingdoms of Hispania. These were the Latin-based Romance languages of Castilian, Aragonese, Catalan, Galician, Aranese, Asturian, Leonese, and Portuguese, and the ancient language isolate of Basque. Throughout the century, Castilian (what is also known today as Spanish) gained a growing prominence in the Kingdom of Castile as the language of culture and communication, at the expense of Leonese and of other close dialects. One example of this is the oldest preserved Castilian epic poem, Cantar de Mio Cid, written about the military leader El Cid. In the last years of the reign of Ferdinand III of Castile, Castilian began to be used for certain types of documents, and it was during the reign of Alfonso X that it became the official language. Henceforth all public documents were written in Castilian; likewise all translations were made into Castilian instead of Latin. At the same time, Catalan and Galician became the standard languages in their respective territories, developing important literary traditions and being the normal languages in which public and private documents were issued: Galician from the 13th to the 16th century in Galicia and nearby regions of Asturias and Leon, and Catalan from the 12th to the 18th century in Catalonia, the Balearic Islands and Valencia, where it was known as Valencian. Both languages were later substituted in its official status by Castilian Spanish, till the 20th century. In the 13th century many universities were founded in León and in Castile. Some, such as the Leonese Salamanca and the Castilian Palencia, were among the earliest universities in Europe. In 1492, under the Catholic Monarchs, the first edition of the Grammar of the Castilian Language by Antonio de Nebrija was published. Early Modern Spain Dynastic union of the Catholic Monarchs In the 15th century, the most important among all of the separate Christian kingdoms that made up the old Hispania were the Kingdom of Castile (occupying northern and central portions of the Iberian Peninsula), the Kingdom of Aragon (occupying northeastern portions of the peninsula), and the Kingdom of Portugal occupying the far western Iberian Peninsula. The rulers of the kingdoms of Castile and Aragon were allied with dynastic families in Portugal, France, and other neighboring kingdoms. The death of King Henry IV of Castile in 1474 set off a struggle for power called the War of the Castilian Succession (1475–1479). Contenders for the throne of Castile were Henry's one-time heir Joanna la Beltraneja, supported by Portugal and France, and Henry's half-sister Queen Isabella I of Castile, supported by the Kingdom of Aragon and by the Castilian nobility. Isabella retained the throne and ruled jointly with her husband, King Ferdinand II. Isabella and Ferdinand had married in 1469 in Valladolid. Their marriage united both crowns and set the stage for the creation of the Kingdom of Spain, at the dawn of the modern era. That union, however, was a union in title only, as each region retained its own political and judicial structure. Pursuant to an agreement signed by Isabella and Ferdinand on January 15, 1474, Isabella held more authority over the newly unified Spain than her husband, although their rule was shared. Together, Isabella of Castile and Ferdinand of Aragon were known as the "Catholic Monarchs" (), a title bestowed on them by Pope Alexander VI. Conclusion of the Reconquista and expulsions of Jews and Muslims The monarchs oversaw the final stages of the Reconquista of Iberian territory from the Moors with the conquest of Granada, conquered the Canary Islands, and expelled the Jews from Spain under the Alhambra Decree. Although until the 13th century religious minorities (Jews and Muslims) had enjoyed considerable tolerance in Castile and Aragon – the only Christian kingdoms where Jews were not restricted from any professional occupation – the situation of the Jews collapsed over the 14th century, reaching a climax in 1391 with large scale massacres in every major city except Ávila. The Catholic Monarchs ordered the remaining Jews to convert or face expulsion from Spain in 1492, and extended the expulsion decrees to their territories on the Italian peninsula, including Sicily (1493), Naples (1542), and Milan (1597). Over the following decades, Muslims faced the same fate; and about 60 years after the Jews, they were also compelled to convert ("Moriscos") or be expelled. In the early 17th century, the converts were also expelled. Jews and Muslims were not the only people to be persecuted during this time period. Isabella ensured long-term political stability in Spain by arranging strategic marriages for each of her five children. Her firstborn, a daughter named Isabella, married Afonso of Portugal, forging important ties between these two neighboring countries and hopefully ensuring future alliance, but Isabella soon died before giving birth to an heir. Juana, Isabella's second daughter, married into the Habsburg dynasty when she wed Philip the Fair, the son of Maximilian I, King of Bohemia (Austria) and likely heir to the crown of the Holy Roman Emperor. This ensured an alliance with the Habsburgs and the Holy Roman Empire, a powerful, far-reaching territory that assured Spain's future political security. Isabella's only son, Juan, married Margaret of Austria, further strengthening ties with the Habsburg dynasty. Isabella's fourth child, Maria, married Manuel I of Portugal, strengthening the link forged by her older sister's marriage. Her fifth child, Catherine, married King Henry VIII of England and was mother to Queen Mary I of England. Conquest of the Canary Islands, Columbian expeditions to the New World and African expansion The Castilian conquest of the Canary Islands, inhabited by Guanche people, took place between 1402 (with the conquest of Lanzarote) and 1496 (with the conquest of Tenerife). Two periods can be distinguished in this process: the noble conquest, carried out by the nobility in exchange for a pact of vassalage, and the royal conquest, carried out directly by the Crown, during the reign of the Catholic Monarchs. By 1520, European military technology combined with the devastating epidemics such as bubonic plague and pneumonia brought by the Castilians and enslavement and deportation of natives led to the extinction of the Guanches. Isabella and Ferdinand authorized the 1492 expedition of Christopher Columbus, who became the first known European to reach the New World since Leif Ericson. This and subsequent expeditions led to an influx of wealth into Spain, supplementing income from within Castile for the state that would prove to be a dominant power of Europe for the next two centuries. Spain established colonies in North Africa that ranged from the Atlantic Moroccan coast to Tripoli in Libya. Melilla was occupied in 1497, Oran in 1509, Larache in 1610, and Ceuta was annexed from the Portuguese in 1668. Today, both Ceuta and Melilla still remain under Spanish control, together with smaller islets known as the presidios menores (Peñón de Vélez de la Gomera, las Islas de Alhucemas, las Islas de Chafarinas). Spanish empire The Spanish Empire was the first global empire. It was also one of the largest empires in world history. In the 16th century, Spain and Portugal were in the vanguard of European global exploration and colonial expansion. The two kingdoms on the conquest and Iberian Peninsula competed with each other in opening of trade routes across the oceans. Spanish imperial conquest and colonization began with the Canary Islands in 1312 and 1402. which began the Castilian conquest of the Canary Islands, completed in 1495. In the 15th and 16th centuries, trade flourished across the Atlantic between Spain and the Americas and across the Pacific between East Asia and Mexico via the Philippines. Spanish Conquistadors, operating privately, deposed the Aztec, Inca and Maya governments with extensive help from local factions and took control of vast stretches of land. In the Philippines, the Spanish, using Mexican Conquistadors like Juan de Salcedo, conquered the kingdoms and sultanates of the islands by pitting Pagans and Muslims against each other, thus employing the principle of "Divide and Conquer". They considered their war against the native Muslims of the Southeast Asia an extension of the Spanish Reconquista. This New World empire was at first a disappointment, as the natives had little to trade. Diseases such as smallpox and measles that arrived with the colonizers devastated the native populations, especially in the densely populated regions of the Aztec, Maya and Inca civilizations, and this reduced the economic potential of conquered areas. Estimates of the pre-Columbian population of the Americas vary but possibly stood at 100 million—one fifth of humanity in 1492. Between 1500 and 1600 the population of the Americas was halved. In Mexico alone, it has been estimated that the pre-conquest population of around 25 million people was reduced within 80 years to about 1.3 million. In the 1520s, large-scale extraction of silver from the rich deposits of Mexico's Guanajuato began to be greatly augmented by the silver mines in Mexico's Zacatecas and Bolivia's Potosí from 1546. These silver shipments re-oriented the Spanish economy, leading to the importation of luxuries and grain. The resource-rich colonies of Spain thus caused large cash inflows for the country. They also became indispensable in financing the military capability of Habsburg Spain in its long series of European and North African wars, though, with the exception of a few years in the 17th century, Taxes in Castile were the most important source of revenue. Spain enjoyed a cultural golden age in the 16th and 17th centuries. For a time, the Spanish Empire dominated the oceans with its experienced navy and ruled the European battlefield with its fearsome and well trained infantry, the famous . The financial burden within the peninsula was on the backs of the peasant class while the nobility enjoyed an increasingly lavish lifestyle. From the time beginning with the incorporation of the Portuguese Empire in 1580 (lost in 1640) until the loss of its American colonies in the 19th century, Spain maintained one of the largest empires in the world even though it suffered military and economic misfortunes from the 1640s. Religion played a very strong role in the spread of the Spanish empire. The thought that Spain could bring Christianity to the New World and protect Catholicism in Europe certainly played a strong role in the expansion of Spain's empire. Spanish Kingdoms under the 'Great' Habsburgs (16th century) Charles I, Holy Emperor Spain's world empire reached its greatest territorial extent in the late 18th century but it was under the Habsburg dynasty in the 16th and 17th centuries it reached the peak of its power and declined. The Iberian Union with Portugal meant that the monarch of Castile was also the monarch of Portugal, but they were ruled as separate entities both on the peninsula and in Spanish America and Brazil. In 1640, the House of Braganza revolted against Spanish rule and reasserted Portugal's independence. When Spain's first Habsburg ruler Charles I became king of Spain in 1516 (with his mother and co-monarch Queen Juana I effectively powerless and kept imprisoned till her death in 1555), Spain became central to the dynastic struggles of Europe. After he became king of Spain, Charles also became Charles V, Holy Roman Emperor and because of his widely scattered domains was not often in Spain. In 1556 Charles abdicated from his positions, giving his Spanish empire to his only surviving son, Philip II of Spain, and the Holy Roman Empire to his brother, Ferdinand. Philip treated Castile as the foundation of his empire, but the population of Castile (about a third of France's) was never large enough to provide the soldiers needed to support the Empire. His marriage to Mary Tudor allied England with Spain. Philip II and the wars of religion In the 1560s, plans to consolidate control of the Netherlands led to unrest, which gradually led to the Calvinist leadership of the revolt and the Eighty Years' War. The Dutch armies waged a war of maneuver and siege, successfully avoiding set piece battles. This conflict consumed much Spanish expenditure during the later 16th century. Other extremely expensive failures included an attempt to invade Protestant England in 1588 that produced the worst military disaster in Spanish history when the Spanish Armada—costing 10 million ducats—was scattered by a freak storm. Over 8,000 English sailors died from diseases such as dysentery and typhus while the Spanish Armada was at sea. Economic and administrative problems multiplied in Castile, and the weakness of the native economy became evident in the following century. Rising inflation, financially draining wars in Europe, the ongoing aftermath of the expulsion of the Jews and Moors from Spain, and Spain's growing dependency on the silver imports, combined to cause several bankruptcies that caused economic crisis in the country, especially in heavily burdened Castile. The great plague of 1596–1602 killed 600,000 to 700,000 people, or about 10% of the population. Altogether more than 1,250,000 deaths resulted from the extreme incidence of plague in 17th-century Spain. Economically, the plague destroyed the labor force as well as creating a psychological blow to an already problematic Spain. The cultural Golden Age (Siglo de Oro) The Spanish Golden Age (in Spanish, Siglo de Oro) was a period of flourishing arts and letters in the Spanish Empire (now Spain and the Spanish-speaking countries of Latin America), coinciding with the political decline and fall of the Habsburgs (Philip III, Philip IV and Charles II). Arts during the Golden Age flourished despite the decline of the empire in the 17th century. The last great writer of the age, Sor Juana Inés de la Cruz, died in New Spain in 1695. The Habsburgs, both in Spain and Austria, were great patrons of art in their countries. El Escorial, the great royal monastery built by King Philip II, invited the attention of some of Europe's greatest architects and painters. Diego Velázquez, regarded as one of the most influential painters of European history and a greatly respected artist in his own time, cultivated a relationship with King Philip IV and his chief minister, the Count-Duke of Olivares, leaving us several portraits that demonstrate his style and skill. El Greco, a respected Greek artist from the period, settled in Spain, and infused Spanish art with the styles of the Italian renaissance and helped create a uniquely Spanish style of painting. Some of Spain's greatest music is regarded as having been written in the period. Such composers as Tomás Luis de Victoria, Luis de Milán and Alonso Lobo helped to shape Renaissance music and the styles of counterpoint and polychoral music, and their influence lasted far into the Baroque period. Spanish literature blossomed as well, most famously demonstrated in the work of Miguel de Cervantes, the author of Don Quixote de la Mancha. Spain's most prolific playwright, Lope de Vega, wrote possibly as many as one thousand plays over his lifetime, over four hundred of which survive to the present day. Decline under the 'Minor' Habsburgs (17th century) Spain's severe financial difficulties began in the middle 16th century, and would continue for the remainder of Habsburg rule. Despite the successes of Spanish armies, at home the period was marked by monetary inflation, mercantilism, and a variety of government monopolies and interventions. Spanish kings were forced to declare sovereign defaults nine times between 1557 and 1666. Philip II died in 1598, and was succeeded by his son Philip III. In his reign (1598–1621) a ten-year truce with the Dutch was overshadowed in 1618 by Spain's involvement in the European-wide Thirty Years' War. Government policy was dominated by favorites, but it was also the period in which the geniuses of Cervantes and El Greco flourished. Philip III was succeeded in 1621 by his son Philip IV of Spain (reigned 1621–65). Much of the policy was conducted by the Count-Duke of Olivares. The Count-Duke of Olivares was the inept prime minister from 1621 to 1643. He over-exerted Spain in foreign affairs and unsuccessfully attempted domestic reform. His policy of committing Spain to recapture Holland led to a renewal of the Eighty Years' War while Spain was also embroiled in the Thirty Years' War (1618–1648). His attempts to centralise power and increase wartime taxation led to revolts in Catalonia and in Portugal, which brought about his downfall. During the Thirty Years' War, in which various Protestant forces battled Imperial armies, France provided subsidies to Habsburg enemies, especially Sweden. Sweden lost and France's First Minister, Cardinal Richelieu, in 1635 declared war on Spain. The open war with Spain started with a promising victory for the French at Les Avins in 1635. The following year Spanish forces based in the Southern Netherlands hit back with devastating lightning campaigns in northern France that left French forces reeling and the economy of the region in tatters. After 1636, however, Olivares, fearful of provoking another disastrous bankruptcy, stopped the advance. In 1640, both Portugal and Catalonia rebelled. Portugal was lost to the crown for good; in northern Italy and most of Catalonia, French forces were expelled and Catalonia's independence was suppressed. In 1643, the French defeated one of Spain's best armies at Rocroi, northern France. The Spanish "Golden Age" politically ends no later than 1659, with the Treaty of the Pyrenees, ratified between France and Habsburg Spain. During the long regency for Charles II, the last of the Spanish Habsburgs, favouritism milked Spain's treasury, and Spain's government operated principally as a dispenser of patronage. Plague, famine, floods, drought, and renewed war with France wasted the country. The Peace of the Pyrenees (1659) had ended fifty years of warfare with France, whose king, Louis XIV, found the temptation to exploit a weakened Spain too great. Louis instigated the War of Devolution (1667–68) to acquire the Spanish Netherlands. By the 17th century, the Catholic Church and Spain had showcased a close bond to one another, attesting to the fact that Spain was virtually free of Protestantism during the 16th century. In 1620, there were 100,000 Spaniards in the clergy; by 1660 the number had grown to about 200,000, and the Church owned 20% of all the land in Spain. The Spanish bureaucracy in this period was highly centralized, and totally reliant on the king for its efficient functioning. Under Charles II, the councils became the sinecures of wealthy aristocrats despite various attempt at reform. Political commentators in Spain, known as arbitristas, proposed a number of measures to reverse the decline of the Spanish economy, with limited success. In rural areas of Spain, heavy taxation of peasants reduced agricultural output as peasants in the countryside migrated to the cities. The influx of silver from the Americas has been cited as the cause of inflation, although only one fifth of the precious metal, i.e. the quinto real (royal fifth), actually went to Spain. A prominent internal factor was the Spanish economy's dependence on the export of luxurious Merino wool, which had its markets in northern Europe reduced by war and growing competition from cheaper textiles. The once proud Spanish army was falling far behind its foes. It did badly at Bergen op Zoom in 1622, and finance was not to blame. The Dutch won very easily at Hertogenbosch and Wesel in 1629. In 1632 the Dutch captured the strategic fortress town of Maastricht, repulsing three relief armies and dooming the Spanish to defeat. While Spain built a rich American Empire that exported a silver treasure fleet every year, it was unable to focus its financial, military, and diplomatic power on building up its Spanish base. The Crown's dedication to destroying Protestantism through almost constant warfare created a cultural ethos among Spanish leaders that undermined the opportunity for economic modernization or industrialization. When Philip II died in 1598, his treasury spent most of its income on funding the huge deficit, which continued to grow. In peninsular Spain, the productive forces were undermined by steady inflation, heavy taxation, immigration of ambitious youth to the colonies, and by depopulation. Industry went into reverse – Seville in 1621 operated 400 looms, where it had 16,000 a century before. Religiosity led by saints and mystics, missionaries and crusaders, theologians and friars dominated Spanish culture, with the psychology of a reward in the next world. Palmer and Colton argue: the generations of crusading against infidels, even, heathens and heretics had produced an exceptionally large number of minor aristocrats, chevaliers, dons, and hidalgos, who as a class were contemptuous of work and who were numerous enough and close enough to the common people to impress their haughty indifference upon the country as a whole. Elliott cites the achievements of Castille in many areas, especially high culture. He finds: A certain paradox in the fact that the achievement of the two most outstanding creative artists of Castile – Cervantes and Velázquez – was shot through with a deep sense of disillusionment and failure; but the paradox was itself a faithful reflection of the paradox of sixteenth-and seventeenth-century Castile. For here was a country which had climbed to the heights and sunk to the depths; which had achieved everything and lost everything; which had conquered the world only to be vanquished itself. The Spanish achievement of the sixteenth century was essentially the work of Castile, but so also was the Spanish disaster of the seventeenth; and it was Ortega y Gasset who expressed the paradox most clearly when he wrote what may serve as an epitaph on the Spain of the House of Austria: ‘Castile has made Spain, and Castile has destroyed it.’ The Habsburg dynasty became extinct in Spain with Charles II's death in 1700, and the War of the Spanish Succession ensued in which the other European powers tried to assume control of the Spanish monarchy. King Louis XIV of France eventually lost the War of the Spanish Succession The victors were Britain, the Dutch Republic and Austria. They allowed the crown of Spain to pass to the Bourbon dynasty, provided Spain and France would never be merged. Spain under the Bourbons, 1715-1808 Charles II died in 1700, and having no direct heir, was succeeded by his great-nephew Philippe d'Anjou, a French prince. The War of the Spanish Succession (1700-1714) pitted proponents of the Bourbon succession against those for the Hapsburg. Concern among other European powers that Spain and France united under a single Bourbon monarch would upset the balance of power. The war pitted powerful France and fairly strong Spain against the Grand Alliance of England, Portugal, Savoy, the Netherlands and Austria. After an extended conflict, especially in Spain, the treaty of Utrecht recognized Philip, Duke of Anjou, Louis XIV's grandson, as King of Spain (as Philip V), thus confirming the succession stipulated in the will of the Charles II of Spain. However, Philip was compelled to renounce for himself and his descendants any right to the French throne, despite some doubts as to the lawfulness of such an act. Spain's Italian territories were apportioned. Philip V signed the Decreto de Nueva Planta in 1715. This new law revoked most of the historical rights and privileges of the different kingdoms that formed the Spanish Crown, especially the Crown of Aragon, unifying them under the laws of Castile, where the Castilian Cortes Generales had been more receptive to the royal wish. Spain became culturally and politically a follower of absolutist France. Lynch says Philip V advanced the government only marginally over that of his predecessors and was more of a liability than the incapacitated Charles II; when a conflict came up between the interests of Spain and France, he usually favored France. Philip made reforms in government, and strengthened the central authorities relative to the provinces. Merit became more important, although most senior positions still went to the landed aristocracy. Below the elite level, inefficiency and corruption was as widespread as ever. The reforms started by Philip V culminated in much more important reforms of Charles III. The historian Jonathan Israel, however, argues that King Charles III cared little for the Enlightenment and his ministers paid little attention to the Enlightenment ideas influential elsewhere on the Continent. Israel says, "Only a few ministers and officials were seriously committed to enlightened aims. Most were first and foremost absolutists and their objective was always to reinforce monarchy, empire, aristocracy...and ecclesiastical control and authority over education." The economy, on the whole, improved over the depressed 1650–1700 era, with greater productivity and fewer famines and epidemics. Elisabeth of Parma, Philip V's wife, exerted great influence on Spain's foreign policy. Her principal aim was to have Spain's lost territories in Italy restored. In 1717, Philip V ordered an invasion of Sardinia, which had been given to Austria by the Treaty of Utrecht. Spanish troops then invaded Sicily. The aggression prompted the Holy Roman Empire to form a new pact with the members of the Triple Alliance, resulting in the Quadruple Alliance of 1718. All members demanded Spanish retreat from Sardinia and Sicily, resulting in war by December 1718. The war lasted two years and resulted in a rout of the Spanish. Hostilities ceased with the Treaty of The Hague in February 1720. In this settlement, Philip V abandoned all claims on Italy. Later, however, Spain reconquered Naples and Sicily during the War of the Polish Succession (1733–35). In 1748, after the War of the Austrian Succession (1740–48), Spain obtained the duchies of Parma, Piacenza and Guastalla in northern Italy. The rule of the Spanish Bourbons continued under Ferdinand VI (1746–59) and Charles III (1759–88). Under the rule of Charles III and his ministers – Leopoldo de Gregorio, Marquis of Esquilache and José Moñino, Count of Floridablanca – the economy improved. Fearing that Britain's victory over France in the Seven Years' War (1756–63) threatened the European balance of power, Spain allied itself to France and invaded Portugal, a British ally, but suffered a series of military defeats and ended up having to cede Florida to the British at the Treaty of Paris (1763) while gaining Louisiana from France. Spain regained Florida with the Treaty of Paris (1783), which ended the American Revolutionary War (1775–83), and gained an improved international standing. However, there were no reforming impulses in the reign of Charles IV (1788 to abdication in 1808), seen by some as mentally handicapped. Dominated by his wife's lover, Manuel de Godoy, Charles IV embarked on policies that overturned much of Charles III's reforms. After briefly opposing Revolutionary France early in the French Revolutionary Wars, Spain was cajoled into an uneasy alliance with its northern neighbor, only to be blockaded by the British. Charles IV's vacillation, culminating in his failure to honour the alliance by neglecting to enforce the Continental System, led to the invasion of Spain in 1808 under Napoleon I, Emperor of the French, thereby triggering the Peninsular War, with enormous human and property losses, and loss of control over most of the overseas empire. During most of the 18th century Spain had arrested its relative decline of the latter part of the 17th century. But despite the progress, it continued to lag in the political and mercantile developments then transforming other parts of Europe, most notably in Great Britain, the Low Countries, and France. The chaos unleashed by the Peninsular War caused this gap to widen greatly and would slow Spain's industrialisation. The Age of Enlightenment reached Spain in attenuated form about 1750. Attention focused on medicine and physics, with some philosophy. French and Italian visitors were influential but there was little challenge to Catholicism or the Church such as characterized the French philosophes. The leading Spanish figure was Benito Feijóo (1676–1764), a Benedictine monk and professor. He was a successful popularizer noted for encouraging scientific and empirical thought in an effort to debunk myths and superstitions. By the 1770s the conservatives had launched a counterattack and used censorship and the Inquisition to suppress Enlightenment ideas. At the top of the social structure of Spain in the 1780s stood the nobility and the church. A few hundred families dominated the aristocracy, with another 500,000 holding noble status. There were 200,000 church men and women, half of them in heavily endowed monasteries that controlled much of the land not owned by the nobles. Most people were on farms, either as landless peons or as holders of small properties. The small urban middle class was growing, but was distrusted by the landowners and peasants alike. War of Spanish Independence and American wars of independence War of Spanish Independence (1808–1814) In the late 18th century, Bourbon-ruled Spain had an alliance with Bourbon-ruled France, and therefore did not have to fear a land war. Its only serious enemy was Britain, which had a powerful navy; Spain therefore concentrated its resources on its navy. When the French Revolution overthrew the Bourbons, a land war with France became a threat which the king tried to avoid. The Spanish army was ill-prepared. The officer corps was selected primarily on the basis of royal patronage, rather than merit. About a third of the junior officers had been promoted from the ranks, and while they did have talent they had few opportunities for promotion or leadership. The rank-and-file were poorly trained peasants. Elite units included foreign regiments of Irishmen, Italians, Swiss, and Walloons, in addition to elite artillery and engineering units. Equipment was old-fashioned and in disrepair. The army lacked its own horses, oxen and mules for transportation, so these auxiliaries were operated by civilians, who might run away if conditions looked bad. In combat, small units fought well, but their old-fashioned tactics were hardly of use against the Napoleonic forces, despite repeated desperate efforts at last-minute reform. When war broke out with France in 1808, the army was deeply unpopular. Leading generals were assassinated, and the army proved incompetent to handle command-and-control. Junior officers from peasant families deserted and went over to the insurgents; many units disintegrated. Spain was unable to mobilize its artillery or cavalry. In the war, there was one victory at the Battle of Bailén, and many humiliating defeats. Conditions steadily worsened, as the insurgents increasingly took control of Spain's battle against Napoleon. Napoleon ridiculed the army as "the worst in Europe"; the British who had to work with it agreed. It was not the Army that defeated Napoleon, but the insurgent peasants whom Napoleon ridiculed as packs of "bandits led by monks" (they in turn believed Napoleon was the devil). By 1812, the army controlled only scattered enclaves, and could only harass the French with occasional raids. The morale of the army had reached a nadir, and reformers stripped the aristocratic officers of most of their legal privileges. Spain initially sided against France in the Napoleonic Wars, but the defeat of her army early in the war led to Charles IV's pragmatic decision to align with the revolutionary French. Spain was put under a British blockade, and her colonies began to trade independently with Britain but it was the defeat of the British invasions of the Río de la Plata in South America (1806 and 1807) that emboldened independence and revolutionary hopes in Spain's North and South American colonies. A major Franco-Spanish fleet was lost at the Battle of Trafalgar in 1805, prompting the vacillating king of Spain to reconsider his difficult alliance with Napoleon. Spain temporarily broke off from the Continental System, and Napoleon – irritated with the Bourbon kings of Spain – invaded Spain in 1808 and deposed Ferdinand VII, who had been on the throne only forty-eight days after his father's abdication in March 1808. On July 20, 1808, Joseph Bonaparte, eldest brother of Napoleon Bonaparte, entered Madrid and established a government by which he became King of Spain, serving as a surrogate for Napoleon. The former Spanish king was dethroned by Napoleon, who put his own brother on the throne. Spaniards revolted. Thompson says the Spanish revolt was, "a reaction against new institutions and ideas, a movement for loyalty to the old order: to the hereditary crown of the Most Catholic kings, which Napoleon, an excommunicated enemy of the Pope, had put on the head of a Frenchman; to the Catholic Church persecuted by republicans who had desecrated churches, murdered priests, and enforced a "loi des cultes"; and to local and provincial rights and privileges threatened by an efficiently centralized government. Juntas were formed all across Spain that pronounced themselves in favor of Ferdinand VII. On September 26, 1808, a Central Junta was formed in the town of Aranjuez to coordinate the nationwide struggle against the French. Initially, the Central Junta declared support for Ferdinand VII, and convened a "General and Extraordinary Cortes" for all the kingdoms of the Spanish Monarchy. On February 22 and 23, 1809, a popular insurrection against the French occupation broke out all over Spain. The peninsular campaign was a disaster for France. Napoleon did well when he was in direct command, but that followed severe losses, and when he left in 1809 conditions grew worse for France. Vicious reprisals, famously portrayed by Goya in "The Disasters of War", only made the Spanish guerrillas angrier and more active; the war in Spain proved to be a major, long-term drain on French money, manpower and prestige. In March 1812, the Cortes of Cádiz created the first modern Spanish constitution, the Constitution of 1812 (informally named La Pepa). This constitution provided for a separation of the powers of the executive and the legislative branches of government. The Cortes was to be elected by universal suffrage, albeit by an indirect method. Each member of the Cortes was to represent 70,000 people. Members of the Cortes were to meet in annual sessions. The King was prevented from either convening or proroguing the Cortes. Members of the Cortes were to serve single two-year terms. They could not serve consecutive terms; a member could serve a second term only by allowing someone else to serve a single intervening term in office. This attempt at the development of a modern constitutional government lasted from 1808 until 1814. Leaders of the liberals or reformist forces during this revolution were José Moñino, Count of Floridablanca, Gaspar Melchor de Jovellanos and Pedro Rodríguez, Conde de Campomanes. Born in 1728, Floridablanca was eighty years of age at the time of the revolutionary outbreak in 1808. He had served as Prime Minister under King Charles III of Spain from 1777 until 1792; However, he tended to be suspicious of the popular spontaneity and resisted a revolution. Born in 1744, Jovellanos was somewhat younger than Floridablanco. A writer and follower of the philosophers of the Enlightenment tradition of the previous century, Jovellanos had served as Minister of Justice from 1797 to 1798 and now commanded a substantial and influential group within the Central Junta. However, Jovellanos had been imprisoned by Manuel de Godoy, Duke of Alcudia, who had served as the prime minister, virtually running the country as a dictator from 1792 until 1798 and from 1801 until 1808. Accordingly, even Jovellanos tended to be somewhat overly cautious in his approach to the revolutionary upsurge that was sweeping Spain in 1808. The Spanish army was stretched as it fought Napoleon's
Shortly after the Greek occupation of Western Anatolia in 1919, Mustafa Kemal Pasha set foot in Samsun to start the Turkish War of Independence against the occupations and persecutions of Muslims in Anatolia. He and the other army officers alongside him dominated the polity that finally established the Republic of Turkey out of what was left of the Ottoman Empire. Turkey was established based on the ideology found in the country's pre-Ottoman history and was also steered towards a secular political system to diminish the influence of religious groups such as the Ulema. Single-party period (1923–1945) Atatürk era (1923–1938) The history of modern Turkey begins with the foundation of the republic on 29 October 1923, with Atatürk as its first president. The government was formed from the Ankara-based revolutionary group, led by Mustafa Kemal Atatürk and his colleagues. The second constitution was ratified by the Grand National Assembly on 20 April 1924. For about the next 10 years, the country saw a steady process of secular Westernization through Atatürk's Reforms, which included the unification of education; the discontinuation of religious and other titles; the closure of Islamic courts and the replacement of Islamic canon law with a secular civil code modeled after Switzerland's and a penal code modeled after the Italian Penal Code; recognition of the equality between the sexes and the granting of full political rights to women on 5 December 1934; the language reform initiated by the newly founded Turkish Language Association; replacement of the Ottoman Turkish alphabet with the new Turkish alphabet derived from the Latin alphabet; the dress law (the wearing of a fez, is outlawed); the law on family names; and many others. Chronology of Major Kemalist Reforms: 1 November 1922: Abolition of the office of the Ottoman Sultan. 29 October 1923: Proclamation of the Republic of Turkey. 3 March 1924: Abolition of the office of Caliphate held by the Ottoman Caliphate. 25 November 1925: Change of headgear and dress. 30 November 1925: Closure of religious convents and dervish lodges. 1 March 1926: Introduction of the new penal law. 4 October 1926: Introduction of the new civil code. 1 November 1928: Adoption of the new Turkish alphabet. 21 June 1934: Introduction of the law on family names. 26 November 1934: Abolition of titles and by-names. 5 December 1934: Full political rights, to vote and be elected, to women. 5 February 1937: The inclusion of the principle of secularism in the constitution. The first party to be established in the newly formed republic was the Women's Party (Kadınlar Halk Fırkası). It was founded by Nezihe Muhiddin and several other women but was stopped from its activities, since during the time women were not yet legally allowed to engage in politics. The actual passage to multi-party period was first attempted with the Liberal Republican Party by Ali Fethi Okyar. The Liberal Republican Party was dissolved on 17 November 1930 and no further attempt for a multi-party democracy was made until 1945. Turkey was admitted to the League of Nations in July 1932. Foreign policy Historically, Turkey continued the Foreign relations of the Ottoman Empire to balance regional and global powers off against one another, forming alliances that best protected the interests of the incumbent regime. The Soviet Union played a major role in supplying weapons to and financing Mustafa Kemal Atatürk's faction during the Turkish War of Independence but Turkey's followed a course of relative international isolation during the period of Atatürk's Reforms in 1920s and 1930s. International conferences gave Turkey full control of the strategic straits linking the Black Sea and the Mediterranean, through the Treaty of Lausanne in 1923 and the Montreux Convention of 1936. Post-Atatürk era (1938–1945) Atatürk's successor after his death on 10 November 1938 was İsmet İnönü. He started his term in the office as a respected figure of the Independence War but because of internal fights between power groups and external events like the World War which caused a lack of goods in the country, he lost some of his popularity and support. In the late 1930s Nazi Germany made a major effort to promote anti-Soviet propaganda in Turkey and exerted economic pressure. Britain and France, eager to outmaneuver Germany, negotiated a tripartite treaty in 1939. They gave Turkey a line of credit to purchase war materials from the West and a loan to facilitate the purchase of commodities. Afraid of threats from Germany and Russia, Turkey maintained neutrality. It sold chrome—an important war material—to both sides. It was clear by 1944 that Germany would be defeated and the chrome sales to Germany stopped. Turkey's goal was to maintain neutrality during the war. Ambassadors from the Axis powers and Allies intermingled in Ankara. İnönü signed a non-aggression treaty with Nazi Germany on 18 June 1941, 4 days before the Axis powers invaded the Soviet Union. Nationalist magazines Bozrukat and Chinar Altu called for the declaration of war against the Soviet Union. In July 1942, Bozrukat published a map of Greater Turkey, which included Soviet controlled Caucasus and central Asian republics. In the summer of 1942, Turkish high command considered war with the Soviet Union almost unavoidable. An operation was planned, with Baku being the initial target. Turkey traded with both sides and purchased arms from both sides. The Allies tried to stop German purchases of chrome (used in making better steel). Inflation was high as prices doubled. By August 1944, the Axis was clearly losing the war and Turkey broke off relations. Only in February 1945, Turkey declared war on Germany and Japan, a symbolic move that allowed Turkey to join the future United Nations. On 24 October 1945 Turkey signed the United Nations Charter as one of the fifty-one original members. Multi-party transition (1945) In 1945, the first opposition party in the multi-party system in Turkey, the National Development Party, was established by industrialist Nuri Demirağ. In 1946, İnönü's government organized multi-party elections, which were won by his party. He remained as the president of the country until 1950. He is still remembered as one of the key figures of Turkey. Multi-party period (1945–present) Early period (1945–1987) Although the multi-party period began in 1945, the election of the Democratic Party government in May 1950 marked the first victory by a non-CHP party.
what was left of the Ottoman Empire. Turkey was established based on the ideology found in the country's pre-Ottoman history and was also steered towards a secular political system to diminish the influence of religious groups such as the Ulema. Single-party period (1923–1945) Atatürk era (1923–1938) The history of modern Turkey begins with the foundation of the republic on 29 October 1923, with Atatürk as its first president. The government was formed from the Ankara-based revolutionary group, led by Mustafa Kemal Atatürk and his colleagues. The second constitution was ratified by the Grand National Assembly on 20 April 1924. For about the next 10 years, the country saw a steady process of secular Westernization through Atatürk's Reforms, which included the unification of education; the discontinuation of religious and other titles; the closure of Islamic courts and the replacement of Islamic canon law with a secular civil code modeled after Switzerland's and a penal code modeled after the Italian Penal Code; recognition of the equality between the sexes and the granting of full political rights to women on 5 December 1934; the language reform initiated by the newly founded Turkish Language Association; replacement of the Ottoman Turkish alphabet with the new Turkish alphabet derived from the Latin alphabet; the dress law (the wearing of a fez, is outlawed); the law on family names; and many others. Chronology of Major Kemalist Reforms: 1 November 1922: Abolition of the office of the Ottoman Sultan. 29 October 1923: Proclamation of the Republic of Turkey. 3 March 1924: Abolition of the office of Caliphate held by the Ottoman Caliphate. 25 November 1925: Change of headgear and dress. 30 November 1925: Closure of religious convents and dervish lodges. 1 March 1926: Introduction of the new penal law. 4 October 1926: Introduction of the new civil code. 1 November 1928: Adoption of the new Turkish alphabet. 21 June 1934: Introduction of the law on family names. 26 November 1934: Abolition of titles and by-names. 5 December 1934: Full political rights, to vote and be elected, to women. 5 February 1937: The inclusion of the principle of secularism in the constitution. The first party to be established in the newly formed republic was the Women's Party (Kadınlar Halk Fırkası). It was founded by Nezihe Muhiddin and several other women but was stopped from its activities, since during the time women were not yet legally allowed to engage in politics. The actual passage to multi-party period was first attempted with the Liberal Republican Party by Ali Fethi Okyar. The Liberal Republican Party was dissolved on 17 November 1930 and no further attempt for a multi-party democracy was made until 1945. Turkey was admitted to the League of Nations in July 1932. Foreign policy Historically, Turkey continued the Foreign relations of the Ottoman Empire to balance regional and global powers off against one another, forming alliances that best protected the interests of the incumbent regime. The Soviet Union played a major role in supplying weapons to and financing Mustafa Kemal Atatürk's faction during the Turkish War of Independence but Turkey's followed a course of relative international isolation during the period of Atatürk's Reforms in 1920s and 1930s. International conferences gave Turkey full control of the strategic straits linking the Black Sea and the Mediterranean, through the Treaty of Lausanne in 1923 and the Montreux Convention of 1936. Post-Atatürk era (1938–1945) Atatürk's successor after his death on 10 November 1938 was İsmet İnönü. He started his term in the office as a respected figure of the Independence War but because of internal fights between power groups and external events like the World War which caused a lack of goods in the country, he lost some of his popularity and support. In the late 1930s Nazi Germany made a major effort to promote anti-Soviet propaganda in Turkey and exerted economic pressure. Britain and France, eager to outmaneuver Germany, negotiated a tripartite treaty in 1939. They gave Turkey a line of credit to purchase war materials from the West and a loan to facilitate the purchase of commodities. Afraid of threats from Germany and Russia, Turkey maintained neutrality. It sold chrome—an important war material—to both sides. It was clear by 1944 that Germany would be defeated and the chrome sales to Germany stopped. Turkey's goal was to maintain neutrality during the war. Ambassadors from the Axis powers and Allies intermingled in Ankara. İnönü signed a non-aggression treaty with Nazi Germany on 18 June 1941, 4 days before the Axis powers invaded the Soviet Union. Nationalist magazines Bozrukat and Chinar Altu called for the declaration of war against the Soviet Union. In July 1942, Bozrukat published a map of Greater Turkey, which included Soviet controlled Caucasus and central Asian republics. In the summer of 1942, Turkish high command considered war with the Soviet Union almost unavoidable. An operation was planned, with Baku being the initial target. Turkey traded with both sides and purchased arms from both sides. The Allies tried to stop German purchases of chrome (used in making better steel). Inflation was high as prices doubled. By August 1944, the Axis was clearly losing the war and Turkey broke off relations. Only in February 1945, Turkey declared war on Germany and Japan, a symbolic move that allowed Turkey to join the future United Nations. On 24 October 1945 Turkey signed the United Nations Charter as one of the fifty-one original members. Multi-party transition (1945) In 1945, the first opposition party in the multi-party system in Turkey, the National Development Party, was established by industrialist Nuri Demirağ. In 1946, İnönü's government organized multi-party elections, which were won by his party. He remained as the president of the country until 1950. He is still remembered as one of the key figures of Turkey. Multi-party period (1945–present) Early period (1945–1987) Although the multi-party period began in 1945, the election of the Democratic Party government in May 1950 marked the first victory by a non-CHP party. The government of Adnan Menderes (1950-1960) proved very popular at first, relaxing the restrictions on Islam and presiding over a booming economy. In the latter half of the 1950s, however, the economy began to fail and the government introduced censorship laws limiting dissent. The government became plagued by high inflation and a massive
in Greek geometry and algebra under the caliph's patronage. Al-Wathiq succeeded his father. Al-Wathiq dealt with opposition in Arabia, Syria, Palestine and in Baghdad. Using a famous sword he personally joined the execution of the Baghdad rebels. The revolts were the result of an increasingly large gap between Arab populations and the Turkish armies. The revolts were put down, but antagonism between the two groups grew, as Turkish forces gained power. He also secured a captive exchange with the Byzantines. Al-Wathiq was a patron of scholars, as well as artists. He personally had musical talent and is reputed to have composed over one hundred songs. When Al-Wathiq died of high fever, Al-Mutawakkil succeeded him. Al-Mutawakkil's reign is remembered for many reforms and is viewed as a golden age. He was the last great Abbasid caliph; after his death the dynasty fell into decline. Al-Mutawakkil ended the Mihna. Al-Mutawakkil built the Great Mosque of Samarra as part of an extension of Samarra eastwards. During his reign, Al-Mutawakkil met famous Byzantine theologian Constantine the Philosopher, who was sent to strengthen diplomatic relations between the Empire and the Caliphate by Emperor Michael III. Al-Mutawakkil involved himself in religious debates, as reflected in his actions against minorities. The Shīʻi faced repression embodied in the destruction of the shrine of Hussayn ibn ʻAlī, an action that was ostensibly carried out to stop pilgrimages. Al-Mutawakkil continued to rely on Turkish statesmen and slave soldiers to put down rebellions and lead battles against foreign empires, notably capturing Sicily from the Byzantines. Al-Mutawakkil was assassinated by a Turkish soldier. Al-Muntasir succeeded to the Caliphate on the same day with the support of the Turkish faction, though he was implicated in the murder. The Turkish party had al-Muntasir remove his brothers from the line of succession, fearing revenge for the murder of their father. Both brothers wrote statements of abdication. During his reign, Al-Muntasir removed the ban on pilgrimage to the tombs of Hassan and Hussayn and sent Wasif to raid the Byzantines. Al-Muntasir died of unknown causes. The Turkish chiefs held a council to select his successor, electing Al-Musta'in. The Arabs and western troops from Baghdad were displeased at the choice and attacked. However, the Caliphate no longer depended on Arabian choice, but depended on Turkish support. After the failed Muslim campaign against the Christians, people blamed the Turks for bringing disaster on the faith and murdering their Caliphs. After the Turks besieged Baghdad, Al-Musta'in planned to abdicate to Al-Mu'tazz but was put to death by his order. Al-Mu'tazz was enthroned by the Turks, becoming the youngest Abbasaid Caliph to assume power. Al-Mu'tazz proved too apt a pupil of his Turkish masters, but was surrounded by parties jealous of each other. At Samarra, the Turks were having problems with the "Westerns" (Berbers and Moors), while the Arabs and Persians at Baghdad, who had supported al-Musta'in, regarded both with equal hatred. Al-Mu'tazz put his brothers Al-Mu'eiyyad and Abu Ahmed to death. The ruler spent recklessly, causing a revolt of Turks, Africans, and Persians for their pay. Al-Mu'tazz was brutally deposed shortly thereafter. Al-Muhtadi became the next Caliph. He was firm and virtuous compared to the earlier Caliphs, though the Turks held the power. The Turks killed him soon after his ascension. Al-Mu'tamid followed, holding on for 23 years, though he was largely a ruler in name only. After the Zanj Rebellion, Al-Mu'tamid summoned al-Muwaffak to help him. Thereafter, Al-Muwaffaq ruled in all but name. The Hamdanid dynasty was founded by Hamdan ibn Hamdun when he was appointed governor of Mardin in Anatolia by the Caliphs in 890. Al-Mu'tamid later transferred authority to his son, al-Mu'tadid, and never regained power. The Tulunids became the first independent state in Islamic Egypt, when they broke away during this time. Al-Mu'tadid ably administered the Caliphate. Egypt returned to allegiance and Mesopotamia was restored to order. He was tolerant towards Shi'i, but toward the Umayyad community he was not so just. Al-Mu'tadid was cruel in his punishments, some of which are not surpassed by those of his predecessors. For example, the Kharijite leader at Mosul was paraded about Baghdad clothed in a robe of silk, of which Kharijites denounced as sinful, and then crucified. Upon Al-Mu'tadid's death, his son by a Turkish slave-girl, Al-Muktafi, succeeded to the throne. Al-Muktafi became a favourite of the people for his generosity, and for abolishing his father's secret prisons, the terror of Baghdad. During his reign, the Caliphate overcame threats such as the Carmathians. Upon Al-Muktafi's death, the vazir next chose Al-Muqtadir. Al-Muqtadir's reign was a constant succession of thirteen Vazirs, one rising on the fall or assassination of another. His long reign brought the Empire to its lowest ebb. Africa was lost, and Egypt nearly. Mosul threw off its dependence, and the Greeks raided across the undefended border. The East continued to formally recognize the Caliphate, including those who virtually claimed independence. At the end of the Early Baghdad Abbasids period, Empress Zoe Karbonopsina pressed for an armistice with Al-Muqtadir and arranged for the ransom of the Muslim prisoner while the Byzantine frontier was threatened by Bulgarians. This only added to Baghdad's disorder. Though despised by the people, Al-Muqtadir was again placed in power after upheavals. Al-Muqtadir was eventually slain outside the city gates, whereupon courtiers chose his brother al-Qahir. He was even worse. Refusing to abdicate, he was blinded and cast into prison. His son Ar-Radi took over only to experience a cascade of misfortune. Praised for his piety, he became the tool of the de facto ruling Minister, Ibn Raik (amir al-umara; 'Amir of the Amirs'). Ibn Raik held the reins of government and his name was joined with the Caliph's in public prayers. Around this period, the Hanbalis, supported by popular sentiment, set up in fact a kind of 'Sunni inquisition'. Ar-Radi is commonly regarded as the last of the real Caliphs: the last to deliver orations at the Friday service, to hold assemblies, to commune with philosophers, to discuss the questions of the day, to take counsel on the affairs of State; to distribute alms, or to temper the severity of cruel officers. Thus ended the Early Baghdad Abbasids. In the late mid-930s, the Ikhshidids of Egypt carried the Arabic title "Wali" reflecting their position as governors on behalf of the Abbasids, The first governor (Muhammad bin Tughj Al-Ikhshid) was installed by the Abbasid Caliph. They gave him and his descendants the Wilayah for 30 years. The last name Ikhshid is Soghdian for "prince". Also in the 930s, 'Alī ibn Būyah and his two younger brothers, al-Hassan and Aḥmad founded the Būyid confederation. Originally a soldier in the service of the Ziyārīds of Ṭabaristān, 'Alī was able to recruit an army to defeat a Turkish general from Baghdad named Yāqūt in 934. Over the next nine years the three brothers gained control of the remainder of the caliphate, while accepting the titular authority of the caliph in Baghdad. The Būyids made large territorial gains. Fars and Jibal were conquered. Central Iraq submitted in 945, before the Būyids took Kermān (967), Oman (967), the Jazīra (979), Ṭabaristān (980), and Gorgan (981). After this the Būyids went into slow decline, with pieces of the confederation gradually breaking off and local dynasties under their rule becoming de facto independent. Middle Baghdad Abbasids Early High Middle Ages At the beginning of the Middle Baghdad Abbasids, the Caliphate had become of little importance. The amir al-umara Bajkam contented himself with dispatching his secretary to Baghdad to assemble local dignitaries to elect a successor. The choice fell on Al-Muttaqi. Bajkam was killed on a hunting party by marauding Kurds. In the ensuing anarchy in Baghdad, Ibn Raik persuaded the Caliph to flee to Mosul where he was welcomed by the Hamdanids. They assassinated Ibn Raik. Hamdanid Nasir al-Dawla advanced on Baghdad, where mercenaries and well-organised Turks repelled them. Turkish general Tuzun became amir al-umara. The Turks were staunch Sunnis. A fresh conspiracy placed the Caliph in danger. Hamdanid troops helped ad-Daula escape to Mosul and then to Nasibin. Tuzun and the Hamdanid were stalemated. Al-Muttaqi was at Raqqa, moving to Tuzun where he was deposed. Tuzun installed the blinded Caliph's cousin as successor, with the title of Al-Mustakfi. With the new Caliph, Tuzun attacked the Buwayhid dynasty and the Hamdanids. Soon after, Tuzun died, and was succeeded by one of his generals, Abu Ja'far. The Buwayhids then attacked Baghdad, and Abu Ja'far fled into hiding with the Caliph. Buwayhid Sultan Muiz ud-Daula assumed command forcing the Caliph into abject submission to the Amir. Eventually, Al-Mustakfi was blinded and deposed. The city fell into chaos, and the Caliph's palace was looted. Once the Buwayhids controlled Baghdad, Al-Muti became caliph. The office was shorn of real power and Shi'a observances were established. The Buwayhids held on Baghdad for over a century. Throughout the Buwayhid reign the Caliphate was at its lowest ebb, but was recognized religiously, except in Iberia. Buwayhid Sultan Mu'izz al-Dawla was prevented from raising a Shi'a Caliph to the throne by fear for his own safety, and fear of rebellion, in the capital and beyond. The next Caliph, Al-Ta'i, reigned over factional strife in Syria among the Fatimids, Turks, and Carmathians. The Hideaway dynasty also fractured. The Abbasid borders were the defended only by small border states. Baha' al-Dawla, the Buyid amir of Iraq, deposed al-Ta'i in 991 and proclaimed al-Qadir the new caliph. During al-Qadir's Caliphate, Mahmud of Ghazni looked after the empire. Mahmud of Ghazni, of Eastern fame, was friendly towards the Caliphs, and his victories in the Indian Empire were accordingly announced from the pulpits of Baghdad in grateful and glowing terms. Al-Qadir fostered the Sunni struggle against Shiʿism and outlawed heresies such as the Baghdad Manifesto and the doctrine that the Quran was created. He outlawed the Muʿtazila, bringing an end to the development of rationalist Muslim philosophy. During this and the next period, Islamic literature, especially Persian literature, flourished under the patronage of the Buwayhids. By 1000, the global Muslim population had climbed to about 4 percent of the world, compared to the Christian population of 10 percent. During Al-Qa'im's reign, the Buwayhid ruler often fled the capital and the Seljuq dynasty gained power. Toghrül overran Syria and Armenia. He then made his way into the Capital, where he was well-received both by chiefs and people. In Bahrain, the Qarmatian state collapsed in Al-Hasa. Arabia recovered from the Fatimids and again acknowledged the spiritual jurisdiction of the Abbasids. Al-Muqtadi was honoured by the Seljuq Sultan Malik-Shah I, during whose reign the Caliphate was recognized throughout the extending range of Seljuq conquest. The Sultan was critical of the Caliph's interference in affairs of state, but died before deposing the last of the Middle Baghdad Abbasids. Late Baghdad Abbasids Late High Middle Ages The Late Baghdad Abbasids reigned from the beginning of the Crusades to the Seventh Crusade. The first Caliph was Al-Mustazhir. He was politically irrelevant, despite civil strife at home and the First Crusade in Syria. Raymond IV of Toulouse attempted to attack Baghdad, losing at the Battle of Manzikert. The global Muslim population climbed to about 5 per cent as against the Christian population of 11 per cent by 1100. Jerusalem was captured by crusaders who massacred its inhabitants. Preachers travelled throughout the caliphate proclaiming the tragedy and rousing men to recover the Al-Aqsa Mosque from the Franks (European Crusaders). Crowds of exiles rallied for war against the infidel. Neither the Sultan nor the Caliph sent an army west. Al-Mustarshid achieved more independence while the sultan Mahmud II of Great Seljuq was engaged in war in the East. The Banu Mazyad (Mazyadid State) general, Dubays ibn Sadaqa (emir of Al-Hilla), plundered Bosra and attacked Baghdad together with a young brother of the sultan, Ghiyath ad-Din Mas'ud. Dubays was crushed by a Seljuq army under Zengi, founder of the Zengid dynasty. Mahmud's death was followed by a civil war between his son Dawud, his nephew Mas'ud and the atabeg Toghrul II. Zengi was recalled to the East, stimulated by the Caliph and Dubays, where he was beaten. The Caliph then laid siege to Mosul for three months without success, resisted by Mas'ud and Zengi. It was nonetheless a milestone in the caliphate's military revival. After the siege of Damascus (1134), Zengi undertook operations in Syria. Al-Mustarshid attacked sultan Mas'ud of western Seljuq and was taken prisoner. He was later found murdered. His son, Al-Rashid failed to gain independence from Seljuq Turks. Zengi, because of the murder of Dubays, set up a rival Sultanate. Mas'ud attacked; the Caliph and Zengi, hopeless of success, escaped to Mosul. The Sultan regained power, a council was held, the Caliph was deposed, and his uncle, son of Al-Muqtafi, appointed as the new Caliph. Ar-Rashid fled to Isfahan and was killed by Hashshashins. Continued disunion and contests between Seljuq Turks allowed al-Muqtafi to maintain control in Baghdad and to extend it throughout Iraq. In 1139, al-Muqtafi granted protection to the Nestorian patriarch Abdisho III. While the Crusade raged, the Caliph successfully defended Baghdad against Muhammad II of Seljuq in the Siege of Baghdad (1157). The Sultan and the Caliph dispatched men in response to Zengi's appeal, but neither the Seljuqs, nor the Caliph, nor their Amirs, dared resist the Crusaders. The next caliph, Al-Mustanjid, saw Saladin extinguish the Fatimid dynasty after 260 years, and thus the Abbasids again prevailed. Al-Mustadi reigned when Saladin become the sultan of Egypt and declared allegiance to the Abbasids. An-Nasir, "The Victor for the Religion of God", attempted to restore the Caliphate to its ancient dominant role. He consistently held Iraq from Tikrit to the Gulf without interruption. His forty-seven-year reign was chiefly marked by ambitious and corrupt dealings with the Tartar chiefs, and by his hazardous invocation of the Mongols, which ended his dynasty. His son, Az-Zahir, was Caliph for a short period before his death and An-Nasir's grandson, Al-Mustansir, was made caliph. Al-Mustansir founded the Mustansiriya Madrasah. In 1236 Ögedei Khan commanded to raise up Khorassan and populated Herat. The Mongol military governors mostly made their camp in Mughan plain, Azerbaijan. The rulers of Mosul and Cilician Armenia surrendered. Chormaqan divided the South Caucasus region into three districts based on military hierarchy. In Georgia, the population were temporarily divided into eight tumens. By 1237 the Mongol Empire had subjugated most of Persia, excluding Abbasid Iraq and Ismaili strongholds, and all of Afghanistan and Kashmir. Al-Musta'sim was the last Abbasid Caliph in Baghdad and is noted for his opposition to the rise of Shajar al-Durr to the Egyptian throne during the Seventh Crusade. To the east, Mongol forces under Hulagu Khan swept through the Transoxiana and Khorasan. Baghdad was sacked and the caliph deposed soon afterwards. The Mamluk sultans and Syria later appointed a powerless Abbasid Caliph in Cairo. Caliph of Cairo (1261–1517) The "shadow" caliph of Cairo Late Middle Ages The Abbasid "shadow" caliph of Cairo reigned under the tutelage of the Mamluk sultans and nominal rulers used to legitimize the actual rule of the Mamluk sultans. All the Cairene Abbasid caliphs who preceded or succeeded Al-Musta'in were spiritual heads lacking any temporal power. Al-Musta'in was the only Cairo-based Abbasid caliph to even briefly hold political power. Al-Mutawakkil III was the last "shadow" caliph. In 1517, Ottoman sultan Selim I defeated the Mamluk Sultanate, and made Egypt part of the Ottoman Empire. Fatimid Caliphate The Fatimids originated in Ifriqiya (modern-day Tunisia and eastern Algeria). The dynasty was founded in 909 by ʻAbdullāh al-Mahdī Billah, who legitimized his claim through descent from Muhammad by way of his daughter Fātima as-Zahra and her husband ʻAlī ibn-Abī-Tālib, the first Shīʻa Imām, hence the name al-Fātimiyyūn "Fatimid". The Fatamids and the Zaydis at the time, used the Hanafi jurisprudence, as did most Sunnis. Abdullāh al-Mahdi's control soon extended over all of central Maghreb, an area consisting of the modern countries of Morocco, Algeria, Tunisia and Libya, which he ruled from Mahdia, his capital in Tunisia. The Fatimids entered Egypt in the late 10th century, conquering the Ikhshidid dynasty and founding a capital at al-Qāhira(Cairo) in 969. The name was a reference to the planet Mars, "The Subduer", which was prominent in the sky at the moment that city construction started. Cairo was intended as a royal enclosure for the Fatimid caliph and his army, though the actual administrative and economic capital of Egypt was in cities such as Fustat until 1169. After Egypt, the Fatimids continued to conquer surrounding areas until they ruled from Tunisia to Syria and even crossed the Mediterranean into Sicily and southern Italy. Under the Fatimids, Egypt became the center of an empire that included at its peak North Africa, Sicily, Palestine, Lebanon, Syria, the Red Sea coast of Africa, Yemen and the Hejaz. Egypt flourished, and the Fatimids developed an extensive trade network in both the Mediterranean and the Indian Ocean. Their trade and diplomatic ties extended all the way to China and its Song dynasty, which determined the economic course of Egypt during the High Middle Ages. Unlike other governments in the area, Fatimid advancement in state offices was based more on merit than heredity. Members of other branches of Islam, including Sunnis, were just as likely to be appointed to government posts as Shiites. Tolerance covered non-Muslims such as Christians and Jews; they took high levels in government based on ability. There were, however, exceptions to this general attitude of tolerance, notably Al-Hakim bi-Amr Allah. The Fatimid palace was in two parts. It was in the Khan el-Khalili area at Bin El-Quasryn street. Fatimid caliphs Early and High Middle Ages Also see: Cairo Abbasid Caliphs (above) During the beginning of the Middle Baghdad Abbasids, the Fatimid Caliphs claimed spiritual supremacy not only in Egypt, but also contested the religious leadership of Syria. At the beginning of the Abbasid realm in Baghdad, the Alids faced severe persecution by the ruling party as they were a direct threat to the Caliphate. Owing to the Abbasid inquisitions, the forefathers opted for concealment of the Dawa's existence. Subsequently, they travelled towards the Iranian Plateau and distanced themselves from the epicenter of the political world. Al Mahdi's father, Al Husain al Mastoor returned to control the Dawa's affairs. He sent two Dai's to Yemen and Western Africa. Al Husain died soon after the birth of his son, Al Mahdi. A system of government helped update Al Mahdi on the development which took place in North Africa. Al Mahdi Abdullah al-Mahdi Billah established the first Imam of the Fatimid dynasty. He claimed genealogic origins dating as far back as Fatimah through Husayn and Ismail. Al Mahdi established his headquarters at Salamiyah and moved towards north-western Africa, under Aghlabid rule. His success of laying claim to being the precursor to the Mahdi was instrumental among the Berber tribes of North Africa, specifically the Kutamah tribe. Al Mahdi established himself at the former Aghlabid residence at Raqqadah, a suburb of Al-Qayrawan in Tunisia. In 920, Al Mahdi took up residence at the newly established capital of the empire, Al-Mahdiyyah. After his death, Al Mahdi was succeeded by his son, Abu Al-Qasim Muhammad Al-Qaim, who continued his expansionist policy. At the time of his death he had extended his reign to Morocco of the Idrisids, as well as Egypt itself.The Fatimid Caliphate grew to include Sicily and to stretch across North Africa from the Atlantic Ocean to Libya. Abdullāh al-Mahdi's control soon extended over all of central Maghreb, an area consisting of the modern countries of Morocco, Algeria, Tunisia, and Libya, which he ruled from Mahdia, in Tunisia. Newly built capital Al-Mansuriya, or Mansuriyya (), near Kairouan, Tunisia, was the capital of the Fatimid Caliphate during the rules of the Imams Al-Mansur Billah (r. 946–953) and Al-Mu'izz li-Din Allah (r. 953–975). The Fatimid general Jawhar conquered Egypt in 969, and he built a new palace city there, near Fusṭāt, which he also called al-Manṣūriyya. Under Al-Muizz Lideenillah, the Fatimids conquered the Ikhshidid Wilayah (see Fatimid Egypt), founding a new capital at al-Qāhira (Cairo) in 969. The name was a reference to the planet Mars, "The Subduer", which was prominent in the sky at the moment that city construction started. Cairo was intended as a royal enclosure for the Fatimid caliph and his army, though the actual administrative and economic capital of Egypt was in cities such as Fustat until 1169. After Egypt, the Fatimids continued to conquer the surrounding areas until they ruled from Tunisia to Syria, as well as Sicily. Under the Fatimids, Egypt became the center of an empire that included at its peak North Africa, Sicily, Palestine, Jordan, Lebanon, Syria, the Red Sea coast of Africa, Tihamah, Hejaz, and Yemen. Egypt flourished, and the Fatimids developed an extensive trade network in both the Mediterranean and the Indian Ocean. Their trade and diplomatic ties extended all the way to China and its Song Dynasty, which eventually determined the economic course of Egypt during the High Middle Ages. After the eighteenth Imam, al-Mustansir Billah, the Nizari sect believed that his son Nizar was his successor, while another Ismāʿīlī branch known as the Mustaali (from whom the Dawoodi Bohra would eventually descend), supported his other son, al-Musta'li. The Fatimid dynasty continued with al-Musta'li as both Imam and Caliph, and that joint position held until the 20th Imam, al-Amir bi-Ahkami l-Lah (1132). At the death of Imam Amir, one branch of the Mustaali faith claimed that he had transferred the imamate to his son at-Tayyib Abi l-Qasim, who was then two years old. After the decay of the Fatimid political system in the 1160s, the Zengid ruler Nūr ad-Dīn had his general, Shirkuh, seized Egypt from the vizier Shawar in 1169. Shirkuh died two months after taking power, and the rule went to his nephew, Saladin. This began the Ayyubid Sultanate of Egypt and Syria. Crusades Beginning in the 8th century, the Iberian Christian kingdoms had begun the Reconquista aimed at retaking Al-Andalus from the Moors. In 1095, Pope Urban II, inspired by the conquests in Spain by Christian forces and implored by the eastern Roman emperor to help defend Christianity in the East, called for the First Crusade from Western Europe which captured Edessa, Antioch, County of Tripoli and Jerusalem. In the early period of the Crusades, the Christian Kingdom of Jerusalem emerged and for a time controlled Jerusalem. The Kingdom of Jerusalem and other smaller Crusader kingdoms over the next 90 years formed part of the complicated politics of the Levant, but did not threaten the Islamic Caliphate nor other powers in the region. After Shirkuh ended Fatimid rule in 1169, uniting it with Syria, the Crusader kingdoms were faced with a threat, and his nephew Saladin reconquered most of the area in 1187, leaving the Crusaders holding a few ports. In the Third Crusade armies from Europe failed to recapture Jerusalem, though Crusader states lingered for several decades, and other crusades followed. The Christian Reconquista continued in Al-Andalus, and was eventually completed with the fall of Granada in 1492. During the low period of the Crusades, the Fourth Crusade was diverted from the Levant and instead took Constantinople, leaving the Eastern Roman Empire (now the Byzantine Empire) further weakened in their long struggle against the Turkish peoples to the east. However, the crusaders did manage to damage Islamic caliphates; according to William of Malmesbury, preventing them from further expansion into Christendom and being targets of the Mamluks and the Mongols. Ayyubid dynasty The Ayyubid dynasty was founded by Saladin and centered in Egypt. In 1174, Saladin proclaimed himself Sultan and conquered the Near East region. The Ayyubids ruled much of the Middle East during the 12th and 13th centuries, controlling Egypt, Syria, northern Mesopotamia, Hejaz, Yemen, and the North African coast up to the borders of modern-day Tunisia. After Saladin, his sons contested control over the sultanate, but Saladin's brother al-Adil eventually established himself in 1200. In the 1230s, Syria's Ayyubid rulers attempted to win independence from Egypt and remained divided until Egyptian Sultan as-Salih Ayyub restored Ayyubid unity by taking over most of Syria, excluding Aleppo, by 1247. In 1250, the dynasty in the Egyptian region was overthrown by slave regiments. A number of attempts to recover it failed, led by an-Nasir Yusuf of Aleppo. In 1260, the Mongols sacked Aleppo and wrested control of what remained of the Ayyubid territories soon after. Sultans of Egypt Sultans and Amirs of Damascus Emirs of Aleppo Mongol period Mongol invasions and conquests While the Abbasid Caliphate suffered a decline following the reign of Al-Wathiq (842–847) and Al-Mu'tadid (892–902), the Mongol Empire put an end to the Abbasid dynasty in 1258. The Mongols spread throughout Central Asia and Persia; the Persian city of Isfahan had fallen to them by 1237. The Ilkhans of Chingisid descendence claimed to be defenders of Islam, perhaps even the heirs of the Abbasid Caliphate. Some Sufi Muslim writers, like Aflaki and Abu Bakr Rumi, were favourably impressed by the Mongols' conquest of Islamic states and subjugation of Muslim rulers to their military and political power, considering their invasions and expansion as a legitimate divine punishment from God, as the Mongols and Turkic peoples from the Eurasian Steppe were regarded as more pious than the Muslim scholars, ascetics, and muftis of their time. During this era, the Persian Sufi poet and mystic Jalaluddin Rumi (1207–1273) wrote his masterpiece, the Masnavi, which he believed to be "sent down" from God and understood it as the proper explanation of the Quran (tafsīr). According to various modern scholars, the majority of Mongols and Turkic peoples converted to Islam filtered through the mediation of Persian and Central Asian culture, as well as through the preaching of Sufi Muslim wandering ascetics and mystics (fakirs and dervishes), between the 10th and 14th centuries. Turkic and Mongol converts to Islam found similarities between the practices of the extreme, ascetic Sufis and those of Turco-Mongol Shamans. Turkic and Mongol Muslims incorporated elements of their indigenous religion, the traditional Turco-Mongol Shamanism, within the Turkic synthesis of Islam, which to this date differs significantly from the Islamic religion as practised among other Muslim societies, and became a part of a new Islamic interpretation. In recent years, the idea of syncretism between indigenous Turco-Mongol Shamanism and Islam has been challenged. Given the lack of authority to define or enforce an "orthodox" doctrine about Islam, some modern scholars argue that, before the 16th century, Islam had no prescribed beliefs, only prescribed practices. Therefore, integrating parts of pre-Islamic and indigenous Turco-Mongol Shamanism into the monotheistic Islamic faith was pretty common and not heterodox among Turkic and Mongol peoples. Although Shamanistic influences already occurred during the Battle of Talas (752), Muslim heresiographers never mentioned Shamans. One major change was in the status of women. Unlike Arab culture, the Turco-Mongol traditions held women in higher regard in society. The Turkic and Mongol peoples must have also found striking similarities between Sufi asceticism and their traditional Shamanic practices. Turco-Mongol Shamanism influenced orthodox Muslims in Anatolia, Central Asia, and the Balkans, who subscribed to it producing Alevism. As a result, many Shamanic traditions were perceived as genuinely Islamic, with beliefs such as sacred nature, trees, animals, and foreign nature spirits remaining widespread to this day. From the 13th to the 14th centuries, both Sunnī and Shīʿa practices were intertwined, and historical figures commonly associated with the history of Shīʿa Islam, like ʿAlī ibn Abī Ṭālib and Jaʿfar al-Ṣādiq (respectively, the first and sixth Shīʿīte Imams), played an almost universal role for Muslim believers to understand "the Unseen" (al-Ghaib). A sharp distinction between Sunnī, Shīʿa, and heterodox Islamic beliefs didn't exist. Islamic Mongol empires Ultimately, the Ilkhanate, Golden Horde, and the Chagatai Khanate - three of the four principal Mongol khanates - embraced Islam. In power in Syria, Mesopotamia, Persia, and further east, over the rest of the 13th century gradually all converted to Islam. Most Ilkhanid rulers were replaced by the new Mongol power founded by Timur (himself a Muslim), who conquered Persia in the 1360s, and moved against the Delhi Sultanate in India and the Ottoman Turks in Anatolia. Timur's ceaseless conquests were accompanied by displays of brutality matched only by Chinggis Khan, whose example Timur consciously imitated. Samarqand, the cosmopolitan capital of Timur's empire, flourished under his rule as never before, while Iran and Iraq suffered large-scale devastation. The Middle East was still recovering from the Black Death, which may have killed one third of the population in the region. The plague began in China, and reached Alexandria in Egypt in 1347, spreading over the following years to most Islamic areas. The combination of the plague and the wars left the Middle Eastern Islamic world in a seriously weakened position. The Timurid dynasty would found many strong empires of Islam, including the Mughals of India. Timurid Renaissance The Timurid Empire based in Central Asia ruled by the Timurid dynasty saw a tremendous increase in the fields of arts and sciences, spreading across both eastern and western world. Remarkable was the invention of Tamerlane Chess, reconstruction of the city of Samarkand, and substantial contributions made by the family of Sultan Shah Rukh, which include Gawhar Shad, polymath Ulugh Begh, and Sultan Husayn Bayqara in the fields of astronomy, mathematics, and architecture. The empire receive widespread support from multiple Islamic scholars and scientists. A number of Islamic learning centres and mosques were built, most notably the Ulugh Beg Observatory. The prosperity of the city of Herat is said to have competed with those of Florence, the birthplace of the Italian Renaissance as the center of a cultural rebirth. The aspects of the Timurid Renaissance were later brought in Mughal India by the Mughal Emperors and served as a heritage of states of the other remaining Islamic Gunpowder empires: the Ottoman Turkey and the Safavid Iran. Mamluk Sultanate In 1250, the Ayyubid Egyptian dynasty was overthrown by slave regiments, and the Mamluk Sultanate was born. Military prestige was at the center of Mamluk society, and it played a key role in the confrontations with the Mongol Empire during the Mongol invasions of the Levant. In the 1260s, the Mongols sacked and controlled the Islamic Near East territories. The Mongol invaders were finally stopped by Egyptian Mamluks north of Jerusalem in 1260 at the pivotal Battle of Ain Jalut. The Mamluks, who were slave-soldiers predominantly of Turkic, Caucasian, and Southeastern European origins (see Saqaliba), forced out the Mongols (see Battle of Ain Jalut) after the final destruction of the Ayyubid dynasty. The Mongols were again defeated by the Mamluks at the Battle of Hims a few months later, and then driven out of Syria altogether. With this, the Mamluks were able to concentrate their forces and to conquer the last of the Crusader states in the Levant. Thus they united Syria and Egypt for the longest interval between the Abbasid and Ottoman empires (1250–1517). The Mamluks experienced a continual state of political conflict, military tension, proxy wars, and economic competition between the "Muslim territory" (Dar al-Islam) and "non-Muslim territory" (Dar al-Harb). The Battle of Ain Jalut and the glorious Battle of Marj al-Saffar (1303), the latter partly led by Imam Ibn Taymiyyah, marked the end of the Mongol invasions of the Levant. Fatwas given during these conflicts changed the course of Political Islam. As part of their chosen role as defenders of Islamic orthodoxy, the Mamluks sponsored many religious buildings, including mosques, madrasas and khanqahs. Though some construction took place in the provinces, the vast bulk of these projects expanded the capital. Many Mamluk buildings in Cairo have survived to this day, particularly in Old Cairo (for further informations, see Mamluk architecture). Proto-Salafism In scholasticism, Ibn Taymiyya (1263–1328), who did not accept the Mongols' conversion to Sunnism, worried about the integrity of Islam and tried to establish a theological doctrine to purify Islam from its alleged alterations. Unlike contemporary scholarship, which relied on traditions and historical narratives from early Islam, Ibn Taymiyya's methodology was a mixture of the selective use of hadith and a literal understanding of the Quran. He rejected most philosophical approaches to Islam and proposed a clear, simple and dogmatic theology instead. Another major characteristic of his theological approach emphasized the significance of a theocratic state. While prevailing opinion held that religious wisdom was necessary for a state, Ibn Taymiyya regarded political power as necessary for religious excellence. He rejected many hadiths circulating among Muslims during his time and relied repeatedly on only Sahih Bukhari and Sahih Muslim to refute Asharite doctrine. Feeling threatened by the Crusaders and by the Mongols, Ibn Taymiyya stated it would be obligatory for Muslims to join a physical jihad against non-Muslims. This not only included the invaders but also the heretics among the Muslims, including Shias, Asharites and "philosophers", who Ibn Taymiyya blamed for the deterioration of Islam. Nevertheless, his writings only played a marginal role during his lifetime. He was repeatedly accused of blasphemy by anthropomorphizing God, and his disciple Ibn Kathir distanced himself from his mentor and negated that aspect of his teachings. Yet, some of Ibn Taimiyya's teaching probably influenced his methodology on exegesis in his Tafsir, which discounted much of the exegetical tradition since then. The writings of Ibn Taymiyya and Ibn Kathir became important sources for Wahhabism and 21st century Salafi theology. Bahri Sultans Burji Sultans See also: Islamic Egypt governors, Mamluks Era Al-Andalus The Arabs, under the command of the Berber General Tarik ibn Ziyad, first began their conquest of southern Spain or al-Andalus in 711. A raiding party led by Tarik was sent to intervene in a civil war in the Visigothic kingdom in Hispania. Crossing the Strait of Gibraltar (named after the General), it won a decisive victory in the summer of 711 when the Visigothic king Roderic was defeated and killed on 19 July at the Battle of Guadalete. Tariq's commander, Musa bin Nusair crossed with substantial reinforcements, and by 718 the Muslims dominated most of the peninsula. Some later Arabic and Christian sources present an earlier raid by a certain Ṭārif in 710 and also, the Ad Sebastianum recension of the Chronicle of Alfonso III, refers to an Arab attack incited by Erwig during the reign of Wamba (672–80). The two large armies may have been in the south for a year before the decisive battle was fought. The rulers of Al-Andalus were granted the rank of Emir by the Umayyad Caliph Al-Walid I in Damascus. After the Abbasids came to power, some Umayyads fled to Muslim Spain to establish themselves there. By the end of the 10th century, the ruler Abd al-Rahman III took over the title of Caliph of Córdoba(912-961). Soon after, the Umayyads went on developing a strengthened state with its capital as Córdoba. Al-Hakam II succeeded to the Caliphate after the death of his father Abd ar-Rahman III in 961. He secured peace with the Christian kingdoms of northern Iberia, and made use of the stability to develop agriculture through the construction of irrigation works. Economic development was also encouraged through the widening of streets and the building of markets. The rule of the Caliphate is known as the heyday of Muslim presence in the peninsula. The Umayyad Caliphate collapsed in 1031 due to political divisions and civil unrest during the rule of Hicham II who was ousted because of his indolence. Al-Andalus then broke up into a number of states called taifa kingdoms (Arabic, Muluk al-ṭawā'if; English, Petty kingdoms). The decomposition of the Caliphate into those petty kingdoms weakened the Muslims in the Iberian Peninsula vis-à-vis the Christian kingdoms of the north. Some of the taifas, such as that of Seville, were forced to enter into alliances with Christian princes and pay tributes in money to Castille. Emirs of Al-Andalus Abd al-Rahman I and Bedr (a former Greek slave) escaped with their lives after the popular revolt known as the Abbasid Revolution. Rahman I continued south through Palestine, the Sinai, and then into Egypt. Rahman I was one of several surviving Umayyad family members to make a perilous trek to Ifriqiya at this time. Rahman I and Bedr reached modern day Morocco near Ceuta. Next step would be to cross to sea to al-Andalus, where Rahman I could not have been sure whether he would be welcome. Following the Berber Revolt (740s), the province was in a state of confusion, with the Ummah torn by tribal dissensions among the Arabs and racial tensions between the Arabs and Berbers. Bedr lined up three Syrian commanders – Obeid Allah ibn Uthman and Abd Allah ibn Khalid, both originally of Damascus, and Yusuf ibn Bukht of Qinnasrin and contacted al-Sumayl (then in Zaragoza) to get his consent, but al-Sumayl refused, fearing Rahman I would try to make himself emir. After discussion with Yemenite commanders, Rahman I was told to go to al-Andalus. Shortly thereafter, he set off with Bedr and a small group of followers for Europe. Abd al-Rahman landed at Almuñécar in al-Andalus, to the east of Málaga. During his brief time in Málaga, he quickly amassed local support. News of the prince's arrival spread throughout the peninsula. In order to help speed his ascension to power, he took advantage of the feuds and dissensions. However, before anything could be done, trouble broke out in northern al-Andalus. Abd al-Rahman and his followers were able to control Zaragoza. Rahman I fought to rule al-Andalus in a battle at the Guadalquivir river, just
the Quran was finished some time between 650 and 656 CE, and copies were sent out to the different centers of the expanding Islamic empire. After Muhammad's death, the old tribal differences between the Arabs started to resurface. Following the Roman–Persian wars and the Byzantine-Sasanian wars, deep-rooted differences between Iraq (formerly under the Sasanian Empire) and Syria (formerly under the Byzantine Empire) also existed. Each wanted the capital of the newly established Islamic empire to be in their area. As ʿUthmān became very old, Marwan I, a relative of Muawiyah slipped into the vacuum, becoming his secretary and slowly assuming more control. When ʿUthmān was assassinated in 656 CE, ʿAlī ibn Abī Ṭālib, cousin and son-in-law of Muhammad, assumed the position of caliph and moved the capital to Kufa in Iraq. Muawiyah I, the governor of Syria, and Marwan I demanded arrest of the culprits. Marwan I manipulated every one and created conflict, which resulted in the first Muslim civil war (the "First Fitna"). ʿAlī was assassinated by the Kharijites in 661 CE. Six months later, ʿAlī's firstborn son Ḥasan made a peace treaty with Muawiyah I, in the interest of peace. In the Hasan–Muawiya treaty, Ḥasan ibn ʿAlī handed over power to Muawiyah I on the condition that he would be just to the people and not establish a dynasty after his death. Muawiyah I subsequently broke the conditions of the agreement and established the Umayyad dynasty, with a capital in Damascus. Ḥusayn ibn ʿAlī, by then Muhammad's only surviving grandson, refused to swear allegiance to the Umayyads; he was killed in the Battle of Karbala the same year, in an event still mourned by Shīʿa Muslims on the Day of Ashura. Political unrest called the second Muslim civil war (the "Second Fitna") continued, but Muslim rule was extended under Muawiyah I to Rhodes, Crete, Kabul, Bukhara, and Samarkand, and expanded into North Africa. In 664 CE, Arab Muslim armies conquered Kabul, and in 665 CE pushed further into the Maghreb. Umayyad Caliphate The Umayyad dynasty (or Ommiads), whose name derives from Umayya ibn Abd Shams, the great-grandfather of the first Umayyad caliph, ruled from 661 to 750 CE. Although the Umayyad family came from the city of Mecca, Damascus was the capital. After the death of Abdu'l-Rahman ibn Abu Bakr in 666, Muawiyah I consolidated his power. Muawiyah I moved his capital to Damascus from Medina, which led to profound changes in the empire. In the same way, at a later date, the transfer of the Caliphate from Damascus to Baghdad marked the accession of a new family to power. As the state grew, the state expenses increased. Additionally the Bayt al-mal and the Welfare State expenses to assist the Muslim and the non-Muslim poor, needy, elderly, orphans, widows, and the disabled, increased, the Umayyads asked the new converts (mawali) to continue paying the poll tax. The Umayyad rule, with its wealth and luxury also seemed at odds with the Islamic message preached by Muhammad. All this increased discontent. The descendants of Muhammad's uncle Abbas ibn Abd al-Muttalib rallied discontented mawali, poor Arabs, and some Shi'a against the Umayyads and overthrew them with the help of the general Abu Muslim, inaugurating the Abbasid dynasty in 750, which moved the capital to Baghdad. A branch of the Ummayad family fled across North Africa to Al-Andalus, where they established the Caliphate of Córdoba, which lasted until 1031 before falling due to the Fitna of al-Andalus. The Bayt al-mal, the Welfare State then continued under the Abbasids. At its largest extent, the Umayyad dynasty covered more than making it one of the largest empires the world had yet seen, and the fifth largest contiguous empire ever. Muawiyah beautified Damascus, and developed a court to rival that of Constantinople. He expanded the frontiers of the empire, reaching the edge of Constantinople at one point, though the Byzantines drove him back and he was unable to hold any territory in Anatolia. Sunni Muslims credit him with saving the fledgling Muslim nation from post-civil war anarchy. However, Shia Muslims accuse him of instigating the war, weakening the Muslim nation by dividing the Ummah, fabricating self-aggrandizing heresies slandering the Prophet's family and even selling his Muslim critics into slavery in the Byzantine empire. One of Muawiyah's most controversial and enduring legacies was his decision to designate his son Yazid as his successor. According to Shi'a doctrine, this was a clear violation of the treaty he made with Hasan ibn Ali. In 682, Yazid restored Uqba ibn Nafi as the governor of North Africa. Uqba won battles against the Berbers and Byzantines. From there Uqba marched thousands of miles westward towards Tangier, where he reached the Atlantic coast, and then marched eastwards through the Atlas Mountains. With about 300 cavalrymen, he proceeded towards Biskra where he was ambushed by a Berber force under Kaisala. Uqba and all his men died fighting. The Berbers attacked and drove Muslims from north Africa for a period. Weakened by the civil wars, the Umayyad lost supremacy at sea, and had to abandon the islands of Rhodes and Crete. Under the rule of Yazid I, some Muslims in Kufa began to think that if Husayn ibn Ali the descendant of Muhammad was their ruler, he would have been more just. He was invited to Kufa but was later betrayed and killed. Imam Husain's son, Imam Ali ibn Husain, was imprisoned along with Husain's sister and other ladies left in Karbala war. Due to opposition by public they were later released and allowed to go to their native place Medina. One Imam after another continued in the generation of Imam Husain but they were opposed by the Caliphs of the day as their rivals till Imam Abdullah al-Mahdi Billah came in power as first Caliph of Fatimid in North Africa when Caliphate and Imamate came to same person again after Imam Ali. These Imams were recognized by Shia Islam taking Imam Ali as first Caliph/ Imam and the same is institutionalized by the Safavids and many similar institutions named now as Ismaili, Twelver etc. The period under Muawiya II was marked by civil wars (Second Fitna). This would ease in the reign of Abd al-Malik ibn Marwan, a well-educated and capable ruler. Despite the many political problems that impeded his rule, all important records were translated into Arabic. In his reign, a currency for the Muslim world was minted. This led to war with the Byzantine Empire under Justinian II (Battle of Sebastopolis) in 692 in Asia Minor. The Byzantines were decisively defeated by the Caliph after the defection of a large contingent of Slavs. The Islamic currency was then made the exclusive currency in the Muslim world. He reformed agriculture and commerce. Abd al-Malik consolidated Muslim rule and extended it, made Arabic the state language, and organized a regular postal service. Al-Walid I began the next stage of Islamic conquests. Under him the early Islamic empire reached its farthest extent. He reconquered parts of Egypt from the Byzantine Empire and moved on into Carthage and across to the west of North Africa. Muslim armies under Tariq ibn Ziyad crossed the Strait of Gibraltar and began to conquer the Iberian Peninsula using North African Berber armies. The Visigoths of the Iberian Peninsula were defeated when the Umayyad conquered Lisbon. The Iberian Peninsula was the farthest extent of Islamic control of Europe (they were stopped at the Battle of Tours). In the east, Islamic armies under Muhammad bin Qasim made it as far as the Indus Valley. Under Al-Walid, the caliphate empire stretched from the Iberian Peninsula to India. Al-Hajjaj ibn Yusuf played a crucial role in the organization and selection of military commanders. Al-Walid paid great attention to the expansion of an organized military, building the strongest navy in the Umayyad era., This tactic was crucial for the expansion to the Iberian Peninsula. His reign is considered to be the apex of Islamic power. Sulayman ibn Abd al-Malik was hailed as caliph the day al-Walid died. He appointed Yazid ibn al-Muhallab governor of Mesopotamia. Sulayman ordered the arrest and execution of the family of al-Hajjaj, one of two prominent leaders (the other was Qutayba ibn Muslim) who had supported the succession of al-Walid's son Yazid, rather than Sulayman. Al-Hajjaj had predeceased al-Walid, so he posed no threat. Qutaibah renounced allegiance to Sulayman, though his troops rejected his appeal to revolt. They killed him and sent his head to Sulayman. Sulayman did not move to Damascus on becoming Caliph, remaining in Ramla. Sulayman sent Maslama ibn Abd al-Malik to attack the Byzantine capital (siege of Constantinople). The intervention of Bulgaria on the Byzantine side proved decisive. The Muslims sustained heavy losses. Sulayman died suddenly in 717. Yazid II came to power on the death of Umar II. Yazid fought the Kharijites, with whom Umar had been negotiating, and killed the Kharijite leader Shawdhab. In Yazid's reign, civil wars began in different parts of the empire. Yazid expanded the Caliphate's territory into the Caucasus, before dying in 724. Inheriting the caliphate from his brother, Hisham ibn Abd al-Malik ruled an empire with many problems. He was effective in addressing these problems, and in allowing the Umayyad empire to continue as an entity. His long rule was an effective one, and renewed reforms introduced by Umar II. Under Hisham's rule, regular raids against the Byzantines continued. In North Africa, Kharijite teachings combined with local restlessness to produce the Berber Revolt. He was also faced with a revolt by Zayd ibn Ali. Hisham suppressed both revolts. The Abbasids continued to gain power in Khurasan and Iraq. However, they were not strong enough to make a move yet. Some were caught and punished or executed by eastern governors. The Battle of Akroinon, a decisive Byzantine victory, was during the final campaign of the Umayyad dynasty. Hisham died in 743. Al-Walid II saw political intrigue during his reign. Yazid III spoke out against his cousin Walid's "immorality" which included discrimination on behalf of the Banu Qays Arabs against Yemenis and non-Arab Muslims, and Yazid received further support from the Qadariya and Murji'iya (believers in human free will). Walid was shortly thereafter deposed in a coup. Yazid disbursed funds from the treasury and acceded to the Caliph. He explained that he had rebelled on behalf of the Book of God and the Sunna. Yazid reigned for only six months, while various groups refused allegiance and dissident movements arose, after which he died. Ibrahim ibn al-Walid, named heir apparent by his brother Yazid III, ruled for a short time in 744, before he abdicated. Marwan II ruled from 744 until he was killed in 750. He was the last Umayyad ruler to rule from Damascus. Marwan named his two sons Ubaydallah and Abdallah heirs. He appointed governors and asserted his authority by force. Anti-Umayyad feeling was very prevalent, especially in Iran and Iraq. The Abbasids had gained much support. Marwan's reign as caliph was almost entirely devoted to trying to keep the Umayyad empire together. His death signalled the end of Umayyad rule in the East, and was followed by the massacre of Umayyads by the Abbasids. Almost the entire Umayyad dynasty was killed, except for the talented prince Abd al-Rahman who escaped to the Iberian Peninsula and founded a dynasty there. Islamic Golden Age Islamic world during the Abbasid Caliphate The Abbasid dynasty rose to power in 750, consolidating the gains of the earlier Caliphates. Initially, they conquered Mediterranean islands including the Balearics and, after, in 827 the Southern Italy. The ruling party had come to power on the wave of dissatisfaction with the Umayyads, cultivated by the Abbasid revolutionary Abu Muslim. Under the Abbasids Islamic civilization flourished. Most notable was the development of Arabic prose and poetry, termed by The Cambridge History of Islam as its "golden age". Commerce and industry (considered a Muslim Agricultural Revolution) and the arts and sciences (considered a Muslim Scientific Revolution) also prospered under Abbasid caliphs al-Mansur (ruled 754–775), Harun al-Rashid (ruled 786–809), al-Ma'mun (ruled 809–813) and their immediate successors. The capital was moved from Damascus to Baghdad, due to the importance placed by the Abbasids upon eastern affairs in Persia and Transoxania. At this time the caliphate showed signs of fracture amid the rise of regional dynasties. Although the Umayyad family had been killed by the revolting Abbasids, one family member, Abd ar-Rahman I, escaped to Spain and established an independent caliphate there in 756. In the Maghreb, Harun al-Rashid appointed the Arab Aghlabids as virtually autonomous rulers, although they continued to recognize central authority. Aghlabid rule was short-lived, and they were deposed by the Shiite Fatimid dynasty in 909. By around 960, the Fatimids had conquered Abbasid Egypt, building a capital there in 973 called "al-Qahirah" (meaning "the planet of victory", known today as Cairo). In Persia the Turkic Ghaznavids snatched power from the Abbasids. Abbasid influence had been consumed by the Great Seljuq Empire (a Muslim Turkish clan which had migrated into mainland Persia) by 1055. Expansion continued, sometimes by force, sometimes by peaceful proselytising. The first stage in the conquest of India began just before the year 1000. By some 200 (from 1193 to 1209) years later, the area up to the Ganges river had fallen. In sub-Saharan West Africa, Islam was established just after the year 1000. Muslim rulers were in Kanem starting from sometime between 1081 and 1097, with reports of a Muslim prince at the head of Gao as early as 1009. The Islamic kingdoms associated with Mali reached prominence in the 13th century. The Abbasids developed initiatives aimed at greater Islamic unity. Different sects of the Islamic faith and mosques, separated by doctrine, history, and practice, were pushed to cooperate. The Abbasids also distinguished themselves from the Umayyads by attacking the Umayyads' moral character and administration. According to Ira Lapidus, "The Abbasid revolt was supported largely by Arabs, mainly the aggrieved settlers of Marw with the addition of the Yemeni faction and their Mawali". The Abbasids also appealed to non-Arab Muslims, known as mawali, who remained outside the kinship-based society of the Arabs and were perceived as a lower class within the Umayyad empire. Islamic ecumenism, promoted by the Abbasids, refers to the idea of unity of the Ummah in the literal meaning: that there was a single faith. Islamic philosophy developed as the Shariah was codified, and the four Madhabs were established. This era also saw the rise of classical Sufism. Religious achievements included completion of the canonical collections of Hadith of Sahih Bukhari and others. Islam recognized to a certain extent the validity of the Abrahamic religions, the Quran identifying Jews, Christians, Zoroastrians, and Sabians (commonly identified with the Mandaeans) as "people of the book". Toward the beginning of the high Middle Ages, the doctrines of the Sunni and Shia, two major denominations of Islam, solidified and the divisions of the world theologically would form. These trends would continue into the Fatimid and Ayyubid periods. Politically, the Abbasid Caliphate evolved into an Islamic monarchy (unitary system of government.) The regional Sultanate and Emirate governors' existence, validity, or legality were acknowledged for unity of the state. In the early Islamic philosophy of the Iberian Umayyads, Averroes presented an argument in The Decisive Treatise, providing a justification for the emancipation of science and philosophy from official Ash'ari theology; thus, Averroism has been considered a precursor to modern secularism. Golden Baghdad Abbasids Early Middle Ages According to Arab sources in the year 750, Al-Saffah, the founder of the Abbasid Caliphate, launched a massive rebellion against the Umayyad Caliphate from the province of Khurasan near Talas. After eliminating the entire Umayyad family and achieving victory at the Battle of the Zab, Al-Saffah and his forces marched into Damascus and founded a new dynasty. His forces confronted many regional powers and consolidated the realm of the Abbasid Caliphate. In Al-Mansur's time, Persian scholarship emerged. Many non-Arabs converted to Islam. The Umayyads actively discouraged conversion in order to continue the collection of the jizya, or the tax on non-Muslims. Islam nearly doubled within its territory from 8% of residents in 750 to 15% by the end of Al-Mansur's reign. Al-Mahdi, whose name means "Rightly-guided" or "Redeemer", was proclaimed caliph when his father was on his deathbed. Baghdad blossomed during Al-Mahdi's reign, becoming the world's largest city. It attracted immigrants from Arabia, Iraq, Syria, Persia and as far away as India and Spain. Baghdad was home to Christians, Jews, Hindus, and Zoroastrians, in addition to the growing Muslim population. Like his father, Al-Hadi was open to his people and allowed citizens to address him in the palace at Baghdad. He was considered an "enlightened ruler", and continued the policies of his Abbasid predecessors. His short rule was plagued by military conflicts and internal intrigue. The military conflicts subsided as Harun al-Rashid ruled. His reign was marked by scientific, cultural and religious prosperity. He established the library Bayt al-Hikma ("House of Wisdom"), and the arts and music flourished during his reign. The Barmakid family played a decisive advisorial role in establishing the Caliphate, but declined during Rashid's rule. Al-Amin received the Caliphate from his father Harun Al-Rashid, but failed to respect the arrangements made for his brothers, leading to the Fourth Fitna. Al-Ma'mun's general Tahir ibn Husayn took Baghdad, executing Al-Amin. The war led to a loss of prestige for the dynasty. Rise of regional powers The Abbasids soon became caught in a three-way rivalry among Coptic Arabs, Indo-Persians, and immigrant Turks. In addition, the cost of running a large empire became too great. The Turks, Egyptians, and Arabs adhered to the Sunnite sect; the Persians, a great portion of the Turkic groups, and several of the princes in India were Shia. The political unity of Islam began to disintegrate. Under the influence of the Abbasid caliphs, independent dynasties appeared in the Muslim world and the caliphs recognized such dynasties as legitimately Muslim. The first was the Tahirids in Khorasan, which was founded during the caliph Al-Ma'mun's reign. Similar dynasties included the Saffarids, Samanids, Ghaznavids and Seljuqs. During this time, advancements were made in the areas of astronomy, poetry, philosophy, science, and mathematics. High Baghdad Abbasids Early Middle Ages Upon Al-Amin's death, Al-Ma'mun became Caliph. Al-Ma'mun extended the Abbasid empire's territory during his reign and dealt with rebellions. Al-Ma'mun had been named governor of Khurasan by Harun, and after his ascension to power, the caliph named Tahir as governor of his military services in order to assure his loyalty. Tahir and his family became entrenched in Iranian politics and became powerful, frustrating Al-Ma'mun's desire to centralize and strengthen Caliphal power. The rising power of the Tahirid family became a threat as Al-Ma'mun's own policies alienated them and other opponents. Al-Ma'mun worked to centralize power and ensure a smooth succession. Al-Mahdi proclaimed that the caliph was the protector of Islam against heresy, and also claimed the ability to declare orthodoxy. Religious scholars averred that Al-Ma'mun was overstepping his bounds in the Mihna, the Abbasid inquisition which he introduced in 833 four months before he died. The Ulama emerged as a force in Islamic politics during Al-Ma'mun's reign for opposing the inquisitions. The Ulema and the major Islamic law schools took shape in the period of Al-Ma'mun. In parallel, Sunnism became defined as a religion of laws. Doctrinal differences between Sunni and Shi'a Islam became more pronounced. During the Al-Ma'mun regime, border wars increased. Al-Ma'mun made preparations for a major campaign, but died while leading an expedition in Sardis. Al-Ma'mun gathered scholars of many religions at Baghdad, whom he treated well and with tolerance. He sent an emissary to the Byzantine Empire to collect the most famous manuscripts there, and had them translated into Arabic. His scientists originated alchemy. Shortly before his death, during a visit to Egypt in 832, the caliph ordered the breaching of the Great Pyramid of Giza to search for knowledge and treasure. Workers tunnelled in near where tradition located the original entrance. Al-Ma'mun later died near Tarsus under questionable circumstances and was succeeded by his half-brother, Al-Mu'tasim, rather than his son, Al-Abbas ibn Al-Ma'mun. As Caliph, Al-Mu'tasim promptly ordered the dismantling of al-Ma'mun's military base at Tyana. He faced Khurramite revolts. One of the most difficult problems facing this Caliph was the ongoing uprising of Babak Khorramdin. Al-Mu'tasim overcame the rebels and secured a significant victory. Byzantine emperor Theophilus launched an attack against Abbasid fortresses. Al-Mu'tasim sent Al-Afshin, who met and defeated Theophilus' forces at the Battle of Anzen. On his return he became aware of a serious military conspiracy which forced him and his successors to rely upon Turkish commanders and ghilman slave-soldiers (foreshadowing the Mamluk system). The Khurramiyyah were never fully suppressed, although they slowly declined during the reigns of succeeding Caliphs. Near the end of al-Mu'tasim's life there was an uprising in Palestine, but he defeated the rebels. During Al-Mu'tasim's reign, the Tahirid dynasty continued to grow in power. The Tahirids were exempted from many tribute and oversight functions. Their independence contributed to Abbasid decline in the east. Ideologically, al-Mu'tasim followed his half-brother al-Ma'mun. He continued his predecessor's support for the Islamic Mu'tazila sect, applying brutal torture against the opposition. Arab mathematician Al-Kindi was employed by Al-Mu'tasim and tutored the Caliph's son. Al-Kindi had served at the House of Wisdom and continued his studies in Greek geometry and algebra under the caliph's patronage. Al-Wathiq succeeded his father. Al-Wathiq dealt with opposition in Arabia, Syria, Palestine and in Baghdad. Using a famous sword he personally joined the execution of the Baghdad rebels. The revolts were the result of an increasingly large gap between Arab populations and the Turkish armies. The revolts were put down, but antagonism between the two groups grew, as Turkish forces gained power. He also secured a captive exchange with the Byzantines. Al-Wathiq was a patron of scholars, as well as artists. He personally had musical talent and is reputed to have composed over one hundred songs. When Al-Wathiq died of high fever, Al-Mutawakkil succeeded him. Al-Mutawakkil's reign is remembered for many reforms and is viewed as a golden age. He was the last great Abbasid caliph; after his death the dynasty fell into decline. Al-Mutawakkil ended the Mihna. Al-Mutawakkil built the Great Mosque of Samarra as part of an extension of Samarra eastwards. During his reign, Al-Mutawakkil met famous Byzantine theologian Constantine the Philosopher, who was sent to strengthen diplomatic relations between the Empire and the Caliphate by Emperor Michael III. Al-Mutawakkil involved himself in religious debates, as reflected in his actions against minorities. The Shīʻi faced repression embodied in the destruction of the shrine of Hussayn ibn ʻAlī, an action that was ostensibly carried out to stop pilgrimages. Al-Mutawakkil continued to rely on Turkish statesmen and slave soldiers to put down rebellions and lead battles against foreign empires, notably capturing Sicily from the Byzantines. Al-Mutawakkil was assassinated by a Turkish soldier. Al-Muntasir succeeded to the Caliphate on the same day with the support of the Turkish faction, though he was implicated in the murder. The Turkish party had al-Muntasir remove his brothers from the line of succession, fearing revenge for the murder of their father. Both brothers wrote statements of abdication. During his reign, Al-Muntasir removed the ban on pilgrimage to the tombs of Hassan and Hussayn and sent Wasif to raid the Byzantines. Al-Muntasir died of unknown causes. The Turkish chiefs held a council to select his successor, electing Al-Musta'in. The Arabs and western troops from Baghdad were displeased at the choice and attacked. However, the Caliphate no longer depended on Arabian choice, but depended on Turkish support. After the failed Muslim campaign against the Christians, people blamed the Turks for bringing disaster on the faith and murdering their Caliphs. After the Turks besieged Baghdad, Al-Musta'in planned to abdicate to Al-Mu'tazz but was put to death by his order. Al-Mu'tazz was enthroned by the Turks, becoming the youngest Abbasaid Caliph to assume power. Al-Mu'tazz proved too apt a pupil of his Turkish masters, but was surrounded by parties jealous of each other. At Samarra, the Turks were having problems with the "Westerns" (Berbers and Moors), while the Arabs and Persians at Baghdad, who had supported al-Musta'in, regarded both with equal hatred. Al-Mu'tazz put his brothers Al-Mu'eiyyad and Abu Ahmed to death. The ruler spent recklessly, causing a revolt of Turks, Africans, and Persians for their pay. Al-Mu'tazz was brutally deposed shortly thereafter. Al-Muhtadi became the next Caliph. He was firm and virtuous compared to the earlier Caliphs, though the Turks held the power. The Turks killed him soon after his ascension. Al-Mu'tamid followed, holding on for 23 years, though he was largely a ruler in name only. After the Zanj Rebellion, Al-Mu'tamid summoned al-Muwaffak to help him. Thereafter, Al-Muwaffaq ruled in all but name. The Hamdanid dynasty was founded by Hamdan ibn Hamdun when he was appointed governor of Mardin in Anatolia by the Caliphs in 890. Al-Mu'tamid later transferred authority to his son, al-Mu'tadid, and never regained power. The Tulunids became the first independent state in Islamic Egypt, when they broke away during this time. Al-Mu'tadid ably administered the Caliphate. Egypt returned to allegiance and Mesopotamia was restored to order. He was tolerant towards Shi'i, but toward the Umayyad community he was not so just. Al-Mu'tadid was cruel in his punishments, some of which are not surpassed by those of his predecessors. For example, the Kharijite leader at Mosul was paraded about Baghdad clothed in a robe of silk, of which Kharijites denounced as sinful, and then crucified. Upon Al-Mu'tadid's death, his son by a Turkish slave-girl, Al-Muktafi, succeeded to the throne. Al-Muktafi became a favourite of the people for his generosity, and for abolishing his father's secret prisons, the terror of Baghdad. During his reign, the Caliphate overcame threats such as the Carmathians. Upon Al-Muktafi's death, the vazir next chose Al-Muqtadir. Al-Muqtadir's reign was a constant succession of thirteen Vazirs, one rising on the fall or assassination of another. His long reign brought the Empire to its lowest ebb. Africa was lost, and Egypt nearly. Mosul threw off its dependence, and the Greeks raided across the undefended border. The East continued to formally recognize the Caliphate, including those who virtually claimed independence. At the end of the Early Baghdad Abbasids period, Empress Zoe Karbonopsina pressed for an armistice with Al-Muqtadir and arranged for the ransom of the Muslim prisoner while the Byzantine frontier was threatened by Bulgarians. This only added to Baghdad's disorder. Though despised by the people, Al-Muqtadir was again placed in power after upheavals. Al-Muqtadir was eventually slain outside the city gates, whereupon courtiers chose his brother al-Qahir. He was even worse. Refusing to abdicate, he was blinded and cast into prison. His son Ar-Radi took over only to experience a cascade of misfortune. Praised for his piety, he became the tool of the de facto ruling Minister, Ibn Raik (amir al-umara; 'Amir of the Amirs'). Ibn Raik held the reins of government and his name was joined with the Caliph's in public prayers. Around this period, the Hanbalis, supported by popular sentiment, set up in fact a kind of 'Sunni inquisition'. Ar-Radi is commonly regarded as the last of the real Caliphs: the last to deliver orations at the Friday service, to hold assemblies, to commune with philosophers, to discuss the questions of the day, to take counsel on the affairs of State; to distribute alms, or to temper the severity of cruel officers. Thus ended the Early Baghdad Abbasids. In the late mid-930s, the Ikhshidids of Egypt carried the Arabic title "Wali" reflecting their position as governors on behalf of the Abbasids, The first governor (Muhammad bin Tughj Al-Ikhshid) was installed by the Abbasid Caliph. They gave him and his descendants the Wilayah for 30 years. The last name Ikhshid is Soghdian for "prince". Also in the 930s, 'Alī ibn Būyah and his two younger brothers, al-Hassan and Aḥmad founded the Būyid confederation. Originally a soldier in the service of the Ziyārīds of Ṭabaristān, 'Alī was able to recruit an army to defeat a Turkish general from Baghdad named Yāqūt in 934. Over the next nine years the three brothers gained control of the remainder of the caliphate, while accepting the titular authority of the caliph in Baghdad. The Būyids made large territorial gains. Fars and Jibal were conquered. Central Iraq submitted in 945, before the Būyids took Kermān (967), Oman (967), the Jazīra (979), Ṭabaristān (980), and Gorgan (981). After this the Būyids went into slow decline, with pieces of the confederation gradually breaking off and local dynasties under their rule becoming de facto independent. Middle Baghdad Abbasids Early High Middle Ages At the beginning of the Middle Baghdad Abbasids, the Caliphate had become of little importance. The amir al-umara Bajkam contented himself with dispatching his secretary to Baghdad to assemble local dignitaries to elect a successor. The choice fell on Al-Muttaqi. Bajkam was killed on a hunting party by marauding Kurds. In the ensuing anarchy in Baghdad, Ibn Raik persuaded the Caliph to flee to Mosul where he was welcomed by the Hamdanids. They assassinated Ibn Raik. Hamdanid Nasir al-Dawla advanced on Baghdad, where mercenaries and well-organised Turks repelled them. Turkish general Tuzun became amir al-umara. The Turks were staunch Sunnis. A fresh conspiracy placed the Caliph in danger. Hamdanid troops helped ad-Daula escape to Mosul and then to Nasibin. Tuzun and the Hamdanid were stalemated. Al-Muttaqi was at Raqqa, moving to Tuzun where he was deposed. Tuzun installed the blinded Caliph's cousin as successor, with the title of Al-Mustakfi. With the new Caliph, Tuzun attacked the Buwayhid dynasty and the Hamdanids. Soon after, Tuzun died, and was succeeded by one of his generals, Abu Ja'far. The Buwayhids then attacked Baghdad, and Abu Ja'far fled into hiding with the Caliph. Buwayhid Sultan Muiz ud-Daula assumed command forcing the Caliph into abject submission to the Amir. Eventually, Al-Mustakfi was blinded and deposed. The city fell into chaos, and the Caliph's palace was looted. Once the Buwayhids controlled Baghdad, Al-Muti became caliph. The office was shorn of real power and Shi'a observances were established. The Buwayhids held on Baghdad for over a century. Throughout the Buwayhid reign the Caliphate was at its lowest ebb, but was recognized religiously, except in Iberia. Buwayhid Sultan Mu'izz al-Dawla was prevented from raising a Shi'a Caliph to the throne by fear for his own safety, and fear of rebellion, in the capital and beyond. The next Caliph, Al-Ta'i, reigned over factional strife in Syria among the Fatimids, Turks, and Carmathians. The Hideaway dynasty also fractured. The Abbasid borders were the defended only by small border states. Baha' al-Dawla, the Buyid amir of Iraq, deposed al-Ta'i in 991 and proclaimed al-Qadir the new caliph. During al-Qadir's Caliphate, Mahmud of Ghazni looked after the empire. Mahmud of Ghazni, of Eastern fame, was friendly towards the Caliphs, and his victories in the Indian Empire were accordingly announced from the pulpits of Baghdad in grateful and glowing terms. Al-Qadir fostered the Sunni struggle against Shiʿism and outlawed heresies such as the Baghdad Manifesto and the doctrine that the Quran was created. He outlawed the Muʿtazila, bringing an end to the development of rationalist Muslim philosophy. During this and the next period, Islamic literature, especially Persian literature, flourished under the patronage of the Buwayhids. By 1000, the global Muslim population had climbed to about 4 percent of the world, compared to the Christian population of 10 percent. During Al-Qa'im's reign, the Buwayhid ruler often fled the capital and the Seljuq dynasty gained power. Toghrül overran Syria and Armenia. He then made his way into the Capital, where he was well-received both by chiefs and people. In Bahrain, the Qarmatian state collapsed in Al-Hasa. Arabia recovered from the Fatimids and again acknowledged the spiritual jurisdiction of the Abbasids. Al-Muqtadi was honoured by the Seljuq Sultan Malik-Shah I, during whose reign the Caliphate was recognized throughout the extending range of Seljuq conquest. The Sultan was critical of the Caliph's interference in affairs of state, but died before deposing the last of the Middle Baghdad Abbasids. Late Baghdad Abbasids Late High Middle Ages The Late Baghdad Abbasids reigned from the beginning of the Crusades to the Seventh Crusade. The first Caliph was Al-Mustazhir. He was politically irrelevant, despite civil strife at home and the First Crusade in Syria. Raymond IV of Toulouse attempted to attack Baghdad, losing at the Battle of Manzikert. The global Muslim population climbed to about 5 per cent as against the Christian population of 11 per cent by 1100. Jerusalem was captured by crusaders who massacred its inhabitants. Preachers travelled throughout the caliphate proclaiming the tragedy and rousing men to recover the Al-Aqsa Mosque from the Franks (European Crusaders). Crowds of exiles rallied for war against the infidel. Neither the Sultan nor the Caliph sent an army west. Al-Mustarshid achieved more independence while the sultan Mahmud II of Great Seljuq was engaged in war in the East. The Banu Mazyad (Mazyadid State) general, Dubays ibn Sadaqa (emir of Al-Hilla), plundered Bosra and attacked Baghdad together with a young brother of the sultan, Ghiyath ad-Din Mas'ud. Dubays was crushed by a Seljuq army under Zengi, founder of the Zengid dynasty. Mahmud's death was followed by a civil war between his son Dawud, his nephew Mas'ud and the atabeg Toghrul II. Zengi was recalled to the East, stimulated by the Caliph and Dubays, where he was beaten. The Caliph then laid siege to Mosul for three months without success, resisted by Mas'ud and Zengi. It was nonetheless a milestone in the caliphate's military revival. After the siege of Damascus (1134), Zengi undertook operations in Syria. Al-Mustarshid attacked sultan Mas'ud of western Seljuq and was taken prisoner. He was later found murdered. His son, Al-Rashid failed to gain independence from Seljuq Turks. Zengi, because of the murder of Dubays, set up a rival Sultanate. Mas'ud attacked; the Caliph and Zengi, hopeless of success, escaped to Mosul. The Sultan regained power, a council was held, the Caliph was deposed, and his uncle, son of Al-Muqtafi, appointed as the new Caliph. Ar-Rashid fled to Isfahan and was killed by Hashshashins. Continued disunion and contests between Seljuq Turks allowed al-Muqtafi to maintain control in Baghdad and to extend it throughout Iraq. In 1139, al-Muqtafi granted protection to the Nestorian patriarch Abdisho III. While the Crusade raged, the Caliph successfully defended Baghdad against Muhammad II of Seljuq in the Siege of Baghdad (1157). The Sultan and the Caliph dispatched men in response to Zengi's appeal, but neither the Seljuqs, nor the Caliph, nor their Amirs, dared resist the Crusaders. The next caliph, Al-Mustanjid, saw Saladin extinguish the Fatimid dynasty after 260 years, and thus the Abbasids again prevailed. Al-Mustadi reigned when Saladin become the sultan of Egypt and declared allegiance to the Abbasids. An-Nasir, "The Victor for the Religion of God", attempted to restore the Caliphate to its ancient dominant role. He consistently held Iraq from Tikrit to the Gulf without interruption. His forty-seven-year reign was chiefly marked by ambitious and corrupt dealings with the Tartar chiefs, and by his hazardous invocation of the Mongols, which ended his dynasty. His son, Az-Zahir, was Caliph for a short period before his death and An-Nasir's grandson, Al-Mustansir, was made caliph. Al-Mustansir founded the Mustansiriya Madrasah. In 1236 Ögedei Khan commanded to raise up Khorassan and populated Herat. The Mongol military governors mostly made their camp in Mughan plain, Azerbaijan. The rulers of Mosul and Cilician Armenia surrendered. Chormaqan divided the South Caucasus region into three districts based on military hierarchy. In Georgia, the population were temporarily divided into eight tumens. By 1237 the Mongol Empire had subjugated most of Persia, excluding Abbasid Iraq and Ismaili strongholds, and all of Afghanistan and Kashmir. Al-Musta'sim was the last Abbasid Caliph in Baghdad and is noted for his opposition to the rise of Shajar al-Durr to the Egyptian throne during the Seventh Crusade. To the east, Mongol forces under Hulagu Khan swept through the Transoxiana and Khorasan. Baghdad was sacked and the caliph deposed soon afterwards. The Mamluk sultans and Syria later appointed a powerless Abbasid Caliph in Cairo. Caliph of Cairo (1261–1517) The "shadow" caliph of Cairo Late Middle Ages The Abbasid "shadow" caliph of Cairo reigned under the tutelage of the Mamluk sultans and nominal rulers used to legitimize the actual rule of the Mamluk sultans. All the Cairene Abbasid caliphs who preceded or succeeded Al-Musta'in were spiritual heads lacking any temporal power. Al-Musta'in was the only Cairo-based Abbasid caliph to even briefly hold political power. Al-Mutawakkil III was the last "shadow" caliph. In 1517, Ottoman sultan Selim I defeated the Mamluk Sultanate, and made Egypt part of the Ottoman Empire. Fatimid Caliphate The Fatimids originated in Ifriqiya (modern-day Tunisia and eastern Algeria). The dynasty was founded in 909 by ʻAbdullāh al-Mahdī Billah, who legitimized his claim through descent from Muhammad by way of his daughter Fātima as-Zahra and her husband ʻAlī ibn-Abī-Tālib, the first Shīʻa Imām, hence the name al-Fātimiyyūn "Fatimid". The Fatamids and the Zaydis at the time, used the Hanafi jurisprudence, as did most Sunnis. Abdullāh al-Mahdi's control soon extended over all of central Maghreb, an area consisting of the modern countries of Morocco, Algeria, Tunisia and Libya, which he ruled from Mahdia, his capital in Tunisia. The Fatimids entered Egypt in the late 10th century, conquering the Ikhshidid dynasty and founding a capital at al-Qāhira(Cairo) in 969. The name was a reference to the planet Mars, "The Subduer", which was prominent in the sky at the moment that city construction started. Cairo was intended as a royal enclosure for the Fatimid caliph and his army, though the actual administrative and economic capital of Egypt was in cities such as Fustat until 1169. After Egypt, the Fatimids continued to conquer surrounding areas until they ruled from Tunisia to Syria and even crossed the Mediterranean into Sicily and southern Italy. Under the Fatimids, Egypt became the center of an empire that included at its peak North Africa, Sicily, Palestine, Lebanon, Syria, the Red Sea coast of Africa, Yemen and the Hejaz. Egypt flourished, and the Fatimids developed an extensive trade network in both the Mediterranean and the Indian Ocean. Their trade and diplomatic ties extended all the way to China and its Song dynasty, which determined the economic course of Egypt during the High Middle Ages. Unlike other governments in the area, Fatimid advancement in state offices was based more on merit than heredity. Members of other branches of Islam, including Sunnis, were just as likely to be appointed to government posts as Shiites. Tolerance covered non-Muslims such as Christians and Jews; they took high levels in government based on ability. There were, however, exceptions to this general attitude of tolerance, notably Al-Hakim bi-Amr Allah. The Fatimid palace was in two parts. It was in the Khan el-Khalili area at Bin El-Quasryn street. Fatimid caliphs Early and High Middle Ages Also see: Cairo Abbasid Caliphs (above) During the beginning of the Middle Baghdad Abbasids, the Fatimid Caliphs claimed spiritual supremacy not only in Egypt, but also contested the religious leadership of Syria. At the beginning of the Abbasid realm in Baghdad, the Alids faced severe persecution by the ruling party as they were a direct threat to the Caliphate. Owing to the Abbasid inquisitions, the forefathers opted for concealment of the Dawa's existence. Subsequently, they travelled towards the Iranian Plateau and distanced themselves from the epicenter of the political world. Al Mahdi's father, Al Husain al Mastoor returned to control the Dawa's affairs. He sent two Dai's to Yemen and Western Africa. Al Husain died soon after the birth of his son, Al Mahdi. A system of government helped update Al Mahdi on the development which took place in North Africa. Al Mahdi Abdullah al-Mahdi Billah established the first Imam of the Fatimid dynasty. He claimed genealogic origins dating as far back as Fatimah through Husayn and Ismail. Al Mahdi established his headquarters at Salamiyah and moved towards north-western Africa, under Aghlabid rule. His success of laying claim to being the precursor to the Mahdi was instrumental among the Berber tribes of North Africa, specifically the Kutamah tribe. Al Mahdi established himself at the former Aghlabid residence at Raqqadah, a suburb of Al-Qayrawan in Tunisia. In 920, Al Mahdi took up residence at the newly established capital of the empire, Al-Mahdiyyah. After his death, Al Mahdi was succeeded by his son, Abu Al-Qasim Muhammad Al-Qaim, who continued his expansionist policy. At the time of his death he had extended his reign to Morocco of the Idrisids, as well as Egypt itself.The Fatimid Caliphate grew to include Sicily and to stretch across North Africa from the Atlantic Ocean to Libya. Abdullāh al-Mahdi's control soon extended over all of central Maghreb, an area consisting of the modern countries of Morocco, Algeria, Tunisia, and Libya, which he ruled from Mahdia, in Tunisia. Newly built capital Al-Mansuriya, or Mansuriyya (), near Kairouan, Tunisia, was the capital of the Fatimid Caliphate during the rules of the Imams Al-Mansur Billah (r. 946–953) and Al-Mu'izz li-Din Allah (r. 953–975). The Fatimid general Jawhar conquered Egypt in 969, and he built a new palace city there, near Fusṭāt, which he also called al-Manṣūriyya. Under Al-Muizz Lideenillah, the Fatimids conquered the Ikhshidid Wilayah (see Fatimid Egypt), founding a new capital at al-Qāhira (Cairo) in 969. The name was a reference to the planet Mars, "The Subduer", which was prominent in the sky at the moment that city construction started. Cairo was intended as a royal enclosure for the Fatimid caliph and his army, though the actual administrative and economic capital of Egypt was in cities such as Fustat until 1169. After Egypt, the Fatimids continued to conquer the surrounding areas until they ruled from Tunisia to Syria, as well as Sicily. Under the Fatimids, Egypt became the center of an empire that included at its peak North Africa, Sicily, Palestine, Jordan, Lebanon, Syria, the Red Sea coast of Africa, Tihamah, Hejaz, and Yemen. Egypt flourished, and the Fatimids developed an extensive trade network in both the Mediterranean and the Indian Ocean. Their trade and diplomatic ties extended all the way to China and its Song Dynasty, which eventually determined the economic course of Egypt during the High Middle Ages. After the eighteenth Imam, al-Mustansir Billah, the Nizari sect believed that his son Nizar was his successor, while another Ismāʿīlī branch known as the Mustaali (from whom the Dawoodi Bohra would eventually descend), supported his other son, al-Musta'li. The Fatimid dynasty continued with al-Musta'li as both Imam and Caliph, and that joint position held until the 20th Imam, al-Amir bi-Ahkami l-Lah (1132). At the death of Imam Amir, one branch of the Mustaali faith claimed that he had transferred the imamate to his son at-Tayyib Abi l-Qasim, who was then two years old. After the decay of the Fatimid political system in the 1160s, the Zengid ruler Nūr ad-Dīn had his general, Shirkuh, seized Egypt from the vizier Shawar in 1169. Shirkuh died two months after taking power, and the rule went to his nephew, Saladin. This began the Ayyubid Sultanate of Egypt and Syria. Crusades Beginning in the 8th century, the Iberian Christian kingdoms had begun the Reconquista aimed at retaking Al-Andalus from the Moors. In 1095, Pope Urban II, inspired by the conquests in Spain by Christian forces and implored by the eastern Roman emperor to help defend Christianity in the East, called for the First Crusade from Western Europe which captured Edessa, Antioch, County of Tripoli and Jerusalem. In the early period of the Crusades, the Christian Kingdom of Jerusalem emerged and for a time controlled Jerusalem. The Kingdom of Jerusalem and other smaller Crusader kingdoms over the next 90 years formed part of the complicated politics of the Levant, but did not threaten the Islamic Caliphate nor other powers in the region. After Shirkuh ended Fatimid rule in 1169, uniting it with Syria, the Crusader kingdoms were faced with a threat, and his nephew Saladin reconquered most of the area in 1187, leaving the Crusaders holding a few ports. In the Third Crusade armies from Europe failed to recapture Jerusalem, though Crusader states lingered for several decades, and other crusades followed. The Christian Reconquista continued in Al-Andalus, and was eventually completed with the fall of Granada in 1492. During the low period of the Crusades, the Fourth Crusade was diverted from the Levant and instead took Constantinople, leaving the Eastern Roman Empire (now the Byzantine Empire) further weakened in their long struggle against the Turkish peoples to the east. However, the crusaders did manage to damage Islamic caliphates; according to William of Malmesbury, preventing them from further expansion into Christendom and being targets of the Mamluks and the Mongols. Ayyubid dynasty The Ayyubid dynasty was founded by Saladin and centered in Egypt. In 1174, Saladin proclaimed himself Sultan and conquered the Near East region. The Ayyubids ruled much of the Middle East during the 12th and 13th centuries, controlling Egypt, Syria, northern Mesopotamia, Hejaz, Yemen, and the North African coast up to the borders of modern-day Tunisia. After Saladin, his sons contested control over the sultanate, but Saladin's brother al-Adil eventually established himself in 1200. In the 1230s, Syria's Ayyubid rulers attempted to win independence from Egypt and remained divided until Egyptian Sultan as-Salih Ayyub restored Ayyubid unity by taking over most of Syria, excluding Aleppo, by 1247. In 1250, the dynasty in the Egyptian region was overthrown by slave regiments. A number of attempts to recover it failed, led by an-Nasir Yusuf of Aleppo. In 1260, the Mongols sacked Aleppo and wrested control of what remained of the Ayyubid territories soon after. Sultans of Egypt Sultans and Amirs of Damascus Emirs of Aleppo Mongol period Mongol invasions and conquests While the Abbasid Caliphate suffered a decline following the reign of Al-Wathiq (842–847) and Al-Mu'tadid (892–902), the Mongol Empire put an end to the Abbasid dynasty in 1258. The Mongols spread throughout Central Asia and Persia; the Persian city of Isfahan had fallen to them by 1237. The Ilkhans of Chingisid descendence claimed to be defenders of Islam, perhaps even the heirs of the Abbasid Caliphate. Some Sufi Muslim writers, like Aflaki and Abu Bakr Rumi, were favourably impressed by the Mongols' conquest of Islamic states and subjugation of Muslim rulers to their military and political power, considering their invasions and expansion as a legitimate divine punishment from God, as the Mongols and Turkic peoples from the Eurasian Steppe were regarded as more pious than the Muslim scholars, ascetics, and muftis of their time. During this era, the Persian Sufi poet and mystic Jalaluddin Rumi (1207–1273) wrote his masterpiece, the Masnavi, which he believed to be "sent down" from God and understood it as the proper explanation of the Quran (tafsīr). According to various modern scholars, the majority of Mongols and Turkic peoples converted to Islam filtered through the mediation of Persian and Central Asian culture, as well as through the preaching of Sufi Muslim wandering ascetics and mystics (fakirs and dervishes), between the 10th and 14th centuries. Turkic and Mongol converts to Islam found similarities between the practices of the extreme, ascetic Sufis and those of Turco-Mongol Shamans. Turkic and Mongol Muslims incorporated elements of their indigenous religion, the traditional Turco-Mongol Shamanism, within the Turkic synthesis of Islam, which to this date differs significantly from the Islamic religion as practised among other Muslim societies, and became a part of a new Islamic interpretation. In recent years, the idea of syncretism between indigenous Turco-Mongol Shamanism and Islam has been challenged. Given the lack of authority to define or enforce an "orthodox" doctrine about Islam, some modern scholars argue that, before the 16th century, Islam had no prescribed beliefs, only prescribed practices. Therefore, integrating parts of pre-Islamic and indigenous Turco-Mongol Shamanism into the monotheistic Islamic faith was pretty common and not heterodox among Turkic and Mongol peoples. Although Shamanistic influences already occurred during the Battle of Talas (752), Muslim heresiographers never mentioned Shamans. One major change was in the status of women. Unlike Arab culture, the Turco-Mongol
its peak, during the reign of Muršili II, the Hittite empire stretched from Arzawa in the west to Mitanni in the east, many of the Kaskian territories to the north including Hayasa-Azzi in the far north-east, and on south into Canaan approximately as far as the southern border of Lebanon, incorporating all of these territories within its domain. History Origins It is generally assumed that ancestors of the Hittites came into Anatolia some time before 2000 BC, as Hittite language is known to have taken place in Anatolia between 20th and 12th centuries BC. While their earlier location is disputed, it has been speculated by scholars for more than a century that the Yamnaya culture of the Pontic–Caspian steppe, in present-day Ukraine, around the Sea of Azov, spoke an early Indo-European language during the third and fourth millennia BC. The arrival of the Hittites in Anatolia in the Bronze Age was one of a superstrate imposing itself on a native culture (in this case over the pre-existing Hattians and Hurrians), either by means of conquest or by gradual assimilation. In archaeological terms, relationships of the Hittites to the Ezero culture of the Balkans and Maykop culture of the Caucasus have been considered within the migration framework. The Indo-European element at least establishes Hittite culture as intrusive to Anatolia in the scholarly mainstream. According to David W. Anthony, steppe herders, archaic Proto-Indo-European speakers, spread into the lower Danube valley about 4200–4000 BC, either causing or taking advantage of the collapse of Old Europe. Their languages "probably included archaic Proto-Indo-European dialects of the kind partly preserved later in Anatolian." Their descendants later moved into Anatolia at an unknown time but maybe as early as 3000 BC. According to J. P. Mallory it is likely that the Anatolians reached the Near East from the north either via the Balkans or the Caucasus in the 3rd millennium BC. According to Parpola, the appearance of Indo-European speakers from Europe into Anatolia, and the appearance of Hittite, is related to later migrations of Proto-Indo-European speakers from the Yamnaya culture into the Danube Valley at c. 2800 BC, which is in line with the "customary" assumption that the Anatolian Indo-European language was introduced into Anatolia sometime in the third millennium BC. However, Petra Goedegebuure has shown that the Hittite language has borrowed many words related to agriculture from cultures on their eastern borders, which is strong evidence of having taken a route across the Caucasus and against a route through Europe. Their movement into the region may have set off a Near East mass migration sometime around 1900 BC. The dominant indigenous inhabitants in central Anatolia at the time were Hurrians and Hattians who spoke non-Indo-European languages. Some have argued that Hattic was a Northwest Caucasian language, but its affiliation remains uncertain, whilst the Hurrian language was a near-isolate (i.e. it was one of only two or three languages in the Hurro-Urartian family). There were also Assyrian colonies in the region during the Old Assyrian Empire (2025–1750 BC); it was from the Assyrian speakers of Upper Mesopotamia that the Hittites adopted the cuneiform script. It took some time before the Hittites established themselves following the collapse of the Old Assyrian Empire in the mid-18th century BC, as is clear from some of the texts included here. For several centuries there were separate Hittite groups, usually centered on various cities. But then strong rulers with their center in Hattusa (modern Boğazkale) succeeded in bringing these together and conquering large parts of central Anatolia to establish the Hittite kingdom. Early period The early history of the Hittite kingdom is known through tablets that may first have been written in the 18th century BC, in Hittite; but most of the tablets survived only as Akkadian copies made in the 14th and 13th centuries BC. These reveal a rivalry within two branches of the royal family up to the Middle Kingdom; a northern branch first based in Zalpuwa and secondarily Hattusa, and a southern branch based in Kussara (still not found) and the former Assyrian colony of Kanesh. These are distinguishable by their names; the northerners retained language isolate Hattian names, and the southerners adopted Indo-European Hittite and Luwian names. Zalpuwa first attacked Kanesh under Uhna in 1833 BC. And during this kārum period, when the merchant colony of the Old Assyrian Empire was flourishing in the site, and before the conquest of Pithana, the following local kings reigned in Kaneš: Ḫurmili (prior to 1790 BC), Paḫanu (a short time in 1790 BC), Inar (c. 1790–1775 BC), and Waršama (c. 1775–1750 BC). One set of tablets, known collectively as the Anitta text, begin by telling how Pithana the king of Kussara conquered neighbouring Neša (Kanesh), this conquest took place around 1750 BC. However, the real subject of these tablets is Pithana's son Anitta ( BC), who continued where his father left off and conquered several northern cities: including Hattusa, which he cursed, and also Zalpuwa. This was likely propaganda for the southern branch of the royal family, against the northern branch who had fixed on Hattusa as capital. Another set, the Tale of Zalpuwa, supports Zalpuwa and exonerates the later Ḫattušili I from the charge of sacking Kanesh. Anitta was succeeded by Zuzzu ( BC); but sometime in 1710–1705 BC, Kanesh was destroyed, taking the long-established Assyrian merchant trading system with it. A Kussaran noble family survived to contest the Zalpuwan/Hattusan family, though whether these were of the direct line of Anitta is uncertain. Meanwhile, the lords of Zalpa lived on. Huzziya I, descendant of a Huzziya of Zalpa, took over Hatti. His son-in-law Labarna I, a southerner from Hurma (now Kalburabastı) usurped the throne but made sure to adopt Huzziya's grandson Ḫattušili as his own son and heir. Old Kingdom The founding of the Hittite Kingdom is attributed to either Labarna I or Hattusili I (the latter might also have had Labarna as a personal name), who conquered the area south and north of Hattusa. Hattusili I campaigned as far as the Semitic Amorite kingdom of Yamkhad in Syria, where he attacked, but did not capture, its capital of Aleppo. Hattusili I did eventually capture Hattusa and was credited for the foundation of the Hittite Empire. According to The Edict of Telepinu, dating to the 16th century BC, "Hattusili was king, and his sons, brothers, in-laws, family members, and troops were all united. Wherever he went on campaign he controlled the enemy land with force. He destroyed the lands one after the other, took away their power, and made them the borders of the sea. When he came back from campaign, however, each of his sons went somewhere to a country, and in his hand the great cities prospered. But, when later the princes' servants became corrupt, they began to devour the properties, conspired constantly against their masters, and began to shed their blood." This excerpt from the edict is supposed to illustrate the unification, growth, and prosperity of the Hittites under his rule. It also illustrates the corruption of "the princes", believed to be his sons. The lack of sources leads to uncertainty of how the corruption was addressed. On Hattusili I's deathbed, he chose his grandson, Mursili I (or Murshilish I), as his heir. Mursili continued the conquests of Hattusili I. In 1595 BC (middle chronology) or 1531 BC (short chronology), Mursili I conducted a great raid down the Euphrates River, bypassing Assyria, and sacking Mari and Babylon, ejecting the Amorite founders of the Babylonian state in the process. Rather than incorporate Babylonia into Hittite domains, Mursili seems to have instead turned control of Babylonia over to his Kassite allies, who were to rule it for the next four centuries. This lengthy campaign strained the resources of Hatti, and left the capital in a state of near-anarchy. Mursili was assassinated shortly after his return home, and the Hittite Kingdom was plunged into chaos. The Hurrians (under the control of an Indo-Aryan Mitanni ruling class), a people living in the mountainous region along the upper Tigris and Euphrates rivers in modern south east Turkey, took advantage of the situation to seize Aleppo and the surrounding areas for themselves, as well as the coastal region of Adaniya, renaming it Kizzuwatna (later Cilicia). Throughout the remainder of the 16th century BC, the Hittite kings were held to their homelands by dynastic quarrels and warfare with the Hurrians. Also the campaigns into Amurru (modern Syria) and southern Mesopotamia may be responsible for the reintroduction of cuneiform writing into Anatolia, since the Hittite script is quite different from that of the preceding Assyrian Colonial period. The Hittites entered a weak phase of obscure records, insignificant rulers, and reduced domains. This pattern of expansion under strong kings followed by contraction under weaker ones, was to be repeated over and over through the Hittite Kingdom's 500-year history, making events during the waning periods difficult to reconstruct. The political instability of these years of the Old Hittite Kingdom can be explained in part by the nature of the Hittite kingship at that time. During the Old Hittite Kingdom prior to 1400 BC, the king of the Hittites was not viewed by his subjects as a "living god" like the Pharaohs of Egypt, but rather as a first among equals. Only in the later period from 1400 BC until 1200 BC did the Hittite kingship become more centralized and powerful. Also in earlier years the succession was not legally fixed, enabling "War of the Roses" style rivalries between northern and southern branches. The next monarch of note following Mursili I was Telepinu (c. 1500 BC), who won a few victories to the southwest, apparently by allying himself with one Hurrian state (Kizzuwatna) against another (Mitanni). Telepinu also attempted to secure the lines of succession. Middle Kingdom The last monarch of the Old kingdom, Telepinu, reigned until about 1500 BC. Telepinu's reign marked the end of the "Old Kingdom" and the beginning of the lengthy weak phase known as the "Middle Kingdom". The period of the 15th century BC is largely unknown with very sparse surviving records. Part of the reason for both the weakness and the obscurity is that the Hittites were under constant attack, mainly from the Kaska, a non-Indo-European people settled along the shores of the Black Sea. The capital once again went on the move, first to Sapinuwa and then to Samuha. There is an archive in Sapinuwa, but it has not been adequately translated to date. It segues into the "Hittite Empire period" proper, which dates from the reign of Tudhaliya I from c. 1430 BC. One innovation that can be credited to these early Hittite rulers is the practice of conducting treaties and alliances with neighboring states; the Hittites were thus among the earliest known pioneers in the art of international politics and diplomacy. This is also when the Hittite religion adopted several gods and rituals from the Hurrians. New Kingdom With the reign of Tudhaliya I (who may actually not have been the first of that name; see also Tudhaliya), the Hittite Kingdom re-emerged from the fog of obscurity. Hittite civilization entered the period of time called the "Hittite Empire period". Many changes were afoot during this time, not the least of which was a strengthening of the kingship. Settlement of the Hittites progressed in the Empire period. However, the Hittite people tended to settle in the older lands of south Anatolia rather than the lands of the Aegean. As this settlement progressed, treaties were signed with neighboring peoples. During the Hittite Empire period the kingship became hereditary and the king took on a "superhuman aura" and began to be referred to by the Hittite citizens as "My Sun". The kings of the Empire period began acting as a high priest for the whole kingdommaking an annual tour of the Hittite holy cities, conducting festivals and supervising the upkeep of the sanctuaries. During his reign (c. 1400 BC), King Tudhaliya I, again allied with Kizzuwatna, then vanquished the Hurrian states of Aleppo and Mitanni, and expanded to the west at the expense of Arzawa (a Luwian state). Another weak phase followed Tudhaliya I, and the Hittites' enemies from all directions were able to advance even to Hattusa and raze it. However, the Kingdom recovered its former glory under Šuppiluliuma I (c. 1350 BC), who again conquered Aleppo, Mitanni was reduced to vassalage by the Assyrians under his son-in-law, and he defeated Carchemish, another Amorite city-state. With his own sons placed over all of these new conquests, Babylonia still in the hands of the allied Kassites, this left Šuppiluliuma the supreme power broker in the known world, alongside Assyria and Egypt, and it was not long before Egypt was seeking an alliance by marriage of another of his sons with the widow of Tutankhamen. Unfortunately, that son was evidently murdered before reaching his destination, and this alliance was never consummated. However, the Middle Assyrian Empire (1365–1050 BC) once more began to grow in power also, with the ascension of Ashur-uballit I in 1365 BC. Ashur-uballit I attacked and defeated Mattiwaza the Mitanni king despite attempts by the Hittite king Šuppiluliuma I, now fearful of growing Assyrian power, attempting to preserve his throne with military support. The lands of the Mitanni and Hurrians were duly appropriated by Assyria, enabling it to encroach on Hittite territory in eastern Asia Minor, and Adad-nirari I annexed Carchemish and north east Syria from the control of the Hittites. After Šuppiluliuma I, and a very brief reign by his eldest son, another son, Mursili II became king (c. 1330 BC). Having inherited a position of strength in the east, Mursili was able to turn his attention to the west, where he attacked Arzawa and a city known as Millawanda (Miletus), which was under the control of Ahhiyawa. More recent research based on new readings and interpretations of the Hittite texts, as well as of the material evidence for Mycenaean contacts with the Anatolian mainland, came to the conclusion that Ahhiyawa referred to Mycenaean Greece, or at least to a part of it. Battle of Kadesh Hittite prosperity was mostly dependent on control of the trade routes and metal sources. Because of the importance of Northern Syria to the vital routes linking the Cilician gates with Mesopotamia, defense of this area was crucial, and was soon put to the test by Egyptian expansion under Pharaoh Ramesses II. The outcome of the battle is uncertain, though it seems that the timely arrival of Egyptian reinforcements prevented total Hittite victory. The Egyptians forced the Hittites to take refuge in the fortress of Kadesh, but their own losses prevented them from sustaining a siege. This battle took place in the 5th year of Ramesses (c. 1274 BC by the most commonly used chronology). Downfall and demise of the Kingdom After this date, the power of both the Hittites and Egyptians began to decline yet again because of the power of the Assyrians. The Assyrian king Shalmaneser I had seized the opportunity to vanquish Hurria and Mitanni, occupy their lands, and expand up to the head of the Euphrates in Anatolia and into Babylonia, Ancient Iran, Aram (Syria), Canaan (Palestine) and Phoenicia, while Muwatalli was preoccupied with the Egyptians. The Hittites had vainly tried to preserve the Mitanni kingdom with military support. Assyria now posed just as great a threat to Hittite trade routes as Egypt ever had. Muwatalli's son, Urhi-Teshub, took the throne and ruled as king for seven years as Mursili III before being ousted by his uncle, Hattusili III after a brief civil war. In response to increasing Assyrian annexation of Hittite territory, he concluded a peace and alliance with Ramesses II (also fearful of Assyria), presenting his daughter's hand in marriage to the Pharaoh. The "Treaty of Kadesh", one of the oldest completely surviving treaties in history, fixed their mutual boundaries in southern Canaan, and was signed in the 21st year of Rameses (c. 1258 BC). Terms of this treaty included the marriage of one of the Hittite princesses to Ramesses. Hattusili's son, Tudhaliya IV, was the last strong Hittite king able to keep the Assyrians out of the Hittite heartland to some degree at least, though he too lost much territory to them, and was heavily defeated by Tukulti-Ninurta I of Assyria in the Battle of Nihriya. He even temporarily annexed the Greek island of Cyprus, before that too fell to Assyria. The last king, Šuppiluliuma II also managed to win some victories, including a naval battle against Alashiya off the coast of Cyprus. But the Assyrians, under Ashur-resh-ishi I had by this time annexed much Hittite territory in Asia Minor and Syria, driving out and defeating the Babylonian king Nebuchadnezzar I in the process, who also had eyes on Hittite lands. The Sea Peoples had already begun their push down the Mediterranean coastline, starting from the Aegean, and continuing all the way to Canaan, founding the state of Philistiataking Cilicia and Cyprus away from the Hittites en route and cutting off their coveted trade routes. This left the Hittite homelands vulnerable to attack from all directions, and Hattusa was burnt to the ground sometime around 1180 BC following a combined onslaught from new waves of invaders: the Kaskas, Phrygians and Bryges. The Hittite Kingdom thus vanished from historical records, much of the territory being seized by Assyria. Alongside with these attacks, many internal issues also led to the end of the Hittite kingdom. The end of the kingdom was part of the larger Bronze Age Collapse. Post-Hittite period By 1160 BC, the political situation in Asia Minor looked vastly different from that of only 25 years earlier. In that year, the Assyrian king Tiglath-Pileser I was defeating the Mushki (Phrygians) who had been attempting to press into Assyrian colonies in southern Anatolia from the Anatolian highlands, and the Kaska people, the Hittites' old enemies from the northern hill-country between Hatti and the Black Sea, seem to have joined them soon after. The Phrygians had apparently overrun Cappadocia from the West, with recently discovered epigraphic evidence confirming their origins as the Balkan "Bryges" tribe, forced out by the Macedonians. Although the Hittite kingdom disappeared from Anatolia at this point, there emerged a number of so-called Syro-Hittite states in Anatolia and northern Syria. They were the successors of the Hittite Kingdom. The most notable Syro-Hittite kingdoms were those at Carchemish and Melid. These Syro-Hittite states gradually fell under the control of the Neo-Assyrian Empire (911–608 BC). Carchemish and Melid were made vassals of Assyria under Shalmaneser III (858–823 BC), and fully incorporated into Assyria during the reign of Sargon II (722–705 BC). A large and powerful state known as Tabal occupied much of southern Anatolia. Known as Greek Tibarenoi (), Latin Tibareni, Thobeles in Josephus, their language may have been Luwian, testified to by monuments written using Anatolian hieroglyphs. This state too was conquered and incorporated into the vast Neo-Assyrian Empire. Ultimately, both Luwian hieroglyphs and cuneiform were rendered obsolete by an innovation, the alphabet, which seems to have entered Anatolia simultaneously from the Aegean (with the Bryges, who changed their name to Phrygians), and from the Phoenicians and neighboring peoples in Syria. Government The earliest known Constitutional Monarchy was developed by the Hittites. The head of the Hittite state was the king, followed by the heir-apparent. The king was the supreme ruler of the land, in charge of being a military commander, judicial authority, as well as a high priest. However, some officials exercised independent authority over various branches of the government. One of the most important of these posts in the Hittite society was that of the gal mesedi (Chief of the Royal Bodyguards). It was superseded by the rank of the gal gestin (Chief of the Wine Stewards), who, like the gal mesedi, was generally a member of the royal family. The kingdom's bureaucracy was headed by the gal dubsar (Chief of the Scribes), whose authority didn't extend over the Lugal Dubsar, the king's personal scribe. Egyptian monarchs engaged in diplomacy with two chief Hittite seats, located at Kadesh (a city located on the Orontes River) and Carchemish (located on the Euphrates river in Southern Anatolia). Religion in Early Hittite Government to establish control In the Central Anatolian settlement of Ankuwa, home of the pre-Hittite goddess Kattaha and the worship of other Hattic deities illustrates the ethnic differences in the areas the Hittites tried to control. Kattaha was originally given the name Hannikkun. The usage of the term Kattaha over Hannikkun, according to Ronald Gorny (head of the Alisar regional project in Turkey), was a device to downgrade the pre-Hittite identity of this female deity, and to bring her more in touch with the Hittite tradition. Their reconfiguration of Gods throughout their early history such as with Kattaha was a way of legitimizing their authority and to avoid conflicting ideologies in newly included regions and settlements. By transforming local deities to fit their own customs, the Hittites hoped that the traditional beliefs of these communities would understand and accept the changes to become better suited for the Hittite political and economic goals. Political dissent in the Old Kingdom In 1595 BC, King Mursili I () marched into the city of Babylon and sacked the city. Due to fear of revolts at home he did not remain there long, quickly returning to his capital of Hattusa. On his journey back to Hattusa, he was assassinated by his brother-in-law Hantili I, who then took the throne. Hantili was able to escape multiple murder attempts on himself, however, his family did not. His wife, Harapsili and her son were murdered. In addition, other members of the royal family were killed by Zidanta I, who was then murdered by his own son, Ammunna. All of the internal unrest among the Hittite royal family led to a decline of power. This led to surrounding kingdoms, such as the Hurrians, to have success against Hittite forces and be the center of power in the Anatolian region. The Pankus King Telipinu (reigned BC) is considered to be the last king of the Old Kingdom of the Hittites. He seized power during a dynastic power struggle. During his reign, he wanted to take care of lawlessness and regulate royal succession. He then issued the Edict of Telipinus. In this edict, he designated the Pankus, which was a 'general assembly' that acted as a high court. Crimes such as murder were observed and judged by the Pankus. Kings themselves were also subject to jurisdiction under the Pankus. The Pankus also served as an advisory council for the king. The rules and regulations set out by the edict, and the establishment
to the west at the expense of Arzawa (a Luwian state). Another weak phase followed Tudhaliya I, and the Hittites' enemies from all directions were able to advance even to Hattusa and raze it. However, the Kingdom recovered its former glory under Šuppiluliuma I (c. 1350 BC), who again conquered Aleppo, Mitanni was reduced to vassalage by the Assyrians under his son-in-law, and he defeated Carchemish, another Amorite city-state. With his own sons placed over all of these new conquests, Babylonia still in the hands of the allied Kassites, this left Šuppiluliuma the supreme power broker in the known world, alongside Assyria and Egypt, and it was not long before Egypt was seeking an alliance by marriage of another of his sons with the widow of Tutankhamen. Unfortunately, that son was evidently murdered before reaching his destination, and this alliance was never consummated. However, the Middle Assyrian Empire (1365–1050 BC) once more began to grow in power also, with the ascension of Ashur-uballit I in 1365 BC. Ashur-uballit I attacked and defeated Mattiwaza the Mitanni king despite attempts by the Hittite king Šuppiluliuma I, now fearful of growing Assyrian power, attempting to preserve his throne with military support. The lands of the Mitanni and Hurrians were duly appropriated by Assyria, enabling it to encroach on Hittite territory in eastern Asia Minor, and Adad-nirari I annexed Carchemish and north east Syria from the control of the Hittites. After Šuppiluliuma I, and a very brief reign by his eldest son, another son, Mursili II became king (c. 1330 BC). Having inherited a position of strength in the east, Mursili was able to turn his attention to the west, where he attacked Arzawa and a city known as Millawanda (Miletus), which was under the control of Ahhiyawa. More recent research based on new readings and interpretations of the Hittite texts, as well as of the material evidence for Mycenaean contacts with the Anatolian mainland, came to the conclusion that Ahhiyawa referred to Mycenaean Greece, or at least to a part of it. Battle of Kadesh Hittite prosperity was mostly dependent on control of the trade routes and metal sources. Because of the importance of Northern Syria to the vital routes linking the Cilician gates with Mesopotamia, defense of this area was crucial, and was soon put to the test by Egyptian expansion under Pharaoh Ramesses II. The outcome of the battle is uncertain, though it seems that the timely arrival of Egyptian reinforcements prevented total Hittite victory. The Egyptians forced the Hittites to take refuge in the fortress of Kadesh, but their own losses prevented them from sustaining a siege. This battle took place in the 5th year of Ramesses (c. 1274 BC by the most commonly used chronology). Downfall and demise of the Kingdom After this date, the power of both the Hittites and Egyptians began to decline yet again because of the power of the Assyrians. The Assyrian king Shalmaneser I had seized the opportunity to vanquish Hurria and Mitanni, occupy their lands, and expand up to the head of the Euphrates in Anatolia and into Babylonia, Ancient Iran, Aram (Syria), Canaan (Palestine) and Phoenicia, while Muwatalli was preoccupied with the Egyptians. The Hittites had vainly tried to preserve the Mitanni kingdom with military support. Assyria now posed just as great a threat to Hittite trade routes as Egypt ever had. Muwatalli's son, Urhi-Teshub, took the throne and ruled as king for seven years as Mursili III before being ousted by his uncle, Hattusili III after a brief civil war. In response to increasing Assyrian annexation of Hittite territory, he concluded a peace and alliance with Ramesses II (also fearful of Assyria), presenting his daughter's hand in marriage to the Pharaoh. The "Treaty of Kadesh", one of the oldest completely surviving treaties in history, fixed their mutual boundaries in southern Canaan, and was signed in the 21st year of Rameses (c. 1258 BC). Terms of this treaty included the marriage of one of the Hittite princesses to Ramesses. Hattusili's son, Tudhaliya IV, was the last strong Hittite king able to keep the Assyrians out of the Hittite heartland to some degree at least, though he too lost much territory to them, and was heavily defeated by Tukulti-Ninurta I of Assyria in the Battle of Nihriya. He even temporarily annexed the Greek island of Cyprus, before that too fell to Assyria. The last king, Šuppiluliuma II also managed to win some victories, including a naval battle against Alashiya off the coast of Cyprus. But the Assyrians, under Ashur-resh-ishi I had by this time annexed much Hittite territory in Asia Minor and Syria, driving out and defeating the Babylonian king Nebuchadnezzar I in the process, who also had eyes on Hittite lands. The Sea Peoples had already begun their push down the Mediterranean coastline, starting from the Aegean, and continuing all the way to Canaan, founding the state of Philistiataking Cilicia and Cyprus away from the Hittites en route and cutting off their coveted trade routes. This left the Hittite homelands vulnerable to attack from all directions, and Hattusa was burnt to the ground sometime around 1180 BC following a combined onslaught from new waves of invaders: the Kaskas, Phrygians and Bryges. The Hittite Kingdom thus vanished from historical records, much of the territory being seized by Assyria. Alongside with these attacks, many internal issues also led to the end of the Hittite kingdom. The end of the kingdom was part of the larger Bronze Age Collapse. Post-Hittite period By 1160 BC, the political situation in Asia Minor looked vastly different from that of only 25 years earlier. In that year, the Assyrian king Tiglath-Pileser I was defeating the Mushki (Phrygians) who had been attempting to press into Assyrian colonies in southern Anatolia from the Anatolian highlands, and the Kaska people, the Hittites' old enemies from the northern hill-country between Hatti and the Black Sea, seem to have joined them soon after. The Phrygians had apparently overrun Cappadocia from the West, with recently discovered epigraphic evidence confirming their origins as the Balkan "Bryges" tribe, forced out by the Macedonians. Although the Hittite kingdom disappeared from Anatolia at this point, there emerged a number of so-called Syro-Hittite states in Anatolia and northern Syria. They were the successors of the Hittite Kingdom. The most notable Syro-Hittite kingdoms were those at Carchemish and Melid. These Syro-Hittite states gradually fell under the control of the Neo-Assyrian Empire (911–608 BC). Carchemish and Melid were made vassals of Assyria under Shalmaneser III (858–823 BC), and fully incorporated into Assyria during the reign of Sargon II (722–705 BC). A large and powerful state known as Tabal occupied much of southern Anatolia. Known as Greek Tibarenoi (), Latin Tibareni, Thobeles in Josephus, their language may have been Luwian, testified to by monuments written using Anatolian hieroglyphs. This state too was conquered and incorporated into the vast Neo-Assyrian Empire. Ultimately, both Luwian hieroglyphs and cuneiform were rendered obsolete by an innovation, the alphabet, which seems to have entered Anatolia simultaneously from the Aegean (with the Bryges, who changed their name to Phrygians), and from the Phoenicians and neighboring peoples in Syria. Government The earliest known Constitutional Monarchy was developed by the Hittites. The head of the Hittite state was the king, followed by the heir-apparent. The king was the supreme ruler of the land, in charge of being a military commander, judicial authority, as well as a high priest. However, some officials exercised independent authority over various branches of the government. One of the most important of these posts in the Hittite society was that of the gal mesedi (Chief of the Royal Bodyguards). It was superseded by the rank of the gal gestin (Chief of the Wine Stewards), who, like the gal mesedi, was generally a member of the royal family. The kingdom's bureaucracy was headed by the gal dubsar (Chief of the Scribes), whose authority didn't extend over the Lugal Dubsar, the king's personal scribe. Egyptian monarchs engaged in diplomacy with two chief Hittite seats, located at Kadesh (a city located on the Orontes River) and Carchemish (located on the Euphrates river in Southern Anatolia). Religion in Early Hittite Government to establish control In the Central Anatolian settlement of Ankuwa, home of the pre-Hittite goddess Kattaha and the worship of other Hattic deities illustrates the ethnic differences in the areas the Hittites tried to control. Kattaha was originally given the name Hannikkun. The usage of the term Kattaha over Hannikkun, according to Ronald Gorny (head of the Alisar regional project in Turkey), was a device to downgrade the pre-Hittite identity of this female deity, and to bring her more in touch with the Hittite tradition. Their reconfiguration of Gods throughout their early history such as with Kattaha was a way of legitimizing their authority and to avoid conflicting ideologies in newly included regions and settlements. By transforming local deities to fit their own customs, the Hittites hoped that the traditional beliefs of these communities would understand and accept the changes to become better suited for the Hittite political and economic goals. Political dissent in the Old Kingdom In 1595 BC, King Mursili I () marched into the city of Babylon and sacked the city. Due to fear of revolts at home he did not remain there long, quickly returning to his capital of Hattusa. On his journey back to Hattusa, he was assassinated by his brother-in-law Hantili I, who then took the throne. Hantili was able to escape multiple murder attempts on himself, however, his family did not. His wife, Harapsili and her son were murdered. In addition, other members of the royal family were killed by Zidanta I, who was then murdered by his own son, Ammunna. All of the internal unrest among the Hittite royal family led to a decline of power. This led to surrounding kingdoms, such as the Hurrians, to have success against Hittite forces and be the center of power in the Anatolian region. The Pankus King Telipinu (reigned BC) is considered to be the last king of the Old Kingdom of the Hittites. He seized power during a dynastic power struggle. During his reign, he wanted to take care of lawlessness and regulate royal succession. He then issued the Edict of Telipinus. In this edict, he designated the Pankus, which was a 'general assembly' that acted as a high court. Crimes such as murder were observed and judged by the Pankus. Kings themselves were also subject to jurisdiction under the Pankus. The Pankus also served as an advisory council for the king. The rules and regulations set out by the edict, and the establishment of the Pankus proved to be very successful and lasted all the way through to the new Kingdom in the 14th century BC. The Pankus established a legal code where violence was not a punishment for a crime. Crimes such as a murder and theft, which at the time were punishable by death, in other southwest Asian Kingdoms, were not capital crimes under the Hittite law code. Most criminal penalties involved restitution. For example, in cases of thievery, the punishment of that crime would to be to repay what was stolen in equal value. Language The Hittite language is recorded fragmentarily from about the 19th century BC (in the Kültepe texts, see Ishara). It remained in use until about 1100 BC. Hittite is the best attested member of the Anatolian branch of the Indo-European language family, and the Indo-European language for which the earliest surviving written attestation exists, with isolated Hittite loanwords and numerous personal names appearing in an Old Assyrian context from as early as the 20th century BC. The language of the Hattusa tablets was eventually deciphered by a Czech linguist, Bedřich Hrozný (1879–1952), who, on 24 November 1915, announced his results in a lecture at the Near Eastern Society of Berlin. His book about the discovery was printed in Leipzig in 1917, under the title The Language of the Hittites; Its Structure and Its Membership in the Indo-European Linguistic Family. The preface of the book begins with: "The present work undertakes to establish the nature and structure of the hitherto mysterious language of the Hittites, and to decipher this language [...] It will be shown that Hittite is in the main an Indo-European language." The decipherment famously led to the confirmation of the laryngeal theory in Indo-European linguistics, which had been predicted several decades before. Due to its marked differences in its structure and phonology, some early philologists, most notably Warren Cowgill, had even argued that it should be classified as a sister language to Indo-European languages (Indo-Hittite), rather than a daughter language. By the end of the Hittite Empire, the Hittite language had become a written language of administration and diplomatic correspondence. The population of most of the Hittite Empire by this time spoke Luwian, another Indo-European language of the Anatolian family that had originated to the west of the Hittite region. According to Craig Melchert, the current tendency is to suppose that Proto-Indo-European evolved, and that the "prehistoric speakers" of Anatolian became isolated "from the rest of the PIE speech community, so as not to share in some common innovations." Hittite, as well as its Anatolian cousins, split off from Proto-Indo-European at an early stage, thereby preserving archaisms that were later lost in the other Indo-European languages. In Hittite there are many loanwords, particularly religious vocabulary, from the non-Indo-European Hurrian and Hattic languages. The latter was the language of the Hattians, the local inhabitants of the land of Hatti before being absorbed or displaced by the Hittites. Sacred and magical texts from Hattusa were often written in Hattic, Hurrian, and Luwian, even after Hittite became the norm for other writings. Art Given the size of the empire, there are relatively few remains of Hittite art. These include some impressive monumental carvings, a number of rock reliefs, as well as metalwork, in particular the Alaca Höyük bronze standards, carved ivory, and ceramics, including the Hüseyindede vases. The Sphinx Gates of Alaca Höyük and Hattusa, with the monument at the spring of Eflatun Pınar, are among the largest constructed sculptures, along with a number of large recumbent lions, of which the Lion of Babylon statue at Babylon is the largest, if it is indeed Hittite. Unfortunately, nearly all are notably worn. Rock reliefs include the Hanyeri relief, and Hemite relief. The Niğde Stele from the end of the 8th century BC is a Luwian monument, from the Post-Hittite period, found in the modern Turkish city of Niğde. Religion and mythology Hittite religion and mythology were heavily influenced by their Hattic, Mesopotamian, and Hurrian counterparts. In earlier times, Indo-European elements may still be clearly discerned. Storm gods were prominent in the Hittite pantheon. Tarhunt (Hurrian's Teshub) was referred to as 'The Conqueror', 'The king of Kummiya', 'King of Heaven', 'Lord of the land of Hatti'. He was chief among the gods and his symbol is the bull. As Teshub he was depicted as a bearded man astride two mountains and bearing a club. He was the god of battle and victory, especially when the conflict involved a foreign power. Teshub was also known for his conflict with the serpent Illuyanka. The Hittite gods are also honoured with festivals, such as Puruli in the spring, the nuntarriyashas festival in the autumn, and the KI.LAM festival of the gate house where images of the Storm God and up to thirty other idols were paraded through the streets. Law Hittite laws, much like other records of the empire, are recorded on cuneiform tablets made from baked clay. What is understood to be the Hittite Law Code comes mainly from two clay tablets, each containing 186 articles, and are a collection of practiced laws from across the early Hittite Kingdom. In addition to the tablets, monuments bearing Hittite cuneiform inscriptions can be found in central Anatolia describing the government and law codes of the empire. The tablets and monuments date from the Old Hittite Kingdom (1650–1500 BC) to what is known as the New Hittite Kingdom (1500–1180 BC). Between these time periods, different translations can be found that modernize the language and create a series of legal reforms in which many crimes are given more humane punishments. These changes could possibly be attributed to the rise of new and different kings throughout the history empire or to the new translations that change the language used in the law codes. In either case, the law codes of the Hittites provide very specific fines or punishments that are to be issued for specific crimes and have many similarities to Biblical laws found in the books of Exodus and Deuteronomy. In addition to criminal punishments, the law codes also provide instruction on certain situations such as inheritance and death. Use of laws The law articles used by the Hittites most often outline very specific crimes or offenses, either against the state or against other individuals, and provide a sentence for these offenses. The laws carved in the tablets are an assembly of established social conventions from across the empire. Hittite laws at this time have a prominent lack of equality in punishments in many cases, distinct punishments or compensations for men and women are listed. Free men most often received more compensation for offenses against them than free women did. Slaves, male or female, had very few rights, and could easily be punished or executed by their masters for crimes. Most articles describe destruction of property and personal injury, to which the most common sentence was payment for compensation of the lost property. Again, in these cases men oftentimes receive a greater amount of compensation than women. Other articles describe how marriage of slaves and free individuals should be handled. In any case of separation or estrangement, the free individual, male or female, would keep all but one child that resulted from the marriage. Cases in which capital punishment is recommended in the articles most often seem to come from pre-reform sentences for severe crimes and prohibited sexual pairings. Many of these cases include public torture and execution as punishment for serious crimes against religion. Most of these sentences would begin to go away in the later stages of the Hittite Empire as major law reforms began to occur. Law reform While different translations of laws can be seen throughout the history of the empire, the Hittite outlook of law was originally founded on religion and were intended to preserve the authority of the state. Additionally, punishments had the goal of crime prevention and the protection of individual property rights. The goals of crime prevention can be seen in the severity of the punishments issued for certain crimes. Capital punishment and torture are specifically mentioned as punishment for more severe crimes against religion and harsh fines for the loss of private property or life. The tablets also describe the ability of the king to pardon certain crimes, but specifically prohibit an individual being pardoned for murder. At some point in the 16th or 15th century BC, Hittite law codes move away from torture and capital punishment and to more humanitarian forms of punishments, such as fines. Where the old law system was based on retaliation and retribution for crimes, the new system saw punishments that were much more mild, favoring monetary compensation over physical or capital punishment. Why these drastic reforms happened is not exactly clear, but it is likely that punishing murder with execution was deemed not to benefit any individual or family involved. These reforms were not just seen in the realm of capital punishment. Where major fines were to be paid, a severe reduction in penalty can be seen. For example, prior to these major reforms, the payment to be made for the theft of an animal was thirty times the animal's value; after the
involved in the secretion of digestive fluids after the passage of food from the stomach to the intestines, which they believed to be due to the nervous system. They cut the nerves to the pancreas in an animal model and discovered that it was not nerve impulses that controlled secretion from the pancreas. It was determined that a factor secreted from the intestines into the bloodstream was stimulating the pancreas to secrete digestive fluids. This factor was named secretin: a hormone, although the term hormone was not coined until 1905 by Starling. Types of signaling Hormonal effects are dependent on where they are released, as they can be released in different manners. Not all hormones are released from a cell and into the blood until it binds to a receptor on a target. The major types of hormone signaling are: Chemical classes As hormones are defined functionally, not structurally, they may have diverse chemical structures. Hormones occur in multicellular organisms (plants, animals, fungi, brown algae, and red algae). These compounds occur also in unicellular organisms, and may act as signaling molecules however there is no agreement that these molecules can be called hormones. Vertebrates Invertebrates Compared with vertebrates, insects and crustaceans possess a number of structurally unusual hormones such as the juvenile hormone, a sesquiterpenoid. Plants Examples include abscisic acid, auxin, cytokinin, ethylene, and gibberellin. Receptors Most hormones initiate a cellular response by initially binding to either cell membrane associated or intracellular receptors. A cell may have several different receptor types that recognize the same hormone but activate different signal transduction pathways, or a cell may have several different receptors that recognize different hormones and activate the same biochemical pathway. Receptors for most peptide as well as many eicosanoid hormones are embedded in the plasma membrane at the surface of the cell and the majority of these receptors belong to the G protein-coupled receptor (GPCR) class of seven alpha helix transmembrane proteins. The interaction of hormone and receptor typically triggers a cascade of secondary effects within the cytoplasm of the cell, described as signal transduction, often involving phosphorylation or dephosphorylation of various other cytoplasmic proteins, changes in ion channel permeability, or increased concentrations of intracellular molecules that may act as secondary messengers (e.g., cyclic AMP). Some protein hormones also interact with intracellular receptors located in the cytoplasm or nucleus by an intracrine mechanism. For steroid or thyroid hormones, their receptors are located inside the cell within the cytoplasm of the target cell. These receptors belong to the nuclear receptor family of ligand-activated transcription factors. To bind their receptors, these hormones must first cross the cell membrane. They can do so because they are lipid-soluble. The combined hormone-receptor complex then moves across the nuclear membrane into the nucleus of the cell, where it binds to specific DNA sequences, regulating the expression of certain genes, and thereby increasing the levels of the proteins encoded by these genes. However, it has been shown that not all steroid receptors are located inside the cell. Some are associated with the plasma membrane. Effects in humans Hormones have the following effects on the body: stimulation or inhibition of growth wake-sleep cycle and other circadian rhythms mood swings induction or suppression of apoptosis (programmed cell death) activation or inhibition of the immune system regulation of metabolism preparation of the body for mating, fighting, fleeing, and other activity preparation of the body for a new phase of life, such as puberty, parenting, and menopause control of the reproductive cycle hunger cravings A hormone may also regulate the production and release of other hormones. Hormone signals control the internal environment of the body through homeostasis. Regulation The rate of hormone biosynthesis and secretion is often regulated by a homeostatic negative feedback control mechanism. Such a mechanism depends on factors that influence the metabolism and excretion of hormones. Thus, higher hormone concentration alone cannot trigger the negative feedback mechanism. Negative feedback must be triggered by overproduction of an "effect" of the hormone. Hormone secretion can be stimulated and inhibited by: Other hormones (stimulating- or releasing -hormones) Plasma concentrations of ions or nutrients, as well as binding globulins Neurons and mental activity Environmental changes, e.g., of light or temperature One special group of hormones is the tropic hormones that stimulate the hormone production of other endocrine glands. For example, thyroid-stimulating hormone (TSH) causes growth and increased activity of another endocrine gland, the thyroid, which increases output of thyroid hormones. To release active hormones quickly into the circulation, hormone biosynthetic cells may produce and store biologically inactive hormones in the form of pre- or prohormones. These can then be quickly converted into their active hormone form in response to a particular stimulus. Eicosanoids are considered to act as local hormones. They are considered to be "local" because they possess specific effects on target cells close to their site of formation. They also have a rapid degradation cycle, making sure they do not reach distant sites within the body. Hormones are also regulated by receptor agonists. Hormones are ligands, which are any kinds of molecules that produce a signal by binding to a receptor site on a protein. Hormone effects can be inhibited, thus regulated, by competing ligands that bind to the same target receptor as the hormone in question. When a competing ligand is bound to the receptor site, the hormone is unable to bind to that site and is unable to elicit a response from the target cell. These competing ligands are called antagonists of the hormone. Therapeutic use Many hormones and their structural and functional analogs are used as medication. The most commonly prescribed hormones are estrogens and progestogens (as methods of hormonal contraception and as HRT), thyroxine (as levothyroxine, for hypothyroidism) and steroids (for autoimmune diseases and several respiratory disorders). Insulin is used by many diabetics. Local preparations for use in otolaryngology often contain pharmacologic equivalents of adrenaline, while steroid and vitamin D creams are used extensively in dermatological practice. A "pharmacologic dose" or "supraphysiological dose" of a hormone is a medical usage referring to an amount of a hormone far greater than naturally occurs in a healthy body. The effects of pharmacologic doses of hormones may be different from responses to naturally occurring amounts and may be therapeutically useful, though not without potentially adverse side effects. An example is the ability of pharmacologic doses of glucocorticoids to suppress inflammation. Hormone-behavior interactions At the neurological level, behavior can be inferred based on hormone concentration, which in turn are influenced by hormone-release patterns; the numbers and locations of hormone receptors; and the efficiency of hormone receptors for those involved in gene transcription. Hormone concentration does not incite behavior, as that would undermine other external stimuli; however, it influences the system by increasing the probability of a certain event to occur. Not only can hormones influence behavior, but also behavior and the environment can influence hormone concentration. Thus, a feedback loop is formed, meaning behavior can affect hormone concentration, which in turn can affect behavior, which in turn can affect hormone concentration, and so on. For example, hormone-behavior feedback loops are essential in providing constancy to episodic hormone secretion, as the behaviors affected by episodically secreted hormones directly prevent the continuous release of said hormones. Three broad stages of reasoning may be used to determine if a specific hormone-behavior interaction is present within a system: The frequency of occurrence of a hormonally dependent behavior should correspond to that of its hormonal source. A hormonally dependent behavior is not expected if the hormonal source (or its types of action) is non-existent. The reintroduction of a missing behaviorally dependent hormonal source (or its types of action) is expected to bring back the absent behavior. Comparison with neurotransmitters There are various clear distinctions between hormones and neurotransmitters: A hormone can perform functions over a larger spatial and temporal scale than can a
their testes intact. He decided to run an experiment on male roosters to examine this phenomenon. He kept a group of roosters with their testes intact, and saw that they had normal sized wattles and combs (secondary sexual organs), a normal crow, and normal sexual and aggressive behaviors. He also had a group with their testes surgically removed, and noticed that their secondary sexual organs were decreased in size, had a weak crow, did not have sexual attraction towards females, and were not aggressive. He realized that this organ was essential for these behaviors, but he did not know how. To test this further, he removed one testis and placed it in the abdominal cavity. The roosters acted and had normal physical anatomy. He was able to see that location of the testes does not matter. He then wanted to see if it was a genetic factor that was involved in the testes that provided these functions. He transplanted a testis from another rooster to a rooster with one testis removed, and saw that they had normal behavior and physical anatomy as well. Berthold determined that the location or genetic factors of the testes do not matter in relation to sexual organs and behaviors, but that some chemical in the testes being secreted is causing this phenomenon. It was later identified that this factor was the hormone testosterone. Charles and Francis Darwin (1880) Although known primarily for his work on the Theory of Evolution, Charles Darwin was also keenly interested in plants. Through the 1870s, he and his son Francis studied the movement of plants towards light. They were able to show that light is perceived at the tip of a young stem (the coleoptile), whereas the bending occurs lower down the stem. They proposed that a 'transmissible substance' communicated the direction of light from the tip down to the stem. The idea of a 'transmissible substance' was initially dismissed by other plant biologists, but their work later led to the discovery of the first plant hormone. In the 1920s Dutch scientist Frits Warmolt Went and Russian scientist Nikolai Cholodny (working independently of each other) conclusively showed that asymmetric accumulation of a growth hormone was responsible for this bending. In 1933 this hormone was finally isolated by Kögl, Haagen-Smit and Erxleben and given the name 'auxin'. Bayliss and Starling (1902) William Bayliss and Ernest Starling, a physiologist and biologist, respectively, wanted to see if the nervous system had an impact on the digestive system. They knew that the pancreas was involved in the secretion of digestive fluids after the passage of food from the stomach to the intestines, which they believed to be due to the nervous system. They cut the nerves to the pancreas in an animal model and discovered that it was not nerve impulses that controlled secretion from the pancreas. It was determined that a factor secreted from the intestines into the bloodstream was stimulating the pancreas to secrete digestive fluids. This factor was named secretin: a hormone, although the term hormone was not coined until 1905 by Starling. Types of signaling Hormonal effects are dependent on where they are released, as they can be released in different manners. Not all hormones are released from a cell and into the blood until it binds to a receptor on a target. The major types of hormone signaling are: Chemical classes As hormones are defined functionally, not structurally, they may have diverse chemical structures. Hormones occur in multicellular organisms (plants, animals, fungi, brown algae, and red algae). These compounds occur also in unicellular organisms, and may act as signaling molecules however there is no agreement that these molecules can be called hormones. Vertebrates Invertebrates Compared with vertebrates, insects and crustaceans possess a number of structurally unusual hormones such as the juvenile hormone, a sesquiterpenoid. Plants Examples include abscisic acid, auxin, cytokinin, ethylene, and gibberellin. Receptors Most hormones initiate a cellular response by initially binding to either cell membrane associated or intracellular receptors. A cell may have several different receptor types that recognize the same hormone but activate different signal transduction pathways, or a cell may have several different receptors that recognize different hormones and activate the same biochemical pathway. Receptors for most peptide as well as many eicosanoid hormones are embedded in the plasma membrane at the surface of the cell and the majority of these receptors belong to the G protein-coupled receptor (GPCR) class of seven alpha helix transmembrane proteins. The interaction of hormone and receptor typically triggers a cascade of secondary effects within the cytoplasm of the cell, described as signal transduction, often involving phosphorylation or dephosphorylation of various other cytoplasmic proteins, changes in ion channel permeability, or increased concentrations of intracellular molecules that may act as secondary messengers (e.g., cyclic AMP). Some protein hormones also interact with intracellular receptors located in the cytoplasm or nucleus by an intracrine mechanism. For steroid or thyroid hormones, their receptors are located inside the cell within the cytoplasm of the target cell. These receptors belong to the nuclear receptor family of ligand-activated transcription factors. To bind their receptors, these hormones must first cross the cell membrane. They can do so because they are lipid-soluble. The combined hormone-receptor complex then moves across the nuclear membrane into the nucleus of the cell, where it binds to specific DNA sequences, regulating the expression of certain genes, and thereby increasing the levels of the proteins encoded by these genes. However, it has been shown that not all steroid receptors are located inside the cell. Some are associated with the plasma membrane. Effects in humans Hormones have the following effects on the body: stimulation or inhibition of growth wake-sleep cycle and other circadian rhythms mood swings induction or suppression of apoptosis (programmed cell death) activation or inhibition of the immune system regulation of metabolism preparation of the body for mating, fighting, fleeing, and other activity preparation of the body for a new phase of life, such as puberty, parenting, and menopause control of the reproductive cycle hunger cravings A hormone may also regulate the production and release of other hormones. Hormone signals control the internal environment of the body through homeostasis. Regulation The rate of hormone biosynthesis and secretion is often regulated by a homeostatic negative feedback control mechanism. Such a mechanism depends on factors that influence the metabolism and excretion of hormones. Thus, higher hormone concentration alone cannot trigger the negative feedback mechanism. Negative feedback must be triggered by overproduction of an "effect" of the hormone. Hormone secretion can be stimulated and inhibited by: Other hormones (stimulating- or releasing -hormones) Plasma concentrations of ions or nutrients, as well as binding globulins Neurons and mental activity Environmental changes, e.g., of light or temperature One special group of hormones is the tropic hormones that stimulate the hormone production of other endocrine glands. For example, thyroid-stimulating hormone (TSH) causes growth and increased activity of another endocrine gland, the thyroid, which increases output of thyroid hormones. To release active hormones quickly into the circulation, hormone biosynthetic cells may produce and store biologically inactive hormones in the form of pre- or prohormones. These can then be quickly converted into their active hormone form in response to a particular stimulus. Eicosanoids are considered to act as local hormones. They are considered to be "local" because they possess specific effects on target cells close to their site of formation. They also have a rapid degradation cycle, making sure they do not reach distant sites within the body. Hormones are also regulated by receptor agonists. Hormones are ligands, which are any kinds of molecules that produce a signal by binding to a receptor site on a protein. Hormone effects can be inhibited, thus regulated, by competing ligands that bind to the same target receptor as the hormone in question. When a competing ligand is bound to the receptor site, the hormone is unable to bind to that site and is unable to elicit a response from the target cell. These competing ligands are called antagonists of the hormone. Therapeutic use Many hormones and their structural and functional analogs are used as medication. The most commonly prescribed hormones are estrogens and progestogens (as methods of hormonal contraception and as HRT), thyroxine (as levothyroxine, for hypothyroidism) and steroids (for autoimmune diseases and several respiratory disorders). Insulin is used by many diabetics. Local preparations for use in otolaryngology often contain pharmacologic equivalents of adrenaline, while steroid and vitamin D creams are used extensively in dermatological practice. A "pharmacologic dose" or "supraphysiological dose" of a hormone is a medical usage
BCV and DV (vibrato and chorus). The B-2 and C-2, introduced in 1949, allowed vibrato to be enabled or disabled on each manual separately. In 1954, the B-3 and C-3 models were introduced with the additional harmonic percussion feature. Despite several attempts by Hammond to replace them, these two models remained popular and stayed in continuous production through early 1975. To cater more specifically to the church market, Hammond introduced the Concert Model E in July 1937, which included a full 32-note pedalboard and four electric switches known as toe pistons, allowing various sounds to be selected by the feet. The model E was replaced by the model RT in 1949, which retained the full-sized pedalboard, but otherwise was internally identical to the B and C models. RT-2 and RT-3 models subsequently appeared in line with the B-2/C-2 and B-3/C-3, respectively. In 1959, Hammond introduced the A-100 series. It was effectively a self-contained version of the B-3/C-3, with an internal power amplifier and speakers. The organ was manufactured in a variety of different chassis, with the last two digits of the specific model number determining the style and finish of the instrument. For example, A-105 was "Tudor styling in light oak or walnut", while the A-143 was "warm cherry finish, Early American styling". This model numbering scheme was used for several other series of console and spinet organs that subsequently appeared. The D-100 series, which provided a self-contained version of the RT-3, followed in 1963. The E-100 series was a cost-reduced version of the A-100 introduced in 1965, with only one set of drawbars per manual, a reduced number of presets, and a slightly different tone generator. This was followed by the H-100 series, with a redesigned tonewheel generator and various other additional features. The organ was not particularly well made, and suffered a reputation for being unreliable. Hammond service engineer Harvey Olsen said, "When they [H-100s] work, they sound pretty decent. But die-hard enthusiasts won't touch it." Spinet organs Though the instrument had been originally designed for use in a church, Hammond realized that the amateur home market was a far more lucrative business, and started manufacturing spinet organs in the late 1940s. Outside of the United States, they were manufactured in greater numbers than the consoles, and hence were more widely used. Several different types of M series instruments were produced between 1948 and 1964; they contained two 44-note manuals with one set of drawbars each, and a 12-note pedalboard. The M model was produced from 1948 to 1951, the M-2 from 1951 to 1955, and the M-3 from 1955 to 1964. The M series was replaced by the M-100 series in 1961, which used a numbering system to identify the body style and finish as used on earlier console series. It included the same manuals as the M, but increased the pedalboard size to 13 notes, stretching a full octave, and included a number of presets. The L-100 series entered production at the same time as the M-100. It was an economy version, with various cost-cutting changes so the organ could retail for under $1,000. The vibrato was a simpler circuit than on other consoles and spinets. Two variations of the vibrato were provided, plus a chorus that mixed various vibrato signals together. The expression pedal, based on a cheaper design, was not as sophisticated as on the other organs. The L-100 was particularly sold well in the UK, with several notable British musicians using it instead of a B-3 or C-3. The T series, produced from 1968 to 1975, was the last of the tonewheel spinet organs. Unlike all the earlier Hammond organs, which used vacuum tubes for preamplification, amplification, percussion and chorus-vibrato control, the T series used all-solid-state, transistor circuitry, though, unlike the L-100, it did include the scanner-vibrato as seen on the B-3. Other than the T-100 series models, all other T-Series models included a built-in rotating Leslie speaker and some included an analog drum machine, while the T-500 also included a built-in cassette recorder. It was one of the last tonewheel Hammonds produced. Transistor organs In the 1960s, Hammond began to manufacture transistor organs. The first organ that bridged the gap between tonewheel and transistor was the X-66, introduced in May 1967. The X-66 contained just 12 tonewheels, and used electronics for frequency division. It contained separate "vibrato bass" and "vibrato treble" in an attempt to simulate a Leslie speaker. Hammond designed it as the company's flagship product, in response to market competition and to replace the B-3. However, it was considered expensive at $9,795 and it sold poorly. It did not sound like a B-3. Hammond introduced their first integrated circuit (IC) model, the Concorde, in 1971. The company had stopped manufacturing tonewheel organs entirely by 1975, due to increased financial inefficiency, and switched to making IC models full-time. Console models included the 8000 Aurora (1976) and 8000M Aurora (1977), which contained drawbars and a built-in rotating speaker. Spinet organs included the Romance series, manufactured between 1977 and 1983. In 1979, a Japanese offshoot, Nihon Hammond, introduced the X-5, a portable solid-state clone of the B-3. Hammond-Suzuki Laurens Hammond died in 1973, and the company struggled to survive, proposing an acquiring of Roland in 1972, which was turned down. Roland's Ikutaro Kakehashi did not believe it was practical at that point to move the entire manufacturing operation from Chicago to Japan, and also viewed Hammond's declining sales figures as a problem. In 1985, Hammond went out of business, though servicing and spares continued to be available after this under the name of the Organ Service Company. In early 1986, the Hammond brand and rights were acquired by Hammond Organ Australia, run by Noel Crabbe. Then in 1989, the name was purchased by the Suzuki Musical Instrument Corporation, which rebranded the company as Hammond-Suzuki. Although nominally a Japanese company, founder Manji Suzuki was a fan of the instrument and retained several former Hammond Organ Company staff for research and development, and ensured that production would partially remain in the United States. The new company produced their own brand of portable organs, including the XB-2, XB-3 and XB-5. Sound on Sound Rod Spark, a longtime Hammond enthusiast, said these models were "a matter of taste, of course, but I don't think they're a patch on the old ones". In 2002, Hammond-Suzuki launched the New B-3, a recreation of the original electromechanical instrument using contemporary electronics and a digital tonewheel simulator. The New B-3 is constructed to appear like the original B-3, and the designers attempted to retain the subtle nuances of the familiar B-3 sound. Hammond-Suzuki promotional material states that it would be difficult for even an experienced B-3 player to distinguish between the old and new B-3 organs. A review of the New B-3 by Hugh Robjohns called it "a true replica of an original B-3 ... in terms of the look and layout, and the actual sound". The instrument project nearly stalled after a breakdown in negotiations between Japanese and United States staff, the latter of whom insisted on manufacturing the case in the United States and designing the organ to identical specifications to the original. The company has since released the XK-3, a single-manual organ using the same digital tonewheel technology as the New B-3. The XK-3 is part of a modular system that allows an integrated lower manual and pedals to be added. In response to some clones, including a variety of vintage keyboards in a single package, Hammond released the SK series of organs, which include grand piano, Rhodes piano, Wurlitzer electronic piano, Hohner clavinet, and samples of wind and brass instruments alongside the standard drawbar and tonewheel emulation. Keyboard magazine's Stephen Fortner praised the single manual SK1, indicated that it gave an accurate sound throughout the range of drawbar settings, and said the organ sound was "fat, warm, utterly authentic". The XK-1c model was introduced in early 2014, which is simply an organ-only version of the SK1. An updated flagship organ, the XK-5, was launched in 2016, and a stage keyboard, the SK-X followed in 2019, which allows a player to select an individual instrument (organ, piano or synthesizer) for each manual. In the US, Hammond manufactures a number of dedicated console organs, including the B-3mk2 and the C-3mk2, and the A-405, a Chapel Console Organ. The company has a dedicated Church Advisory Team that provides a consultancy, so churches can choose the most appropriate instrument. Speakers Tone cabinet The authorized loudspeaker enclosure to use with a console organ was the Hammond Tone Cabinet, which housed an external amplifier and speaker in a cabinet. The cabinet carried a balanced mono signal along with the necessary mains power directly from the organ, using a six-pin cable. Spinet organs contained a built-in power amplifier and loudspeakers, so did not require a tone cabinet. The tone cabinet was originally the only method of adding reverberation to a Hammond organ; reverb was not fitted to older organs. The most commercially successful tone cabinets were probably the PR series, particularly the 40-watt PR40. Leslie speaker Many players prefer to play the Hammond through a rotating speaker cabinet known, after several name changes, as a Leslie speaker, after its inventor Donald J. Leslie. The typical Leslie system is an integrated speaker/amplifier combination in which sound is emitted by a rotating horn over a stationary treble compression driver, and a rotating baffle beneath a stationary bass woofer. This creates a characteristic sound because of the constantly changing pitch shifts that result from the Doppler effect created by the moving sound sources. The Leslie was originally designed to mimic the complex tones and constantly shifting sources of sound emanating from a large group of ranks in a pipe organ. The effect varies depending on the speed of the rotors, which can be toggled between fast (tremolo) and slow (chorale) using a console half-moon or pedal switch, with the most distinctive effect occurring as the speaker rotation speed changes. The most popular Leslies were the 122, which accepted a balanced signal suitable for console organs, and the 147, which accepted an unbalanced signal and could be used for spinet organs with a suitable adapter. The Pro-Line series of Leslies which were made to be portable for gigging bands using solid-state amps were popular during the 1970s. Leslie initially tried to sell his invention to Hammond, but Laurens Hammond was unimpressed and declined to purchase it. Hammond modified their interface connectors to be "Leslie-proof", but Leslie quickly engineered a workaround. The Leslie company was sold to CBS in 1965 and was finally bought by Hammond in 1980. Hammond-Suzuki acquired the rights to Leslie in 1992; the company currently markets a variety of speakers under this name. As well as faithful reissues of the original 122 speaker, the company announced in 2013 that they would start manufacturing a standalone Leslie simulator in a stomp box. Tone generation Although they are sometimes included in the category of electronic organs, the majority of Hammond organs are, strictly speaking, electric or electromechanical rather than electronic organs, because the sound is produced by moving parts rather than electronic oscillators. The basic component sound of a Hammond organ comes from a tonewheel. Each one rotates in front of an electromagnetic pickup. The variation in the magnetic field induces a small alternating current at a particular frequency, which represents a signal similar to a sine wave. When a key is pressed on the organ, it completes a circuit of nine electrical switches, which are linked to the drawbars. The position of the drawbars, combined with the switches selected by the key pressed, determines which tonewheels are allowed to sound. Every tonewheel is connected to a synchronous motor via a system of gears, which ensures that each note remains at a constant relative pitch to every other. The combined signal from all depressed keys and pedals is fed through to the vibrato system, which is driven by a metal scanner. As the scanner rotates around a set of pickups, it changes the pitch of the overall sound slightly. From here, the sound is sent to the main amplifier, and on to the audio speakers. The Hammond organ makes technical compromises in the notes it generates. Rather than produce harmonics that are exact multiples of the fundamental as in equal temperament, it uses the nearest-available frequencies generated by the tonewheels. The only guaranteed frequency for a Hammond's tuning is concert A at 440 Hz. Crosstalk or "leakage" occurs when the instrument's magnetic pickups receive the signal from rotating metal tonewheels other than those selected by the organist. Hammond considered crosstalk a defect that required correcting, and in 1963 introduced a new level of resistor–capacitor filtering to greatly reduce this crosstalk, along with 50–60 Hz mains hum. However, the sound of tonewheel crosstalk is now considered part of the signature of the Hammond organ, to the extent that modern digital clones explicitly emulate it. Some Hammond organs have an audible pop or click when a key is pressed. Originally, key click was considered a design defect and Hammond worked to eliminate or at least reduce it with equalization filters. However, many performers liked the percussive effect, and it has been accepted as part of the classic sound. Hammond research and development engineer Alan Young said, "the professionals who were playing popular music [liked] that the attack was so prominent. And they objected when it was eliminated." Clones and emulation devices The original Hammond organ was never designed to be transported regularly. A Hammond B-3 organ, bench, and pedalboard weighs . This weight, combined with that of a Leslie speaker, makes the instrument cumbersome and difficult to move between venues. This created a demand for a more portable and reliable way of generating the same sound. Electronic and digital keyboards that imitate the sound of the Hammond are referred to as "clonewheel organs". The first attempts to electronically copy a Hammond appeared in the 1970s, including the Roland VK-1 and VK-9, the Yamaha YC45D, and the Crumar Organizer. The Korg CX-3 (single manual) and BX-3 (dual manual) were the first lightweight organs to produce a comparable sound to the original. Sound on Sound Gordon Reid said that the CX-3 "came close to emulating the true depth and passion of a vintage Hammond", particularly when played through a Leslie speaker. The Roland VK-7, introduced in 1997, attempted to emulate the sound of a Hammond using digital signal processing technology. An updated version, the VK-8, which appeared in 2002, also provided emulations of other vintage keyboards and provided a connector for a Leslie. Clavia introduced the Nord Electro in 2001; this used buttons to emulate the physical action of pulling or pushing a drawbar, with an LED graph indicating its current state. Clavia has released several updated versions of the Electro since then, and introduced the Nord Stage with the same technology. The Nord C2D was Clavia's first organ with real drawbars. Diversi, founded by former Hammond-Suzuki sales representative Tom Tuson in 2003, specializes in Hammond clones, and has an endorsement from Joey DeFrancesco. The Hammond organ has also been emulated in software. One prominent emulator is the Native Instruments B4 series, which has been praised for its attention to detail and choice of features. Emagic (now part of Apple) has also produced a software emulation, the EVB3. This has led to a Hammond organ module with all controls and features of the original instrument in the Logic Pro audio production suite. Notable players Early customers of the Hammond included Albert Schweitzer, Henry Ford, Eleanor Roosevelt, and George Gershwin. The instrument was not initially favored by classical organ purists, because the tones of two notes an octave apart were in exact synchronization, as opposed to the slight variation present on a pipe organ. However, the instrument did gradually become popular with jazz players. One of the first performers to use the Hammond organ was Ethel Smith, who was known as the "first lady of the Hammond organ". Fats Waller and Count Basie also started using the Hammond. Organist John Medeski thinks the Hammond became "the poor man's big band", but because of that, it became more economical to book organ trios. Jimmy Smith began to play Hammond regularly in the 1950s, particularly in his sessions for the BlueNote label between 1956 and 1963. He eschewed a bass player, and played all the bass parts himself using the pedals, generally using a walking bassline on the pedals in combination with percussive left-hand chords. His trio format, composed of organ, guitar, and drums, became internationally known following an appearance at the Newport Jazz Festival in 1957. Medeski says musicians "were inspired when they heard Jimmy Smith's records". "Brother" Jack McDuff switched from piano to Hammond in the 1950s, and toured regularly throughout the 1960s and 1970s. In his Hammond playing, Keith Emerson sought partly to replicate the sound achieved by McDuff in his arrangement of "Rock Candy". An admirer of Billy Preston's work also, particularly the 1965 instrumental "Billy's Bag", Emerson limited the use of Leslie because he felt that was Preston's domain at the time, whereas he himself was approaching the instrument with an aesthetic combining "a white European attitude", classical music, and rock. Booker T. Jones is cited as being the bridge from rhythm and blues to rock. British organist James Taylor said the Hammond "became popular [in the UK] when people such as Booker T. & the M.G.'s and artists on the Stax Records label came over to London and played gigs". Matthew Fisher first encountered the Hammond
company had stopped manufacturing tonewheel organs entirely by 1975, due to increased financial inefficiency, and switched to making IC models full-time. Console models included the 8000 Aurora (1976) and 8000M Aurora (1977), which contained drawbars and a built-in rotating speaker. Spinet organs included the Romance series, manufactured between 1977 and 1983. In 1979, a Japanese offshoot, Nihon Hammond, introduced the X-5, a portable solid-state clone of the B-3. Hammond-Suzuki Laurens Hammond died in 1973, and the company struggled to survive, proposing an acquiring of Roland in 1972, which was turned down. Roland's Ikutaro Kakehashi did not believe it was practical at that point to move the entire manufacturing operation from Chicago to Japan, and also viewed Hammond's declining sales figures as a problem. In 1985, Hammond went out of business, though servicing and spares continued to be available after this under the name of the Organ Service Company. In early 1986, the Hammond brand and rights were acquired by Hammond Organ Australia, run by Noel Crabbe. Then in 1989, the name was purchased by the Suzuki Musical Instrument Corporation, which rebranded the company as Hammond-Suzuki. Although nominally a Japanese company, founder Manji Suzuki was a fan of the instrument and retained several former Hammond Organ Company staff for research and development, and ensured that production would partially remain in the United States. The new company produced their own brand of portable organs, including the XB-2, XB-3 and XB-5. Sound on Sound Rod Spark, a longtime Hammond enthusiast, said these models were "a matter of taste, of course, but I don't think they're a patch on the old ones". In 2002, Hammond-Suzuki launched the New B-3, a recreation of the original electromechanical instrument using contemporary electronics and a digital tonewheel simulator. The New B-3 is constructed to appear like the original B-3, and the designers attempted to retain the subtle nuances of the familiar B-3 sound. Hammond-Suzuki promotional material states that it would be difficult for even an experienced B-3 player to distinguish between the old and new B-3 organs. A review of the New B-3 by Hugh Robjohns called it "a true replica of an original B-3 ... in terms of the look and layout, and the actual sound". The instrument project nearly stalled after a breakdown in negotiations between Japanese and United States staff, the latter of whom insisted on manufacturing the case in the United States and designing the organ to identical specifications to the original. The company has since released the XK-3, a single-manual organ using the same digital tonewheel technology as the New B-3. The XK-3 is part of a modular system that allows an integrated lower manual and pedals to be added. In response to some clones, including a variety of vintage keyboards in a single package, Hammond released the SK series of organs, which include grand piano, Rhodes piano, Wurlitzer electronic piano, Hohner clavinet, and samples of wind and brass instruments alongside the standard drawbar and tonewheel emulation. Keyboard magazine's Stephen Fortner praised the single manual SK1, indicated that it gave an accurate sound throughout the range of drawbar settings, and said the organ sound was "fat, warm, utterly authentic". The XK-1c model was introduced in early 2014, which is simply an organ-only version of the SK1. An updated flagship organ, the XK-5, was launched in 2016, and a stage keyboard, the SK-X followed in 2019, which allows a player to select an individual instrument (organ, piano or synthesizer) for each manual. In the US, Hammond manufactures a number of dedicated console organs, including the B-3mk2 and the C-3mk2, and the A-405, a Chapel Console Organ. The company has a dedicated Church Advisory Team that provides a consultancy, so churches can choose the most appropriate instrument. Speakers Tone cabinet The authorized loudspeaker enclosure to use with a console organ was the Hammond Tone Cabinet, which housed an external amplifier and speaker in a cabinet. The cabinet carried a balanced mono signal along with the necessary mains power directly from the organ, using a six-pin cable. Spinet organs contained a built-in power amplifier and loudspeakers, so did not require a tone cabinet. The tone cabinet was originally the only method of adding reverberation to a Hammond organ; reverb was not fitted to older organs. The most commercially successful tone cabinets were probably the PR series, particularly the 40-watt PR40. Leslie speaker Many players prefer to play the Hammond through a rotating speaker cabinet known, after several name changes, as a Leslie speaker, after its inventor Donald J. Leslie. The typical Leslie system is an integrated speaker/amplifier combination in which sound is emitted by a rotating horn over a stationary treble compression driver, and a rotating baffle beneath a stationary bass woofer. This creates a characteristic sound because of the constantly changing pitch shifts that result from the Doppler effect created by the moving sound sources. The Leslie was originally designed to mimic the complex tones and constantly shifting sources of sound emanating from a large group of ranks in a pipe organ. The effect varies depending on the speed of the rotors, which can be toggled between fast (tremolo) and slow (chorale) using a console half-moon or pedal switch, with the most distinctive effect occurring as the speaker rotation speed changes. The most popular Leslies were the 122, which accepted a balanced signal suitable for console organs, and the 147, which accepted an unbalanced signal and could be used for spinet organs with a suitable adapter. The Pro-Line series of Leslies which were made to be portable for gigging bands using solid-state amps were popular during the 1970s. Leslie initially tried to sell his invention to Hammond, but Laurens Hammond was unimpressed and declined to purchase it. Hammond modified their interface connectors to be "Leslie-proof", but Leslie quickly engineered a workaround. The Leslie company was sold to CBS in 1965 and was finally bought by Hammond in 1980. Hammond-Suzuki acquired the rights to Leslie in 1992; the company currently markets a variety of speakers under this name. As well as faithful reissues of the original 122 speaker, the company announced in 2013 that they would start manufacturing a standalone Leslie simulator in a stomp box. Tone generation Although they are sometimes included in the category of electronic organs, the majority of Hammond organs are, strictly speaking, electric or electromechanical rather than electronic organs, because the sound is produced by moving parts rather than electronic oscillators. The basic component sound of a Hammond organ comes from a tonewheel. Each one rotates in front of an electromagnetic pickup. The variation in the magnetic field induces a small alternating current at a particular frequency, which represents a signal similar to a sine wave. When a key is pressed on the organ, it completes a circuit of nine electrical switches, which are linked to the drawbars. The position of the drawbars, combined with the switches selected by the key pressed, determines which tonewheels are allowed to sound. Every tonewheel is connected to a synchronous motor via a system of gears, which ensures that each note remains at a constant relative pitch to every other. The combined signal from all depressed keys and pedals is fed through to the vibrato system, which is driven by a metal scanner. As the scanner rotates around a set of pickups, it changes the pitch of the overall sound slightly. From here, the sound is sent to the main amplifier, and on to the audio speakers. The Hammond organ makes technical compromises in the notes it generates. Rather than produce harmonics that are exact multiples of the fundamental as in equal temperament, it uses the nearest-available frequencies generated by the tonewheels. The only guaranteed frequency for a Hammond's tuning is concert A at 440 Hz. Crosstalk or "leakage" occurs when the instrument's magnetic pickups receive the signal from rotating metal tonewheels other than those selected by the organist. Hammond considered crosstalk a defect that required correcting, and in 1963 introduced a new level of resistor–capacitor filtering to greatly reduce this crosstalk, along with 50–60 Hz mains hum. However, the sound of tonewheel crosstalk is now considered part of the signature of the Hammond organ, to the extent that modern digital clones explicitly emulate it. Some Hammond organs have an audible pop or click when a key is pressed. Originally, key click was considered a design defect and Hammond worked to eliminate or at least reduce it with equalization filters. However, many performers liked the percussive effect, and it has been accepted as part of the classic sound. Hammond research and development engineer Alan Young said, "the professionals who were playing popular music [liked] that the attack was so prominent. And they objected when it was eliminated." Clones and emulation devices The original Hammond organ was never designed to be transported regularly. A Hammond B-3 organ, bench, and pedalboard weighs . This weight, combined with that of a Leslie speaker, makes the instrument cumbersome and difficult to move between venues. This created a demand for a more portable and reliable way of generating the same sound. Electronic and digital keyboards that imitate the sound of the Hammond are referred to as "clonewheel organs". The first attempts to electronically copy a Hammond appeared in the 1970s, including the Roland VK-1 and VK-9, the Yamaha YC45D, and the Crumar Organizer. The Korg CX-3 (single manual) and BX-3 (dual manual) were the first lightweight organs to produce a comparable sound to the original. Sound on Sound Gordon Reid said that the CX-3 "came close to emulating the true depth and passion of a vintage Hammond", particularly when played through a Leslie speaker. The Roland VK-7, introduced in 1997, attempted to emulate the sound of a Hammond using digital signal processing technology. An updated version, the VK-8, which appeared in 2002, also provided emulations of other vintage keyboards and provided a connector for a Leslie. Clavia introduced the Nord Electro in 2001; this used buttons to emulate the physical action of pulling or pushing a drawbar, with an LED graph indicating its current state. Clavia has released several updated versions of the Electro since then, and introduced the Nord Stage with the same technology. The Nord C2D was Clavia's first organ with real drawbars. Diversi, founded by former Hammond-Suzuki sales representative Tom Tuson in 2003, specializes in Hammond clones, and has an endorsement from Joey DeFrancesco. The Hammond organ has also been emulated in software. One prominent emulator is the Native Instruments B4 series, which has been praised for its attention to detail and choice of features. Emagic (now part of Apple) has also produced a software emulation, the EVB3. This has led to a Hammond organ module with all controls and features of the original instrument in the Logic Pro audio production suite. Notable players Early customers of the Hammond included Albert Schweitzer, Henry Ford, Eleanor Roosevelt, and George Gershwin. The instrument was not initially favored by classical organ purists, because the tones of two notes an octave apart were in exact synchronization, as opposed to the slight variation present on a pipe organ. However, the instrument did gradually become popular with jazz players. One of the first performers to use the Hammond organ was Ethel Smith, who was known as the "first lady of the Hammond organ". Fats Waller and Count Basie also started using the Hammond. Organist John Medeski thinks the Hammond became "the poor man's big band", but because of that, it became more economical to book organ trios. Jimmy Smith began to play Hammond regularly in the 1950s, particularly in his sessions for the BlueNote label between 1956 and 1963. He eschewed a bass player, and played all the bass parts himself using the pedals, generally using a walking bassline on the pedals in combination with percussive left-hand chords. His trio format, composed of organ, guitar, and drums, became internationally known following an appearance at the Newport Jazz Festival in 1957. Medeski says musicians "were inspired when they heard Jimmy Smith's records". "Brother" Jack McDuff switched from piano to Hammond in the 1950s, and toured regularly throughout the 1960s and 1970s. In his Hammond playing, Keith Emerson sought partly to replicate the sound achieved by McDuff in his arrangement of "Rock Candy". An admirer of Billy Preston's work also, particularly the 1965 instrumental "Billy's Bag", Emerson limited the use of Leslie because he felt that was Preston's domain at the time, whereas he himself was approaching the instrument with an aesthetic combining "a white European attitude", classical music, and rock. Booker T. Jones is cited as being the bridge from rhythm and blues to rock. British organist James Taylor said the Hammond "became popular [in the UK] when people such as Booker T. & the M.G.'s and artists on the Stax Records label came over to London and played gigs". Matthew Fisher first encountered the Hammond in 1966, having heard the Small Faces' Ian McLagan playing one. When Fisher asked if he could play it, McLagan told him, "They're yelling out for Hammond players; why don't you go out and buy one for yourself?" Fisher played the organ lines on Procol Harum's "A Whiter Shade of Pale", which topped the UK charts in the summer of 1967. Steve Winwood started his musical career with the Spencer Davis Group playing guitar and piano, but he switched to Hammond when he hired one to record "Gimme Some Lovin'". Gregg Allman became interested in the Hammond after Mike Finnigan had introduced him to Jimmy Smith's music, and started to write material with it. His brother Duane specifically requested he play the instrument when forming the Allman Brothers Band, and he was presented with a brand new B-3 and Leslie 122RV upon joining. Allman recalls the instrument was cumbersome to transport, particularly on flights of stairs, which often required the whole band's assistance. Author Frank Moriarty considers Allman's Hammond playing a vital ingredient of the band's sound. Deep Purple's Jon Lord became inspired to play the Hammond after hearing Jimmy Smith's "Walk on the Wild Side". He modified his Hammond so it could be played through a Marshall stack to get a growling, overdriven sound, which became known as his trademark and he is strongly identified with it. This organ was later acquired by Joey DeFrancesco. Van der Graaf Generator's Hugh Banton modified his Hammond E-100 extensively with customized electronics, including the ability to put effects such as distortion on one manual but not the other, and rewiring the motor. The modifications created, in Banton's own words, "unimaginable sonic chaos". The Hammond was a key instrument in progressive rock music. Author Edward Macan thinks this is because of its versatility, allowing both chords and lead lines to be played, and a choice between quiet and clean, and what Emerson described as a "tacky, aggressive, almost distorted, angry sound". However, progressive rock historian Paul Stump argued that initially, the popularity of the Hammond organ in progressive rock was less due to the suitability of the instrument to the genre than to its ubiquity in popular music, much like the electric guitar. Emerson first found commercial success with the Nice, with whom he used and abused an L-100, putting knives in the instrument, setting fire to it, playing it upside down, or riding it across stage in the manner of a horse. He continued to play the instrument in this manner alongside other keyboards in Emerson, Lake and Palmer. Other prominent Hammond organists in progressive rock include Argent's Rod Argent, Yes's Tony Kaye and Rick Wakeman, Focus's Thijs van Leer, Uriah Heep's Ken Hensley, Pink Floyd's Rick Wright, Kansas's Steve Walsh, and Genesis's Tony Banks. Banks later claimed he only used the Hammond because a piano was impractical to transport to gigs. Ska and reggae music made frequent use of the Hammond throughout the 1960s and 1970s. Junior Marvin started to play the instrument after hearing Booker T & the MGs' "Green Onions", although he complained about its weight. Winston Wright was regarded in the music scene of Jamaica as one of the best organ players, and used the Hammond when performing live with Toots and the Maytals, as well as playing it on sessions with Lee "Scratch" Perry, Jimmy Cliff, and Gregory Isaacs. Tyrone Downie, best known as Bob Marley and the Wailers' keyboard player, made prominent use of the Hammond on "No Woman, No Cry", as recorded at the Lyceum Theatre, London, for the album Live! The Hammond organ was perceived as outdated by the late 1970s, particularly in the UK, where it was often used to perform pop songs in social clubs. Punk and new wave bands tended to prefer second-hand combo organs from the 1960s, or use no keyboards at all. Other groups started taking advantage of cheaper and more portable synthesizers that were
to recover their blood glucose to normal levels. These individuals are also at far greater risk of severe hypoglycemia. While the exact cause of hypoglycemic unawarenss is still under research, it is thought that these individuals progressively begin to develop fewer adrenergic-type symptoms, resulting in the loss of neuroglycopenic-type symptoms. Neuroglycopenic symptoms are caused by low glucose in the brain, and can result in tiredness, confusion, difficulty with speech, seizures, and loss of consciousness. Adrenergic symptoms are caused by the body's reaction to low glucose in the brain, and can result in fast heart rate, sweating, nervousness, and hunger. See section above on Signs and Symptoms for further explanation of neuroglycopenic symptoms and adrenergic symptoms. In terms of epidemiology, hypoglycemic unawarenss occurs in 20-40% of type 1 diabetics. Other causes Other causes of hypoglycemia in diabetics include the following: Fasting, whether it be a planned fast or overnight fast, as there is a long period of time without glucose intake Exercising more than usual as it leads to more use of glucose, especially by the muscles Drinking alcohol, especially when combined with diabetic medications, as alcohol inhibits glucose production Kidney disease, as insulin cannot be cleared out of circulation well Non-diabetics Serious illness Serious illness may result in low blood sugar. Severe disease of many organ systems can cause hypoglycemia as a secondary problem. Hypoglycemia is especially common in those in the intensive care unit or those in whom food and drink is withheld as a part of their treatment plan. Sepsis, a common cause of hypoglycemia in serious illness, can lead to hypoglycemia through many ways. In a state of sepsis, the body uses large amounts of glucose for energy. Glucose use is further increased by cytokine production. Cytokines are a protein produced by the body in a state of stress, particularly when fighting an infection. Cytokines may inhibit glucose production, further decreasing the body's energy stores. Finally, the liver and kidneys are sites of glucose production, and in a state of sepsis those organs may not receive enough oxygen, leading to decreased glucose production due to organ damage. Other causes of serious illness that may cause hypoglycemia include liver failure and kidney failure. The liver is the main site of glucose production in the body, and any liver failure or damage will lead to decreased glucose production. While the kidneys are also sites of glucose production, their failure of glucose production is not significant enough to cause hypoglycemia . Instead, the kidneys are responsible for removing insulin from the body, and when this function is impaired in kidney failure, the insulin stays in circulation longer, leading to hypoglycemia. Drugs A number of medications have been identified which may cause hypoglycemia, through a variety of ways. Moderate quality evidence implicates the non-steroidal anti-inflammatory drug indomethacin and the anti-malarial quinine. Low quality evidence implicates lithium, used for bipolar disorder. Finally, very low quality evidence implicates a number of hypertension medications including angiotensin converting enzyme inhibitors (also called ACE-inhibitors), angiotensin receptor blockers (also called ARBs), and β-adrenergic blockers (also called beta blockers). Other medications with very low quality evidence include the antibiotics levofloxacin and trimethoprim-sulfamethoxazole, progesterone blocker mifepristone, anti-arrhythmic disopyramide, anti-coagulant heparin, and chemotherapeutic mercaptopurine. If a person without diabetes accidentally takes medications that are traditionally used to treat diabetes, this may also cause hypoglycemia. These medications include insulin, glinides, and sulfonylureas. This may occur through medical errors in a healthcare setting or through pharmacy errors, also called iatrogenic hypoglycemia. Surreptitious insulin use When individuals take insulin without needing it, to purposefully induce hypoglycemia, this is referred to as surreptitious insulin use or factitious hypoglycemia. Some people may use insulin to induce weight loss, whereas for others this may be due to malingering or factitious disorder, which is a psychiatric disorder. Demographics affected by factitious hypoglycemia include women aged 30–40, particularly those with diabetes, relatives with diabetes, healthcare workers, or those with history of a psychiatric disorder. The classic way to identify surreptitious insulin use is through blood work revealing high insulin levels with low C-peptide and proinsulin. Alcohol misuse The production of glucose is blocked by alcohol. In those who misuse alcohol, hypoglycemia may be brought on by a several-day alcohol binge associated with little to no food intake. The cause of hypoglycemia is multifactorial, where glycogen becomes depleted in a state of starvation. Glycogen stores are then unable to be repleted due to the lack of food intake, all compounded the inhibition of glucose production by alcohol. Hormone deficiency Children with primary adrenal failure, also called Addison's disease, may experience hypoglycemia after long periods of fasting. Addison's disease is associated with chronically low levels of the stress hormone cortisol, which leads to decreased glucose production. Hypopituitarism, leading to decreased growth hormone, is another cause of hypoglycemia in children, particularly with long periods of fasting or increased exercise. Inborn errors of metabolism Briefly, inborn errors of metabolism are a group rare of genetic disorders that are associated with the improper breakdown or storage of proteins, carbohydrates, or fatty acids. Inborn errors of metabolism may cause infant hypoglycemia, and much less commonly adult hypoglycemia. Disorders that are related to the breakdown of glycogen, called glycogen storage diseases, may cause hypoglycemia. Normally, breakdown of glycogen leads to increased glucose levels, particularly in a fasting state. In glycogen storage diseases however, glycogen cannot be properly broken-down, leading to inappropriately decreased glucose levels in a fasting state, and thus hypoglycemia. The glycogen storage diseases associated with hypoglycemia include type 0, type I, type III, and type IV, as well as Fanconi syndrome. Insulinomas A primary B-cell tumor, such as an insulinoma, is associated with hypoglycemia. This is a tumor located in the pancreas. An insulinoma produces insulin, which in turn decreases glucose levels, causing hypoglycemia. Normal regulatory mechanisms are not in place, which prevent insulin levels from falling during states of low blood glucose. During an episode of hypoglycemia, plasma insulin, C-peptide, and proinsulin will be inappropriately high. Non-B cell tumors Hypoglycemia may occur in people with non-B cell tumors such as hepatomas, adrenocorticoid carcinomas, and carcinoid tumors. These tumors lead to a state of increased insulin, specifically increased insulin-like growth factor II, which decreases glucose levels. Post-gastric bypass postprandial hypoglycemia The Roux-en-Y gastric bypass, is a weight-loss surgery performed on the stomach, and has been associated with hypoglycemia, called post-gastric bypass postprandial hypoglycemia. Although the entire mechanism of hypoglycemia following this surgery is not fully understood, it is thought that meals cause very high levels of glucagon-like peptide-1 (also called GLP-1), a hormone that increases insulin, causing glucose levels to drop. Autoimmune hypoglycemia Antibodies can be formed against insulin, leading to autoimmune hypoglycemia. Antibodies are immune cells produced by the body, that normally attack bacteria and viruses, but sometimes can attack normal human cells, leading to an autoimmune disorder. In autoimmune hypoglycemia, there are two possible mechanisms. In one instance, antibodies bind to insulin following its release associated with a meal, resulting in insulin being non-functional. At a later time, the antibodies fall off insulin, causing insulin to be functional again leading late hypoglycemia after a meal, called late postprandial hypoglycemia. Another mechanism causing hypoglycemia is due to antibodies formed against insulin receptors, called insulin receptor antibodies. The antibodies attach to insulin receptors and prevent insulin breakdown, or degradation, leading to inappropriately high insulin levels and low glucose levels. Neonatal hypoglycemia Low blood sugar may occur in healthy neonates aged less than 48 hours who have not eaten for a few hours. During the 48 hour neonatal period, the neonate adjusts glucagon and epinephrine levels following birth, which may trigger transient hypoglycemia. In children who are aged greater than 48 hours, serum glucose on average ranges from 70 to 100 mg/dL (3.9-5.5 mmol/L), similar to adults, with hypoglycemia being far less common. Diagnosic approach The most reliable method of identifying hypoglycemia is through identifying Whipple's triad. The components of Whipple's triad are a blood sugar level below 70 mg/dL (3.9 mmol/L), symptoms related to low blood sugar, and improvement of symptoms when blood sugar is restored to normal. Identifying Whipple's triad in a patient helps to avoid unnecessary diagnostic testing and decreases healthcare costs. In those with a history of diabetes treated with insulin, glinides, or sulfonylurea, who demonstrate Whipple's triad, it is reasonable to assume the cause of hypoglycemia is due to insulin, glinides, or sulfonylurea use. In those without a history of diabetes with hypoglycemia, further diagnostic testing is necessary to identify the cause. Testing, during an episode of hypoglycemia, should include the following: Plasma glucose level, not point-of-care measurement Insulin level C-peptide level Proinsulin level Beta-hydroxybutyrate level Oral hypoglycemic agent screen Response of blood glucose level to glucagon Insulin antibodies If necessary, a diagnostic hypoglycemic episode can be produced in an inpatient or outpatient setting. This is called a diagnostic fast, in which a patient undergoes an observed fast to cause a hypoglyemic episode, allowing for appropriate blood work to be drawn. In some, the hypoglycemic episode may be reproduced simply after a mixed meal, whereas in others a fast may last up to 72 hours. In those with a suspected insulinoma, imaging is the most reliable diagnostic technique, including ultrasound, computed tomography imaging (also called CT imaging), and magnetic resonsance imaging (also called MRI). Treatment After hypoglycemia in a person is identified, rapid treatment is necessary and can be life-saving. The main goal of treatment is to raise blood glucose back to normal levels, which is done through various ways of administering glucose, depending on the severity of the hypoglycemia, what is on-hand to treat, and who is administering the treatment. A general rule used by the American Diabetes Association is the "15-15 Rule," which suggests consuming or administering 15 grams of a carbohydrate, followed by a 15-minute wait and re-measurement of blood glucose level to assess if blood glucose has returned to normal levels. Self-treatment If an individual recognizes the symptoms of hypoglycemia coming on, blood sugar should promptly be measured, and a sugary food or drink should be consumed. The person must be conscious and able to swallow. The goal is to consume 10-20 grams of a carbohydrate to raise blood glucose levels to a minimum of 70 mg/dL (3.9
all compounded the inhibition of glucose production by alcohol. Hormone deficiency Children with primary adrenal failure, also called Addison's disease, may experience hypoglycemia after long periods of fasting. Addison's disease is associated with chronically low levels of the stress hormone cortisol, which leads to decreased glucose production. Hypopituitarism, leading to decreased growth hormone, is another cause of hypoglycemia in children, particularly with long periods of fasting or increased exercise. Inborn errors of metabolism Briefly, inborn errors of metabolism are a group rare of genetic disorders that are associated with the improper breakdown or storage of proteins, carbohydrates, or fatty acids. Inborn errors of metabolism may cause infant hypoglycemia, and much less commonly adult hypoglycemia. Disorders that are related to the breakdown of glycogen, called glycogen storage diseases, may cause hypoglycemia. Normally, breakdown of glycogen leads to increased glucose levels, particularly in a fasting state. In glycogen storage diseases however, glycogen cannot be properly broken-down, leading to inappropriately decreased glucose levels in a fasting state, and thus hypoglycemia. The glycogen storage diseases associated with hypoglycemia include type 0, type I, type III, and type IV, as well as Fanconi syndrome. Insulinomas A primary B-cell tumor, such as an insulinoma, is associated with hypoglycemia. This is a tumor located in the pancreas. An insulinoma produces insulin, which in turn decreases glucose levels, causing hypoglycemia. Normal regulatory mechanisms are not in place, which prevent insulin levels from falling during states of low blood glucose. During an episode of hypoglycemia, plasma insulin, C-peptide, and proinsulin will be inappropriately high. Non-B cell tumors Hypoglycemia may occur in people with non-B cell tumors such as hepatomas, adrenocorticoid carcinomas, and carcinoid tumors. These tumors lead to a state of increased insulin, specifically increased insulin-like growth factor II, which decreases glucose levels. Post-gastric bypass postprandial hypoglycemia The Roux-en-Y gastric bypass, is a weight-loss surgery performed on the stomach, and has been associated with hypoglycemia, called post-gastric bypass postprandial hypoglycemia. Although the entire mechanism of hypoglycemia following this surgery is not fully understood, it is thought that meals cause very high levels of glucagon-like peptide-1 (also called GLP-1), a hormone that increases insulin, causing glucose levels to drop. Autoimmune hypoglycemia Antibodies can be formed against insulin, leading to autoimmune hypoglycemia. Antibodies are immune cells produced by the body, that normally attack bacteria and viruses, but sometimes can attack normal human cells, leading to an autoimmune disorder. In autoimmune hypoglycemia, there are two possible mechanisms. In one instance, antibodies bind to insulin following its release associated with a meal, resulting in insulin being non-functional. At a later time, the antibodies fall off insulin, causing insulin to be functional again leading late hypoglycemia after a meal, called late postprandial hypoglycemia. Another mechanism causing hypoglycemia is due to antibodies formed against insulin receptors, called insulin receptor antibodies. The antibodies attach to insulin receptors and prevent insulin breakdown, or degradation, leading to inappropriately high insulin levels and low glucose levels. Neonatal hypoglycemia Low blood sugar may occur in healthy neonates aged less than 48 hours who have not eaten for a few hours. During the 48 hour neonatal period, the neonate adjusts glucagon and epinephrine levels following birth, which may trigger transient hypoglycemia. In children who are aged greater than 48 hours, serum glucose on average ranges from 70 to 100 mg/dL (3.9-5.5 mmol/L), similar to adults, with hypoglycemia being far less common. Diagnosic approach The most reliable method of identifying hypoglycemia is through identifying Whipple's triad. The components of Whipple's triad are a blood sugar level below 70 mg/dL (3.9 mmol/L), symptoms related to low blood sugar, and improvement of symptoms when blood sugar is restored to normal. Identifying Whipple's triad in a patient helps to avoid unnecessary diagnostic testing and decreases healthcare costs. In those with a history of diabetes treated with insulin, glinides, or sulfonylurea, who demonstrate Whipple's triad, it is reasonable to assume the cause of hypoglycemia is due to insulin, glinides, or sulfonylurea use. In those without a history of diabetes with hypoglycemia, further diagnostic testing is necessary to identify the cause. Testing, during an episode of hypoglycemia, should include the following: Plasma glucose level, not point-of-care measurement Insulin level C-peptide level Proinsulin level Beta-hydroxybutyrate level Oral hypoglycemic agent screen Response of blood glucose level to glucagon Insulin antibodies If necessary, a diagnostic hypoglycemic episode can be produced in an inpatient or outpatient setting. This is called a diagnostic fast, in which a patient undergoes an observed fast to cause a hypoglyemic episode, allowing for appropriate blood work to be drawn. In some, the hypoglycemic episode may be reproduced simply after a mixed meal, whereas in others a fast may last up to 72 hours. In those with a suspected insulinoma, imaging is the most reliable diagnostic technique, including ultrasound, computed tomography imaging (also called CT imaging), and magnetic resonsance imaging (also called MRI). Treatment After hypoglycemia in a person is identified, rapid treatment is necessary and can be life-saving. The main goal of treatment is to raise blood glucose back to normal levels, which is done through various ways of administering glucose, depending on the severity of the hypoglycemia, what is on-hand to treat, and who is administering the treatment. A general rule used by the American Diabetes Association is the "15-15 Rule," which suggests consuming or administering 15 grams of a carbohydrate, followed by a 15-minute wait and re-measurement of blood glucose level to assess if blood glucose has returned to normal levels. Self-treatment If an individual recognizes the symptoms of hypoglycemia coming on, blood sugar should promptly be measured, and a sugary food or drink should be consumed. The person must be conscious and able to swallow. The goal is to consume 10-20 grams of a carbohydrate to raise blood glucose levels to a minimum of 70 mg/dL (3.9 mmol/L). Examples of products to consume are: Glucose tabs or gel (refer to instructions on packet) Juice containing sugar like apple, grape, or cranberry juice, 4 ounces or 1/2 cup Soda or a soft-drink, 4 ounces or 1/2 cup (not diet soda) Candy Table sugar or honey, 1 tablespoon Improvement in blood sugar levels and symptoms are expected to occur in 15–20 minutes, at which point blood sugar should be measured again. If the repeat blood sugar level is not above 70 mg/dL (3.9 mmol/L), consume another 10-20 grams of a carbohydrate and remeasure blood sugar levels after 15–20 minutes. Repeat until blood glucose levels have returned to normal levels. The greatest improvements in blood glucose will be seen if the carbohydrate chewed or drunk, and then swallowed. This results in the greatest bioavaliablity of glucose, meaning the greatest amount of glucose enters the body producing the best possible improvements in blood glucose levels. The second best way to consume a carbohydrate it to allow it to dissolve under the tongue, also referred to as sublingual administration. For example, a hard candy can be dissolved under the tongue, however the best improvements in blood glucose will occur if the hard candy is chewed and crushed, then swallowed. After correcting blood glucose levels, people may consume a full meal within one hour in order to replenish glucagon stores. Education Family, friends, and co-workers of a person with diabetes may provide life-saving treatment in the case of a hypoglycemic episode It is important for these people to receive training on how to recognize hypoglycemia, what foods to help the hypoglycemic eat, how to administer injectable or intra-nasal glucagon, and how use a glucose meter. Treatment by family, friends, or co-workers Family, friends, and co-workers of those with hypoglycemia are often first to identify hypoglycemic episodes, and may offer help. Upon recognizing the signs and symptoms of hypoglycemia in a diabetic, a blood sugar level should first be measured using a glucose meter. If blood glucose is below 70 mg/dL (3.9 mmol/L), treatment will depend on whether the person is conscious and can swallow safely. If the person is conscious and able to swallow, the family, friend, or co-worker can help the hypoglycemic consume 10-20 grams of a carbohydrate to raise blood glucose levels to a minimum of 70 mg/dL (3.9 mmol/L). Improvement in blood sugar level and symptoms is expected to occur in 15–20 minutes, at which point blood sugar is measured again. If the repeat blood sugar level is not above 70 mg/dL (3.9 mmol/L), the hypoglycemic should consume another 10-20 grams of a carbohydrate and with remeasurement of blood sugar levels after 15–20 minutes. Repeat until blood glucose levels have returned to normal levels, or call emergency services for further assistance. If the person is unconscious, a glucagon kit may be used to treat severe hypoglycemia, which delivers glucagon either by injection into a muscle or through nasal inhalation. In the United States, glucacon kits are available by prescription for diabetic patients to carry in case of an episode of severe hypoglycemia. Emergency services should be called for further assitance. Treatment by medical professionals In a healthcare setting, treatment depends on the severity of symptoms and intravenous access. If a patient is conscious and able to swallow safely, food or drink may be administered, as well as glucose tabs or gel. In those with intravenous access, 25 grams of 50% dextrose is commonly administered. When there is no intravenous access, intramuscular or intra-nasal glucagon may be administered. Other treatments While the treatment of hypoglycemia is typically managed with carbohydrate consumption, glucagon injection, or dextrose administration, there are some other treatments available. Medications like diazoxide and octreotide decrease insulin levels, increasing blood glucose levels. Dasiglucagon was approved for medical use in the United States in March 2021, to treat severe hypoglycemia. Dasiglucagon (brand name Zegalogue) is unique because it is
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historical events, births, deaths, and holidays and observances of the specified day of the year: See also Leap year List of calendars List of non-standard dates External links On This Day BBC: On This Day The New York Times:
147,734 on January 1, 2019, and the metro has about 320,000 inhabitants. Between 1912 and 1971 the name of the town was officially spelled Hälsingborg (rather like the region of Hälsingland but unlike neighbouring Danish Helsingør and the Finnish capital Helsingfors (Helsinki)). The spelling was changed back to the older version when the present municipality was created in 1971 through the amalgamation of the Town of Hälsingborg with four surrounding rural municipalities. Since the 1990s the municipality again styles itself Helsingborgs stad (Town of Helsingborg).
the amalgamation of the Town of Hälsingborg with four surrounding rural municipalities. Since the 1990s the municipality again styles itself Helsingborgs stad (Town of Helsingborg). This usage is only nominal and has no effect on the status of the municipality. Localities As of 2018, there were 16 urban areas the municipality. International relations Twin towns — sister cities Helsingborg is twinned with: Alexandria,
Ford's Episcopalian pastor, Reverend Samuel S. Marquis, accompanied him on the mission. Marquis headed Ford's Sociology Department from 1913 to 1921. Ford talked to President Woodrow Wilson about the mission but had no government support. His group went to neutral Sweden and the Netherlands to meet with peace activists. A target of much ridicule, Ford left the ship as soon as it reached Sweden. In 1915, Ford blamed "German-Jewish bankers" for instigating the war. According to biographer Steven Watts, Ford's status as a leading industrialist gave him a worldview that warfare was wasteful folly that retarded long-term economic growth. The losing side in the war typically suffered heavy damage. Small business were especially hurt, for it takes years to recuperate. He argued in many newspaper articles that a focus on business efficiency would discourage warfare because, “If every man who manufactures an article would make the very best he can in the very best way at the very lowest possible price the world would be kept out of war, for commercialists would not have to search for outside markets which the other fellow covets.” Ford admitted that munitions makers enjoyed wars, but he argued the most businesses wanted to avoid wars and instead work to manufacture and sell useful goods, hire workers, and generate steady long-term profits. Ford's British factories produced Fordson tractors to increase the British food supply, as well as trucks and warplane engines. When the U.S. entered the war in 1917, Ford went quiet on foreign policy. His company became a major supplier of weapons, especially the Liberty engine for warplanes and anti-submarine boats. In 1918, with the war on and the League of Nations a growing issue in global politics, President Woodrow Wilson, a Democrat, encouraged Ford to run for a Michigan seat in the U.S. Senate. Wilson believed that Ford could tip the scales in Congress in favor of Wilson's proposed League. "You are the only man in Michigan who can be elected and help bring about the peace you so desire," the president wrote Ford. Ford wrote back: "If they want to elect me let them do so, but I won't make a penny's investment." Ford did run, however, and came within 7,000 votes of winning, out of more than 400,000 cast statewide. He was defeated in a close election by the Republican candidate, Truman Newberry, a former United States Secretary of the Navy. Ford remained a staunch Wilsonian and supporter of the League. When Wilson made a major speaking tour in the summer of 1919 to promote the League, Ford helped fund the attendant publicity. Coming of World War II and Ford's mental collapse Ford had opposed the United States' entry into World War II and continued to believe that international business could generate the prosperity that would head off wars. Ford "insisted that war was the product of greedy financiers who sought profit in human destruction". In 1939, he went so far as to claim that the torpedoing of U.S. merchant ships by German submarines was the result of conspiratorial activities undertaken by financier war-makers. The financiers to whom he was referring was Ford's code for Jews; he had also accused Jews of fomenting the First World War. In the run-up to World War II and when the war erupted in 1939, he reported that he did not want to trade with belligerents. Like many other businessmen of the Great Depression era, he never liked or entirely trusted the Franklin Roosevelt Administration, and thought Roosevelt was inching the U.S. closer to war. Ford continued to do business with Nazi Germany, including the manufacture of war materiel. However, he also agreed to build warplane engines for the British government. In early 1940, he boasted that Ford Motor Company would soon be able to produce 1,000 U.S. warplanes a day, even though it did not have an aircraft production facility at that time. Beginning in 1940, with the requisitioning of between 100 and 200 French POWs to work as slave laborers, Ford-Werke contravened Article 31 of the 1929 Geneva Convention. At that time, which was before the U.S. entered the war and still had full diplomatic relations with Nazi Germany, Ford-Werke was under the control of the Ford Motor Company. The number of slave laborers grew as the war expanded even though Nazi authorities did not require German companies to use slave laborers. When Rolls-Royce sought a U.S. manufacturer as an additional source for the Merlin engine (as fitted to Spitfire and Hurricane fighters), Ford first agreed to do so and then reneged. He "lined up behind the war effort" when the U.S. entered in December 1941. His support of the American war effort, however, was problematic. Willow Run Before the U.S. entered the war, responding to President Roosevelt's call in December 1940 for the "Great Arsenal of Democracy", Ford directed the Ford Motor Company to construct a vast new purpose-built aircraft factory at Willow Run near Detroit, Michigan. Ford broke ground on Willow Run in the spring of 1941, B-24 component production began in May 1942, and the first complete B-24 came off the line in October 1942. At , it was the largest assembly line in the world at the time. At its peak in 1944, the Willow Run plant produced 650 B-24s per month, and by 1945 Ford was completing each B-24 in eighteen hours, with one rolling off the assembly line every 58 minutes. Ford produced 9,000 B-24s at Willow Run, half of the 18,000 total B-24s produced during the war. Edsel's death When Edsel Ford died of cancer in 1943, aged only 49, Henry Ford nominally resumed control of the company, but a series of strokes in the late 1930s had left him increasingly debilitated, and his mental ability was fading. Ford was increasingly sidelined, and others made decisions in his name. The company was controlled by a handful of senior executives led by Charles Sorensen, an important engineer and production executive at Ford; and Harry Bennett, the chief of Ford's Service Unit, Ford's paramilitary force that spied on, and enforced discipline upon, Ford employees. Ford grew jealous of the publicity Sorensen received and forced Sorensen out in 1944. Ford's incompetence led to discussions in Washington about how to restore the company, whether by wartime government fiat, or by instigating a coup among executives and directors. Forced out Nothing happened until 1945 when, with bankruptcy a serious risk, Ford's wife Clara and Edsel's widow Eleanor confronted him and demanded he cede control of the company to his grandson Henry Ford II. They threatened to sell off their stock, which amounted to three quarters of the company's total shares, if he refused. Ford was reportedly infuriated, but had no choice but to give in. The young man took over and, as his first act of business, fired Harry Bennett. Antisemitism and The Dearborn Independent All his life, Ford was a conspiracy theorist, as he and his writers drew on a long European tradition of false allegations against Jews. Ford claimed that Jewish internationalism posed a threat to traditional American values, which he deeply believed were at risk in the modern world. Part of his racist and antisemitic legacy includes the funding of square-dancing in American schools because he hated jazz and associated its creation with Jewish people. In 1920 Ford wrote, "If fans wish to know the trouble with American baseball they have it in three words—too much Jew." In 1918, Ford's closest aide and private secretary, Ernest G. Liebold, purchased an obscure weekly newspaper for Ford, The Dearborn Independent. The Independent ran for eight years, from 1920 until 1927, with Liebold as editor. Every Ford franchise nationwide had to carry the paper and distribute it to its customers. With around 700,000 readers of his newspaper, Ford emerged as "a respected spokesman for right-wing extremism and religious prejudice.". In Germany, Ford's antisemitic articles from The Dearborn Independent were issued in four volumes, cumulatively titled The International Jew, the World's Foremost Problem published by Theodor Fritsch, founder of several antisemitic parties and a member of the Reichstag. In a letter written in 1924, Heinrich Himmler described Ford as "one of our most valuable, important, and witty fighters". Ford is the only American mentioned favorably in Mein Kampf, although he is only mentioned twice: Adolf Hitler wrote, "only a single great man, Ford, [who], to [the Jews'] fury, still maintains full independence ... [from] the controlling masters of the producers in a nation of one hundred and twenty millions." Speaking in 1931 to a Detroit News reporter, Hitler said he regarded Ford as his "inspiration", explaining his reason for keeping Ford's life-size portrait next to his desk. Steven Watts wrote that Hitler "revered" Ford, proclaiming that "I shall do my best to put his theories into practice in Germany", and modeling the Volkswagen Beetle, the people's car, on the Model T. Max Wallace has stated, "History records that ... Adolf Hitler was an ardent Anti-Semite before he ever read Ford's The International Jew." Under Ford, the newspaper also reprinted the antisemitic fabricated text The Protocols of the Elders of Zion. On February 1, 1924, Ford received Kurt Ludecke, a representative of Hitler, at home. Ludecke was introduced to Ford by Siegfried Wagner (son of the composer Richard Wagner) and his wife Winifred, both Nazi sympathizers and antisemites. Ludecke asked Ford for a contribution to the Nazi cause, but was apparently refused. Ford's articles were denounced by the Anti-Defamation League (ADL). While these articles explicitly condemned pogroms and violence against Jews, they blamed the Jews themselves for provoking them. According to some trial testimony, none of this work was written by Ford, but he allowed his name to be used as an author. Friends and business associates have said they warned Ford about the contents of the Independent and that he probably never read the articles (he claimed he only read the headlines). On the other hand, court testimony in a libel suit, brought by one of the targets of the newspaper, alleged that Ford did know about the contents of the Independent in advance of publication. A libel lawsuit was brought by San Francisco lawyer and Jewish farm cooperative organizer Aaron Sapiro in response to the antisemitic remarks, and led Ford to close the Independent in December 1927. News reports at the time quoted him as saying he was shocked by the content and unaware of its nature. During the trial, the editor of Ford's "Own Page", William Cameron, testified that Ford had nothing to do with the editorials even though they were under his byline. Cameron testified at the libel trial that he never discussed the content of the pages or sent them to Ford for his approval. Investigative journalist Max Wallace noted that "whatever credibility this absurd claim may have had was soon undermined when James M. Miller, a former Dearborn Independent employee, swore under oath that Ford had told him he intended to expose Sapiro." Michael Barkun observed: "That Cameron would have continued to publish such anti-Semitic material without Ford's explicit instructions seemed unthinkable to those who knew both men. Mrs. Stanley Ruddiman, a Ford family intimate, remarked that "I don't think Mr. Cameron ever wrote anything for publication without Mr. Ford's approval." According to Spencer Blakeslee, "[t]he ADL mobilized prominent Jews and non-Jews to publicly oppose Ford's message. They formed a coalition of Jewish groups for the same purpose and raised constant objections in the Detroit press. Before leaving his presidency early in 1921, Woodrow Wilson joined other leading Americans in a statement that rebuked Ford and others for their antisemitic campaign. A boycott against Ford products by Jews and liberal Christians also had an impact, and Ford shut down the paper in 1927, recanting his views in a public letter to Sigmund Livingston, president of the ADL." Wallace also found that Ford's apology was likely, or at least partly, motivated by a business that was slumping as a result of his antisemitism, repelling potential buyers of Ford cars. Up until the apology, a considerable number of dealers, who had been required to make sure that buyers of Ford cars received the Independent, bought up and destroyed copies of the newspaper rather than alienate customers. Ford's 1927 apology was well received. "Four-fifths of the hundreds of letters addressed to Ford in July 1927 were from Jews, and almost without exception they praised the industrialist..." In January 1937, a Ford statement to The Detroit Jewish Chronicle disavowed "any connection whatsoever with the publication in Germany of a book known as the International Jew". Ford, however, allegedly never signed the retraction and apology, which were written by others—rather, his signature was forged by Harry Bennett—and Ford never actually recanted his antisemitic views, stating in 1940: "I hope to republish The International Jew again some time." In July 1938, the German consul in Cleveland gave Ford, on his 75th birthday, the award of the Grand Cross of the German Eagle, the highest medal Nazi Germany could bestow on a foreigner. James D. Mooney, vice president of overseas operations for General Motors, received a similar medal, the Merit Cross of the German Eagle, First Class. On January 7, 1942, Ford wrote another letter to Sigmund Livingston disclaiming direct or indirect support of "any agitation which would promote antagonism toward my Jewish fellow citizens". He concluded the letter with, "My sincere hope that now in this country and throughout the world when the war is finished, hatred of the Jews and hatred against any other racial or religious groups shall cease for all time." The distribution of The International Jew was halted in 1942 through legal action by Ford, despite complications from a lack of copyright. It is still banned in Germany. Extremist groups often recycle the material; it still appears on antisemitic and neo-Nazi websites. Testifying at Nuremberg, convicted Hitler Youth leader Baldur von Schirach who, in his role as Gauleiter of Vienna, deported 65,000 Jews to camps in Poland, stated: "The decisive anti-Semitic book I was reading and the book that influenced my comrades was ... that book by Henry Ford, The International Jew. I read it and became anti-Semitic. The book made a great influence on myself and my friends because we saw in Henry Ford the representative of success and also the representative of a progressive social policy." Robert Lacey wrote in Ford: The Men and the Machines that a close Willow Run associate of Ford reported that when he was shown newsreel footage of the Nazi concentration camps, he "was confronted with the atrocities which finally and unanswerably laid bare the bestiality of the prejudice to which he contributed, he collapsed with a stroke – his last and most serious." Ford had suffered previous strokes and his final cerebral hemorrhage occurred in 1947 at age 83. International business Ford's philosophy was one of economic independence for the United States. His River Rouge Plant became the world's largest industrial complex, pursuing vertical integration to such an extent that it could produce its own steel. Ford's goal was to produce a vehicle from scratch without reliance on foreign trade. He believed in the global expansion of his company. He believed that international trade and cooperation led to international peace, and he used the assembly line process and production of the Model T to demonstrate it. He opened Ford assembly plants in Britain and Canada in 1911, and soon became the biggest automotive producer in those countries. In 1912, Ford cooperated with Giovanni Agnelli of Fiat to launch the first Italian automotive assembly plants. The first plants in Germany were built in the 1920s with the encouragement of Herbert Hoover and the Commerce Department, which agreed with Ford's theory that international trade was essential to world peace. In the 1920s, Ford also opened plants in Australia, India, and France, and by 1929, he had successful dealerships on six continents. Ford experimented with a commercial rubber plantation in the Amazon jungle called Fordlândia; it was one of his few failures. In 1929, Ford made an agreement with the Soviets to provide technical aid over nine years in building the first Soviet automobile plant (GAZ) near Nizhny Novgorod (Gorky) (an additional contract for construction of the plant was signed with The Austin Company on August 23, 1929). The contract involved the purchase of $30,000,000 worth of knocked-down Ford cars and trucks for assembly during the first four years of the plant's operation, after which the plant would gradually switch to Soviet-made components. Ford sent his engineers and technicians to the Soviet Union to help install the equipment and train the workforce, while over a hundred Soviet engineers and technicians were stationed at Ford's plants in Detroit and Dearborn "for the purpose of learning the methods and practice of manufacture and assembly in the Company's plants". Said Ford: "No matter where industry prospers, whether in India or China, or Russia, the more profit there will be for everyone, including us. All the world is bound to catch some good from it." By 1932, Ford was manufacturing one-third of the world's automobiles. It set up numerous subsidiaries that sold or assembled the Ford cars and trucks: Ford of Australia Ford of Britain Ford of Argentina Ford of Brazil Ford of Canada Ford of Europe Ford India Ford South Africa Ford Mexico Ford Philippines Ford's image transfixed Europeans, especially the Germans, arousing the "fear of some, the infatuation of others, and the fascination among all". Germans who discussed "Fordism" often believed that it represented something quintessentially American. They saw the size, tempo, standardization, and philosophy of production demonstrated at the Ford Works as a national service—an "American thing" that represented the culture of the United States. Both supporters and critics insisted that Fordism epitomized American capitalist development, and that the auto industry was the key to understanding economic and social relations in the United States. As one German explained, "Automobiles have so completely changed the American's mode of life that today one can hardly imagine being without a car. It is difficult to remember what life was like before Mr. Ford began preaching his doctrine of salvation". For many Germans, Ford embodied the essence of successful Americanism. In My Life and Work, Ford predicted that if greed, racism, and short-sightedness could be overcome, then economic and technological development throughout the world would progress to the point that international trade would no longer be based on (what today would be called) colonial or neocolonial models and would truly benefit all peoples. Racing Ford maintained an interest in auto racing from 1901 to 1913 and began his involvement in the sport as both a builder and a driver, later turning the wheel over to hired drivers. He entered stripped-down Model Ts in races, finishing first (although later disqualified) in an "ocean-to-ocean" (across the United States) race in 1909, and setting a one-mile (1.6 km) oval speed record at Detroit Fairgrounds in 1911 with driver Frank Kulick. In 1913, Ford attempted to enter a reworked Model T in the Indianapolis 500 but was told rules required the addition of another to the car before it could qualify. Ford dropped out of the race and soon thereafter dropped out of racing permanently, citing dissatisfaction with the sport's rules, demands on his time by the booming production of the Model T, and his low opinion of racing as a worthwhile activity. In My Life and Work Ford speaks (briefly) of racing in a rather dismissive tone, as something that is not at all a good measure of automobiles in general. He describes himself as someone who raced only because in the 1890s through 1910s, one had to race because prevailing ignorance held that racing was the way to prove the worth of an automobile. Ford did not agree. But he was determined that as long as this was the definition of success (flawed though the definition was), then his cars would be the best that there were at racing. Throughout the book, he continually returns to ideals such as transportation, production efficiency, affordability, reliability, fuel efficiency, economic prosperity, and the automation of drudgery in farming and industry, but rarely mentions, and rather belittles, the idea of merely going fast from point A to point B. Nevertheless, Ford did make quite an impact on auto racing during his racing years, and he was inducted into the Motorsports Hall of Fame of America in 1996. Later career and death When Edsel Ford, President of Ford Motor Company, died of cancer in May 1943, the elderly and ailing Henry Ford decided to assume the presidency. By this point, Ford, nearing 80 years old, had had several cardiovascular events (variously cited as heart attacks or strokes) and was mentally inconsistent, suspicious, and generally no longer fit for such immense responsibilities. Most of the directors did not want to see him as president. But for the previous 20 years, though he had long been without any official executive title, he had always had de facto control over the company; the board and the management had never seriously defied him, and this time was no different. The directors elected him, and he served until the end of the war. During this period the company began to decline, losing more than $10 million a month ($ today). The administration of President Franklin Roosevelt had been considering a government takeover of the company in order to ensure continued war production, but the idea never progressed. His health failing, Ford ceded the company presidency to his grandson Henry Ford II in September 1945 and retired. He died on April 7, 1947, of a cerebral hemorrhage at Fair Lane, his estate in Dearborn, at the age of 83. A public viewing was held at Greenfield Village where up to 5,000 people per hour filed past the casket. Funeral services were held in Detroit's Cathedral Church of St. Paul and he was buried in the Ford Cemetery in Detroit. Personal interests A compendium of short biographies of famous Freemasons, published by a Freemason lodge, lists Ford as a member. The Grand Lodge of New York confirms that Ford was a Freemason, and was raised in Palestine Lodge No. 357, Detroit, in 1894. When he received the 33rd degree of the Scottish Rite in 1940, he said, "Masonry is the best balance wheel the United States has." In 1923, Ford's pastor, and head of his sociology department, Episcopal minister Samuel S. Marquis, claimed that Ford believed, or "once believed," in reincarnation. Ford published an anti-smoking book, circulated to youth in 1914, called The Case Against the Little White Slaver, which documented many dangers of cigarette smoking attested to by many researchers and luminaries. At the time, smoking was ubiquitous and not yet widely associated with health problems, making Ford's opposition to cigarettes unusual. Interest in materials science and engineering Henry Ford had a long-held interest in materials science and engineering. He enthusiastically described his company's adoption of vanadium steel alloys and subsequent metallurgic R&D work. Ford also had a long-standing interest in plastics developed from agricultural products, particularly soybeans. He cultivated a relationship with George Washington Carver for this purpose. Soybean-based plastics were used in Ford automobiles throughout the 1930s in plastic parts such as car horns, in paint and other components. The project culminated in 1942, when Ford patented an automobile made almost entirely of plastic, attached to a tubular welded frame. It weighed 30% less than a steel car and was said to be able to withstand blows ten times greater than steel. It ran on grain alcohol (ethanol) instead of gasoline. The design never caught on. Ford was interested in engineered woods ("Better wood can be made than is grown") (at this time plywood and particle board were little more than experimental ideas); corn as a fuel source, via both corn oil and ethanol; and the potential uses of cotton. Ford was instrumental in developing charcoal briquets, under the brand name "Kingsford". His brother-in-law, E.G. Kingsford, used wood scraps from the Ford factory to make the briquets. In 1927, Ford partnered with Thomas Edison and Harvey Samuel Firestone (each contributing $25,000) to create the Edison Botanic Research Corp. in Fort Myers, Florida to seek a native source of rubber. Ford was a prolific inventor and was awarded 161 U.S. patents. Florida and Georgia residences and community Ford had a vacation residence in Fort Myers, Florida, next to that of Thomas Edison, which he bought in 1915 and used until approximately 1930. It still stands today as a museum. He also had a vacation home (known today as the "Ford Plantation") in Richmond Hill, Georgia, which is now a private community. Ford started buying land in this area and eventually owned 70,000 acres (110 square miles) there. In 1936, Ford broke ground for a beautiful Greek revival style mansion on the banks of the Ogeechee River on the site of a 1730s plantation. The grand house, made of Savannah-gray brick, had marble steps, air conditioning, and an elevator. It sat on of manicured lawns and flowering gardens. The house became the center of social gatherings with visitations by the Vanderbilts, Rockefellers, and the DuPonts. It remains the centerpiece of The Ford Plantation today. Ford converted the 1870s-era rice mill into his personal research laboratory and powerhouse and constructed a tunnel from there to the new home, providing it with steam. He contributed substantially to the community, building a chapel and schoolhouse and employing numerous local residents. Preserving Americana Ford had an interest in "Americana". In the 1920s, he began work to turn Sudbury, Massachusetts, into a themed historical village. He moved the schoolhouse supposedly referred to in the "Mary Had a Little Lamb" nursery rhyme from Sterling, Massachusetts, and purchased the historic Wayside Inn. The historical village plan never came to fruition. He repeated the concept of collecting historic structures with the creation of Greenfield Village in Dearborn, Michigan. It may have inspired the creation of Old Sturbridge Village as well. About the same time, he began collecting materials for his museum, which had a theme of practical technology. It was opened in 1929 as the Edison Institute. The museum has been greatly modernized and is still open today. In popular culture In Aldous Huxley's Brave New World (1932), society is organized on "Fordist" lines, the years are dated A.F. or Anno Ford ("In the Year of our Ford"), and the expression "My Ford" is used instead of "My Lord". The Christian cross is replaced with a capital "T" for Model-T. Upton Sinclair created a fictional description of Ford in the 1937 novel The Flivver King. Symphonic composer Ferde Grofe composed a tone poem in Henry Ford's honor (1938). Ford appears as a character in several historical novels, notably E. L. Doctorow's Ragtime (1975), and Richard Powers' Three Farmers on Their Way to a Dance (1985). Ford, his family, and his company were the subjects of a 1987 film starring Cliff Robertson and Michael Ironside, based on the 1986 biography Ford: The Man and the Machine by Robert Lacey. In the 2004 alternative history novel The Plot Against America, Philip Roth features Ford as Secretary of the Interior in a fictional Charles Lindbergh presidential administration after Lindbergh's victory over Roosevelt in the 1940 presidential election. The novel draws heavily on the administration's antisemitism and isolationism as a catalyst for its plot. In the 2020 HBO adapted miniseries of the same name, Ford is portrayed by actor Ed Moran. Ford appears as a Great Builder in the 2008 strategy video game Civilization Revolution. In the fictional history of the Assassin's Creed video game franchise, Ford is portrayed as having been a major Templar influence on the events of the Great Depression, and later World War II. Honors and recognition In December 1999, Ford was among 18 included in Gallup's List of Widely Admired People of the 20th Century, from a poll conducted of the American people. In 1928, Ford was awarded the Franklin Institute's Elliott Cresson Medal. In 1938, Ford was awarded Nazi Germany's Grand Cross of the German Eagle, a medal given to foreigners sympathetic to Nazism. The United States Postal Service honored Ford with a Prominent Americans series (1965–1978) 12¢ postage stamp. He was inducted into the Automotive Hall of Fame in 1946. In 1975, Ford was posthumously inducted into the Junior Achievement U.S. Business Hall of Fame. In 1985, he was inducted into the National Aviation Hall of Fame. He was inducted into the Motorsports Hall of Fame of America in 1996. See also Capitalist peace Ford believed trade reduced the chance of war Detroit, Toledo and Ironton Railroad Dodge v. Ford Motor Company Edison and Ford Winter Estates Ferdinand Porsche Ferdinand Verbiest Ford family tree John Burroughs List of covers of Time magazine (1920s) List of richest Americans in history List of wealthiest historical figures Outline of Henry Ford Preston Tucker Ransom Olds William Benson Mayo References Bibliography Higham, Charles, Trading with the Enemy The Nazi–American Money Plot 1933–1949; Delacorte Press 1983 Kandel, Alan D. "Ford and Israel" Michigan Jewish History 1999 39: 13–17. covers business and philanthropy Lee, Albert; Henry Ford and the Jews; Rowman & Littlefield Publishers, Inc., 1980; Reich, Simon (1999) "The Ford Motor Company and the Third Reich" Dimensions, 13(2):15–17 online Further reading Memoirs by Ford Motor Company principals Co-edition, 1926, London, William Heinemann. Various republications, including . Co-edition, 1931, London, William Heinemann. Apparent co-edition, 1930, as My Friend Mr. Edison, London, Ernest Benn. Republished as Edison as
for it. Labor philosophy Five-dollar wage Ford was a pioneer of "welfare capitalism", designed to improve the lot of his workers and especially to reduce the heavy turnover that had many departments hiring 300 men per year to fill 100 slots. Efficiency meant hiring and keeping the best workers. Ford astonished the world in 1914 by offering a $5 per day wage ($ today), which more than doubled the rate of most of his workers. A Cleveland, Ohio, newspaper editorialized that the announcement "shot like a blinding rocket through the dark clouds of the present industrial depression". The move proved extremely profitable; instead of constant employee turnover, the best mechanics in Detroit flocked to Ford, bringing their human capital and expertise, raising productivity, and lowering training costs. Ford announced his $5-per-day program on January 5, 1914, raising the minimum daily pay from $2.34 to $5 for qualifying male workers. Detroit was already a high-wage city, but competitors were forced to raise wages or lose their best workers. Ford's policy proved that paying employees more would enable them to afford the cars they were producing and thus boost the local economy. He viewed the increased wages as profit-sharing linked with rewarding those who were most productive and of good character. It may have been Couzens who convinced Ford to adopt the $5-day wage. Real profit-sharing was offered to employees who had worked at the company for six months or more, and, importantly, conducted their lives in a manner of which Ford's "Social Department" approved. They frowned on heavy drinking, gambling, and on what are now called deadbeat dads. The Social Department used 50 investigators and support staff to maintain employee standards; a large percentage of workers were able to qualify for this "profit-sharing". Ford's incursion into his employees' private lives was highly controversial, and he soon backed off from the most intrusive aspects. By the time he wrote his 1922 memoir, he had spoken of the Social Department and the private conditions for profit-sharing in the past tense. He admitted that "paternalism has no place in the industry. Welfare work that consists in prying into employees' private concerns is out of date. Men need counsel and men need help, often special help; and all this ought to be rendered for decency's sake. But the broad workable plan of investment and participation will do more to solidify the industry and strengthen the organization than will any social work on the outside. Without changing the principle we have changed the method of payment." Five-day workweek In addition to raising his workers' wages, Ford also introduced a new, reduced workweek in 1926. The decision was made in 1922, when Ford and Crowther described it as six 8-hour days, giving a 48-hour week, but in 1926 it was announced as five 8-hour days, giving a 40-hour week. The program apparently started with Saturday being designated a workday, before becoming a day off sometime later. On May 1, 1926, the Ford Motor Company's factory workers switched to a five-day, 40-hour workweek, with the company's office workers making the transition the following August. Ford had decided to boost productivity, as workers were expected to put more effort into their work in exchange for more leisure time. Ford also believed decent leisure time was good for business, giving workers additional time to purchase and consume more goods. However, charitable concerns also played a role. Ford explained, "It is high time to rid ourselves of the notion that leisure for workmen is either 'lost time' or a class privilege." Labor unions Ford was adamantly against labor unions. He explained his views on unions in Chapter 18 of My Life and Work. He thought they were too heavily influenced by leaders who would end up doing more harm than good for workers despite their ostensible good motives. Most wanted to restrict productivity as a means to foster employment, but Ford saw this as self-defeating because, in his view, productivity was necessary for economic prosperity to exist. He believed that productivity gains that obviated certain jobs would nevertheless stimulate the broader economy and grow new jobs elsewhere, whether within the same corporation or in others. Ford also believed that union leaders had a perverse incentive to foment perpetual socio-economic crises to maintain their power. Meanwhile, he believed that smart managers had an incentive to do right by their workers, because doing so would maximize their profits. However, Ford did acknowledge that many managers were basically too bad at managing to understand this fact. But Ford believed that eventually, if good managers such as he could fend off the attacks of misguided people from both left and right (i.e., both socialists and bad-manager reactionaries), the good managers would create a socio-economic system wherein neither bad management nor bad unions could find enough support to continue existing. To forestall union activity, Ford promoted Harry Bennett, a former Navy boxer, to head the Service Department. Bennett employed various intimidation tactics to quash union organizing. On March 7, 1932, during the Great Depression, unemployed Detroit auto workers staged the Ford Hunger March to the Ford River Rouge Complex to present 14 demands to Henry Ford. The Dearborn police department and Ford security guards opened fire on workers leading to over sixty injuries and five deaths. On May 26, 1937, Bennett's security men beat members of the United Automobile Workers (UAW), including Walter Reuther, with clubs. While Bennett's men were beating the UAW representatives, the supervising police chief on the scene was Carl Brooks, an alumnus of Bennett's Service Department, and [Brooks] "did not give orders to intervene". The following day photographs of the injured UAW members appeared in newspapers, later becoming known as The Battle of the Overpass. In the late 1930s and early 1940s, Edsel—who was president of the company—thought Ford had to come to a collective bargaining agreement with the unions because the violence, work disruptions, and bitter stalemates could not go on forever. But Ford, who still had the final veto in the company on a de facto basis even if not an official one, refused to cooperate. For several years, he kept Bennett in charge of talking to the unions trying to organize the Ford Motor Company. Sorensen's memoir makes clear that Ford's purpose in putting Bennett in charge was to make sure no agreements were ever reached. The Ford Motor Company was the last Detroit automaker to recognize the UAW, despite pressure from the rest of the U.S. automotive industry and even the U.S. government. A sit-down strike by the UAW union in April 1941 closed the River Rouge Plant. Sorensen recounted that a distraught Henry Ford was very close to following through with a threat to break up the company rather than cooperate. Still, his wife Clara told him she would leave him if he destroyed the family business. In her view, it would not be worth the chaos it would create. Ford complied with his wife's ultimatum and even agreed with her in retrospect. Overnight, the Ford Motor Company went from the most stubborn holdout among automakers to the one with the most favorable UAW contract terms. The contract was signed in June 1941. About a year later, Ford told Walter Reuther, "It was one of the most sensible things Harry Bennett ever did when he got the UAW into this plant." Reuther inquired, "What do you mean?" Ford replied, "Well, you've been fighting General Motors and the Wall Street crowd. Now you're in here and we've given you a union shop and more than you got out of them. That puts you on our side, doesn't it? We can fight General Motors and Wall Street together, eh?" Ford Airplane Company Like other automobile companies, Ford entered the aviation business during World War I, building Liberty engines. After the war, it returned to auto manufacturing until 1925, when Ford acquired the Stout Metal Airplane Company. Ford's most successful aircraft was the Ford 4AT Trimotor, often called the "Tin Goose" because of its corrugated metal construction. It used a new alloy called Alclad that combined the corrosion resistance of aluminum with the strength of duralumin. The plane was similar to Fokker's V.VII-3m, and some say that Ford's engineers surreptitiously measured the Fokker plane and then copied it. The Trimotor first flew on June 11, 1926, and was the first successful U.S. passenger airliner, accommodating about 12 passengers in a rather uncomfortable fashion. Several variants were also used by the U.S. Army. The Smithsonian Institution has honored Ford for changing the aviation industry. 199 Trimotors were built before it was discontinued in 1933, when the Ford Airplane Division shut down because of poor sales during the Great Depression. World War I era Ford opposed war, which he viewed as a terrible waste, and supported causes that opposed military intervention. Ford became highly critical of those who he felt financed war, and he tried to stop them. In 1915, the pacifist Rosika Schwimmer gained favor with Ford, who agreed to fund a Peace Ship to Europe, where World War I was raging. He led 170 other peace activists. Ford's Episcopalian pastor, Reverend Samuel S. Marquis, accompanied him on the mission. Marquis headed Ford's Sociology Department from 1913 to 1921. Ford talked to President Woodrow Wilson about the mission but had no government support. His group went to neutral Sweden and the Netherlands to meet with peace activists. A target of much ridicule, Ford left the ship as soon as it reached Sweden. In 1915, Ford blamed "German-Jewish bankers" for instigating the war. According to biographer Steven Watts, Ford's status as a leading industrialist gave him a worldview that warfare was wasteful folly that retarded long-term economic growth. The losing side in the war typically suffered heavy damage. Small business were especially hurt, for it takes years to recuperate. He argued in many newspaper articles that a focus on business efficiency would discourage warfare because, “If every man who manufactures an article would make the very best he can in the very best way at the very lowest possible price the world would be kept out of war, for commercialists would not have to search for outside markets which the other fellow covets.” Ford admitted that munitions makers enjoyed wars, but he argued the most businesses wanted to avoid wars and instead work to manufacture and sell useful goods, hire workers, and generate steady long-term profits. Ford's British factories produced Fordson tractors to increase the British food supply, as well as trucks and warplane engines. When the U.S. entered the war in 1917, Ford went quiet on foreign policy. His company became a major supplier of weapons, especially the Liberty engine for warplanes and anti-submarine boats. In 1918, with the war on and the League of Nations a growing issue in global politics, President Woodrow Wilson, a Democrat, encouraged Ford to run for a Michigan seat in the U.S. Senate. Wilson believed that Ford could tip the scales in Congress in favor of Wilson's proposed League. "You are the only man in Michigan who can be elected and help bring about the peace you so desire," the president wrote Ford. Ford wrote back: "If they want to elect me let them do so, but I won't make a penny's investment." Ford did run, however, and came within 7,000 votes of winning, out of more than 400,000 cast statewide. He was defeated in a close election by the Republican candidate, Truman Newberry, a former United States Secretary of the Navy. Ford remained a staunch Wilsonian and supporter of the League. When Wilson made a major speaking tour in the summer of 1919 to promote the League, Ford helped fund the attendant publicity. Coming of World War II and Ford's mental collapse Ford had opposed the United States' entry into World War II and continued to believe that international business could generate the prosperity that would head off wars. Ford "insisted that war was the product of greedy financiers who sought profit in human destruction". In 1939, he went so far as to claim that the torpedoing of U.S. merchant ships by German submarines was the result of conspiratorial activities undertaken by financier war-makers. The financiers to whom he was referring was Ford's code for Jews; he had also accused Jews of fomenting the First World War. In the run-up to World War II and when the war erupted in 1939, he reported that he did not want to trade with belligerents. Like many other businessmen of the Great Depression era, he never liked or entirely trusted the Franklin Roosevelt Administration, and thought Roosevelt was inching the U.S. closer to war. Ford continued to do business with Nazi Germany, including the manufacture of war materiel. However, he also agreed to build warplane engines for the British government. In early 1940, he boasted that Ford Motor Company would soon be able to produce 1,000 U.S. warplanes a day, even though it did not have an aircraft production facility at that time. Beginning in 1940, with the requisitioning of between 100 and 200 French POWs to work as slave laborers, Ford-Werke contravened Article 31 of the 1929 Geneva Convention. At that time, which was before the U.S. entered the war and still had full diplomatic relations with Nazi Germany, Ford-Werke was under the control of the Ford Motor Company. The number of slave laborers grew as the war expanded even though Nazi authorities did not require German companies to use slave laborers. When Rolls-Royce sought a U.S. manufacturer as an additional source for the Merlin engine (as fitted to Spitfire and Hurricane fighters), Ford first agreed to do so and then reneged. He "lined up behind the war effort" when the U.S. entered in December 1941. His support of the American war effort, however, was problematic. Willow Run Before the U.S. entered the war, responding to President Roosevelt's call in December 1940 for the "Great Arsenal of Democracy", Ford directed the Ford Motor Company to construct a vast new purpose-built aircraft factory at Willow Run near Detroit, Michigan. Ford broke ground on Willow Run in the spring of 1941, B-24 component production began in May 1942, and the first complete B-24 came off the line in October 1942. At , it was the largest assembly line in the world at the time. At its peak in 1944, the Willow Run plant produced 650 B-24s per month, and by 1945 Ford was completing each B-24 in eighteen hours, with one rolling off the assembly line every 58 minutes. Ford produced 9,000 B-24s at Willow Run, half of the 18,000 total B-24s produced during the war. Edsel's death When Edsel Ford died of cancer in 1943, aged only 49, Henry Ford nominally resumed control of the company, but a series of strokes in the late 1930s had left him increasingly debilitated, and his mental ability was fading. Ford was increasingly sidelined, and others made decisions in his name. The company was controlled by a handful of senior executives led by Charles Sorensen, an important engineer and production executive at Ford; and Harry Bennett, the chief of Ford's Service Unit, Ford's paramilitary force that spied on, and enforced discipline upon, Ford employees. Ford grew jealous of the publicity Sorensen received and forced Sorensen out in 1944. Ford's incompetence led to discussions in Washington about how to restore the company, whether by wartime government fiat, or by instigating a coup among executives and directors. Forced out Nothing happened until 1945 when, with bankruptcy a serious risk, Ford's wife Clara and Edsel's widow Eleanor confronted him and demanded he cede control of the company to his grandson Henry Ford II. They threatened to sell off their stock, which amounted to three quarters of the company's total shares, if he refused. Ford was reportedly infuriated, but had no choice but to give in. The young man took over and, as his first act of business, fired Harry Bennett. Antisemitism and The Dearborn Independent All his life, Ford was a conspiracy theorist, as he and his writers drew on a long European tradition of false allegations against Jews. Ford claimed that Jewish internationalism posed a threat to traditional American values, which he deeply believed were at risk in the modern world. Part of his racist and antisemitic legacy includes the funding of square-dancing in American schools because he hated jazz and associated its creation with Jewish people. In 1920 Ford wrote, "If fans wish to know the trouble with American baseball they have it in three words—too much Jew." In 1918, Ford's closest aide and private secretary, Ernest G. Liebold, purchased an obscure weekly newspaper for Ford, The Dearborn Independent. The Independent ran for eight years, from 1920 until 1927, with Liebold as editor. Every Ford franchise nationwide had to carry the paper and distribute it to its customers. With around 700,000 readers of his newspaper, Ford emerged as "a respected spokesman for right-wing extremism and religious prejudice.". In Germany, Ford's antisemitic articles from The Dearborn Independent were issued in four volumes, cumulatively titled The International Jew, the World's Foremost Problem published by Theodor Fritsch, founder of several antisemitic parties and a member of the Reichstag. In a letter written in 1924, Heinrich Himmler described Ford as "one of our most valuable, important, and witty fighters". Ford is the only American mentioned favorably in Mein Kampf, although he is only mentioned twice: Adolf Hitler wrote, "only a single great man, Ford, [who], to [the Jews'] fury, still maintains full independence ... [from] the controlling masters of the producers in a nation of one hundred and twenty millions." Speaking in 1931 to a Detroit News reporter, Hitler said he regarded Ford as his "inspiration", explaining his reason for keeping Ford's life-size portrait next to his desk. Steven Watts wrote that Hitler "revered" Ford, proclaiming that "I shall do my best to put his theories into practice in Germany", and modeling the Volkswagen Beetle, the people's car, on the Model T. Max Wallace has stated, "History records that ... Adolf Hitler was an ardent Anti-Semite before he ever read Ford's The International Jew." Under Ford, the newspaper also reprinted the antisemitic fabricated text The Protocols of the Elders of Zion. On February 1, 1924, Ford received Kurt Ludecke, a representative of Hitler, at home. Ludecke was introduced to Ford by Siegfried Wagner (son of the composer Richard Wagner) and his wife Winifred, both Nazi sympathizers and antisemites. Ludecke asked Ford for a contribution to the Nazi cause, but was apparently refused. Ford's articles were denounced by the Anti-Defamation League (ADL). While these articles explicitly condemned pogroms and violence against Jews, they blamed the Jews themselves for provoking them. According to some trial testimony, none of this work was written by Ford, but he allowed his name to be used as an author. Friends and business associates have said they warned Ford about the contents of the Independent and that he probably never read the articles (he claimed he only read the headlines). On the other hand, court testimony in a libel suit, brought by one of the targets of the newspaper, alleged that Ford did know about the contents of the Independent in advance of publication. A libel lawsuit was brought by San Francisco lawyer and Jewish farm cooperative organizer Aaron Sapiro in response to the antisemitic remarks, and led Ford to close the Independent in December 1927. News reports at the time quoted him as saying he was shocked by the content and unaware of its nature. During the trial, the editor of Ford's "Own Page", William Cameron, testified that Ford had nothing to do with the editorials even though they were under his byline. Cameron testified at the libel trial that he never discussed the content of the pages or sent them to Ford for his approval. Investigative journalist Max Wallace noted that "whatever credibility this absurd claim may have had was soon undermined when James M. Miller, a former Dearborn Independent employee, swore under oath that Ford had told him he intended to expose Sapiro." Michael Barkun observed: "That Cameron would have continued to publish such anti-Semitic material without Ford's explicit instructions seemed unthinkable to those who knew both men. Mrs. Stanley Ruddiman, a Ford family intimate, remarked that "I don't think Mr. Cameron ever wrote anything for publication without Mr. Ford's approval." According to Spencer Blakeslee, "[t]he ADL mobilized prominent Jews and non-Jews to publicly oppose Ford's message. They formed a coalition of Jewish groups for the same purpose and raised constant objections in the Detroit press. Before leaving his presidency early in 1921, Woodrow Wilson joined other leading Americans in a statement that rebuked Ford and others for their antisemitic campaign. A boycott against Ford products by Jews and liberal Christians also had an impact, and Ford shut down the paper in 1927, recanting his views in a public letter to Sigmund Livingston, president of the ADL." Wallace also found that Ford's apology was likely, or at least partly, motivated by a business that was slumping as a result of his antisemitism, repelling potential buyers of Ford cars. Up until the apology, a considerable number of dealers, who had been required to make sure that buyers of Ford cars received the Independent, bought up and destroyed copies of the newspaper rather than alienate customers. Ford's 1927 apology was well received. "Four-fifths of the hundreds of letters addressed to Ford in July 1927 were from Jews, and almost without exception they praised the industrialist..." In January 1937, a Ford statement to The Detroit Jewish Chronicle disavowed "any connection whatsoever with the publication in Germany of a book known as the International Jew". Ford, however, allegedly never signed the retraction and apology, which were written by others—rather, his signature was forged by Harry Bennett—and Ford never actually recanted his antisemitic views, stating in 1940: "I hope to republish The International Jew again some time." In July 1938, the German consul in Cleveland gave Ford, on his 75th birthday, the award of the Grand Cross of the German Eagle, the highest medal Nazi Germany could bestow on a foreigner. James D. Mooney, vice president of overseas operations for General Motors, received a similar medal, the Merit Cross of the German Eagle, First Class. On January 7, 1942, Ford wrote another letter to Sigmund Livingston disclaiming direct or indirect support of "any agitation which would promote antagonism toward my Jewish fellow citizens". He concluded the letter with, "My sincere hope that now in this country and throughout the world when the war is finished, hatred of the Jews and hatred against any other racial or religious groups shall cease for all time." The distribution of The International Jew was halted in 1942 through legal action by Ford, despite complications from a lack of copyright. It is still banned in Germany. Extremist groups often recycle the material; it still appears on antisemitic and neo-Nazi websites. Testifying at Nuremberg, convicted Hitler Youth leader Baldur von Schirach who, in his role as Gauleiter of Vienna, deported 65,000 Jews to camps in Poland, stated: "The decisive anti-Semitic book I was reading and the book that influenced my comrades was ... that book by Henry Ford, The International Jew. I read it and became anti-Semitic. The book made a great influence on myself and my friends because we saw in Henry Ford the representative of success and also the representative of a progressive social policy." Robert Lacey wrote in Ford: The Men and the Machines that a close Willow Run associate of Ford reported that when he was shown newsreel footage of the Nazi concentration camps, he "was confronted with the atrocities which finally and unanswerably laid bare the bestiality of the prejudice to which he contributed, he collapsed with a stroke – his last and most serious." Ford had suffered previous strokes and his final cerebral hemorrhage occurred in 1947 at age 83. International business Ford's philosophy was one of economic independence for the United States. His River Rouge Plant became the world's largest industrial complex, pursuing vertical integration to such an extent that it could produce its own steel. Ford's goal was to produce a vehicle from scratch without reliance on foreign trade. He believed in the global expansion of his company. He believed that international trade and cooperation led to international peace, and he used the assembly line process and production of the Model T to demonstrate it. He opened Ford assembly plants in Britain and Canada in 1911, and soon became the biggest automotive producer in those countries. In 1912, Ford cooperated with Giovanni Agnelli of Fiat to launch the first Italian automotive assembly plants. The first plants in Germany were built in the 1920s with the encouragement of Herbert Hoover and the Commerce Department, which agreed with Ford's theory that international trade was essential to world peace. In the 1920s, Ford also opened plants in Australia, India, and France, and by 1929, he had successful dealerships on six continents. Ford experimented with a commercial rubber plantation in the Amazon jungle called Fordlândia; it was one of his few failures. In 1929, Ford made an agreement with the Soviets to provide technical aid over nine years in building the first Soviet automobile plant (GAZ) near Nizhny Novgorod (Gorky) (an additional contract for construction of the plant was signed with The Austin Company on August 23, 1929). The contract involved the purchase of $30,000,000 worth of knocked-down Ford cars and trucks for assembly during the first four years of the plant's operation, after which the plant would gradually switch to Soviet-made components. Ford sent his engineers and technicians to the Soviet Union to help install the equipment and train the workforce, while over a hundred Soviet engineers and technicians were stationed at Ford's plants in Detroit and Dearborn "for the purpose of learning the methods and practice of manufacture and assembly in the Company's plants". Said Ford: "No matter where industry prospers, whether in India or China, or Russia, the more profit there will be for everyone, including us. All the world is bound to catch some good from it." By 1932, Ford was manufacturing one-third of the world's automobiles. It set up numerous subsidiaries that sold or assembled the Ford cars and trucks: Ford of Australia Ford of Britain Ford of Argentina Ford of Brazil Ford of Canada Ford of Europe Ford India Ford South Africa Ford Mexico Ford Philippines Ford's image transfixed Europeans, especially the Germans, arousing the "fear of some, the infatuation of others, and the fascination among all". Germans who discussed "Fordism" often believed that it represented something quintessentially American. They saw the size, tempo, standardization, and philosophy of production demonstrated at the Ford Works as a national service—an "American thing" that represented the culture of the United States. Both supporters and critics insisted that Fordism epitomized American capitalist development, and that the auto industry was the key to understanding economic and social relations in the United States. As one German explained, "Automobiles have so completely changed the American's mode of life that today one can hardly imagine being without a car. It is difficult to remember what life was like before Mr. Ford began preaching his doctrine of salvation". For many Germans, Ford embodied the essence of successful Americanism. In My Life and Work, Ford predicted that if greed, racism, and short-sightedness could be overcome, then economic and technological development throughout the world would progress to the point that international trade would no longer be based on (what today would be called) colonial or neocolonial models and would truly benefit all peoples. Racing Ford maintained an interest in auto racing from 1901 to 1913 and began his involvement in the sport as both a builder and a driver, later turning the wheel over to hired drivers. He entered stripped-down Model Ts in races, finishing first (although later disqualified) in an "ocean-to-ocean" (across the United States) race in 1909, and setting a one-mile (1.6 km) oval speed record at Detroit Fairgrounds in 1911 with driver Frank Kulick. In 1913, Ford attempted to enter a reworked Model T in the Indianapolis 500 but was told rules required the addition of another to the car before it could qualify. Ford dropped out of the race and soon thereafter dropped out of
interactions with the environment by studying their relations with and across locations. It analyzes patterns of human social interaction, their interactions with the environment, and their spatial interdependencies by application of qualitative and quantitative research methods. History Geography was not recognized as a formal academic discipline until the 18th century, although many scholars had undertaken geographical scholarship for much longer, particularly through cartography. The Royal Geographical Society was founded in England in 1830, although the United Kingdom did not get its first full Chair of geography until 1917. The first real geographical intellect to emerge in United Kingdom's geographical minds was Halford John Mackinder, appointed reader at Oxford University in 1887. The National Geographic Society was founded in the United States in 1888 and began publication of the National Geographic magazine which became, and continues to be, a great popularizer of geographic information. The society has long supported geographic research and education on geographical topics. The Association of American Geographers was founded in 1904 and was renamed the American Association of Geographers in 2016 to better reflect the increasingly international character of its membership. One of the first examples of geographic methods being used for purposes other than to describe and theorize the physical properties of the earth is John Snow's map of the 1854 Broad Street cholera outbreak. Though Snow was primarily a physician and a pioneer of epidemiology rather than a geographer, his map is probably one of the earliest examples of health geography. The now fairly distinct differences between the subfields of physical and human geography have developed at a later date. This connection between both physical and human properties of geography is most apparent in the theory of environmental determinism, made popular in the 19th century by Carl Ritter and others, and has close links to the field of evolutionary biology of the time. Environmental determinism is the theory that people's physical, mental and moral habits are directly due to the influence of their natural environment. However, by the mid-19th century, environmental determinism was under attack for lacking methodological rigor associated with modern science, and later as a means to justify racism and imperialism. A similar concern with both human and physical aspects is apparent during the later 19th and first half of the 20th centuries focused on regional geography. The goal of regional geography, through something known as regionalisation, was to delineate space into regions and then understand and describe the unique characteristics of each region through both human and physical aspects. With links to possibilism and cultural ecology some of the same notions of causal effect of the environment on society and culture remain with environmental determinism. By the 1960s, however, the quantitative revolution led to strong criticism of regional geography. Due to a perceived lack of scientific rigor in an overly descriptive nature of the discipline, and a continued separation of geography from its two subfields of physical and human geography and from geology, geographers in the mid-20th century began to apply statistical and mathematical models in order to solve spatial problems. Much of the development during the quantitative revolution is now apparent in the use of geographic information systems; the use of statistics, spatial modeling, and positivist approaches are still important to many branches of human geography. Well-known geographers from this period are Fred K. Schaefer, Waldo Tobler, William Garrison, Peter Haggett, Richard J. Chorley, William Bunge, and Torsten Hägerstrand. From the 1970s, a number of critiques of the positivism now associated with geography emerged. Known under the term 'critical geography,' these critiques signaled another turning point in the discipline. Behavioral geography emerged for some time as a means to understand how people made perceived spaces and places, and made locational decisions. The more influential 'radical geography' emerged in the 1970s
approach. Economies Economic geography examines relationships between human economic systems, states, and other factors, and the biophysical environment. Subfields include: Marketing geography and Transportation geography Health Medical or health geography is the application of geographical information, perspectives, and methods to the study of health, disease, and health care. Health geography deals with the spatial relations and patterns between people and the environment. This is a sub-discipline of human geography, researching how and why diseases are spread and contained. Histories Historical geography is the study of the human, physical, fictional, theoretical, and "real" geographies of the past. Historical geography studies a wide variety of issues and topics. A common theme is the study of the geographies of the past and how a place or region changes through time. Many historical geographers study geographical patterns through time, including how people have interacted with their environment, and created the cultural landscape. Politics Political geography is concerned with the study of both the spatially uneven outcomes of political processes and the ways in which political processes are themselves affected by spatial structures. Subfields include: Electoral geography, Geopolitics, Strategic geography and Military geography Population Population geography is the study of ways in which spatial variations in the distribution, composition, migration, and growth of populations are related to their environment or location. Settlement Settlement geography, including urban geography, is the study of urban and rural areas with specific regards to spatial, relational and theoretical aspects of settlement. That is the study of areas which have a concentration of buildings and infrastructure. These are areas where the majority of economic activities are in the secondary sector and tertiary sectors. In case of urban settlement, they probably have a high population density. Urbanism Urban geography is the study of cities, towns, and other areas of relatively dense settlement. Two main interests are site (how a settlement is positioned relative to the physical environment) and situation (how a settlement is positioned relative to other settlements). Another area of interest is the internal organization of urban areas with regard to different demographic groups and the layout of infrastructure. This subdiscipline also draws on ideas from other branches of Human Geography to see their involvement in the processes and patterns evident in an urban area. Subfields include: Economic geography, Population geography, and Settlement geography. These are clearly not the only subfields that could be used to assist in the study of Urban geography, but they are some major players. Philosophical and theoretical approaches Within each of the subfields, various philosophical approaches can be used in research; therefore, an urban geographer could be a Feminist or Marxist geographer, etc. Such approaches are: Animal geographies Behavioral geography Cognitive geography Critical geography Feminist geography Marxist geography Non-representational theory Positivism Postcolonialism Poststructuralist geography Psychoanalytic geography Psychogeography Spatial analysis Time geography List of notable human geographers Journals As with all social sciences, human geographers publish research and other written work in a variety of academic journals. Whilst human geography is interdisciplinary, there are a number of journals that focus on human geography. These include: ACME: An International E-Journal for Critical Geographies Antipode Area Dialogues in Human Geography Economic geography Environment and Planning Geoforum Geografiska Annaler GeoHumanities Global Environmental Change: Human
than 6,000 African Americans migrated to Haiti, with transportation paid by an American philanthropic group similar in function to the American Colonization Society and its efforts in Liberia. Many found the conditions too harsh and returned to the United States. In July 1825, King Charles X of France, during a period of restoration of the French monarchy, sent a fleet to reconquer Haiti. Under pressure, President Boyer agreed to a treaty by which France formally recognized the independence of the nation in exchange for a payment of 150 million francs. By an order of 17 April 1826, the King of France renounced his rights of sovereignty and formally recognized the independence of Haiti. The enforced payments to France hampered Haiti's economic growth for years, exacerbated by the fact that many Western nations continued to refuse formal diplomatic recognition to Haiti; Britain recognized Haitian independence in 1833, and the United States not until 1862. Haiti borrowed heavily from Western banks at extremely high interest rates to repay the debt. Although the amount of the reparations was reduced to 90 million in 1838, by 1900 80% of Haiti's government spending was debt repayment and the country did not finish repaying it until 1947. Loss of the Spanish portion of the island After losing the support of Haiti's elite, Boyer was ousted in 1843, with Charles Rivière-Hérard replacing him as president. Nationalist Dominican forces in eastern Hispaniola led by Juan Pablo Duarte seized control of Santo Domingo on 27 February 1844. The Haitian forces, unprepared for a significant uprising, capitulated to the rebels, effectively ending Haitian rule of eastern Hispaniola. In March Rivière-Hérard attempted to reimpose his authority, but the Dominicans put up stiff opposition and inflicted heavy losses. Rivière-Hérard was removed from office by the mulatto hierarchy and replaced with the aged general Philippe Guerrier, who assumed the presidency on 3 May 1844. Guerrier died in April 1845, and was succeeded by General Jean-Louis Pierrot. Pierrot's most pressing duty as the new president was to check the incursions of the Dominicans, who were harassing the Haitian troops. Dominican gunboats were also making depredations on Haiti's coasts. President Pierrot decided to open a campaign against the Dominicans, whom he considered merely as insurgents, however the Haitian offensive of 1845 was stopped on the frontier. On 1 January 1846 Pierrot announced a fresh campaign to reimpose Haitian suzerainty over eastern Hispaniola, but his officers and men greeted this fresh summons with contempt. Thus, a month later – February 1846 – when Pierrot ordered his troops to march against the Dominicans, the Haitian army mutinied, and its soldiers proclaimed his overthrow as president of the republic. With the war against the Dominicans having become very unpopular in Haiti, it was beyond the power of the new president, General Jean-Baptiste Riché, to stage another invasion. Second Empire (1849–1859) On 27 February 1847, President Riché died after only a year in power and was replaced by an obscure officer, General Faustin Soulouque. During the first two years of Soulouque's administration the conspiracies and opposition he faced in retaining power were so manifold that the Dominicans were given a further breathing space in which to consolidate their independence. But, when in 1848 France finally recognized the Dominican Republic as a free and independent state and provisionally signed a treaty of peace, friendship, commerce and navigation, Haiti immediately protested, claiming the treaty was an attack upon their own security. Soulouque decided to invade the new Republic before the French Government could ratify the treaty. On 21 March 1849, Haitian soldiers attacked the Dominican garrison at Las Matas. The demoralized defenders offered almost no resistance before abandoning their weapons. Soulouque pressed on, capturing San Juan. This left only the town of Azua as the remaining Dominican stronghold between the Haitian army and the capital. On 6 April, Azua fell to the 18,000-strong Haitian army, with a 5,000-man Dominican counterattack failing to oust them. The way to Santo Domingo was now clear. But the news of discontent existing at Port-au-Prince, which reached Soulouque, arrested his further progress and caused him to return with the army to his capital. Emboldened by the sudden retreat of the Haitian army, the Dominicans counter-attacked. Their flotilla went as far as Dame-Marie, which they plundered and set on fire. Soulouque, now self-proclaimed as Emperor Faustin I, decided to start a new campaign against them. In 1855, he again invaded the territory of the Dominican Republic. But owing to insufficient preparation, the army was soon in want of victuals and ammunition. In spite of the bravery of the soldiers, the Emperor had once more to give up the idea of a unified island under Haitian control. After this campaign, Britain and France intervened and obtained an armistice on behalf of the Dominicans, who declared independence as the Dominican Republic. The sufferings endured by the soldiers during the campaign of 1855, and the losses and sacrifices inflicted on the country without yielding any compensation or any practical results provoked great discontent. In 1858 a revolution began, led by General Fabre Geffrard, Duke of Tabara. In December of that year, Geffrard defeated the Imperial Army and seized control of most of the country. As a result, the Emperor abdicated his throne on 15 January 1859. Refused aid by the French Legation, Faustin was taken into exile aboard a British warship on 22 January 1859, and General Geffrard succeeded him as president. Late 19th century–early 20th century The period following Soulouque's overthrow down to the turn of the century was a turbulent one for Haiti, with repeated bouts of political instability. President Geffrard was overthrown in a coup in 1867, as was his successor, Sylvain Salnave, in 1869. Under the Presidency of Michel Domingue (1874–76) relations with the Dominican Republic were dramatically improved by the signing of a treaty, in which both parties acknowledged the independence of the other, bringing an end to Haitian dreams of bringing the entirety of Hispaniola under their control. Some modernisation of the economy and infrastructure also occurred in this period, especially under the Presidencies of Lysius Salomon (1879–88) and Florvil Hyppolite (1889–96). Haiti's relations with outside powers were often strained. In 1889 the United States attempted to force Haiti to permit the building of a naval base at Môle Saint-Nicolas, which was firmly resisted by President Hyppolite. In 1892 the German government supported suppression of the reform movement of Anténor Firmin, and in 1897, the Germans used gunboat diplomacy to intimidate and then humiliate the Haitian government of President Tirésias Simon Sam (1896–1902) during the Lüders Affair. In the first decades of the 20th century, Haiti experienced great political instability and was heavily in debt to France, Germany and the United States. A series of short lived presidencies came and went: President Pierre Nord Alexis was forced from power in 1908, as was his successor François C. Antoine Simon in 1911; President Cincinnatus Leconte (1911–12) was killed in a (possibly deliberate) explosion at the National Palace; Michel Oreste (1913–14) was ousted in a coup, as was his successor Oreste Zamor in 1914. United States occupation (1915–1934) Germany increased its influence in Haiti in this period, with a small community of German settlers wielding disproportionate influence in Haiti's economy. The German influence prompted anxieties in the United States, who had also invested heavily in the country, and whose government defended their right to oppose foreign interference in the Americas under the Monroe Doctrine. In December 1914, the Americans removed $500,000 from the Haitian National Bank, but rather than seize it to help pay the debt, it was removed for safe-keeping in New York, thus giving the United States control of the bank and preventing other powers from doing so. This gave a stable financial base on which to build the economy, and so enable the debt to be repaid. In 1915, Haiti's new President Vilbrun Guillaume Sam sought to strengthen his tenuous rule by a mass execution of 167 political prisoners. Outrage at the killings led to riots, and Sam was captured and killed by a lynch mob. Fearing possible foreign intervention, or the emergence of a new government led by the anti-American Haitian politician Rosalvo Bobo, President Woodrow Wilson sent U.S. Marines into Haiti in July 1915. The , under Rear Admiral Caperton, arrived in Port-au-Prince in an attempt to restore order and protect U.S. interests. Within days, the Marines had taken control of the capital city and its banks and customs house. The Marines declared martial law and severely censored the press. Within weeks, a new pro-U.S. Haitian president, Philippe Sudré Dartiguenave, was installed and a new constitution written that was favorable to the interests of the United States. The constitution (written by future US President Franklin D. Roosevelt) included a clause that allowed, for the first time, foreign ownership of land in Haiti, which was bitterly opposed by the Haitian legislature and citizenry. The occupation improved some of Haiti's infrastructure and centralized power in Port-au-Prince. 1700 km of roads were made usable, 189 bridges were built, many irrigation canals were rehabilitated, hospitals, schools, and public buildings were constructed, and drinking water was brought to the main cities. Port-au-Prince became the first Caribbean city to have a phone service with automatic dialling. Agricultural education was organized, with a central school of agriculture and 69 farms in the country. However, many infrastructure projects were built using the corvée system that allowed the government/occupying forces to take people from their homes and farms, at gunpoint if necessary, to build roads, bridges etc. by force, a process that was deeply resented by ordinary Haitians. Sisal was also introduced to Haiti, and sugarcane and cotton became significant exports, boosting prosperity. Haitian traditionalists, based in rural areas, were highly resistant to U.S.-backed changes, while the urban elites, typically mixed-race, welcomed the growing economy, but wanted more political control. Together they helped secure an end to the occupation in 1934, under the Presidency of Sténio Vincent (1930–41). The debts were still outstanding, though less due to increased prosperity, and the U.S. financial advisor-general receiver handled the budget until 1941. The U.S. Marines were instilled with a special brand of paternalism towards Haitians "expressed in the metaphor of a father's relationship with his children." Armed opposition to the US presence was led by the cacos under the command of Charlemagne Péralte; his capture and execution in 1919 earned him the status of a national martyr. During Senate hearings in 1921, the commandant of the Marine Corps reported that, in the 20 months of active unrest, 2,250 Haitians had been killed. However, in a report to the Secretary of the Navy, he reported the death toll as being 3,250. Haitian historians have claimed the true number was much higher, but this is not supported by most historians outside Haiti. Recognition of the distinctive traditionalism of the Haitian people had an influence on American writers, including Eugene O'Neill, James Weldon Johnson, Langston Hughes, Zora Neale Hurston and Orson Welles. Post-occupation era (1934–1957) After US forces left in 1934, Dominican dictator Rafael Trujillo used anti-Haitian sentiment as a nationalist tool. In an event that became known as the Parsley Massacre, he ordered his army to kill Haitians living on the Dominican side of the border. Few bullets were used – instead, 20,000–30,000 Haitians were bludgeoned and bayoneted, then herded into the sea, where sharks finished what Trujillo had begun. Congressman Hamilton Fish, ranking member of the House Foreign Affairs Committee, called the Parsley Massacre "the most outrageous atrocity that has ever been perpetrated on the American continent." President Vincent became increasingly dictatorial, and resigned under US pressure in 1941, being replaced by Élie Lescot (1941–46). In 1941, during the Second World War, Lescot declared war on Japan (8 December), Germany (12 December), Italy (12 December), Bulgaria (24 December), Hungary (24 December) and Romania (24 December). Out of these six Axis countries, only Romania reciprocated, declaring war on Haiti on the same day (24 December 1941). On 27 September 1945, Haiti became a founding member of the United Nations (the successor to the League of Nations, of which Haiti was also a founding member). In 1946 Lescot was overthrown by the military, with Dumarsais Estimé later becoming the new president (1946–50). He sought to improve the economy and education, and to boost the role of black Haitians, however as he sought to consolidate his rule he too was overthrown in a coup led by Paul Magloire, who replaced him as president (1950–56). Firmly anti-Communist, he was supported by the United States; with greater political stability tourists started to visit Haiti. The waterfront area of Port-au-Prince was redeveloped to allow cruise ship passengers to walk from the docks to cultural attractions. Celebrities such as Truman Capote and Noël Coward visited Haiti; the era is captured in Graham Greene's 1966 novel The Comedians. Duvalier dynasty (1957–1986) In 1956–57 Haiti underwent severe political turmoil; Magloire was forced to resign and leave the country in 1956 and he was followed by four short-lived presidencies. In the September 1957 election Dr. François Duvalier was elected President of Haiti. Known as 'Papa Doc' and initially popular, Duvalier remained President until his death in 1971. He advanced black interests in the public sector, where over time, people of color had predominated as the educated urban elite. Not trusting the army, despite his frequent purges of officers deemed disloyal, Duvalier created a private militia known as Tontons Macoutes ("Bogeymen"), which maintained order by terrorizing the populace and political opponents. In 1964 Duvalier proclaimed himself 'President for Life'; an uprising against his rule that year in Jérémie was violently suppressed, with the ringleaders publicly executed and hundreds of mixed-raced citizens in the town killed. The bulk of the educated and professional class began leaving the country, and corruption became widespread. Duvalier sought to create a personality cult, identifying himself with Baron Samedi, one of the loa (or lwa), or spirits, of Haitian Vodou. Despite the well-publicized abuses under his rule, Duvalier's firm anti-Communism earned him the support of the Americans, who furnished the country with aid. In 1971 Duvalier died, and he was succeeded by his son Jean-Claude Duvalier, nicknamed 'Baby Doc', who ruled until 1986. He largely continued his father's policies, though curbed some of the worst excesses in order to court international respectability. Tourism, which had nosedived in Papa Doc's time, again became a growing industry. However as the economy continued to decline Baby Doc's grip on power began to weaken. Haiti's pig population was slaughtered following an outbreak of swine fever in the late 1970s, causing hardship to rural communities who used them as an investment. The opposition became more vocal, bolstered by a visit to the country by Pope John Paul II in 1983, who publicly lambasted the president. Demonstrations occurred in Gonaïves in 1985 which then spread across the country; under pressure from the United States, Duvalier left the country for France in February 1986. In total, roughly 40,000 to 60,000 Haitians are estimated to have been killed during the reign of the Duvaliers. Through the use of his intimidation tactics and executions, many intellectual Haitians had fled, leaving the country with a massive brain-drain that it has yet to recover from. Post-Duvalier era (1986–2004) Following Duvalier's departure, army leader General Henri Namphy headed a new National Governing Council. Elections scheduled for November 1987 were aborted after dozens of inhabitants were shot in the capital by soldiers and Tontons Macoutes. Fraudulent elections followed in 1988, in which only 4% of the citizenry voted. The newly elected president, Leslie Manigat, was then overthrown some months later in the June 1988 Haitian coup d'état. Another coup followed in September 1988, after the St. Jean Bosco massacre in which 13–50 people (estimates vary) attending a mass led by prominent government critic and Catholic priest Jean-Bertrand Aristide were killed. General Prosper Avril subsequently led a military regime until March 1990. In December 1990 Jean-Bertrand Aristide was elected president in the Haitian general election. However his ambitious reformist agenda worried the elites, and in September of the following year he was overthrown by the military, led by Raoul Cédras, in the 1991 Haitian coup d'état. Amidst the continuing turmoil many Haitians attempted to flee the country. In September 1994, the United States negotiated the departure of Haiti's military leaders and the peaceful entry of 20,000 US troops under Operation Uphold Democracy. This enabled the restoration of the democratically elected Jean-Bertrand Aristide as president, who returned to Haiti in October to complete his term. As part of the deal Aristide had to implement free market reforms in an attempt to improve the Haitian economy, with mixed results, some sources stating that these reforms had a negative impact on native Haitian industry. In November 1994, Hurricane Gordon brushed Haiti, dumping heavy rain and creating flash flooding that triggered mudslides. Gordon killed an estimated 1,122 people, although some estimates go as high as 2,200. Elections were held in 1995 which were won by René Préval, gaining 88% of the popular vote, albeit on a low turnout. Aristide subsequently formed his own party, Fanmi Lavalas, and political deadlock ensued; the November 2000 election returned Aristide to the presidency with 92% of the vote. The election had been boycotted by the opposition, then organized into the Convergence Démocratique, over a dispute in the May legislative elections. In subsequent years, there was increasing violence between rival political factions and human rights abuses. Aristide spent years negotiating with the Convergence Démocratique on new elections, but the Convergence's inability to develop a sufficient electoral base made elections unattractive. In 2004 an anti-Aristide revolt began in northern Haiti. The rebellion eventually reached the capital, and Aristide was forced into exile. The precise nature of the events are disputed; some, including Aristide and his bodyguard, Franz Gabriel, stated that he was the victim of a "new coup d'état or modern kidnapping" by U.S. forces. Mrs. Aristide stated that the kidnappers wore U.S. Special Forces uniforms, but changed into civilian clothes upon boarding the aircraft that was used to remove Aristide from Haiti. These charges were denied by the US government. As political violence and crime continued to grow, a United Nations Stabilisation Mission (MINUSTAH) was brought in to maintain order. However MINUSTAH proved controversial, as their at times heavy-handed approach to maintaining law and order and several instances of abuses, including the alleged sexual abuse of civilians, provoked resentment and distrust amongst ordinary Haitians. Boniface Alexandre assumed interim authority until 2006, when René Préval was re-elected President following elections. Post-Aristide era (2004–present) Amidst the continuing political chaos, a series of natural disasters hit Haiti. In 2004 Tropical Storm Jeanne skimmed the north coast, leaving 3,006 people dead in flooding and mudslides, mostly in the city of Gonaïves. In 2008 Haiti was again struck by tropical storms; Tropical Storm Fay, Hurricane Gustav, Hurricane Hanna and Hurricane Ike all produced heavy winds and rain, resulting in 331 deaths and about 800,000 in need of humanitarian aid. The state of affairs produced by these storms was intensified by already high food and fuel prices that had caused a food crisis and political unrest in April 2008. On 12 January 2010, at 4:53 pm local time, Haiti was struck by a magnitude-7.0 earthquake. This was the country's most severe earthquake in over 200 years. The earthquake was reported to have left between 220,000 and 300,000 people dead and up to 1.6 million homeless. The situation was exacerbated by a subsequent massive cholera outbreak that was triggered when cholera-infected waste from a United Nations peacekeeping station contaminated the country's main river, the Artibonite. In 2017, it was reported that roughly 10,000 Haitians had died and nearly a million had been made ill. After years of denial the United Nations apologized in 2016, but , they have refused to acknowledge fault, thus avoiding financial responsibility. General elections had been planned for January 2010 but were postponed due to the earthquake. Elections were held on 28 November 2010 for the senate, the parliament and the first round of the presidential elections. The run-off between Michel Martelly and Mirlande Manigat took place on 20 March 2011, and preliminary results, released on 4 April, named Michel Martelly the winner. In 2011 both former dictator Jean-Claude Duvalier and Jean-Bertrand Aristide returned to Haiti; attempts to try Duvalier for crimes committed under his rule were shelved following his death in 2014. In 2013, Haiti called for European nations to pay reparations for slavery and establish an official commission for the settlement of past wrongdoings. Meanwhile, after continuing political wrangling with the opposition and allegations of electoral fraud, Martelly agreed to step down in 2016 without a successor in place. An interim president, Jocelerme Privert, then took office. After numerous postponements, partly owing to the effects of devastating Hurricane Matthew, elections were eventually held in November 2016. The victor, Jovenel Moïse of the Haitian Tèt Kale Party, was subsequently sworn in as president in 2017. The 2018–2021 Haitian protests are demonstrations in cities throughout Haiti that began on 7 July 2018, in response to increased fuel prices. Over time these protests evolved into demands for the resignation of president Moïse. On 7 July 2021, President Moïse was assassinated in an attack on his private residence, and First Lady Martine Moïse was hospitalized following the overnight attack. The United Nations special envoy for Haiti, Helen La Lime, said on 8 July 2021 that interim Prime Minister Claude Joseph, as Acting President, will lead Haiti until an election is held later in the year, urging all parties to set aside differences. Claude Joseph's presidency is disputed with Senate Leader Joseph Lambert. The United Nations recognized Claude Joseph as the legitimate Acting President. Haitian officials have asked the United States to send troops to help stabilize the country and protect vital infrastructure. On 19 July 2021, Claude Joseph stepped down as Acting President, transferring the power to rival Ariel Henry. In August 2021, Haiti suffered a huge earthquake, with many casualties. The earthquake has also damaged Haiti's economic conditions and led to a rise in violent crimes in the country. Geography Haiti forms the western three-eighths of Hispaniola, the second largest island in the Greater Antilles. At 27,750 sq km Haiti is the third largest country in the Caribbean behind Cuba and the Dominican Republic, the latter sharing a border with Haiti. The country has a roughly horseshoe shape and because of this it has a disproportionately long coastline, second in length () behind Cuba in the Greater Antilles. Haiti is the most mountainous nation in the Caribbean, its terrain consists of mountains interspersed with small coastal plains and river valleys. The climate is tropical, with some variation depending on altitude. The highest point is Pic la Selle, at . The northern region consists of the Massif du Nord (Northern Massif) and the Plaine du Nord (Northern Plain). The Massif du Nord is an extension of the Cordillera Central in the Dominican Republic. It begins at Haiti's eastern border, north of the Guayamouc River, and extends to the northwest through the northern peninsula. The lowlands of the Plaine du Nord lie along the northern border with the Dominican Republic, between the Massif du Nord and the North Atlantic Ocean. The central region consists of two plains and two sets of mountain ranges. The Plateau Central (Central Plateau) extends along both sides of the Guayamouc River, south of the Massif du Nord. It runs from the southeast to the northwest. To the southwest of the Plateau Central are the Montagnes Noires, whose most northwestern part merges with the Massif du Nord. Haiti's most important valley in terms of crops is the Plaine de l'Artibonite, which lies between the Montagnes Noires and the Chaîne des Matheux. This region supports the country's (also Hispaniola's) longest river, the Riviere l'Artibonite, which begins in the western region of the Dominican Republic and continues for most of its length through central Haiti, where it then empties into the Golfe de la Gonâve. Also in this valley lies Haiti's second largest lake, Lac de Péligre, formed as a result of the construction of the Péligre Dam in the mid-1950s. The southern region consists of the Plaine du Cul-de-Sac (the southeast) and the mountainous southern peninsula (also known as the Tiburon Peninsula). The Plaine du Cul-de-Sac is a natural depression that harbors the country's saline lakes, such as Trou Caïman and Haiti's largest lake, Étang Saumatre. The Chaîne de la Selle mountain range – an extension of the southern mountain chain of the Dominican Republic (the Sierra de Baoruco) – extends from the Massif de la Selle in the east to the Massif de la Hotte in the west. Haiti also includes several offshore islands. The island of Tortuga (Île de la Tortue) is located off the coast of northern Haiti. The arrondissement of La Gonâve is located on the island of the same name, in the Golfe de la Gonâve; Haiti's largest island, Gonâve is moderately populated by rural villagers. Île à Vache (Cow Island) is located off the southwest coast; also part of Haiti are the Cayemites, located in the Gulf of Gonâve north of Pestel. La Navasse (Navassa Island), located west of Jérémie on the south west peninsula of Haiti, is subject to an ongoing territorial dispute with the United States, who currently administer the island via the United States Fish and Wildlife Service. Climate Haiti's climate is tropical with some variation depending on altitude. Port-au-Prince ranges in January from an average minimum of to an average maximum of ; in July, from . The rainfall pattern is varied, with rain heavier in some of the lowlands and the northern and eastern slopes of the mountains. Haiti's dry season occurs from November to January. Port-au-Prince receives an average annual rainfall of . There are two rainy seasons, April–June and October–November. Haiti is subject to periodic droughts and floods, made more severe by deforestation. Hurricanes are a menace, and the country is also prone to flooding and earthquakes. Geology There are blind thrust faults associated with the Enriquillo-Plantain Garden fault system over which Haiti lies. After the earthquake of 2010, there was no evidence of surface rupture and geologists' findings were based on seismological, geological and ground deformation data. The northern boundary of the fault is where the Caribbean tectonic plate shifts eastwards by about per year in relation to the North American plate. The strike-slip fault system in the region has two branches in Haiti, the Septentrional-Oriente fault in the north and the Enriquillo-Plantain Garden fault in the south. A 2007 earthquake hazard study, noted that the Enriquillo-Plantain Garden fault zone could be at the end of its seismic cycle and concluded that a worst-case forecast would involve a 7.2 Mw earthquake, similar in size to the 1692 Jamaica earthquake. A study team presented a hazard assessment of the Enriquillo-Plantain Garden fault system to the 18th Caribbean Geologic Conference in March 2008, noting the large strain. The team recommended "high priority" historical geologic rupture studies, as the fault was fully locked and had recorded few earthquakes in the preceding 40 years. An article published in Haiti's Le Matin newspaper in September 2008 cited comments by geologist Patrick Charles to the effect that there was a high risk of major seismic activity in Port-au-Prince; and duly the magnitude 7.0 2010 Haiti earthquake happened on this fault zone on 12 January 2010. Haiti also has rare elements such as gold, which can be found at The Mont Organisé gold mine. Environment The soil erosion released from the upper catchments and deforestation have caused periodic and severe flooding in Haiti, as experienced, for example, on 17 September 2004. Earlier in May that year, floods had killed over 3,000 people on Haiti's southern border with the Dominican Republic. Haiti's forests covered 60% of the country as recently as 50 years ago, but that has been halved to a current estimate of 30% tree cover, according to more recent environmental analysis. This estimate poses a stark difference from the erroneous figure of 2% which has been oft-cited in discourse concerning the country's environmental condition. Haiti had a 2019 Forest Landscape Integrity Index mean score of 4.01/10, ranking it 137th globally out of 172 countries. Scientists at the Columbia University's Center for International Earth Science Information Network (CIESIN) and the United Nations Environment Programme are working on the Haiti Regenerative Initiative an initiative aiming to reduce poverty and natural disaster vulnerability in Haiti through ecosystem restoration and sustainable resource management. Biodiversity Haiti is home to four ecoregions: Hispaniolan moist forests, Hispaniolan dry forests, Hispaniolan pine forests, and Greater Antilles mangroves. Despite its small size, Haiti's mountainous terrain and resultant multiple climatic zones has resulted in a wide variety of plant life. Notable
was taken into exile aboard a British warship on 22 January 1859, and General Geffrard succeeded him as president. Late 19th century–early 20th century The period following Soulouque's overthrow down to the turn of the century was a turbulent one for Haiti, with repeated bouts of political instability. President Geffrard was overthrown in a coup in 1867, as was his successor, Sylvain Salnave, in 1869. Under the Presidency of Michel Domingue (1874–76) relations with the Dominican Republic were dramatically improved by the signing of a treaty, in which both parties acknowledged the independence of the other, bringing an end to Haitian dreams of bringing the entirety of Hispaniola under their control. Some modernisation of the economy and infrastructure also occurred in this period, especially under the Presidencies of Lysius Salomon (1879–88) and Florvil Hyppolite (1889–96). Haiti's relations with outside powers were often strained. In 1889 the United States attempted to force Haiti to permit the building of a naval base at Môle Saint-Nicolas, which was firmly resisted by President Hyppolite. In 1892 the German government supported suppression of the reform movement of Anténor Firmin, and in 1897, the Germans used gunboat diplomacy to intimidate and then humiliate the Haitian government of President Tirésias Simon Sam (1896–1902) during the Lüders Affair. In the first decades of the 20th century, Haiti experienced great political instability and was heavily in debt to France, Germany and the United States. A series of short lived presidencies came and went: President Pierre Nord Alexis was forced from power in 1908, as was his successor François C. Antoine Simon in 1911; President Cincinnatus Leconte (1911–12) was killed in a (possibly deliberate) explosion at the National Palace; Michel Oreste (1913–14) was ousted in a coup, as was his successor Oreste Zamor in 1914. United States occupation (1915–1934) Germany increased its influence in Haiti in this period, with a small community of German settlers wielding disproportionate influence in Haiti's economy. The German influence prompted anxieties in the United States, who had also invested heavily in the country, and whose government defended their right to oppose foreign interference in the Americas under the Monroe Doctrine. In December 1914, the Americans removed $500,000 from the Haitian National Bank, but rather than seize it to help pay the debt, it was removed for safe-keeping in New York, thus giving the United States control of the bank and preventing other powers from doing so. This gave a stable financial base on which to build the economy, and so enable the debt to be repaid. In 1915, Haiti's new President Vilbrun Guillaume Sam sought to strengthen his tenuous rule by a mass execution of 167 political prisoners. Outrage at the killings led to riots, and Sam was captured and killed by a lynch mob. Fearing possible foreign intervention, or the emergence of a new government led by the anti-American Haitian politician Rosalvo Bobo, President Woodrow Wilson sent U.S. Marines into Haiti in July 1915. The , under Rear Admiral Caperton, arrived in Port-au-Prince in an attempt to restore order and protect U.S. interests. Within days, the Marines had taken control of the capital city and its banks and customs house. The Marines declared martial law and severely censored the press. Within weeks, a new pro-U.S. Haitian president, Philippe Sudré Dartiguenave, was installed and a new constitution written that was favorable to the interests of the United States. The constitution (written by future US President Franklin D. Roosevelt) included a clause that allowed, for the first time, foreign ownership of land in Haiti, which was bitterly opposed by the Haitian legislature and citizenry. The occupation improved some of Haiti's infrastructure and centralized power in Port-au-Prince. 1700 km of roads were made usable, 189 bridges were built, many irrigation canals were rehabilitated, hospitals, schools, and public buildings were constructed, and drinking water was brought to the main cities. Port-au-Prince became the first Caribbean city to have a phone service with automatic dialling. Agricultural education was organized, with a central school of agriculture and 69 farms in the country. However, many infrastructure projects were built using the corvée system that allowed the government/occupying forces to take people from their homes and farms, at gunpoint if necessary, to build roads, bridges etc. by force, a process that was deeply resented by ordinary Haitians. Sisal was also introduced to Haiti, and sugarcane and cotton became significant exports, boosting prosperity. Haitian traditionalists, based in rural areas, were highly resistant to U.S.-backed changes, while the urban elites, typically mixed-race, welcomed the growing economy, but wanted more political control. Together they helped secure an end to the occupation in 1934, under the Presidency of Sténio Vincent (1930–41). The debts were still outstanding, though less due to increased prosperity, and the U.S. financial advisor-general receiver handled the budget until 1941. The U.S. Marines were instilled with a special brand of paternalism towards Haitians "expressed in the metaphor of a father's relationship with his children." Armed opposition to the US presence was led by the cacos under the command of Charlemagne Péralte; his capture and execution in 1919 earned him the status of a national martyr. During Senate hearings in 1921, the commandant of the Marine Corps reported that, in the 20 months of active unrest, 2,250 Haitians had been killed. However, in a report to the Secretary of the Navy, he reported the death toll as being 3,250. Haitian historians have claimed the true number was much higher, but this is not supported by most historians outside Haiti. Recognition of the distinctive traditionalism of the Haitian people had an influence on American writers, including Eugene O'Neill, James Weldon Johnson, Langston Hughes, Zora Neale Hurston and Orson Welles. Post-occupation era (1934–1957) After US forces left in 1934, Dominican dictator Rafael Trujillo used anti-Haitian sentiment as a nationalist tool. In an event that became known as the Parsley Massacre, he ordered his army to kill Haitians living on the Dominican side of the border. Few bullets were used – instead, 20,000–30,000 Haitians were bludgeoned and bayoneted, then herded into the sea, where sharks finished what Trujillo had begun. Congressman Hamilton Fish, ranking member of the House Foreign Affairs Committee, called the Parsley Massacre "the most outrageous atrocity that has ever been perpetrated on the American continent." President Vincent became increasingly dictatorial, and resigned under US pressure in 1941, being replaced by Élie Lescot (1941–46). In 1941, during the Second World War, Lescot declared war on Japan (8 December), Germany (12 December), Italy (12 December), Bulgaria (24 December), Hungary (24 December) and Romania (24 December). Out of these six Axis countries, only Romania reciprocated, declaring war on Haiti on the same day (24 December 1941). On 27 September 1945, Haiti became a founding member of the United Nations (the successor to the League of Nations, of which Haiti was also a founding member). In 1946 Lescot was overthrown by the military, with Dumarsais Estimé later becoming the new president (1946–50). He sought to improve the economy and education, and to boost the role of black Haitians, however as he sought to consolidate his rule he too was overthrown in a coup led by Paul Magloire, who replaced him as president (1950–56). Firmly anti-Communist, he was supported by the United States; with greater political stability tourists started to visit Haiti. The waterfront area of Port-au-Prince was redeveloped to allow cruise ship passengers to walk from the docks to cultural attractions. Celebrities such as Truman Capote and Noël Coward visited Haiti; the era is captured in Graham Greene's 1966 novel The Comedians. Duvalier dynasty (1957–1986) In 1956–57 Haiti underwent severe political turmoil; Magloire was forced to resign and leave the country in 1956 and he was followed by four short-lived presidencies. In the September 1957 election Dr. François Duvalier was elected President of Haiti. Known as 'Papa Doc' and initially popular, Duvalier remained President until his death in 1971. He advanced black interests in the public sector, where over time, people of color had predominated as the educated urban elite. Not trusting the army, despite his frequent purges of officers deemed disloyal, Duvalier created a private militia known as Tontons Macoutes ("Bogeymen"), which maintained order by terrorizing the populace and political opponents. In 1964 Duvalier proclaimed himself 'President for Life'; an uprising against his rule that year in Jérémie was violently suppressed, with the ringleaders publicly executed and hundreds of mixed-raced citizens in the town killed. The bulk of the educated and professional class began leaving the country, and corruption became widespread. Duvalier sought to create a personality cult, identifying himself with Baron Samedi, one of the loa (or lwa), or spirits, of Haitian Vodou. Despite the well-publicized abuses under his rule, Duvalier's firm anti-Communism earned him the support of the Americans, who furnished the country with aid. In 1971 Duvalier died, and he was succeeded by his son Jean-Claude Duvalier, nicknamed 'Baby Doc', who ruled until 1986. He largely continued his father's policies, though curbed some of the worst excesses in order to court international respectability. Tourism, which had nosedived in Papa Doc's time, again became a growing industry. However as the economy continued to decline Baby Doc's grip on power began to weaken. Haiti's pig population was slaughtered following an outbreak of swine fever in the late 1970s, causing hardship to rural communities who used them as an investment. The opposition became more vocal, bolstered by a visit to the country by Pope John Paul II in 1983, who publicly lambasted the president. Demonstrations occurred in Gonaïves in 1985 which then spread across the country; under pressure from the United States, Duvalier left the country for France in February 1986. In total, roughly 40,000 to 60,000 Haitians are estimated to have been killed during the reign of the Duvaliers. Through the use of his intimidation tactics and executions, many intellectual Haitians had fled, leaving the country with a massive brain-drain that it has yet to recover from. Post-Duvalier era (1986–2004) Following Duvalier's departure, army leader General Henri Namphy headed a new National Governing Council. Elections scheduled for November 1987 were aborted after dozens of inhabitants were shot in the capital by soldiers and Tontons Macoutes. Fraudulent elections followed in 1988, in which only 4% of the citizenry voted. The newly elected president, Leslie Manigat, was then overthrown some months later in the June 1988 Haitian coup d'état. Another coup followed in September 1988, after the St. Jean Bosco massacre in which 13–50 people (estimates vary) attending a mass led by prominent government critic and Catholic priest Jean-Bertrand Aristide were killed. General Prosper Avril subsequently led a military regime until March 1990. In December 1990 Jean-Bertrand Aristide was elected president in the Haitian general election. However his ambitious reformist agenda worried the elites, and in September of the following year he was overthrown by the military, led by Raoul Cédras, in the 1991 Haitian coup d'état. Amidst the continuing turmoil many Haitians attempted to flee the country. In September 1994, the United States negotiated the departure of Haiti's military leaders and the peaceful entry of 20,000 US troops under Operation Uphold Democracy. This enabled the restoration of the democratically elected Jean-Bertrand Aristide as president, who returned to Haiti in October to complete his term. As part of the deal Aristide had to implement free market reforms in an attempt to improve the Haitian economy, with mixed results, some sources stating that these reforms had a negative impact on native Haitian industry. In November 1994, Hurricane Gordon brushed Haiti, dumping heavy rain and creating flash flooding that triggered mudslides. Gordon killed an estimated 1,122 people, although some estimates go as high as 2,200. Elections were held in 1995 which were won by René Préval, gaining 88% of the popular vote, albeit on a low turnout. Aristide subsequently formed his own party, Fanmi Lavalas, and political deadlock ensued; the November 2000 election returned Aristide to the presidency with 92% of the vote. The election had been boycotted by the opposition, then organized into the Convergence Démocratique, over a dispute in the May legislative elections. In subsequent years, there was increasing violence between rival political factions and human rights abuses. Aristide spent years negotiating with the Convergence Démocratique on new elections, but the Convergence's inability to develop a sufficient electoral base made elections unattractive. In 2004 an anti-Aristide revolt began in northern Haiti. The rebellion eventually reached the capital, and Aristide was forced into exile. The precise nature of the events are disputed; some, including Aristide and his bodyguard, Franz Gabriel, stated that he was the victim of a "new coup d'état or modern kidnapping" by U.S. forces. Mrs. Aristide stated that the kidnappers wore U.S. Special Forces uniforms, but changed into civilian clothes upon boarding the aircraft that was used to remove Aristide from Haiti. These charges were denied by the US government. As political violence and crime continued to grow, a United Nations Stabilisation Mission (MINUSTAH) was brought in to maintain order. However MINUSTAH proved controversial, as their at times heavy-handed approach to maintaining law and order and several instances of abuses, including the alleged sexual abuse of civilians, provoked resentment and distrust amongst ordinary Haitians. Boniface Alexandre assumed interim authority until 2006, when René Préval was re-elected President following elections. Post-Aristide era (2004–present) Amidst the continuing political chaos, a series of natural disasters hit Haiti. In 2004 Tropical Storm Jeanne skimmed the north coast, leaving 3,006 people dead in flooding and mudslides, mostly in the city of Gonaïves. In 2008 Haiti was again struck by tropical storms; Tropical Storm Fay, Hurricane Gustav, Hurricane Hanna and Hurricane Ike all produced heavy winds and rain, resulting in 331 deaths and about 800,000 in need of humanitarian aid. The state of affairs produced by these storms was intensified by already high food and fuel prices that had caused a food crisis and political unrest in April 2008. On 12 January 2010, at 4:53 pm local time, Haiti was struck by a magnitude-7.0 earthquake. This was the country's most severe earthquake in over 200 years. The earthquake was reported to have left between 220,000 and 300,000 people dead and up to 1.6 million homeless. The situation was exacerbated by a subsequent massive cholera outbreak that was triggered when cholera-infected waste from a United Nations peacekeeping station contaminated the country's main river, the Artibonite. In 2017, it was reported that roughly 10,000 Haitians had died and nearly a million had been made ill. After years of denial the United Nations apologized in 2016, but , they have refused to acknowledge fault, thus avoiding financial responsibility. General elections had been planned for January 2010 but were postponed due to the earthquake. Elections were held on 28 November 2010 for the senate, the parliament and the first round of the presidential elections. The run-off between Michel Martelly and Mirlande Manigat took place on 20 March 2011, and preliminary results, released on 4 April, named Michel Martelly the winner. In 2011 both former dictator Jean-Claude Duvalier and Jean-Bertrand Aristide returned to Haiti; attempts to try Duvalier for crimes committed under his rule were shelved following his death in 2014. In 2013, Haiti called for European nations to pay reparations for slavery and establish an official commission for the settlement of past wrongdoings. Meanwhile, after continuing political wrangling with the opposition and allegations of electoral fraud, Martelly agreed to step down in 2016 without a successor in place. An interim president, Jocelerme Privert, then took office. After numerous postponements, partly owing to the effects of devastating Hurricane Matthew, elections were eventually held in November 2016. The victor, Jovenel Moïse of the Haitian Tèt Kale Party, was subsequently sworn in as president in 2017. The 2018–2021 Haitian protests are demonstrations in cities throughout Haiti that began on 7 July 2018, in response to increased fuel prices. Over time these protests evolved into demands for the resignation of president Moïse. On 7 July 2021, President Moïse was assassinated in an attack on his private residence, and First Lady Martine Moïse was hospitalized following the overnight attack. The United Nations special envoy for Haiti, Helen La Lime, said on 8 July 2021 that interim Prime Minister Claude Joseph, as Acting President, will lead Haiti until an election is held later in the year, urging all parties to set aside differences. Claude Joseph's presidency is disputed with Senate Leader Joseph Lambert. The United Nations recognized Claude Joseph as the legitimate Acting President. Haitian officials have asked the United States to send troops to help stabilize the country and protect vital infrastructure. On 19 July 2021, Claude Joseph stepped down as Acting President, transferring the power to rival Ariel Henry. In August 2021, Haiti suffered a huge earthquake, with many casualties. The earthquake has also damaged Haiti's economic conditions and led to a rise in violent crimes in the country. Geography Haiti forms the western three-eighths of Hispaniola, the second largest island in the Greater Antilles. At 27,750 sq km Haiti is the third largest country in the Caribbean behind Cuba and the Dominican Republic, the latter sharing a border with Haiti. The country has a roughly horseshoe shape and because of this it has a disproportionately long coastline, second in length () behind Cuba in the Greater Antilles. Haiti is the most mountainous nation in the Caribbean, its terrain consists of mountains interspersed with small coastal plains and river valleys. The climate is tropical, with some variation depending on altitude. The highest point is Pic la Selle, at . The northern region consists of the Massif du Nord (Northern Massif) and the Plaine du Nord (Northern Plain). The Massif du Nord is an extension of the Cordillera Central in the Dominican Republic. It begins at Haiti's eastern border, north of the Guayamouc River, and extends to the northwest through the northern peninsula. The lowlands of the Plaine du Nord lie along the northern border with the Dominican Republic, between the Massif du Nord and the North Atlantic Ocean. The central region consists of two plains and two sets of mountain ranges. The Plateau Central (Central Plateau) extends along both sides of the Guayamouc River, south of the Massif du Nord. It runs from the southeast to the northwest. To the southwest of the Plateau Central are the Montagnes Noires, whose most northwestern part merges with the Massif du Nord. Haiti's most important valley in terms of crops is the Plaine de l'Artibonite, which lies between the Montagnes Noires and the Chaîne des Matheux. This region supports the country's (also Hispaniola's) longest river, the Riviere l'Artibonite, which begins in the western region of the Dominican Republic and continues for most of its length through central Haiti, where it then empties into the Golfe de la Gonâve. Also in this valley lies Haiti's second largest lake, Lac de Péligre, formed as a result of the construction of the Péligre Dam in the mid-1950s. The southern region consists of the Plaine du Cul-de-Sac (the southeast) and the mountainous southern peninsula (also known as the Tiburon Peninsula). The Plaine du Cul-de-Sac is a natural depression that harbors the country's saline lakes, such as Trou Caïman and Haiti's largest lake, Étang Saumatre. The Chaîne de la Selle mountain range – an extension of the southern mountain chain of the Dominican Republic (the Sierra de Baoruco) – extends from the Massif de la Selle in the east to the Massif de la Hotte in the west. Haiti also includes several offshore islands. The island of Tortuga (Île de la Tortue) is located off the coast of northern Haiti. The arrondissement of La Gonâve is located on the island of the same name, in the Golfe de la Gonâve; Haiti's largest island, Gonâve is moderately populated by rural villagers. Île à Vache (Cow Island) is located off the southwest coast; also part of Haiti are the Cayemites, located in the Gulf of Gonâve north of Pestel. La Navasse (Navassa Island), located west of Jérémie on the south west peninsula of Haiti, is subject to an ongoing territorial dispute with the United States, who currently administer the island via the United States Fish and Wildlife Service. Climate Haiti's climate is tropical with some variation depending on altitude. Port-au-Prince ranges in January from an average minimum of to an average maximum of ; in July, from . The rainfall pattern is varied, with rain heavier in some of the lowlands and the northern and eastern slopes of the mountains. Haiti's dry season occurs from November to January. Port-au-Prince receives an average annual rainfall of . There are two rainy seasons, April–June and October–November. Haiti is subject to periodic droughts and floods, made more severe by deforestation. Hurricanes are a menace, and the country is also prone to flooding and earthquakes. Geology There are blind thrust faults associated with the Enriquillo-Plantain Garden fault system over which Haiti lies. After the earthquake of 2010, there was no evidence of surface rupture and geologists' findings were based on seismological, geological and ground deformation data. The northern boundary of the fault is where the Caribbean tectonic plate shifts eastwards by about per year in relation to the North American plate. The strike-slip fault system in the region has two branches in Haiti, the Septentrional-Oriente fault in the north and the Enriquillo-Plantain Garden fault in the south. A 2007 earthquake hazard study, noted that the Enriquillo-Plantain Garden fault zone could be at the end of its seismic cycle and concluded that a worst-case forecast would involve a 7.2 Mw earthquake, similar in size to the 1692 Jamaica earthquake. A study team presented a hazard assessment of the Enriquillo-Plantain Garden fault system to the 18th Caribbean Geologic Conference in March 2008, noting the large strain. The team recommended "high priority" historical geologic rupture studies, as the fault was fully locked and had recorded few earthquakes in the preceding 40 years. An article published in Haiti's Le Matin newspaper in September 2008 cited comments by geologist Patrick Charles to the effect that there was a high risk of major seismic activity in Port-au-Prince; and duly the magnitude 7.0 2010 Haiti earthquake happened on this fault zone on 12 January 2010. Haiti also has rare elements such as gold, which can be found at The Mont Organisé gold mine. Environment The soil erosion released from the upper catchments and deforestation have caused periodic and severe flooding in Haiti, as experienced, for example, on 17 September 2004. Earlier in May that year, floods had killed over 3,000 people on Haiti's southern border with the Dominican Republic. Haiti's forests covered 60% of the country as recently as 50 years ago, but that has been halved to a current estimate of 30% tree cover, according to more recent environmental analysis. This estimate poses a stark difference from the erroneous figure of 2% which has been oft-cited in discourse concerning the country's environmental condition. Haiti had a 2019 Forest Landscape Integrity Index mean score of 4.01/10, ranking it 137th globally out of 172 countries. Scientists at the Columbia University's Center for International Earth Science Information Network (CIESIN) and the United Nations Environment Programme are working on the Haiti Regenerative Initiative an initiative aiming to reduce poverty and natural disaster vulnerability in Haiti through ecosystem restoration and sustainable resource management. Biodiversity Haiti is home to four ecoregions: Hispaniolan moist forests, Hispaniolan dry forests, Hispaniolan pine forests, and Greater Antilles mangroves. Despite its small size, Haiti's mountainous terrain and resultant multiple climatic zones has resulted in a wide variety of plant life. Notable tree species include the breadfruit tree, mango tree, acacia, mahogany, coconut palm, royal palm and West Indian cedar. The forests were formerly much more extensive, but have been subject to severe deforestation. Most mammal species are not native, having been brought to the island since colonial times. However there are various native bat species, as well as the endemic Hispaniolan hutia and Hispaniolan solenodon. Various whale and dolphin species can also be found off Haiti's coast. There are over 260 species of bird, 31 of these being endemic to Hispaniola. Notable endemic species include the Hispaniolan trogon, Hispaniolan parakeet, grey-crowned tanager and the Hispaniolan Amazon. There are also several raptor species, as well as pelicans, ibis, hummingbirds and ducks. Reptiles are common, with species such as the rhinoceros iguana, Haitian boa, American crocodile and gecko. Government and politics The government of Haiti is a semi-presidential republic, a multiparty system wherein the president of Haiti is head of state and elected directly by popular elections held every five years. The prime minister of Haiti acts as head of government and is appointed by the president, chosen from the majority party in the National Assembly. Executive power is exercised by the president and prime minister who together constitute the government. Legislative power is vested in both the government and the two chambers of the National Assembly of Haiti, the Senate (Sénat) and the Chamber of Deputies (Chambre des Députés). The government is organized unitarily, thus the central government delegates powers to the departments without a constitutional need for consent. The current structure of Haiti's political system was set forth in the Constitution of Haiti on 29 March 1987. Haitian politics have been contentious: since independence, Haiti has suffered 32 coups. Haiti is the only country in the Western Hemisphere to undergo a successful slave revolution; however, a long history of oppression by dictators such as François Duvalier and his son Jean-Claude Duvalier has markedly affected the nation. Since the end of the Duvalier era Haiti has been transitioning to a democratic system. Administrative divisions Administratively, Haiti is divided into ten departments. The departments are listed below, with the departmental capital cities in parentheses. Nord-Ouest (Port-de-Paix) Nord (Cap-Haïtien) Nord-Est (Fort-Liberté) Artibonite (Gonaïves) Centre (Hinche) Ouest (Port-au-Prince) Grand'Anse (Jérémie) Nippes (Miragoâne) Sud (Les Cayes) Sud-Est (Jacmel) The departments are further divided into 42 arrondissements, 145 communes and 571 communal sections. These serve as, respectively, second- and third-level administrative divisions. Foreign relations Haiti is a member of a wide range of international and regional organizations, such as the United Nations, CARICOM, Community of Latin American and Caribbean States, International Monetary Fund, Organisation of American States, Organisation internationale de la Francophonie, OPANAL and the World Trade Organization. In February 2012, Haiti signaled it would seek to upgrade its observer status to full associate member status of the African Union (AU). The AU was reported to be planning to upgrade Haiti's status from observer to associate at its June 2013 summit but the application had still not been ratified by May 2016. Military Haiti's Ministry of Defense is the main body of the armed forces. The former Haitian Armed Forces were demobilized in 1995, however efforts to reconstitute it are currently underway. The current defense force for Haiti is the Haitian National Police, which has a highly trained SWAT team, and works alongside the Haitian Coast Guard. In 2010, the Haitian National Police force numbered 7,000. Law enforcement and crime The legal system is based on a modified version of the Napoleonic Code. Haiti has consistently ranked among the most corrupt countries in the world on the Corruption Perceptions Index. According to a 2006 report by the Corruption Perceptions Index, there is a strong correlation between corruption and poverty in Haiti. The nation ranked first of all countries surveyed for levels of perceived domestic corruption. It is estimated that President "Baby Doc" Duvalier, his wife Michelle, and their agents stole US $504 million from the country's treasury between 1971 and 1986. Similarly, after the Haitian Army folded in 1995, the Haitian National Police (HNP) gained sole power of authority on the Haitian citizens. Many Haitians as well as observers of the Haitian society believe that this monopolized power could have given way to a corrupt police force. Similarly, some media outlets alleged that millions were stolen by former president Jean-Bertrand Aristide. In March 2004, at the time of Aristide's kidnapping, a BBC article wrote that the Bush administration State Department stated that Aristide had been involved in drug trafficking. The BBC also described pyramid schemes, in which Haitians lost hundreds of millions in 2002, as the "only real economic initiative" of the Aristide years. Conversely, according to the 2013 United Nations Office on Drugs and Crime (UNODC) report, murder rates in Haiti (10.2 per 100,000) are far below the regional average (26 per 100,000); less than that of Jamaica (39.3 per 100,000) and nearly that of the Dominican Republic (22.1 per 100,000), making it among the safer countries in the region. In large part, this is due to the country's ability to fulfil a pledge by increasing its national police yearly by 50%, a four-year initiative that was started in 2012. In addition to the yearly recruits, the Haitian National Police (HNP) has been using innovative technologies to crack down on crime. A notable bust in recent years led to the dismantlement of the largest kidnapping ring in the country with the use of an advanced software program developed by a West Point-trained Haitian official that proved to be so effective that it has led to its foreign advisers to make inquiries. In 2010, the New York City Police Department (NYPD) sent a team of veteran officers to Haiti to assist in the rebuilding of its police force with special training in investigative techniques, strategies to improve the anti-kidnapping personnel and community outreach to build stronger relationships with the public especially among the youth. It has also helped the HNP set up a police unit in the center of Delmas, a neighborhood of Port-au-Prince. In 2012 and 2013, 150 HNP officers received specialized training funded by the US government, which also contributed to the infrastructure and communications support by upgrading radio capacity and constructing new police stations from the most violent-prone neighborhoods of Cité Soleil and Grande Ravine in Port-au-Prince to the new northern industrial park at Caracol. Haitian penitentiary system Port-au-Prince penitentiary is home to half of Haiti's prisoners. The prison has a capacity of 1,200 detainees but the penitentiary was obliged to keep 4,359 detainees, a 454% occupancy level. This leads to severe consequences for the inmates. One cell could hold up to 60 inmates which was originally designed for only 18, therefore creating tight and uncomfortable living conditions. The inmates are forced to create makeshift hammocks from the wall and ceilings. The men are on a 22/ 23 hour lock up in the cells so the risk of diseases is very high. The inability to receive sufficient funds from the government as Haiti endures severe natural disasters which take up their attention and resources, such as the 2010 earthquake, has caused deadly cases of malnutrition, combined with the tight living conditions, increases the risk of infectious diseases such as tuberculosis which has led to 21 deaths in January 2017 alone at the Port-au-Prince penitentiary. Haitian law states that once arrested, one must go before a judge within 48 hours; however, this is very rare. In an interview with Unreported World, the prison governor stated that around 529 detainees were never sentenced, there are 3,830 detainees who are in prolonged detained trial detention. Therefore, 80% are not convicted. Unless families are able to provide the necessary funds for inmates to appear before a judge there is a very slim chance the inmate would have a trial, on average, within 10 years. Brian Concannon, the director of the non-profit Institute for Justice and Democracy in Haiti, claims that without a substantial bribe to persuade judges, prosecutors and lawyers to undergo their case, there is no prospect for getting a trial for years. Families may send food to the penitentiary; however, most inmates depend on the meals served twice a day. However, the majority of the meals consists of ration supplies of rice, oats or cornmeal, which has led to deadly cases of malnutrition-related ailments such as beriberi and anemia. Prisoners too weak are crammed in the penitentiary infirmary. In confined living spaces for 22–23 hours a day, inmates are not provided with latrines and are forced to defecate into plastic bags and leave them outside their cells. These conditions were considered inhumane by the Inter-American Court of Human Rights in 2008. Economy Haiti has a predominantly free market economy, with a GDP of $19.97 billion and per capita GDP of $1,800 (2017 estimates). The country uses the Haitian gourde as its currency. Despite its tourism industry, Haiti is one of the poorest countries in the Americas, with corruption, political instability, poor infrastructure, lack of health care and lack of education cited as the main causes. Unemployment is high and many Haitians seek to emigrate. Trade declined dramatically after the 2010 earthquake and subsequent outbreak of cholera, with the country's purchasing power parity GDP falling by 8% (from US$12.15 billion to US$11.18 billion). Haiti ranked 145th of 182 countries in the 2010 United Nations Human Development Index, with 57.3% of the population being deprived in at least three of the HDI's poverty measures. Following the disputed 2000 election and accusations about President Aristide's rule, US aid to the Haitian government was cut off between 2001 and 2004. After Aristide's departure in 2004, aid was restored and the Brazilian army led a United Nations Stabilization Mission in Haiti peacekeeping operation. After almost four years of recession, the economy grew by 1.5% in 2005. In September 2009, Haiti met the conditions set out by the IMF and World Bank's Heavily Indebted Poor Countries program to qualify for cancellation of its external debt. More than 90 percent of the government's budget comes from an agreement with Petrocaribe, a Venezuela-led oil alliance. Foreign aid Haiti received more than US$4 billion in aid from 1990 to 2003, including US$1.5 billion from the United States. The largest donor is the US, followed by Canada and the European Union. In January 2010, following the earthquake, US President Barack Obama promised US$1.15 billion in assistance. European Union nations pledged more than €400 million (US$616 million). Neighboring Dominican Republic has also provided extensive humanitarian aid to Haiti, including the funding and construction of a public university, human capital, free healthcare services in the border region, and logistical support after the 2010 earthquake. The United Nations states that in total US$13.34 billion has been earmarked for post-earthquake reconstruction through 2020, though two years after the 2010 quake, less than half of that amount had actually been released, according to UN documents. , the US government has allocated US$4 billion, US$3 billion has already been spent, and the rest is dedicated to longer-term projects. Trade According to the 2015 CIA World Factbook, Haiti's main import partners are: Dominican Republic 35%, US 26.8%, Netherlands Antilles 8.7%, China 7% (est. 2013). Haiti's main export partner is the US 83.5% (est. 2013). Haiti had a trade deficit of US$3 billion in 2011, or 41% of GDP. Energy In 1925, the city of Jacmel was the first area in the Caribbean to have electricity and was subsequently dubbed the City of Light. Today, Haiti relies heavily on an oil alliance with Petrocaribe for much of its energy requirements. In recent years, hydroelectric, solar and wind energy have been explored as possible sustainable energy sources. As of 2017, among all the countries in the Americas, Haiti is producing the least energy. Less than a quarter of the country has electric coverage. Most regions of Haiti that do have energy are powered by generators. These generators are often expensive and produce a lot of pollution. The areas that do get electricity experience power cuts on a daily basis, and some areas are limited to 12 hours of electricity a day. Electricity is provided by a small number of independent companies: Sogener, E-power, and Haytrac. There is no national electricity grid within the country. The most common source of energy
Duke of Tabara. Geffrard's military government held office until 1867, and he encouraged a successful policy of national reconciliation. In 1860, he reached an agreement with the Vatican, reintroducing official Roman Catholic institutions, including schools, to the nation. In 1867 an attempt was made to establish a constitutional government, but successive presidents Sylvain Salnave and Nissage Saget were overthrown in 1869 and 1874 respectively. A more workable constitution was introduced under Michel Domingue in 1874, leading to a long period of democratic peace and development for Haiti. The debt to France was finally repaid in 1879, and Michel Domingue's government peacefully transferred power to Lysius Salomon, one of Haiti's abler leaders. Monetary reform and a cultural renaissance ensued with a flowering of Haitian art. The last two decades of the 19th century were also marked by the development of a Haitian intellectual culture. Major works of history were published in 1847 and 1865. Haitian intellectuals, led by Louis-Joseph Janvier and Anténor Firmin, engaged in a war of letters against a tide of racism and Social Darwinism that emerged during this period. The Constitution of 1867 saw peaceful and progressive transitions in government that did much to improve the economy and stability of the Haitian nation and the condition of its people. Constitutional government restored the faith of the Haitian people in legal institutions. The development of industrial sugar and rum industries near Port-au-Prince made Haiti, for a while, a model for economic growth in Latin American countries. This period of relative stability and prosperity ended in 1911, when revolution broke out and the country slid once again into disorder and debt. From 1911 to 1915, there were six different presidents, each of whom was killed or forced into exile. The revolutionary armies were formed by cacos, peasant brigands from the mountains of the north, along the porous Dominican border, who were enlisted by rival political factions with promises of money to be paid after a successful revolution and an opportunity to plunder. The United States was particularly apprehensive about the role of the German community in Haiti (approximately 200 in 1910), who wielded a disproportionate amount of economic power. Germans controlled about 80% of the country's international commerce; they also owned and operated utilities in Cap Haïtien and Port-au-Prince, the main wharf and a tramway in the capital, and a railroad serving the Plaine de Cul-du-Sac. The German community proved more willing to integrate into Haitian society than any other group of white foreigners, including the French. A number married into the nation's most prominent mulatto families, bypassing the constitutional prohibition against foreign land-ownership. They also served as the principal financiers of the nation's innumerable revolutions, floating innumerable loans-at high interest rates-to competing political factions. In an effort to limit German influence, in 1910–11, the US State Department backed a consortium of American investors, assembled by the National City Bank of New York, in acquiring control of the Banque Nationale d'Haïti, the nation's only commercial bank and the government treasury. In February 1915, Vilbrun Guillaume Sam established a dictatorship, but in July, facing a new revolt, he massacred 167 political prisoners, all of whom were from elite families, and was lynched by a mob in Port-au-Prince. United States occupation (1915–34) In 1915 the United States, responding to complaints to President Woodrow Wilson from American banks to which Haiti was deeply in debt, occupied the country. The occupation of Haiti lasted until 1934. The US occupation was resented by Haitians as a loss of sovereignty and there were revolts against US forces. Reforms were carried out despite this. Under the supervision of the United States Marines, the Haitian National Assembly elected Philippe Sudré Dartiguenave president. He signed a treaty that made Haiti a de jure US protectorate, with American officials assuming control over the Financial Advisory, Customs Receivership, the Constabulary, the Public Works Service, and the Public Health Service for a period of ten years. The principal instrument of American authority was the newly created Gendarmerie d'Haïti, commanded by American officers. In 1917, at the demand of US officials, the National Assembly was dissolved, and officials were designated to write a new constitution, which was largely dictated by officials in the US State Department and US Navy Department. Franklin D. Roosevelt, Under-Secretary for the Navy in the Wilson administration, claimed to have personally written the new constitution. This document abolished the prohibition on foreign ownership of land – the most essential component of Haitian law. When the newly elected National Assembly refused to pass this document and drafted one of its own preserving this prohibition, it was forcibly dissolved by Gendarmerie commandant Smedley Butler. This constitution was approved by a plebiscite in 1919, in which less than 5% of the population voted. The US State Department authorized this plebiscite presuming that "the people casting ballots would be 97% illiterate, ignorant in most cases of what they were voting for." The Marines and Gendarmerie initiated an extensive road-building program to enhance their military effectiveness and open the country to US investment. Lacking any source of adequate funds, they revived an 1864 Haitian law, discovered by Butler, requiring peasants to perform labor on local roads in lieu of paying a road tax. This system, known as the corvée, originated in the unpaid labor that French peasants provided to their feudal lords. In 1915, Haiti had of road usable by automobile, outside the towns. By 1918, more than of road had been built or repaired through the corvée system, including a road linking Port-au-Prince to Cap-Haïtien. However, Haitians forced to work in the corvée labor-gangs, frequently dragged from their homes and harassed by armed guards, received few immediate benefits and saw this system of forced labor as a return to slavery at the hands of white men. In 1919, a new caco uprising began, led by Charlemagne Péralte, vowing to 'drive the invaders into the sea and free Haiti.' The Cacos attacked Port-au-Prince in October but were driven back with heavy casualties. Afterwards, a Creole-speaking American Gendarmerie officer and two US marines infiltrated Péralte's camp, killing him and photographing his corpse in an attempt to demoralize the rebels. Leadership of the rebellion passed to Benoît Batraville, a Caco chieftain from Artibonite, who also launched an assault on the capital. His death in 1920 marked the end of hostilities. During Senate hearings in 1921, the commandant of the Marine Corps reported that, in the twenty months of active resistance, 2,250 Haitians had been killed. However, in a report to the Secretary of the Navy he reported the death toll as being 3,250. Haitian historians have estimated the true number was much higher; one suggested, "the total number of battle victims and casualties of repression and consequences of the war might have reached, by the end of the pacification period, four or five times that – somewhere in the neighborhood of 15,000 persons." In 1922, Dartiguenave was replaced by Louis Borno, who ruled without a legislature until 1930. That same year, General John H. Russell, Jr., was appointed High Commissioner. The Borno-Russel dictatorship oversaw the expansion of the economy, building over of road, establishing an automatic telephone exchange, modernizing the nation's port facilities, and establishing a public health service. Sisal was introduced to Haiti, and sugar and cotton became significant exports. However, efforts to develop commercial agriculture had limited success, in part because much of Haiti's labor force was employed at seasonal work in the more established sugar industries of Cuba and the Dominican Republic. An estimated 30,000–40,000 Haitian laborers, known as braceros, went annually to the Oriente Province of Cuba between 1913 and 1931. Most Haitians continued to resent the loss of sovereignty. At the forefront of opposition among the educated elite was L'Union Patriotique, which established ties with opponents of the occupation in the US itself, in particular the National Association for the Advancement of Colored People (NAACP). The Great Depression decimated the prices of Haiti's exports and destroyed the tenuous gains of the previous decade. In December 1929, Marines in Les Cayes killed ten Haitians during a march to protest local economic conditions. This led Herbert Hoover to appoint two commissions, including one headed by a former US governor of the Philippines William Cameron Forbes, which criticized the exclusion of Haitians from positions of authority in the government and constabulary, now known as the Garde d'Haïti. In 1930, Sténio Vincent, a long-time critic of the occupation, was elected president, and the US began to withdraw its forces. The withdrawal was completed under US President Franklin D. Roosevelt (FDR), in 1934, under his "Good Neighbor policy". The US retained control of Haiti's external finances until 1947. All three rulers during the occupation came from the country's mulatto minority. At the same time, many in the growing black professional classes departed from the traditional veneration of Haiti's French cultural heritage and emphasized the nation's African roots, most notably ethnologist Jean Price-Mars and the journal Les Griots, edited by Dr. François Duvalier. The transition government was left with a better infrastructure, public health, education, and agricultural development as well as a democratic system. The country had fully democratic elections in 1930, won by Sténio Vincent. The Garde was a new kind of military institution in Haiti. It was a force manned overwhelmingly by blacks, with a United States-trained black commander, Colonel Démosthènes Pétrus Calixte. Most of the Garde's officers, however, were mulattoes. The Garde was a national organization; it departed from the regionalism that had characterized most of Haiti's previous armies. In theory, its charge was apolitical—to maintain internal order, while supporting a popularly elected government. The Garde initially adhered to this role. Elections and coups (1934–57) Vincent's presidency (1934–41) President Vincent took advantage of the comparative national stability, which was being maintained by a professionalized military, to gain absolute power. A plebiscite permitted the transfer of all authority in economic matters from the legislature to the executive, but Vincent was not content with this expansion of his power. In 1935 he forced through the legislature a new constitution, which was also approved by plebiscite. The constitution praised Vincent, and it granted the executive sweeping powers to dissolve the legislature at will, to reorganize the judiciary, to appoint ten of twenty-one senators (and to recommend the remaining eleven to the lower house), and to rule by decree when the legislature was not in session. Although Vincent implemented some improvements in infrastructure and services, he brutally repressed his opposition, censored the press, and governed largely to benefit himself and a clique of merchants and corrupt military officers. Under Calixte the majority of Garde personnel had adhered to the doctrine of political nonintervention that their Marine Corps trainers had stressed. Over time, however, Vincent and Dominican dictator Rafael Leónidas Trujillo Molina sought to buy adherents among the ranks. Trujillo, determined to expand his influence over all of Hispaniola, in October 1937 ordered the indiscriminate butchery by the Dominican army of an estimated 14,000 to 40,000 Haitians on the Dominican side of the Massacre River. Some observers claim that Trujillo supported an abortive coup attempt by young Garde officers in December 1937. Vincent dismissed Calixte as commander and sent him abroad, where he eventually accepted a commission in the Dominican military as a reward for his efforts while on Trujillo's payroll. The attempted coup led Vincent to purge the officer corps of all members suspected of disloyalty, marking the end of the apolitical military. Lescot's presidency (1941–46) In 1941 Vincent showed every intention of standing for a third term as president, but after almost a decade of disengagement, the United States made it known that it would oppose such an extension. Vincent accommodated the Roosevelt administration and handed power over to Elie Lescot. Lescot was of mixed race and had served in numerous government posts. He was competent and forceful, and many considered him a sterling candidate for the presidency, despite his elitist background. Like the majority of previous Haitian presidents, however, he failed to live up to his potential. His tenure paralleled that of Vincent in many ways. Lescot declared himself commander in chief of the military, and power resided in a clique that ruled with the tacit support of the Garde. He repressed his opponents, censored the press, and compelled the legislature to grant him extensive powers. He handled all budget matters without legislative sanction and filled legislative vacancies without calling elections. Lescot commonly said that Haiti's declared state-of-war against the Axis powers during World War II justified his repressive actions. Haiti, however, played no role in the war except for supplying the United States with raw materials and serving as a base for a United States Coast Guard detachment. Aside from his authoritarian tendencies, Lescot had another flaw: his relationship with Rafael Trujillo. While serving as Haitian ambassador to the Dominican Republic, Lescot fell under the sway of Trujillo's influence and wealth. In fact, it was Trujillo's money that reportedly bought most of the legislative votes that brought Lescot to power. Their clandestine association persisted until 1943, when the two leaders parted ways for unknown reasons. Trujillo later made public all his correspondence with the Haitian leader. The move undermined Lescot's already dubious popular support. In January 1946, events came to a head when Lescot jailed the Marxist editors of a journal called La Ruche (The Beehive). This action precipitated student strikes and protests by government workers, teachers, and shopkeepers in the capital and provincial cities. In addition, Lescot's mulatto-dominated rule had alienated the predominantly black Garde. His position became untenable, and he resigned on 11 January. Radio announcements declared that the Garde had assumed power, which it would administer through a three-member junta. Revolution of 1946 The Revolution of 1946 was a novel development in Haiti's history, as the Garde assumed power as an institution, not as the instrument of a particular commander. The members of the junta, known as the Military Executive Committee (Comité Exécutif Militaire), were Garde commander Colonel Franck Lavaud, Major Antoine Levelt, and Major Paul E. Magloire, commander of the Presidential Guard. All three understood Haiti's traditional way of exercising power, but they lacked a thorough understanding of what would be required to make the transition to an elected civilian government. Upon taking power, the junta pledged to hold free elections. The junta also explored other options, but public clamor, which included public demonstrations in support of potential candidates, eventually forced the officers to make good on their promise. Haiti elected its National Assembly in May 1946. The Assembly set 16 August 1946, as the date on which it would select a president. The leading candidates for the office—all of whom were black—were Dumarsais Estimé, a former school teacher, assembly member, and cabinet minister under Vincent; Félix d'Orléans Juste Constant, leader of the Haitian Communist Party (Parti Communiste d'Haïti—PCH); and former Garde commander Démosthènes Pétrus Calixte, who stood as the candidate of a progressive coalition that included the Worker Peasant Movement (Mouvement Ouvrier Paysan—MOP). MOP chose to endorse Calixte, instead of a candidate from its own ranks, because the party's leader, Daniel Fignolé, was only thirty-three years old—too young to stand for the nation's highest office. Estimé, politically the most moderate of the three, drew support from the black population in the north, as well as from the emerging black middle class. The leaders of the military, who would not countenance the election of Juste Constant and who reacted warily to the populist Fignolé, also considered Estimé the safest candidate. After two rounds of polling, legislators gave Estimé the presidency. Estimé's presidency (1946–50) Estimé's election represented a break with Haiti's political tradition. Although he was reputed to have received support from commanders of the Garde, Estimé was a civilian. Of humble origins, he was passionately anti-elitist and therefore generally antimulatto. He demonstrated, at least initially, a genuine concern for the welfare of the people. Operating under a new constitution that went into effect in November 1946, Estimé proposed, but never secured passage of, Haiti's first social- security legislation. He did, however, expand the school system, encourage the establishment of rural cooperatives, raise the salaries of civil servants, and increase the representation of middle-class and lower-class blacks in the public sector. He also attempted to gain the favor of the Garde—renamed the Haitian Army (Armée d'Haïti) in March 1947—by promoting Lavaud to brigadier general and by seeking United States military assistance. Estimé eventually fell victim to two of the time-honored pitfalls of Haitian rule: elite intrigue and personal ambition. The elite had a number of grievances against Estimé. Not only had he largely excluded them from the often lucrative levers of government, but he also enacted the country's first income tax, fostered the growth of labor unions, and suggested that vodou be considered as a religion equivalent to Roman Catholicism—a notion that the Europeanized elite abhorred. Lacking direct influence in Haitian affairs, the elite resorted to clandestine lobbying among the officer corps. Their efforts, in combination with deteriorating domestic conditions, led to a coup in May 1950. To be sure, Estimé had hastened his own demise in several ways. His nationalization of the Standard Fruit Company banana concession sharply reduced the firm's revenues. He alienated workers by requiring them to invest between 10 percent and 15 percent of their salaries in national-defense bonds. The president sealed his fate by attempting to manipulate the constitution in order to extend his term in office. Seizing on this action and the popular unrest it engendered, the army forced the president to resign on 10 May 1950. The same junta that had assumed power after the fall of Lescot reinstalled itself. An army escort conducted Estimé from the National Palace and into exile in Jamaica. The events of May 1946 made an impression upon the deposed minister of labor, François Duvalier. The lesson that Duvalier drew from Estimé's ouster was that the military could not be trusted. It was a lesson that he would act upon when he gained power. Magloire's presidency (1950–56) The power balance within the junta shifted between 1946 and 1950. Lavaud was the preeminent member at the time of the first coup, but Magloire, now a colonel, dominated after Estimé's overthrow. When Haiti announced that its first direct elections (all men twenty-one or over were allowed to vote) would be held on 8 October 1950, Magloire resigned from the junta and declared himself a candidate for president. In contrast to the chaotic political climate of 1946, the campaign of 1950 proceeded under the implicit understanding that only a strong candidate backed by both the army and the elite would be able to take power. Facing only token opposition, Magloire won the election and assumed office on 6 December. Magloire restored the elite to prominence. The business community and the government benefited from favorable economic conditions until Hurricane Hazel hit the island in 1954. Haiti made some improvements on its infrastructure, but most of these were financed largely by foreign loans. By Haitian standards, Magloire's rule was firm, but not harsh: he jailed political opponents, including Fignolé, and shut down their presses when their protests grew too strident, but he allowed labor unions to function, although they were not permitted to strike. It was in the arena of corruption, however, that Magloire overstepped traditional bounds. The president controlled the sisal, cement, and soap monopolies. He and other officials built imposing mansions. The injection of international hurricane relief funds into an already corrupt system boosted graft to levels that disillusioned all Haitians. To make matters worse, Magloire followed in the footsteps of many previous presidents by disputing the termination date of his stay in office. Politicians, labor leaders, and their followers flocked to the streets in May 1956 to protest Magloire's failure to step down. Although Magloire declared martial law, a general strike essentially shut down Port-au-Prince. Again like many before him, Magloire fled to Jamaica, leaving the army with the task of restoring order. The rise of Duvalier (1956–57) The period between the fall of Magloire and the election of Duvalier in September 1957 was a chaotic one, even by Haitian standards. Three provisional presidents held office during this interval; one resigned and the army deposed the other two, Franck Sylvain and Fignolé. Duvalier is said to have engaged actively in the behind-the-scenes intrigue that helped him to emerge as the presidential candidate that the military favored. The military went on to guide the campaign and the elections in a way that gave Duvalier every possible advantage. Most political actors perceived Duvalier—a medical doctor who had served as a rural administrator of a United States-funded anti-yaws campaign before entering the cabinet under Estimé—as an honest and fairly unassuming leader without a strong ideological motivation or program. When elections were finally organized, this time under terms of universal suffrage (both men and women now had the vote), Duvalier painted himself as the legitimate heir to Estimé. This approach was enhanced by the fact that Duvalier's only viable opponent, Louis Déjoie, was a mulatto and the scion of a prominent family. Duvalier scored a decisive victory at the polls. His followers took two-thirds of the legislature's lower house and all of the seats in the Senate. The Duvalier era (1957–86) 'Papa Doc' (1957–71) A former Minister of Health who had earned a reputation as a humanitarian while serving as an administrator in a U.S.-funded anti-yaws campaign, François Duvalier (known as "Papa Doc") soon established another dictatorship. His regime is regarded as one of the most repressive and corrupt of modern times, combining violence against political opponents with exploitation of Vodou to instill fear in the majority of the population. Duvalier's paramilitary police, officially the Volunteers for National Security (Volontaires de la Sécurité Nationale – VSN) but more commonly known as the Tonton Macoutes, named for a Vodou monster, carried out political murders, beatings, and intimidation. An estimated 30,000 Haitians were killed by his government. Duvalier employed rape as a political tool to silence political opposition. Incorporating many houngans into the ranks of the Macoutes, his public recognition of Vodou and its practitioners and his private adherence to Vodou ritual, combined with his reputed private knowledge of magic and sorcery, enhanced his popular persona among the common people and served as a peculiar form of legitimization. Duvalier's policies, designed to end the dominance of the mulatto elite over the nation's economic and political life, led to massive emigration of educated people, deepening
they fled across the frontier to Hinche, at the time in the Spanish part of the island. However, they were captured, returned to the French authorities, and both Ogé and Chavannes were executed in February 1791. The rising of the slaves (1791–93) A vodou ceremony at Bois Caïman (Alligator Woods) near Cap-Français on 14 August 1791, presided over by a houngan (Vodou priest) named Dutty Boukman, is traditionally considered to mark the beginning of the Haitian Revolution. Following this ceremony, slaves in the northern region of the colony staged a revolt, and although Boukman was captured and executed, the rebellion continued to spread rapidly throughout the entire colony. Beginning in September, some thirteen thousand slaves and rebels in the south, led by Romaine-la-Prophétesse, freed slaves and took supplies from and burned plantations, ultimately occupying the area's two major cities, Léogâne and Jacmel. In 1792, Léger-Félicité Sonthonax and two other national commissioners were sent to the colony by the French Legislative Assembly as part of a Revolutionary Commission. Sonthonax's main goal was to maintain French control of Saint-Domingue, stabilize the colony, and enforce the social equality recently granted to free people of color by the National Convention of France. In March 1792, a coalition of whites and conservative free blacks and forces led by another of the national commissioners, Edmond de Saint-Léger, put down Romaine-la-Prophétesse's revolt after André Rigaud, who led free black confederate forces based near Port-au-Prince, declined to ally with it. Toussaint Louverture ascendant (1793–1802) On 29 August 1793, Sonthonax took the radical step of proclaiming the freedom of the slaves in the north province (with severe limits on their freedom). In September and October, emancipation was extended throughout the colony. The French National Convention, the first elected Assembly of the First Republic (1792–1804), on 4 February 1794, under the leadership of Maximilien de Robespierre, abolished slavery by law in France and all its colonies. The constitution of 1793, which was never applied, and the constitution of 1795, which was put into effect, did both contain an explicit ban on slavery. The slaves did not immediately flock to Sonthonax's banner, however. Counter-revolutionary planters continued to fight Sonthonax, with support from the British. They were joined by many of the free men of color who opposed the abolition of slavery. It was not until word of France's ratification of emancipation arrived back in the colony that Toussaint Louverture and his corps of well disciplined, battle-hardened former slaves came over to the French Republican side in early May 1794. A change in the political winds in France caused Sonthonax to be recalled in 1796, but not before taking the step of arming the former slaves. When the radical revolutionaries in Paris declared war against Spain in January 1793, the Spanish Crown sent its forces in Santo Domingo into battle on the side of the slaves. By the end of 1793, Spain controlled most of the north, except British-held Môle-Saint-Nicolas and French-held Le Cap François and Port-de-Paix. In 1795, Spain ceded Santo Domingo to France and Spanish attacks on Saint-Domingue ceased. In the south, the British suffered a series of defeats at the hands of the mulatto General André Rigaud. On 6 October 1794, Rigaud captured Léogane. On 26 December 1794, he attacked the British-held Tiburon, routing the British garrison. In 1798, having lost territory and thousands of men to yellow fever, the British were forced to withdraw. In the meantime, Rigaud had set up a mulatto separatist movement in the south. With the British gone, Toussaint launched an offensive against his strongholds in 1799. As he sent General Dessalines against Grand and Petit Goâve and General Christophe against the mulatto stronghold of Jacmel, American warships bombarded mulatto fortifications and destroyed Rigaud's transport barges. Rigaud's forces were overwhelmed and defeated in 1800. By 1801, Toussaint was in control of all of Hispaniola, after conquering French Santo Domingo and proclaiming the abolition of slavery there. He did not, however, proclaim full independence for the country, nor did he seek reprisals against the country's former white slaveholders, convinced that the French would not restore slavery and "that a population of slaves recently landed from Africa could not attain to civilization by 'going it alone.'" Napoleon defeated (1802–04) Toussaint, however, asserted so much independence that in 1802, Napoleon sent a massive invasion force, under his brother-in-law Charles Leclerc, to increase French control. For a time, Leclerc met with some success; he also brought the eastern part of the island of Hispaniola under the direct control of France in accordance with the terms of the 1795 Treaties of Bâle with Spain. With a large expedition that eventually included 40,000 European troops, and receiving help from white colonists and mulatto forces commanded by Alexandre Pétion, a former lieutenant of Rigaud, the French won several victories after severe fighting. Two of Toussaint's chief lieutenants, Dessalines and Christophe, recognizing their untenable situation, held separate parleys with the invaders and agreed to transfer their allegiance. At this point, Leclerc invited Toussaint to negotiate a settlement. It was a deception; Toussaint was seized and deported to France, where he died of pneumonia while imprisoned at Fort de Joux in the Jura Mountains in April 1803. On 20 May 1802, Napoleon signed a law to maintain slavery where it had not yet disappeared, namely Martinique, Tobago, and Saint Lucia. A confidential copy of this decree was sent to Leclerc, who was authorized to restore slavery in Saint-Domingue when the time was opportune. At the same time, further edicts stripped the gens de couleur of their newly won civil rights. None of these decrees were published or executed in St. Domingue, but, by midsummer, word began to reach the colony of the French intention to restore slavery. The betrayal of Toussaint and news of French actions in Martinique undermined the collaboration of leaders such as Dessalines, Christophe, and Pétion. Convinced that the same fate lay in store for Saint-Domingue, these commanders and others once again battled Leclerc. With the French intent on reconquest and re-enslavement of the colony's black population, the war became a bloody struggle of atrocity and attrition. The rainy season brought yellow fever and malaria, which took a heavy toll on the invaders. By November, when Leclerc died of yellow fever, 24,000 French soldiers were dead and 8,000 were hospitalized, the majority from disease. Afterward, Leclerc was replaced by Donatien-Marie-Joseph de Vimeur, Vicomte de Rochambeau. Rochambeau wrote to Napoleon that, to reclaim Saint-Domingue, France must 'declare the negroes slaves, and destroy at least 30,000 negroes and negresses.' In his desperation, he turned to increasingly wanton acts of brutality; the French burned alive, hanged, drowned, and tortured black prisoners, reviving such practices as burying blacks in piles of insects and boiling them in cauldrons of molasses. One night, at Port-Républican, he held a ball to which he invited the most prominent mulatto ladies and, at midnight, announced the death of their husbands. However, each act of brutality was repaid by the Haitian rebels. After one battle, Rochambeau buried 500 prisoners alive; Dessalines responded by hanging 500 French prisoners. Rochambeau's brutal tactics helped unite black and mulatto soldiers against the French. As the tide of the war turned toward the former slaves, Napoleon abandoned his dreams of restoring France's New World empire. In 1803, war resumed between France and Britain, and with the Royal Navy firmly in control of the seas, reinforcements and supplies for Rochambeau never arrived in sufficient numbers. To concentrate on the war in Europe, Napoleon signed the Louisiana Purchase in April, selling France's North American possessions to the United States. The Haitian army, now led by Dessalines, devastated Rochambeau and the French army at the Battle of Vertières on 18 November 1803. On 1 January 1804 Dessalines then declared independence, reclaiming the indigenous Taíno name of Haiti ("Land of Mountains") for the new nation. Most of the remaining French colonists fled ahead of the defeated French army, many migrating to Louisiana or Cuba. Unlike Toussaint, Dessalines showed little equanimity with regard to the whites. In a final act of retribution, the remaining French were slaughtered by Haitian military forces. Some 2,000 Frenchmen were massacred at Cap-Français, 900 in Port-au-Prince, and 400 at Jérémie. He issued a proclamation declaring, "we have repaid these cannibals, war for war, crime for crime, outrage for outrage." One exception to Dessalines' proclamation was a group of Poles from the Polish Legions that had joined the French military under Napoleon. A majority of Polish soldiers refused to fight against the Haitian forces. At the time, there was a familiar situation going on back in their homeland, as these Polish soldiers were fighting for their liberty from the invading Russians, Prussians and Austrians that began in 1772. As hopeful as the Haitians, many Poles were seeking union amongst themselves to win back their homeland. As a result, many Polish soldiers admired their enemy and decided to turn on the French army and join the Haitian slaves, and participated in the Haitian revolution of 1804, supporting the principles of liberty for all the people. Władysław Franciszek Jabłonowski who was half-Black was one of the Polish generals at the time. Polish soldiers had a remarkable input in helping the Haitians in the retaliation fights against the French oppressor. They were spared the fate of other Europeans. For their loyalty and support for overthrowing the French, some Poles acquired Haitian citizenship after Haiti gained its independence, and many of them settled there, never to return to Poland. It is estimated that around 500 of the 5,280 Poles chose this option. Of the remainder, 700 returned to France to eventually return to Poland, and some, after capitulating, agreed to serve in the British Army. 160 Poles were later given permission to leave Haiti and some particular ones were sent to France at Haitian expense. To this day, many Polish Haitians still live in Haiti and are of multiracial descent, however, some have blonde hair, light eyes, and other European features. Today, descendants of those Poles who stayed are living in Cazale, Fond-des-Blancs, La Vallée-de-Jacmel, La Baleine, Port-Salut and Saint-Jean-du-Sud. Following Haitian independence, the new nation struggled economically as European nations and the United States refused to extend diplomatic recognition to Haiti. In 1825, the French returned with a fleet of fourteen warships and demanded an indemnity of 150 million francs in exchange for diplomatic recognition; Haitian President Jean-Pierre Boyer agreed to the French demands under duress. In order to finance the debt, the Haitian government was forced to take numerous high-interest loans from foreign creditors, and the debt to France was not fully paid until 1947. Independence: The early years (1804–43) Black Republic (1804) Haiti is the world's oldest black republic and one of the oldest republics in the Western Hemisphere. Although Haiti actively assisted the independence movements of many Latin American countries – and secured a promise from the great liberator, Simón Bolívar, that he would free slaves after winning independence from Spain – the nation of former slaves was excluded from the hemisphere's first regional meeting of independent nations, held in Panama in 1826. Despite the efforts of anti-slavery senator Charles Sumner of Massachusetts, the United States did not recognize the independence of Haiti until 1862. The Southern slave states controlled Congress and, afraid of encouraging slave revolts, blocked this; Haiti was quickly recognized (along with other progressive measures, such as ending slavery in the District of Columbia), after these legislators left Washington in 1861, their states having declared their secession. Upon assuming power, General Dessalines authorized the Constitution of 1804. This constitution, in terms of social freedoms, called for: Freedom of religion (Under Toussaint, Catholicism had been declared the official state religion); All citizens of Haiti, regardless of skin color, to be known as "Black" (this was an attempt to eliminate the multi-tiered racial hierarchy that had developed in Haiti, with full or near full-blooded Europeans at the top, various levels of light to brown skin in the middle, and dark skinned "Kongo" from Africa at the bottom). White men were forbidden from possessing property or domain on Haitian soil. Should the French return to reimpose slavery, Article 5 of the constitution declared: "At the first shot of the warning gun, the towns shall be destroyed and the nation will rise in arms." First Haitian Empire (1804–06) On 22 September 1804, Dessalines, preferring Napoleon's style rather than the more liberal yet vulnerable type of political government of the French Republican Radicals (see liberalism and radicalism in France), proclaimed himself Emperor Jacques I. Yet two of his own advisers, Henri Christophe and Alexandre Pétion, helped provoke his assassination in 1806. The conspirators ambushed him north of Port-au-Prince at Pont Larnage (now known as Pont-Rouge) on 17 October 1806 en route to battle rebels to his regime. The state created under Dessalines was the opposite of what the Haitian mass or the peasantry preferred. While both the elite leaders, such as Dessalines, as well as the Haitian population agreed the state should be built on the ideals of freedom and democracy, these ideals in practice looked very different for both groups. The main reason for this difference in viewpoints of nationalisms come from the fact that one group lived as slaves, and the other did not. For one, the economic and agricultural practices of Dessalines, and leaders after him, were based on the need to create a strong economic state, that was capable of maintaining a strong military. For the elite leaders of Haiti, maintaining a strong military to ward off either the French or other colonial powers and ensure independence would create a free state. The leaders of Haiti tied independence from other powers as their notion of freedom. However, the Haitian peasantry tied their notion of freedom to the land. Because of the mountainous terrain, Haitian slaves were able to cultivate their own small tracts of land. Thus, freedom for them was the ability to cultivate their own land within a subsistence economy. Unfortunately, because of the leaders' desires, a system of coerced plantation agriculture emerged. Furthermore, while all Haitians desired a black republic, the cultural practices of African-Americans were a point of contention. Many within the Haitian population wanted to maintain their African heritage, which is a logical connection to wanting a black republic. However, the elites typically tried to prove the sophistication of Haitians through literature. Some authors wrote that the barbarism of Africa must be expelled, while maintaining African roots. Furthermore, other authors tried to prove the civility of the elite Haitians by arguing that blacks were capable of establishing and running a government by changing and augmenting the history of the revolution to favor the mulatto and black elites, rather than the bands of slaves. Furthermore, to maintain freedom and independence, the elites failed to provide a civil society that the Haitian mass desired. The Haitian peasants desired not only land freedom but also civil rights, such as voting and political participation as well as access to education. The state failed to provide those basic rights. The state was essentially run by the military, which meant that it was very difficult for the Haitian population to participate in democratic processes. Most importantly, the state failed to provide proper access to education that a state consisting of former slaves would need. It was nearly impossible for the former slaves to participate effectively because they lacked the basic literacy that was intentionally denied to them by French colonial rule. Through differing views on Haitian nationalism and freedom, the elites created a state that greatly favored them, over the Haitian population and the Haitian peasantry. The struggle for unity (1806–20) After the Dessalines coup d'état, the two main conspirators divided the country in two rival regimes. Christophe created the authoritarian State of Haiti in the north, and the gent de couleur Pétion established the Republic of Haiti in the south. Christophe attempted to maintain a strict system of labor and agricultural production akin to the former plantations. Although, strictly speaking, he did not establish slavery, he imposed a semi-feudal system, fumage, in which every able man was required to work in plantations (similar to latifundios) to produce goods for the fledgling country. His method, though undoubtedly oppressive, produced the most revenues of the two governments. By contrast, Pétion broke up the former colonial estates and parceled out the land into small holdings. In Pétion's south, the gens de couleur minority led the government and feared losing popular support, and thus, sought to assuage class tensions with land redistribution. Because of the weak international position and its labor policies (most peasants lived through a subsistence economy), Pétion's government was perpetually on the brink of bankruptcy. Yet, for most of its time, it produced one of the most liberal and tolerant Haitian governments ever. In 1815, at a key period of Bolívar's fight for Venezuelan independence, he gave the Venezuelan leader asylum and provided him soldiers and substantial material support. It also had the least of internal military skirmishes, despite its continuous conflicts with Christophe's northern kingdom. In 1816, however, after finding the burden of the Senate intolerable, he suspended the legislature and turned his post into President for Life. Not long after, he died of yellow fever, and his assistant Jean-Pierre Boyer replaced him. In this period, the eastern part of the island rose against the new powers following general Juan Sánchez Ramírez's claims of independence from France, which broke the Treaties of Bâle attacking Spain and prohibited commerce with Haiti. In the Palo Hincado battle (7 November 1808), all the remaining French forces were defeated by Spanish-creole insurrectionists. On 9 July 1809, Santo Domingo was born. The government put itself under the control of Spain, earning it the nickname of "España Boba" (meaning "The Idiot Spain"). In 1811, Henri Christophe proclaimed himself King Henri I of the Kingdom of Haiti in the North and commissioned several extraordinary buildings. He even created a nobility class in the fashion of European monarchies. Yet in 1820, weakened by illness and with decreasing support for his authoritarian regime, he killed himself with a silver bullet rather than face a coup d'état. Immediately after, Pétion's successor, Boyer, reunited Haiti through diplomatic tactics and ruled as president until his overthrow in 1843. Boyer's domination of Hispaniola (1820–43) Almost two years after Boyer had consolidated power in the west, Haiti invaded Santo Domingo (present-day Dominican Republic) and declared the island free from European powers. Boyer, however, responding to a party on the east that preferred Haiti over Colombia, occupied the ex-Spanish colony in January 1822, encountering no military resistance. In this way he accomplished the unity of the island, which was only carried out for a short period of time by Toussaint Louverture in 1801. Boyer's occupation of the Spanish side also responded to internal struggles among Christophe's generals, to which Boyer gave extensive powers and lands in the east. This occupation, however, pitted the Spanish white elite against the iron fisted Haitian administration, and stimulated the emigration of many white wealthy families. The entire island remained under Haitian rule until 1844, when in the east a nationalist group called La Trinitaria led a revolt that partitioned the island into Haiti on the west and Dominican Republic on the east, based on what would appear to be a riverine territorial 'divide' from the pre-contact period. From 1824 to 1826, while the island was under one government, Boyer promoted the largest single free-Black immigration from the United States in which more than 6,000 immigrants settled in different parts of the island. Today remnants of these immigrants live throughout the island, but the larger number reside in Samaná, a peninsula on the Dominican side of the island. From the government's perspective, the intention of the immigration was to help establish commercial and diplomatic relationships with the US, and to increase the number of skilled and agricultural workers in Haiti. In exchange for diplomatic recognition from France, Boyer was forced to pay a huge indemnity for the loss of French property during the revolution. To pay for this, he had to float loans in France, putting Haiti into a state of debt. Boyer attempted to enforce production through the Code Rural, enacted in 1826, but peasant freeholders, mostly former revolutionary soldiers, had no intention of returning to the forced labor they fought to escape. By 1840, Haiti had ceased to export sugar entirely, although large amounts continued to be grown for local consumption as taffia-a raw rum. However, Haiti continued to export coffee, which required little cultivation and grew semi-wild. The 1842 Cap-Haïtien earthquake destroyed the city, and the Sans-Souci Palace, killing 10,000 people. This was the third major earthquake to hit Western Hispaniola following the 1751 and 1770 Port-au-Prince earthquakes, and the last until the devastating earthquake of 2010. Political struggles (1843–1915) In 1843, a revolt, led by Charles Rivière-Hérard, overthrew Boyer and established a brief parliamentary rule under the Constitution of 1843. Revolts soon broke out and the country descended into near chaos, with a series of transient presidents until March 1847, when General Faustin Soulouque, a former slave who had fought in the rebellion of 1791, became president. During this period, Haiti unsuccessfully waged war against the Dominican Republic. In 1849, taking advantage of his popularity, President Faustin Soulouque proclaimed himself Emperor Faustin I. His iron rule succeeded in uniting Haiti for a time, but it came to an abrupt end in 1859 when he was deposed by General Fabre Geffrard, styled the Duke of Tabara. Geffrard's military government held office until 1867, and he encouraged a successful policy of national reconciliation. In 1860, he reached an agreement with the Vatican, reintroducing official Roman Catholic institutions, including schools, to the nation. In 1867 an attempt was made to establish a constitutional government, but successive presidents Sylvain Salnave and Nissage Saget were overthrown in 1869 and 1874 respectively. A more workable constitution was introduced under Michel Domingue in 1874, leading to a long period of democratic peace and development for Haiti. The debt to France was finally repaid in 1879, and Michel Domingue's government peacefully transferred power to Lysius Salomon, one of Haiti's abler leaders. Monetary reform and a cultural renaissance ensued with a flowering of Haitian art. The last two decades of the 19th century were also marked by the development of a Haitian intellectual culture. Major works of history were published in 1847 and 1865. Haitian intellectuals, led by Louis-Joseph Janvier and Anténor Firmin, engaged in a war of letters against a tide of racism and Social Darwinism that emerged during this period. The Constitution of 1867 saw peaceful and progressive transitions in government that did much to improve the economy and stability of the Haitian nation and the condition of its people. Constitutional government restored the faith of the Haitian people in legal institutions. The development of industrial sugar and rum industries near Port-au-Prince made Haiti, for a while, a model for economic growth in Latin American countries. This period of relative stability and prosperity ended in 1911, when revolution broke out and the country slid once again into disorder and debt. From 1911 to 1915, there were six different presidents, each of whom was killed or forced into exile. The revolutionary armies were formed by cacos, peasant brigands from the mountains of the north, along the porous Dominican border, who were enlisted by rival political factions with promises of money to be paid after a successful revolution and an opportunity to plunder. The United States was particularly apprehensive about the role of the German community in Haiti (approximately 200 in 1910), who wielded a disproportionate amount of economic power. Germans controlled about 80% of the country's international commerce; they also owned and operated utilities in Cap Haïtien and Port-au-Prince, the main wharf and a tramway in the capital, and a railroad serving the Plaine de Cul-du-Sac. The German community proved more willing to integrate into Haitian society than any other group of white foreigners, including the French. A number married into the nation's most prominent mulatto families, bypassing the constitutional prohibition against foreign land-ownership. They also served as the principal financiers of the nation's innumerable revolutions, floating innumerable loans-at high interest rates-to competing political factions. In an effort to limit German influence, in 1910–11, the US State Department backed a consortium of American investors, assembled by the National City Bank of New York, in acquiring control of the Banque Nationale d'Haïti, the nation's only commercial bank and the government treasury. In February 1915, Vilbrun Guillaume Sam established a dictatorship, but in July, facing a new revolt, he massacred 167 political prisoners, all of whom were from elite families, and was lynched by a mob in Port-au-Prince. United States occupation (1915–34) In 1915 the United States, responding to complaints to President Woodrow Wilson from American banks to which Haiti was deeply in debt, occupied the country. The occupation of Haiti lasted until 1934. The US occupation was resented by Haitians as a loss of sovereignty and there were revolts against US forces. Reforms were carried out despite this. Under the supervision of the United States Marines, the Haitian National Assembly elected Philippe Sudré Dartiguenave president. He signed a treaty that made Haiti a de jure US protectorate, with American officials assuming control over the Financial Advisory, Customs Receivership, the Constabulary, the Public Works Service, and the Public Health Service for a period of ten years. The principal instrument of American authority was the newly created Gendarmerie d'Haïti, commanded by American officers. In 1917, at the demand of US officials, the National Assembly was dissolved, and officials were designated to write a new constitution, which was largely dictated by officials in the US State Department and US Navy Department. Franklin D. Roosevelt, Under-Secretary for the Navy in the Wilson administration, claimed to have personally written the new constitution. This document abolished the prohibition on foreign ownership of land – the most essential component of Haitian law. When the newly elected National Assembly refused to pass this document and drafted one of its own preserving this prohibition, it was forcibly dissolved by Gendarmerie commandant Smedley Butler. This constitution was approved by a plebiscite in 1919, in which less than 5% of the population voted. The US State Department authorized this plebiscite presuming that "the people casting ballots would be 97% illiterate, ignorant in most cases of what they were voting for." The Marines and Gendarmerie initiated an extensive road-building program to enhance their military effectiveness and open the country to US investment. Lacking any source of adequate funds, they revived an 1864 Haitian law, discovered by Butler, requiring peasants to perform labor on local roads in lieu of paying a road tax. This system, known as the corvée, originated in the unpaid labor that French peasants provided to their feudal lords. In 1915, Haiti had of road usable by automobile, outside the towns. By 1918, more than of road had been built or repaired through the corvée system, including a road linking Port-au-Prince to Cap-Haïtien. However, Haitians forced to work in the corvée labor-gangs, frequently dragged from their homes and harassed by armed guards, received few immediate benefits and saw this system of forced labor as a return to slavery at the hands of white men. In 1919, a new caco uprising began, led by Charlemagne Péralte, vowing to 'drive the invaders into the sea and free Haiti.' The Cacos attacked Port-au-Prince in October but were driven back with heavy casualties. Afterwards, a Creole-speaking American Gendarmerie officer and two US marines infiltrated Péralte's camp, killing him and photographing his corpse in an attempt to demoralize the rebels. Leadership of the rebellion passed to Benoît Batraville, a Caco chieftain from Artibonite, who also launched an assault on the capital. His death in 1920 marked the end of hostilities. During Senate hearings in 1921, the commandant of the Marine Corps reported that, in the twenty months of active resistance, 2,250 Haitians had been killed. However, in a report to the Secretary of the Navy he reported the death toll as being 3,250. Haitian historians have estimated the true number was much higher; one suggested, "the total number of battle victims and casualties of repression and consequences of the war might have reached, by the end of the pacification period, four or five times that – somewhere in the neighborhood of 15,000 persons." In 1922, Dartiguenave was replaced by Louis Borno, who ruled without a legislature until 1930. That same year, General John H. Russell, Jr., was appointed High Commissioner. The Borno-Russel dictatorship oversaw the expansion of the economy, building over of road, establishing an automatic telephone exchange, modernizing the nation's port facilities, and establishing a public health service. Sisal was introduced to Haiti, and sugar and cotton became significant exports. However, efforts to develop commercial agriculture had limited success, in part because much of Haiti's labor force was employed at seasonal work in the more established sugar industries of Cuba and the Dominican Republic. An estimated 30,000–40,000 Haitian laborers, known as braceros, went annually to the Oriente Province of Cuba between 1913 and 1931. Most Haitians continued to resent the loss of sovereignty. At the forefront of opposition among the educated elite was L'Union Patriotique, which established ties with opponents of the occupation in the US itself, in particular the National Association for the Advancement of Colored People (NAACP). The Great Depression decimated the prices of Haiti's exports and destroyed the tenuous gains of the previous decade. In December 1929, Marines in Les Cayes killed ten Haitians during a march to protest local economic conditions. This led Herbert Hoover to appoint two commissions, including one headed by a former US governor of the Philippines William Cameron Forbes, which criticized the exclusion of Haitians from positions of authority in the government and constabulary, now known as the Garde d'Haïti. In 1930, Sténio Vincent, a long-time critic of the occupation, was elected president, and the US began to withdraw its forces. The withdrawal was completed under US President Franklin D. Roosevelt (FDR), in 1934, under his "Good Neighbor policy". The US retained control of Haiti's external finances until 1947. All three rulers during the occupation came from the country's mulatto minority. At the same time, many in the growing black professional classes departed from the traditional veneration of Haiti's French cultural heritage and emphasized the nation's African roots, most notably ethnologist Jean Price-Mars and the journal Les Griots, edited by Dr. François Duvalier. The transition government was left with a better infrastructure, public health, education, and agricultural development as well as a democratic system. The country had fully democratic elections in 1930, won by Sténio Vincent. The Garde was a new kind of military institution in Haiti. It was a force manned overwhelmingly by blacks, with a United States-trained black commander, Colonel Démosthènes Pétrus Calixte. Most of the Garde's officers, however, were mulattoes. The Garde was a national organization; it departed from the regionalism that had characterized most of Haiti's previous armies. In theory, its charge was apolitical—to maintain internal order, while supporting a popularly elected government. The Garde initially adhered to this role. Elections and coups (1934–57) Vincent's presidency (1934–41) President Vincent took advantage of the comparative national stability, which was being maintained by a professionalized military, to gain absolute power. A plebiscite permitted the transfer of all authority in economic matters from the legislature to the executive, but Vincent was not content with this expansion of his power. In 1935 he forced through the legislature a new constitution, which was also approved by plebiscite. The constitution praised Vincent, and it granted the executive sweeping powers to dissolve the legislature at will, to reorganize the judiciary, to appoint ten of twenty-one senators (and to recommend the remaining eleven to the lower house), and to rule by decree when the legislature was not in session. Although Vincent implemented some improvements in infrastructure and services, he brutally repressed his opposition, censored the press, and governed largely to benefit himself and a clique of merchants and corrupt military officers. Under Calixte the majority of Garde personnel had adhered to the doctrine of political nonintervention that their Marine Corps trainers had stressed. Over time, however, Vincent and Dominican dictator Rafael Leónidas Trujillo Molina sought to buy adherents among the ranks. Trujillo, determined to expand his influence over all of Hispaniola, in October 1937 ordered the indiscriminate butchery by the Dominican army of an estimated 14,000 to 40,000 Haitians on the Dominican side of the Massacre River. Some observers claim that Trujillo supported an abortive coup attempt by young Garde officers in December 1937. Vincent dismissed Calixte as commander and sent him abroad, where he eventually accepted a commission in the Dominican military as a reward for his efforts while on Trujillo's payroll. The attempted coup led Vincent to purge the officer corps of all members suspected of disloyalty, marking the end of the apolitical military. Lescot's presidency (1941–46) In 1941 Vincent showed every intention of standing for a third term as president, but after almost a decade of disengagement, the United States made it known that it would oppose such an extension. Vincent accommodated the Roosevelt administration and handed power over to Elie Lescot. Lescot was of mixed race and had served in numerous government posts. He was competent and forceful, and many considered him a sterling candidate for the presidency, despite his elitist background. Like the majority of previous Haitian presidents, however, he failed to live up to his potential. His tenure paralleled that of Vincent in many ways. Lescot declared himself commander in chief of the military, and power resided in a clique that ruled with the tacit support of the Garde. He repressed his opponents, censored the press, and compelled the legislature to grant him extensive powers. He handled all budget matters without legislative sanction and filled legislative vacancies without calling elections. Lescot commonly said that Haiti's declared state-of-war against the Axis powers during World War II justified his repressive actions. Haiti, however, played no role in the war except for supplying the United States with raw materials and serving as a base for a United States Coast Guard detachment. Aside from his authoritarian tendencies, Lescot had another flaw: his relationship with Rafael Trujillo. While serving as Haitian ambassador to the Dominican Republic, Lescot fell under the sway of Trujillo's influence and wealth. In fact, it was Trujillo's money that reportedly bought most of the legislative votes that brought Lescot to power. Their clandestine association persisted until 1943, when the two leaders parted ways for unknown reasons. Trujillo later made public all his correspondence with the Haitian leader. The move undermined Lescot's already dubious popular support. In January 1946, events came to a head when Lescot jailed the Marxist editors of a journal called La Ruche (The Beehive). This action precipitated student strikes and protests by government workers, teachers, and shopkeepers in the capital and provincial cities. In addition, Lescot's mulatto-dominated rule had alienated the predominantly black Garde. His position became untenable, and he resigned on 11 January. Radio announcements declared that the Garde had assumed power, which it would administer through a three-member junta. Revolution of 1946 The Revolution of 1946 was a novel development in Haiti's history, as the Garde assumed power as an institution, not as the instrument of a particular commander. The members of the junta, known as the Military Executive Committee (Comité Exécutif Militaire), were Garde commander Colonel Franck Lavaud, Major Antoine Levelt, and Major Paul E. Magloire, commander of the Presidential Guard. All three understood Haiti's traditional way of exercising power, but they lacked a thorough understanding of what would be required to make the transition to an elected civilian government. Upon taking power, the junta pledged to hold free elections. The junta also explored other options, but public clamor, which included public demonstrations in support of potential candidates, eventually forced the officers to make good on their promise. Haiti elected its National Assembly in May 1946. The Assembly set 16 August 1946, as the date on which it would select a president. The leading candidates for the office—all of whom were black—were Dumarsais Estimé, a former school teacher, assembly member, and cabinet minister under Vincent; Félix d'Orléans Juste Constant, leader of the Haitian Communist Party (Parti Communiste d'Haïti—PCH); and former Garde commander Démosthènes Pétrus
ft). Islands Numerous smaller islands make up a part of Haiti's total territory. The most notable islands are: Île de la Gonâve, the largest offshore island of mainland Hispaniola, is located to the west-northwest of Port-au-Prince in Haiti's Gulf of Gonâve, in the Caribbean Sea (the largest gulf of the Antilles). It has an area of 743 km2. Its Taíno name was Guanabo. La Gonâve was once a pirate base. Tortuga (Turtle), the second largest offshore island of the mainland, located off the northwest coast of Hispaniola, it is a Caribbean island. It has an area of 180 km2. The island was a major center of Caribbean piracy during the 17th century and has become famous in many works of literature and film. The island's name derives from the turtle-like shape of the island. Île à Vache (Cow Island) is a small and lush island located off southwestern of Haiti with a total area is 52 km2. Les Cayemites, a pair of islands located in the Gulf of Gonâve off the coast of southwest Hispaniola. It has a combined area of 45 km2. La Navasse, is a rocky outcropping that has been subject to an ongoing territorial dispute with the United States. The island is located west of Jérémie on the south west peninsula of Haiti, and measures . Haiti also has several lakes. The largest lake in Haiti, and the second largest lake of the island of Hispaniola and the West Indies, is Lake Azuei. It is located in the Cul-de-Sac Depression with an area of 170 km2. It is a saline lake with a higher concentration of salt than the sea water and harbors numerous fauna such as American crocodiles and American flamingos. Lake Péligre is an artificial lake created by the construction of the Peligre Hydroelectric Dam. Trou Caïman is a saltwater lake with a total area of 16.2 km2. Lake Miragoâne is one of the largest natural freshwater lakes in the Caribbean, with an area of 25 km2. Statistics Maritime claims Territorial sea: Contiguous zone: Exclusive economic zone: and Continental shelf: to depth of exploitation Climate Tropical; semiarid where mountains in east cut off trade winds Terrain Mostly rough and mountainous Natural resources Bauxite, copper, calcium carbonate, gold, marble, hydropower, arable land Land use Arable land: 36.28% Permanent crops: 10.16% Other: 53.56% (2012 est.) Irrigated land 970 km3 Total renewable water resources 14.03 km3 (2011) Freshwater withdrawal (domestic/industrial/agricultural) Total: 1.2 km3/yr (17%/3%/80%) Per capita: 134.3 m3/yr (2009) Natural hazards Lies in the middle of the hurricane belt and subject to severe storms from June to October; occasional flooding and earthquakes; periodic droughts Extreme points Northernmost point – Pointe Tete de Chien, Tortuga Island, Nord-Ouest Department Southernmost point – south of Torbeck, Les Cayes Arrondissement Westernmost point – cape near Anse d'Hainault, Grand'Anse Easternmost point – border with Dominican Republic, Centre Department Highest point – Pic la Selle: 2680 m Lowest point – Caribbean Sea: 0 m Environment—current issues Extensive deforestation (much of the remaining forested land is being cleared for
fourths of the territory above . Its climate is predominantly tropical, with some smaller areas of semi-arid, subtropical, and oceanic climate. Fertile valleys are interspersed between the mountain ranges forming vast areas of contrast between elevations in many areas throughout the territory. Haiti (and Hispaniola) are separated from Cuba by way of the Windward Passage, a wide strait that passes between the two countries. Haiti's lowest elevation is reported by one source to be sea level (the Caribbean Sea), by another source to be below sea level (Gheskio clinic, Port-au-Prince or in Gonaïves, <-1m), while its highest point is Pic la Selle at . Haiti's most important valley in terms of crops is the Plaine de l'Artibonite, which is oriented south of the Montagnes Noires. This region supports the country's (also Hispaniola's) longest river, the Riviere l'Artibonite whose watershed begins in the western region of the Dominican Republic and continues most of its length through central Haiti and onward where it empties into the Gulf of Gonâve. The river is navigable for a distance by barge. The eastern and central region of the island is a large elevated plateau. The northern region consists of the Massif du Nord (Northern Massif) and the Plaine du Nord (Northern Plain). The Massif du Nord is an extension of the Cordillera Central in the Dominican Republic. It begins at Haiti's eastern border, north of the Guayamouc River, and extends to the northwest through the northern peninsula. The Plateau Central (Central Plateau) extends along both sides of the Guayamouc River, south of the Massif du Nord. It runs from the southeast to the northwest. To the southwest of the Plateau Central are the Montagnes Noires, whose most northwestern part merges with the Massif du Nord. The southern region consists of the Plaine du Cul-de-Sac (the southeast) and the mountainous southern peninsula (also known as the Tiburon Peninsula). The Plaine du Cul-de-Sac is a natural depression which harbors the country's saline lakes, such as Trou Caïman and Haiti's largest lake Lac Azuei (also known as Etang Saumatre). The Chaîne de la Selle mountain range, an extension of the southern mountain chain of the Dominican Republic (the Sierra de Baoruco), extends from the Massif de la Selle in the east to the Massif de la Hotte in the west. This mountain range harbors Pic la Selle, the highest point in Haiti at 2,680 metres (8,793 ft). Islands Numerous smaller islands make up a part of Haiti's total territory. The most notable islands are: Île de la Gonâve, the largest offshore island of mainland Hispaniola, is located to the west-northwest of Port-au-Prince in Haiti's Gulf of Gonâve, in the Caribbean Sea (the largest gulf of the Antilles). It has an area of 743 km2. Its Taíno name was Guanabo. La Gonâve was once a pirate base. Tortuga (Turtle), the second largest offshore island of the mainland, located off the northwest coast of Hispaniola, it is a Caribbean island. It has an area of 180 km2. The island was a major center of Caribbean piracy during the 17th century and has become famous in many works of literature and film. The island's name derives from the turtle-like shape of the island. Île à Vache (Cow Island) is a small and lush island located off southwestern of Haiti with a total area is 52 km2. Les Cayemites, a pair of islands
7.5 (2015 est.) potential support ratio: 13.3 (2015 est.) Life expectancy at birth total population: 64.6 years male: 61.9 years female: 67.2 years (2018 est.) Urbanization urban population: 55.3% of total population (2018) rate of urbanization: 2.9% annual rate of change (2015-20 est.) Religions Roman Catholic 58.7%, Protestant 33.5% (Baptist 15.4%, Pentecostal 14.9%, Adventist 3%, Methodist 1.5%, other 0.7%), vodou 2.1%, other 4.6%, none 1.2% (2018 est.) note: many Haitians practice elements of vodou in addition to another religion, most often Roman Catholicism; vodou was recognized as an official religion in 2003 Education expenditures 2.4% of GDP (2016) Country comparison to the world: 162nd Literacy Definition: age 15 and over can read and write (2015 est.) Total population: 60.7% Male: 64.3% Female: 57.3% (2015 est.) Languages French (official) Haitian Creole (official) Languages Taíno was the major pre-Columbian language in the region of what is Haiti (or Ayti), a name referring to the entire island of Hispaniola. The phrase means "land of high mountains." Today, the Republic of Haiti has two official languages, French and Haitian Creole. Haitian Creole is a French-based creole with 90% of its vocabulary derived from or influenced by Portuguese, Spanish, Taíno, and various West African languages. French is the primary written and administrative language (as well as the main language of the press) and is spoken by 42% of Haitians. The language is generally spoken by educated Haitians, is the medium of instruction in most schools, and is used in the business sector. It is also spoken in ceremonial events such as weddings, graduations, and church masses. Haiti is one of two independent nations in the Americas (along with Canada) to designate French as an official language; other French-speaking areas are all overseas départements, or collectivités, of France. Haitian Creole, which was recently standardized, is spoken by virtually the entire population of Haiti. It is related to the other French creoles but most closely to the Antillean Creole and Louisiana Creole variants. Spanish, though not an official language, is spoken by a growing percentage of the Haitian population. Spanish is spoken more frequently near Haiti's border with the Dominican Republic. English is increasingly spoken by the young and those within the business sector. Religion The most common religions in Haiti are Roman Catholicism, Pentecostalism and Baptist. The state religion is Roman Catholicism, which is professed by 55–60% of the population. 30–35% of Haitians practice Protestantism (mostly Pentecostalism), which arrived in Haiti in the 1970s. Almost 99% of Haitians claim to be a part of at least one religion, with a fraction of them practicing some part of Vodou along with another religion. Vodou bears similarities to Cuban Santeria due to the large Cuban population in Haiti. The practice of Vodou revolves around family spirits called Lwa that protect children. To repay the spirits, children perform two ceremonies where the Lwa are given gifts like food and drinks. The timing of the ceremonies depends on the monetary status of the family performing them; poorer families try to save money, waiting until there is a need to perform the rituals. The practice of Vodou is rare among the urban elite. Modern day Vodou has been shaped by both Protestant and Catholic Christianity. Under the rule of the Catholic French, the population was not allowed to practice Vodou. However, they were occasionally allowed to have dances on the weekends. These dances were actually disguised Vodou services. The underground practice of Vodou continued until Haiti gained its independence in 1804. Most Haitians see practicing both Vodou and Christianity as normal due to their significant similarities. The Catholic Church, however, wasn't always as accepting of Vodou. In 1941-42, a holy war was declared against Vodou, leading to the deaths of many high level religious officials in the Vodou religion. Persecution of the religion largely ended in 1950 when the Catholics give up trying to prosecute those who practiced Vodou. Protestants, however, are still
54.8 (2015 est.) elderly dependency ratio: 7.5 (2015 est.) potential support ratio: 13.3 (2015 est.) Life expectancy at birth total population: 64.6 years male: 61.9 years female: 67.2 years (2018 est.) Urbanization urban population: 55.3% of total population (2018) rate of urbanization: 2.9% annual rate of change (2015-20 est.) Religions Roman Catholic 58.7%, Protestant 33.5% (Baptist 15.4%, Pentecostal 14.9%, Adventist 3%, Methodist 1.5%, other 0.7%), vodou 2.1%, other 4.6%, none 1.2% (2018 est.) note: many Haitians practice elements of vodou in addition to another religion, most often Roman Catholicism; vodou was recognized as an official religion in 2003 Education expenditures 2.4% of GDP (2016) Country comparison to the world: 162nd Literacy Definition: age 15 and over can read and write (2015 est.) Total population: 60.7% Male: 64.3% Female: 57.3% (2015 est.) Languages French (official) Haitian Creole (official) Languages Taíno was the major pre-Columbian language in the region of what is Haiti (or Ayti), a name referring to the entire island of Hispaniola. The phrase means "land of high mountains." Today, the Republic of Haiti has two official languages, French and Haitian Creole. Haitian Creole is a French-based creole with 90% of its vocabulary derived from or influenced by Portuguese, Spanish, Taíno, and various West African languages. French is the primary written and administrative language (as well as the main language of the press) and is spoken by 42% of Haitians. The language is generally spoken by educated Haitians, is the medium of instruction in most schools, and is used in the business sector. It is also spoken in ceremonial events such as weddings, graduations, and church masses. Haiti is one of two independent nations in the Americas (along with Canada) to designate French as an official language; other French-speaking areas are all overseas départements, or collectivités, of France. Haitian Creole, which was recently standardized, is spoken by virtually the entire population of Haiti. It is related to the other French creoles but most closely to the Antillean Creole and Louisiana Creole variants. Spanish, though not an official language, is spoken by a growing percentage of the Haitian population. Spanish is spoken more frequently near Haiti's border with the Dominican Republic. English is increasingly spoken by the young and those within the business sector. Religion The most common religions in Haiti are Roman Catholicism, Pentecostalism and Baptist. The state religion is Roman Catholicism, which is professed by 55–60% of the population. 30–35% of Haitians practice Protestantism (mostly Pentecostalism), which arrived in Haiti in the 1970s. Almost 99% of Haitians claim to be a part of at least one religion, with a fraction of them practicing some part of Vodou along with another religion. Vodou bears similarities to Cuban Santeria due to the large Cuban population in Haiti. The practice of Vodou revolves around family spirits called Lwa that protect children. To repay the spirits, children perform two ceremonies where the Lwa are given gifts like food and drinks. The timing of the ceremonies depends on the monetary status of the family performing them; poorer families try to save money, waiting until there is a need to perform the rituals. The practice of Vodou is rare among the urban elite. Modern day Vodou
declared the winner on 14 May 2006. The 2011 election was held on 28 November 2010 with the runoff election on 20 March 2011. Michel Martelly succeeded Préval when his term expired on 14 May 2011, the first time in Haitian history that an incumbent president peacefully transferred power to a member of the opposition. Martelly's presidency is rated by some as free and by some as authoritarian. The 2015 presidential election was held on 25 October 2015, but before the runoff, it was criticised by the Haitian public and media as "not-free" and "controlled". According to an exit poll conducted by Haitian Sentinel, only 6% of voters voted for Jovenel Moïse. The other presidential runoff candidate, Jude Célestin, expressed his disapproval of the lack of transparency of the Conseil Electoral Provisoire (Provisional Electoral Council, CEP). Thirty other candidates commented the 2015 election was controlled disregarding public trust. Martelly resigned the presidency on 10 February 2016, amid allegations that the 2015 election was fraudulent, leaving the country without a government in place. The election result was annulled by the CEP. The Parliament on 13-14 February 2016 elected Jocelerme Privert as provisional president for a period of 120 days, in place of the Council of Ministers. On 14 June 2016, Privert's presidential term expired, but he remained as de facto president as the National Assembly refused to meet to appoint a successor. On 7 February 2017, Privert was succeeded by Moïse who won the 2016 presidential election that was held in November 2016 with the runoff election on 29 January 2017. Since 2018, with no working parliament, Moïse ruled in Haiti by decree. On 7 July 2021, Moïse was assassinated, and Claude Joseph, the interim prime minister, assumed control as acting president. On 20 July 2021, Joseph yielded the presidency and prime ministership to prime minister-designate Ariel Henry. Under the Haitian Constitution, the Prime Minister is appointed by the President and must be confirmed by the National Assembly. Yvon Neptune was appointed Prime Minister on 4 March 2002, but was replaced following the coup of February 2004 by Gérard Latortue who became interim prime minister. Neptune was imprisoned in June 2004, accused of complicity in an alleged massacre in Saint-Marc. United Nations officials expressed skepticism of the evidence and called for either due
of Haiti are considered historically unstable due to various coups d'état, regime changes, military juntas and internal conflicts. After Jean-Bertrand Aristide was deposed, Haitian politics became relatively stable. Political corruption is a common problem in Haiti. The country has consistently ranked as one of the most corrupt nations according to the Corruption Perceptions Index, a measure of perceived political corruption. In 2006, Haiti was ranked as the most corrupt nation out of the 163 that were surveyed for the index. In 2020, Haiti was #170 out of 180. The International Red Cross reported that Haiti was 155th out of 159 countries in a similar survey of corrupt countries. In 2013, Haiti ranked #8 in the Fragile States Index. History Under the Haitian Constitution, the President of Haiti is elected by popular vote for a five year term. The President cannot stand for two consecutive terms. Jean-Bertrand Aristide was elected overwhelmingly as President for a third time at the 2000 election held on 26 November 2000, an election boycotted by most opposition political parties, and sworn in on 4 February 2001. Aristide, a leftwing president, was deposed in a coup d'état on 29 February 2004, led by the Group of 184, allegedly with assistance of the French and United States governments, on the basis that U.S. and French soldiers had recently arrived in Haiti, ostensibly to protect the U.S. embassy in Haiti. (See controversy regarding US involvement.) The first election after the coup of February 2004 for a new president was held on 8 February 2006 with the runoff election on 21 April. René Préval was declared the winner on 14 May 2006. The 2011 election was held on 28 November 2010 with the runoff election on 20 March 2011. Michel Martelly succeeded Préval when his term expired on 14 May 2011, the first time in Haitian history that an incumbent president peacefully transferred power to a member of the opposition. Martelly's presidency is rated by some as free and by some as authoritarian. The 2015 presidential election was held on 25 October 2015, but before the runoff, it was criticised by the Haitian public and media as "not-free" and "controlled". According to an exit poll conducted by Haitian Sentinel, only 6% of voters voted for Jovenel Moïse. The other presidential runoff candidate, Jude Célestin, expressed his disapproval of the lack of transparency of the Conseil Electoral Provisoire (Provisional Electoral Council, CEP). Thirty other candidates commented the 2015 election was controlled disregarding public trust. Martelly resigned the presidency on 10 February 2016, amid allegations that the 2015 election was fraudulent, leaving the country without a government in place. The election result was annulled by the CEP. The Parliament on 13-14 February 2016 elected Jocelerme Privert as provisional president for a period of 120 days, in place of the Council of Ministers. On 14 June 2016, Privert's presidential term expired, but he remained as de facto president as the National Assembly
in FY 2002. Macroeconomic stability was adversely affected by political uncertainty, the collapse of informal banking cooperatives, high budget deficits, low investment, and reduced international capital flows, including suspension of IFI lending as Haiti fell into arrears with the Inter-American Development Bank (IDB) and World Bank. Haiti's economy stabilized in 2003. Although FY 2003 began with the rapid decline of the gourde due to rumors that U.S. dollar deposit accounts would be nationalized and due to the withdrawal of fuel subsidies, the government successfully stabilized the gourde as it took the politically difficult decisions to float fuel prices freely according to world market prices and to raise interest rates. Government agreement with the International Monetary Fund (IMF) on a staff monitored program (SMP), followed by its payment of its $32 million arrears to the IDB in July, paved the way for renewed IDB lending. The IDB disbursed $35 million of a $50 million policy-based loan in July and began disbursing four previously approved project loans totaling $146 million. The IDB, IMF, and World Bank also discussed new lending with the government. Much of this would be contingent on government adherence to fiscal and monetary targets and policy reforms, such as those begun under the SMP, and Haiti's payment of its World Bank arrears ($30 million at 9/30/03). The IMF estimated that real GDP was flat in FY 2003 and projected 1% real GDP growth for FY 2004. However, GDP per capita – amounting to $425 in FY 2002 – will continue to decline as population growth is estimated at 1.3% p.a. While implementation of governance reforms and peaceful resolution of the political stalemate are key to long-term growth, external support remains critical in avoiding economic collapse. The major element is foreign remittances, reported as $931 million in 2002, primarily from the U.S. Foreign assistance, meanwhile, was $130 million in FY 2002. Overall foreign assistance levels have declined since FY 1995, the year elected government was restored to power under a United Nations mandate, when the international community provided over $600 million in aid. A legal minimum wage of 36 gourdes a day (about U.S. $1.80) was set in 1995, and applies to most workers in the formal sector. It was later raised to 70 gourdes per day. This minimum is 200 gourdes a day (about U.S. $4.80). 39.175 gourds= a U.S dollar. Haiti's economy suffered a severe setback in January 2010 when a 7.0 magnitude earthquake destroyed much of its capital city, Port-au-Prince, and neighboring areas. Already the poorest country in the Americas with 80% of the population living under the poverty line and 54% in abject poverty, the earthquake inflicted $7.8 billion in damage and caused the country's GDP to contract 5.4% in 2010. Following the earthquake, Haiti received $4.59 billion in international pledges for reconstruction, which has proceeded slowly. US economic engagement under the Haitian Hemispheric Opportunity through Partnership Encouragement (HOPE) Act, passed in December 2006, has boosted apparel exports and investment by providing duty-free access to the US. Congress voted in 2010 to extend the legislation until 2020 under the HELP Act; the apparel sector accounts for about 90% of Haitian exports and nearly one-tenth of GDP. Remittances are the primary source of foreign exchange, equaling nearly 20% of GDP and more than twice the earnings from exports. Haiti suffers from a lack of investment, partly because of limited infrastructure and a lack of security. In 2005, Haiti paid its arrears to the World Bank, paving the way for reengagement with the Bank. Haiti received debt forgiveness for over $1 billion through the Highly-Indebted Poor Country initiative in mid-2009. The remainder of its outstanding external debt was cancelled by donor countries following the 2010 earthquake but has since risen to over $600 million. The government relies on formal international economic assistance for fiscal sustainability, with over half of its annual budget coming from outside sources. The Michel Martelly administration in 2011 launched a campaign aimed at drawing foreign investment into Haiti as a means for sustainable development. Debt cancellation In 2005 Haiti's total external debt reached an estimated US$1.3 billion, which corresponds to debt per capita of US$169, in contrast to the debt per capita of the United States which is US$40,000. Following the democratic election of Aristide in December 1990, many international creditors responded by cancelling significant amounts of Haiti's debt, bringing the total down to US$777 million in 1991. However, new borrowing during the 1990s swelled the debt to more than US$1 billion. At peak, Haiti's total external debt was estimated at 1.8 billion dollars, including half a billion dollars to the Inter-American Development Bank, Haiti's largest creditor. In September 2009, Haiti met the conditions set out by the IMF and World Bank's Heavily Indebted Poor Countries program, qualifying it for cancellation of some of its external debt. This amounted to a cancellation of $1.2 billion. Despite this as of 2010 calls for
effects of the earthquake that hit the country. Primary Industries Primary industries include the following: Agriculture, forestry, and fishing Although many Haitians make their living through subsistence farming, Haiti also has an agricultural export sector. Agriculture, together with forestry and fishing, accounts for about one-quarter (28% in 2004) of Haiti's annual gross domestic product and employs about two-thirds (66% in 2004) of the labor force. However, expansion has been difficult because mountains cover much of the countryside and limit the land available for cultivation. Of the total arable land of 550,000 hectares, 125,000 hectares are suited for irrigation, and of those only 75,000 hectares actually have been improved with irrigation. Haiti's dominant cash crops include coffee, mangoes, and cocoa. Haiti has decreased its production of sugarcane, traditionally an important cash crop, because of declining prices and fierce international competition. Because Haiti's forests have thinned dramatically, timber exports have declined. Roundwood removals annually total about 1,000 kilograms. Haiti also has a small fishing industry. Annual catches in recent years have totaled about 5,000 tons. Mining and minerals Haiti has a mining industry which extracted minerals worth approximately US$13 million in 2013. Bauxite, copper, calcium carbonate, gold, and marble were the most extensively extracted minerals in Haiti. Lime and aggregates and to a lesser extent marble are extracted. Gold was mined by the Spanish in early colonial times. Bauxite was mined for a number of years in recent times at a site near Miragoâne on the Southern peninsula. Operating from 1960 to 1972 International Halliwell Mines, Ltd. ("Halliwell"), a Canadian corporation, through its wholly owned Haitian subsidiary, La Societe d'Exploitation et de Developpement Economique et Natural d'Haiti ("Sedren") mined copper near Gonaïves. 0.5 million tons of ore were exported. The copper ore was valued at about $83.5 million. The government of Haiti received about $3 million. As of 2012 there was promise of gold and copper mining in northern Haiti. Gold In 2012, it was reported that confidential agreements and negotiations had been entered into by the Haitian government granting licenses for exploration or mining of gold and associated metals such as copper for over in the mineralized zone stretching from east to west across northern Haiti. Estimates for the value of the gold which might be extracted through open-pit mining are as high as US$20 billion. Eurasian Minerals and Newmont Mining Corporation are two of the firms involved. According to Alex Dupuy, Chair of African American Studies and John E. Andrus Professor of Sociology at Wesleyan University the ability of Haiti to adequately manage the mining operations or to obtain and use funds obtained from the operations for the benefit of its people is untested and seriously questioned. Lakwèv, where earth dug from hand-made tunnels is washed for specks of free gold by local residents, is one of the locations. In the same mineralized zone in the Dominican Republic Barrick Gold and Goldcorp are planning on reopening the Pueblo Viejo mine. Secondary Industries Secondary industries include the following: Manufacturing The leading industries in Haiti produce beverages, butter, cement, detergent, edible oils, flour, refined sugar, soap, and textiles. Growth in both manufacturing and industry as a whole has been slowed by a lack of capital investment. Grants from the United States and other countries have targeted this problem, but without much success. Private home building and construction appear to be one subsector with positive prospects for growth. In 2004 industry accounted for about 20 percent of the gross domestic product (GDP), and less than 10 percent of the labor force worked in industrial production. As a portion of the GDP, the manufacturing sector has contracted since the 1980s. The United Nations embargo of 1994 put out of work most of the 80,000 workers in the assembly sector. Additionally, the years of military rule following the presidential coup in 1991 resulted in the closure of most of Haiti's offshore assembly plants in the free zones surrounding Port-au-Prince. When President Aristide returned to Haiti, some improvements did occur in the manufacturing sector. Haiti's cheaper labor brought some textile and garment assembly work back to the island in the late 1990s. Although these gains were undercut by international competition, the apparel sector in 2008 made up two-thirds of Haiti's annual 490 million US dollars exports. USA economic engagement under the HOPE Act, from December 2006, increased apparel exports and investment by providing tariff-free access to the USA. HOPE II, in October 2008, further improved the situation by extending preferences to 2018. Energy Haiti uses very little energy, the equivalent of approximately 250 kilograms of oil per head per year. In 2003, Haiti produced 546 million kilowatt-hours of electricity while consuming 508 million kilowatt-hours. In 2013, it stood 135th out of 135 countries in net total consumption of electricity. Most of the country's energy comes from the burning of wood. Haiti imports oil, consuming about , as of 2003. The Péligre Dam, the country's largest, provides the capital city of Port-au-Prince with energy. Thermal plants provide electricity to the rest of the country. Even with the country's low level of demand for energy, the supply of electricity traditionally has been sporadic and prone to shortages. Mismanagement by the state has offset more than US$100 million in foreign investment targeted at improving Haiti's energy infrastructure. Businesses have resorted to securing back-up power sources to deal with the regular outages. The potential for greater hydropower exists, should Haiti have the desire and means to develop it. The government controls oil and gas prices, to an extent insulating Haitians from international price fluctuations. Tertiary Industries Tertiary industries include the following: Services Haiti's services sector made up 52 percent of the country's gross domestic product in 2004 and employed 25 percent of the labor force. According to World Bank statistics, the services sector is one of the few sectors of Haiti's economy that sustained steady, if modest, growth throughout the 1990s. Banking Lack of a stable and trustworthy banking system has impeded Haiti's economic development. Banks in Haiti have collapsed on a regular basis. Most Haitians do not have access to loans of any sort. When reelected in 2000, President Aristide promised to remedy this situation but instead introduced a non-sustainable plan of "cooperatives" that guaranteed investors a 10 percent rate of return. By 2000, the cooperatives had crumbled and Haitians had collectively lost more than US$200 million in savings. Haiti's central bank, the Bank of the Republic of Haiti, oversees 10 commercial banks and two foreign banks operating in the country. Most banking takes place in the capital city of Port-au-Prince. The United Nations and the International Monetary Fund have led efforts to diversify and expand the finance sector, making credit more available to rural populations. In 2002, the Canadian International Development Agency led a training program for Haitian Credit Unions. Haiti has no stock exchange. Tourism Tourism in Haiti has suffered from the country's political upheaval. Inadequate infrastructure also has limited visitors to the island. In the 1970s and 1980s, however, tourism was an important industry, drawing an average of 150,000 visitors annually. Since the 1991 coup, tourism has recovered slowly. The Caribbean Tourism Organization (CTO) has joined the Haitian government in an effort
trafficking or allegations of business and political corruption, likely due to past patterns of retribution against activists and journalists engaged in investigative reporting. The law prohibits arbitrary interference with privacy, family, home, or correspondence, but the government does not always respect these prohibitions in practice. Radio and television Radio stations: Government-owned radio network; more than 250 private and community radio stations with about 50 FM stations in Port-au-Prince alone (2007). Television stations: Several TV stations, including one government-owned; cable TV subscription service is available (2007). Television sets: 38,120 (1997). Radio and TV stations in Haiti in 2010: {| class="wikitable" |+ Number of radio and television stations ! Department !! AM !! FM !! VHF !! UHF !! Cable !! Satellite |- | align=left| Ouest || 4 || 66 || 7 || 30 || 3 || * |- | align=left| Sud-EsT || 3 || 18 || 1 || 3 || *|| * |- | align=left| Nippes || 0 || 5 || 0 || 0 || 0 || 0 |- | align=left| Sud || 3 || 19 || 9 || 2 || 2|| * |- | align=left| Grande-Anse || 5 || 12 || 2 || 0 || - || - |- | align=left| Centre || 2 || 10 || 3 || 0 || - || - |- | align=left| Artibonite || 6 || 42 || 6 || 1 || - || - |- | align=left| Nord-Est || 1 || 9 || 9 || 9 || - || - |- | align=left| Nord || 7 || 30 || 8 || 2 || - || - |- | align=left| Nord-Ouest || 3 || 15 || 2 || 1 || * || * |- | align=left| Total|| 34 || 226 || 36 || 38 || - || - |} Tele Haiti is a television broadcasting network providing paid television services with over 140 local and international channels on its network TeleHaiti. Telephones Calling code: +509 International Call Prefix: 00 Land lines In 2012, there were 50,000 main lines in use ranking Haiti 163rd in the world. Natcom, the result of the privatization of Télécommunications d'Haiti S.A.M. (Teleco) in 2010, has a monopoly on the provision of landline services throughout the country. The Vietnamese company Viettel bought a 60% share, with the Haitian government keeping the remaining 40% of the company. Teleco was constantly hobbled by political interference which affected its performance. A net generator of revenues for the government in the 1970s and early 1980s, Teleco's fortunes then began to decline. Mobile cellular Despite wide-ranging poverty, Haiti increased its mobile phone coverage rate from 6% to 30% in one year (May 2006 to May 2007). Haiti is now the driving force in mobile phone growth in the Caribbean, while radio remains the primary information medium for most Haitians. 6.1 million mobile lines (102nd in the world) covering 61.6% of the population (2012). There were two major cell phone providers: Comcel/Voila, Haitel until 2006 when Digicel, a Denis O'Brien company, begun servicing the Haitian network. Later, Natcom purchased 60% of Teleco (the main landline company in Haiti for about 4 decades) in 2011, then it became a direct competitor to Digicel. Comcel, a subsidiary of Trilogy International Partners, LLC, was a TDMA company which launched its service in September 1999. Digicel Haiti, an affiliate of the pan-Caribbean Digicel Group won Haiti's first GSM license in June 2005 and launched service in early 2006. Haitel, an independent company founded by Franck Ciné, a Haitian-American and former MCI Inc executive, adopted CDMA technology. In May 2006, Comcel and Haitel had a total of about 500,000 subscribers - a cell phone coverage rate of
the business, Wireless point to point and point to multi point solutions. NATCOM offers guaranteed SLA's thanks to its robust local network and exclusive 4 international links to the global undersea fiber networks. Pricing As of September 2017, Taxes are included. Fiber Optic Consumer Pricing Pricing per month by download speed and provider Local Taxes are not Included in the prices Above Internet censorship and surveillance There are no government restrictions on access to the Internet or credible reports that the government monitors e-mail or Internet chat rooms without judicial oversight. The law provides for freedom of speech and press, and the government and elected officials generally respect these rights in practice. The independent media are active and express a wide variety of views without restriction. However, there have been incidents of local officials harassing or threatening journalists and others who criticized the government. Journalists complain about defamation lawsuits that the government threatens or files against the press for statements made about public officials or private figures in the public arena. Defamation carries both criminal and civil penalties. Some journalists practice self-censorship on stories related to drug trafficking or allegations of business and political corruption, likely due to past patterns of retribution against activists and journalists engaged in investigative reporting. The law prohibits arbitrary interference with privacy, family, home, or correspondence, but the government does not always respect these prohibitions in practice. Radio and television Radio stations: Government-owned radio network; more than 250 private and community radio stations with about 50 FM stations in Port-au-Prince alone (2007). Television stations: Several TV stations, including one government-owned; cable TV subscription service is available (2007). Television sets: 38,120 (1997). Radio and TV stations in Haiti in 2010: {| class="wikitable" |+ Number of radio and television stations ! Department !! AM !! FM !! VHF !! UHF !! Cable !! Satellite |- | align=left| Ouest || 4 || 66 || 7 || 30 || 3 || * |- | align=left| Sud-EsT || 3 || 18 || 1 || 3 || *|| * |- | align=left| Nippes || 0 || 5 || 0 || 0 || 0 || 0 |- | align=left| Sud || 3 || 19 || 9 || 2 || 2|| * |- | align=left| Grande-Anse || 5 || 12 || 2 || 0 || - || - |- | align=left| Centre || 2 || 10 || 3 || 0 || - || - |- | align=left| Artibonite || 6 || 42 || 6 || 1 || - || - |- | align=left| Nord-Est || 1 || 9 || 9 || 9 || - || - |- | align=left| Nord || 7 || 30 || 8 || 2 || - || - |- | align=left| Nord-Ouest || 3 || 15 || 2 || 1 || * || * |- | align=left| Total|| 34 || 226 || 36 || 38 || - || - |} Tele Haiti is a television broadcasting network providing paid television services with over 140 local and international channels on its network TeleHaiti. Telephones Calling code: +509 International
RN1 heads northwest from Bon Repos, not far north of the road network's hub. RN3 travels northeast, traversing the Plateau Centrale via Mirebalais and Hinche before finally re-joining RN1 in Cap-Haïtien. Route Nationale #4 (RN4) branches off from RN2 at Carrefour du Fort Léogâne, not far south of Léogâne. Commonly known as “Route de l’Amitié”, RN4 climbs and descends the Chaîne de la Selle mountain range on its meandering southward course to its terminus in the centre of Jacmel. Route Nationale #5 (RN5) breaks off from RN1 on the northeast edge of Gonaïves, heading north and then northwest through Gros Morne before terminating near the airport outside Port-de-Paix. Route Nationale #6 (RN6) branches off from RN3 just as it is about to enter Cap-Haïtien from the south. RN6 heads southeast toward the Dominican border through Terrier Rouge en route to Ouanaminthe. Its terminus is the bridge over the Massacre River. Route Nationale #7 (RN7) commences from the aforementioned Avenue des Quatre Chemins in Les Cayes, going northwest across Haiti's southern arm to the outskirts of Jérémie. Route Nationale #8 (RN8) is by far the shortest of the National Roads. It breaks off RN1 at Carrefour Shada in Croix-des-Missions. Heading east, it passes through Croix-des-Bouquets, skirts the southern shore of Étang Saumâtre, and terminates at the Malpasse border crossing with the Dominican Republic. Maintenance for RN1 and RN2 lapsed after the 1991 coup, prompting the World Bank to loan US$50 million that was designated for road repairs. The project was cancelled in January 1999. The World Bank, who reasoned that the cancellation of those projects would ruin Haiti's road infrastructure progress created the FER (Fond d’Etretient Routiers) in 2003. This was a way to cut down corruption, get local companies involved, and in restraining any stopping of these projects because of political instability or protests. President Rene Preval, on his campaign for his second term, vowed on his Maillages Routiers to rebuild the majority of these roads that had disintegrated rapidly and build new ones that would enable the country to move forward. When he wasn't able to get the funds from the World Bank, he pleaded to the international donors for assistance, which was heavily criticized by many politicians in the media, but was greatly embraced by a population desperate to see road infrastructure development come to their towns. Therefore, the European Union pledged to help build RN6, then RN3. In the meantime, the World Bank loaned Haiti US$200 Million to rebuild RN2, from River Froide, which is the starting point of RN2, all the way to Aquin and repair RN1 from Titanyen to Cap-Haïtien. The hurricane season of 2008 was a major setback in development, since many bridges in multiple areas had either collapse or suffered extensive damage and was in immediate need of repair. Most of those work on RN1 and RN2, that were already halted, suffered a major setback during the earthquake of January 12, 2010. For the construction of RN7, Canada pledged US$75 million and the IDB US$31 million for the construction of RN7, which started in 2009. It, too, suffered major setbacks because of the January 12 earthquake. Statistics Total highways: 6,045 km Paved highways: 2,971 km Unpaved highways: 3,071 km (2011 est Public transportation The public transportation is mostly privately owned in Haiti, previously it was an individual business, with the new generation of entrepreneurs, it is mainly association. The most common form of public transportation in Haiti is the use of brightly painted pickup trucks as taxis called "tap-taps". They are named this because when a passenger needs to be let off they use their coin money to tap the side of the vehicle and the driver usually stops. Most tap-taps are fairly priced at around 10-15 gourdes per ride within a city. The catch to the price is that the driver will often fill a truck to maximum capacity, which is nearly 20-30 people. The Government in an effort to structure the public transportation has attempted several time to bring BUS, in around 1979, It was the BUS called CONATRA a contract between the government and association of driver which quickly failed
Roads, and county roads. The hub of the road network is located at the old airport (at the intersection of Boulevard Jean-Jacques Dessalines and Autoroute de Delmas). From this intersection, Route Nationale #1 and Route Nationale #2 commence. Route Nationale #1 (RN1) heads north, passing through Saint-Marc and Gonaïves to its terminus at Rue 22 in Cap-Haïtien. Route Nationale #2 (RN2) is commonly known as “Boulevard Jean-Jacques Dessalines” within Port-au-Prince and as “Route du Sud” outside the capital region. After heading south through downtown Port-au-Prince, it travels west through the capital's western boroughs and then through Petit-Goâve and Aquin to its terminus at Avenue des Quatre Chemins in Les Cayes. (However, its “extension” continues southwest almost to the sea south of Port Salut.) Route Nationale #3 (RN3) begins where RN1 heads northwest from Bon Repos, not far north of the road network's hub. RN3 travels northeast, traversing the Plateau Centrale via Mirebalais and Hinche before finally re-joining RN1 in Cap-Haïtien. Route Nationale #4 (RN4) branches off from RN2 at Carrefour du Fort Léogâne, not far south of Léogâne. Commonly known as “Route de l’Amitié”, RN4 climbs and descends the Chaîne de la Selle mountain range on its meandering southward course to its terminus in the centre of Jacmel. Route Nationale #5 (RN5) breaks off from RN1 on the northeast edge of Gonaïves, heading north and then northwest through Gros Morne before terminating near the airport outside Port-de-Paix. Route Nationale #6 (RN6) branches off from RN3 just as it is about to enter Cap-Haïtien from the south. RN6 heads southeast toward the Dominican border through Terrier Rouge en route to Ouanaminthe. Its terminus is the bridge over the Massacre River. Route Nationale #7 (RN7) commences from the aforementioned Avenue des Quatre Chemins in Les Cayes, going northwest across Haiti's southern arm to the outskirts of Jérémie. Route Nationale #8 (RN8) is by far the shortest of the National Roads. It breaks off RN1 at Carrefour Shada in Croix-des-Missions. Heading east, it passes through Croix-des-Bouquets, skirts the southern shore of Étang Saumâtre, and terminates at the Malpasse border crossing with the Dominican Republic. Maintenance for RN1 and RN2 lapsed after the 1991 coup, prompting the World Bank to loan US$50 million that was designated for road repairs. The project was cancelled in January 1999. The World Bank, who reasoned that the cancellation of those projects would ruin Haiti's road infrastructure progress created the FER (Fond d’Etretient Routiers) in 2003. This was a way to cut down corruption, get local companies involved, and in restraining any stopping of these projects because of political instability or protests. President Rene Preval, on his campaign for his second term, vowed on his Maillages Routiers to rebuild the majority of these roads that had disintegrated rapidly and build new ones that would enable the country to move forward. When he wasn't able to get the funds from the World Bank, he pleaded to the international donors for assistance, which was heavily criticized by many politicians in the media, but was greatly embraced by a population desperate to see road infrastructure development come to their towns. Therefore, the European Union pledged to help build RN6, then RN3. In the meantime, the World Bank loaned Haiti US$200 Million to rebuild RN2, from River Froide, which is the starting point of RN2, all the way to Aquin and repair RN1 from Titanyen to Cap-Haïtien. The hurricane season of 2008 was a major setback in development, since many bridges in multiple areas had either collapse or suffered extensive damage and was in immediate need of repair. Most of those work on RN1 and RN2, that were already halted, suffered a major setback during the earthquake of January 12, 2010. For the construction of RN7, Canada pledged US$75 million and the IDB US$31 million for the construction of RN7, which started in 2009. It, too, suffered
is dominated by the salt-tolerant moss Muelleriella crassifolia and limited in extent, being found at low elevations on lavas in exposed coastal sites. Closed cushionfield is found on moraines and sand at altitudes mostly below 60 m, and is dominated almost entirely by Azorella selago cushions that often grow together to form continuous carpets which can be subject to burrowing by seabirds. Outlook One of the most rapidly changing physical settings in the subantarctic has been produced on Heard Island by a combination of rapid glacial recession and climate warming. The consequent increase in habitat available for plant colonisation, plus the coalescing of previously discrete ice-free areas, has led to marked changes in the vegetation of Heard Island in the last 20 years or so. Other species and vegetation communities found on subantarctic islands north of the Antarctic Convergence now absent from the Heard Island flora may colonise the island if climate change produces more favourable conditions. Some plant species are spreading and modifying the structure and composition of communities, some of which are also increasing in distribution. It is likely that further changes will occur, and possibly at an accelerated rate. Changes in population numbers of seal and seabird species are also expected to affect the vegetation by changing nutrient availability and disturbance through trampling. One plant species on Heard Island, Poa annua, a cosmopolitan grass native to Europe, was possibly introduced by humans, though is more likely to have arrived naturally, probably by skuas from the Kerguelen Islands where it is widespread. It was initially recorded in 1987 in two deglaciated areas of Heard Island not previously exposed to human visitors, while being absent from known sites of past human habitation. Since 1987 Poa annua populations have increased in density and abundance within the original areas and have expanded beyond them. Expeditioner boot traffic during the Australian Antarctic program expedition in 1987 may be at least partly responsible for the spread, but it is probably mainly due to dispersal by wind and the movement of seabirds and seals around the island. The potential for introducing plant species (including invasive species not previously found on subantarctic islands) by both natural and human-induced means is high. This is due to the combination of low species diversity and climatic amelioration. During the 2003/04 summer a new plant species, Cotula plumosa, was recorded. Only one small specimen was found growing on a coastal river terrace that had experienced substantial development and expansion of vegetation over the past decade. The species has a circumantarctic distribution and occurs on many subantarctic islands. Fungi 71 species of lichens have been recorded from Heard Island and they are common on exposed rock, dominating the vegetation in some areas. As with plants, a 1980 survey of McDonald Island found lower diversity there, with just eight lichen species and a number of non-lichenized fungi recorded. Fauna The main indigenous animals are insects along with large populations of ocean-going seabirds, seals and penguins. Mammals Sealing at Heard Island lasted from 1855 to 1910, during which time 67 sealing vessels are recorded visiting, nine of which were wrecked off the coast. Relics that survive from that time include trypots, casks, hut ruins, graves and inscriptions. This caused the seal populations there to either become locally extinct or reduced to levels too low to exploit economically. Modern sealers visited from Cape Town in the 1920s. Since then the populations have generally increased and are protected. Seals breeding on Heard include the southern elephant seal, the Antarctic fur seal and the subantarctic fur seal. Leopard seals visit regularly in winter to haul-out though they do not breed on the islands. Crabeater, Ross and Weddell seals are occasional visitors. Birds Heard Island and the McDonald Islands are free from introduced predators and provide crucial breeding habitat in the middle of the vast Southern Ocean for a range of birds. The surrounding waters are important feeding areas for birds and some scavenging species also derive sustenance from their cohabitants on the islands. The islands have been identified by BirdLife International as an Important Bird Area because they support very large numbers of nesting seabirds. Nineteen species of birds have been recorded as breeding on Heard Island and the McDonald Islands, although recent volcanic activity at the McDonald Islands in the last decade is likely to have reduced vegetated and un-vegetated nesting areas. Penguins are by far the most abundant birds on the islands, with four breeding species present, comprising king, gentoo, macaroni and eastern rockhopper penguins. The penguins mostly colonise the coastal tussock and grasslands of Heard Island, and have previously been recorded as occupying the flats and gullies on McDonald Island. Other seabirds recorded as breeding at Heard Island include three species of albatross (wandering, black-browed and light-mantled albatrosses, southern giant petrels, Cape petrels, four species of burrowing petrels Antarctic and Fulmar prions, common and South Georgian diving-petrels), Wilson's storm-petrels, kelp gulls, subantarctic skuas, Antarctic terns and the Heard shag. Although not a true seabird, the Heard Island subspecies of the black-faced sheathbill also breeds on the island. Both the shag and the sheathbill are endemic to Heard Island. A further 28 seabird species are recorded as either non-breeding visitors or have been noted during 'at-sea surveys' of the islands. All recorded breeding species, other than the Heard Island sheathbill, are listed marine species under the Australian Environmental Protection and Biodiversity Act (1999, four are listed as threatened species and five are listed migratory species. Under the EPBC Act a recovery plan has been made for albatrosses and giant petrels, which calls for ongoing population monitoring of the species found at HIMI, and at the time of preparing this plan a draft recovery plan has also been made for the Heard Island cormorant (or shag) and Antarctic tern. The recorded populations of some seabird species found in the Reserve have shown marked change. The king penguin population is the best studied seabird species on Heard Island and has shown a dramatic increase since first recorded in 1947/48, with the population doubling every five years or so for more than 50 years. A paper reviewing population data for the black-browed albatross between 1947 and 2000/01 suggested that the breeding population had increased to about three times that present in the late 1940s, although a Convention for the Conservation of Antarctic Marine Living Resources CCAMLR) Working Group was cautious about the interpretation of the increasing trend given the disparate nature of the data, as discussed in the paper. The discovery of a large, previously unknown, colony of Heard shags in 2000/01 at Cape Pillar raised the known breeding population from 200 pairs to over 1000 pairs. The breeding population of southern giant petrels decreased by more than 50% between the early 1950s and the late 1980s. Terrestrial, freshwater and coastal invertebrates Heard Island supports a relatively low number of terrestrial invertebrate species compared to other Southern Ocean islands, in parallel with the low species richness in the flora–that is, the island's isolation and limited ice-free area. Endemism is also generally low and the invertebrate fauna is exceptionally pristine with few, if any, (successful) human-induced introductions of alien species. Two species, including the thrips Apterothrips apteris and the mite Tyrophagus putrescentiae are thought to be recent, possibly natural, introductions. An exotic species of earthworm Dendrodrilus rubidus was also collected in 1929 from a dump near Atlas Cove, and has recently been collected from a variety of habitats including wallows, streams and lakes on Heard Island. The arthropods of Heard Island are comparatively well known with 54 species of mite and tick, one spider and eight springtails recorded. A study over summer at Atlas Cove in 1987/88 showed overall densities of up to 60 000 individual springtails per square metre in soil under stands of Pringlea antiscorbutica. Despite a few recent surveys, the non-arthropod invertebrate fauna of Heard Island remain poorly known. Beetles and flies dominate Heard Island's known insect fauna, which comprises up to 21 species of ectoparasite (associated with birds and seals) and up to 13 free-living species. Approximately half of the free-living insects are habitat-specific, while the remainder are generalists found in a variety of habitats, being associated with either supralittoral or intertidal zones, Poa cookii and Pringlea antiscorbutica stands, bryophytes, lichen-covered rocks, exposed rock faces or the underside of rocks. There is a pronounced seasonality to the insect fauna, with densities in winter months dropping to a small percentage (between 0.75%) of the summer maximum. Distinct differences in relative abundances of species between habitats has also been shown, including a negative relationship between altitude and body size for Heard Island weevils. The fauna of the freshwater pools, lakes, streams and mires found in the coastal areas of Heard Island are broadly similar to those on other subantarctic islands of the southern Indian Ocean. Many species reported from Heard Island are found elsewhere. Some sampling of freshwater fauna has been undertaken during recent expeditions and records to date indicate that the freshwater fauna includes a species of Protista, a gastrotrich, two species of tardigrade, at least four species of nematode, 26 species of rotifer, six species of annelid and 14 species of arthropod. As with the other shore biota, the marine macro-invertebrate fauna of Heard Island is similar in composition and local distribution to other subantarctic islands, although relatively little is known about the Heard Island communities compared with the well-studied fauna of some other islands in the subantarctic region, such as Macquarie and Kerguelen. Despite Heard Island's isolation, species richness is considered to be moderate, rather than depauperate, although the number of endemic species reported is low. The large macro-alga Durvillaea antarctica supports a diverse array of invertebrate taxa and may play an important role in transporting some of this fauna to Heard Island. The rocky shores of Heard Island exhibit a clear demarcation between fauna of the lower kelp holdfast zone and the upper shore zone community, probably due to effects of desiccation, predation and freezing in the higher areas. The limpet Nacella kerguelensis is abundant in the lower part of the shore, being found on rock surfaces and on kelp holdfasts. Other common but less abundant species in this habitat include the chiton Hemiarthrum setulosum and the starfish Anasterias mawsoni. The amphipod Hyale sp. and the isopod Cassidinopsis sp. are closely associated with the kelp. Above the kelp holdfast zone, the littornid Laevilitorina (Corneolitorina) heardensis and the bivalve mollusc Kidderia bicolor are found in well-sheltered situations, and another bivalve Gaimardia trapesina trapesina has been recorded from immediately above the holdfast zone. Oligochaetes are also abundant in areas supporting porous and spongy layers of algal mat. Retreat of Heard Island glaciers Heard Island is a heavily glaciated, subantarctic volcanic island located in the Southern Ocean, roughly southwest of Australia. 80% of the island is covered in ice, with glaciers descending from to sea level. Due to the steep topography of Heard Island, most of its glaciers are relatively thin (averaging only about in depth). The presence of glaciers on Heard Island provides an excellent opportunity
in the paper. The discovery of a large, previously unknown, colony of Heard shags in 2000/01 at Cape Pillar raised the known breeding population from 200 pairs to over 1000 pairs. The breeding population of southern giant petrels decreased by more than 50% between the early 1950s and the late 1980s. Terrestrial, freshwater and coastal invertebrates Heard Island supports a relatively low number of terrestrial invertebrate species compared to other Southern Ocean islands, in parallel with the low species richness in the flora–that is, the island's isolation and limited ice-free area. Endemism is also generally low and the invertebrate fauna is exceptionally pristine with few, if any, (successful) human-induced introductions of alien species. Two species, including the thrips Apterothrips apteris and the mite Tyrophagus putrescentiae are thought to be recent, possibly natural, introductions. An exotic species of earthworm Dendrodrilus rubidus was also collected in 1929 from a dump near Atlas Cove, and has recently been collected from a variety of habitats including wallows, streams and lakes on Heard Island. The arthropods of Heard Island are comparatively well known with 54 species of mite and tick, one spider and eight springtails recorded. A study over summer at Atlas Cove in 1987/88 showed overall densities of up to 60 000 individual springtails per square metre in soil under stands of Pringlea antiscorbutica. Despite a few recent surveys, the non-arthropod invertebrate fauna of Heard Island remain poorly known. Beetles and flies dominate Heard Island's known insect fauna, which comprises up to 21 species of ectoparasite (associated with birds and seals) and up to 13 free-living species. Approximately half of the free-living insects are habitat-specific, while the remainder are generalists found in a variety of habitats, being associated with either supralittoral or intertidal zones, Poa cookii and Pringlea antiscorbutica stands, bryophytes, lichen-covered rocks, exposed rock faces or the underside of rocks. There is a pronounced seasonality to the insect fauna, with densities in winter months dropping to a small percentage (between 0.75%) of the summer maximum. Distinct differences in relative abundances of species between habitats has also been shown, including a negative relationship between altitude and body size for Heard Island weevils. The fauna of the freshwater pools, lakes, streams and mires found in the coastal areas of Heard Island are broadly similar to those on other subantarctic islands of the southern Indian Ocean. Many species reported from Heard Island are found elsewhere. Some sampling of freshwater fauna has been undertaken during recent expeditions and records to date indicate that the freshwater fauna includes a species of Protista, a gastrotrich, two species of tardigrade, at least four species of nematode, 26 species of rotifer, six species of annelid and 14 species of arthropod. As with the other shore biota, the marine macro-invertebrate fauna of Heard Island is similar in composition and local distribution to other subantarctic islands, although relatively little is known about the Heard Island communities compared with the well-studied fauna of some other islands in the subantarctic region, such as Macquarie and Kerguelen. Despite Heard Island's isolation, species richness is considered to be moderate, rather than depauperate, although the number of endemic species reported is low. The large macro-alga Durvillaea antarctica supports a diverse array of invertebrate taxa and may play an important role in transporting some of this fauna to Heard Island. The rocky shores of Heard Island exhibit a clear demarcation between fauna of the lower kelp holdfast zone and the upper shore zone community, probably due to effects of desiccation, predation and freezing in the higher areas. The limpet Nacella kerguelensis is abundant in the lower part of the shore, being found on rock surfaces and on kelp holdfasts. Other common but less abundant species in this habitat include the chiton Hemiarthrum setulosum and the starfish Anasterias mawsoni. The amphipod Hyale sp. and the isopod Cassidinopsis sp. are closely associated with the kelp. Above the kelp holdfast zone, the littornid Laevilitorina (Corneolitorina) heardensis and the bivalve mollusc Kidderia bicolor are found in well-sheltered situations, and another bivalve Gaimardia trapesina trapesina has been recorded from immediately above the holdfast zone. Oligochaetes are also abundant in areas supporting porous and spongy layers of algal mat. Retreat of Heard Island glaciers Heard Island is a heavily glaciated, subantarctic volcanic island located in the Southern Ocean, roughly southwest of Australia. 80% of the island is covered in ice, with glaciers descending from to sea level. Due to the steep topography of Heard Island, most of its glaciers are relatively thin (averaging only about in depth). The presence of glaciers on Heard Island provides an excellent opportunity to measure the rate of glacial retreat as an indicator of climate change. Available records show no apparent change in glacier mass balance between 1874 and 1929. Between 1949 and 1954, marked changes were observed to have occurred in the ice formations above 5000 feet on the southwestern slopes of Big Ben, possibly as a result of volcanic activity. By 1963, major recession was obvious below 2000 feet on almost all glaciers, and minor recession was evident as high as 5000 feet. The coastal ice cliffs of Brown and Stephenson Glaciers, which in 1954 were over 50 feet high, had disappeared by 1963 when the glaciers terminated as much as 100 yards inland. Baudissin Glacier on the north coast, and Vahsel Glacier on the west coast have lost at least 100 and 200 vertical feet of ice, respectively. Winston Glacier, which retreated approximately one mile between 1947 and 1963, appears to be a very sensitive indicator of glacier change on the island. The young moraines flanking Winston Lagoon show that Winston Glacier has lost at least 300 vertical feet of ice within a recent time period. Jacka Glacier on the east coast of Laurens Peninsula has also demonstrated marked recession since 1955. Retreat of glacier fronts across Heard Island is evident when comparing aerial photographs taken in December 1947 with those taken on a return visit in early 1980. Retreat of Heard Island glaciers is most dramatic on the eastern section of the island, where the termini of former tidewater glaciers are now located inland. Glaciers on the northern and western coasts have narrowed significantly, while the area of glaciers and ice caps on Laurens Peninsula have shrunk by 30% - 65%. During the time period between 1947 and 1988, the total area of Heard Island's glaciers decreased by 11%, from (roughly 79% of the total area of Heard Island) to only . A visit to the island in the spring of 2000 found that the Stephenson, Brown and Baudissin glaciers, among others, had retreated even further. The terminus of Brown Glacier has retreated approximately since 1950. The total ice-covered area of Brown Glacier is estimated to have decreased by roughly 29% between 1947 and 2004. This degree of loss of glacier mass is consistent with the measured increase in temperature of over that time span. Possible causes of glacier recession on Heard Island include: Volcanic activity Southward movement of the Antarctic Convergence: such a movement conceivably might cause glacier retreat through a rise in sea and air temperatures Climatic change The Australian Antarctic Division conducted an expedition to Heard Island during the austral summer of 2003–04. A small team of scientists spent two months on the island, conducting studies on avian and terrestrial biology and glaciology. Glaciologists conducted further research on the Brown Glacier, in an effort to determine whether glacial retreat is rapid or punctuated. Using a portable echo sounder, the team took measurements of the volume of the glacier. Monitoring of climatic conditions continued, with an emphasis on the impact of Foehn winds on glacier mass balance. Based on the findings of that expedition, the rate of loss of glacier ice on Heard Island appears to be accelerating. Between 2000 and 2003, repeat GPS surface surveys revealed that the rate of loss of ice in both the ablation zone and the accumulation zone of Brown Glacier was more than double average rate measured from 1947 to 2003. The increase in the rate of ice loss suggests that the glaciers of Heard Island are reacting to ongoing climate change, rather than approaching dynamic equilibrium. The retreat of Heard Island's glaciers is expected to continue for the foreseeable future. Administration and economy The United Kingdom formally established its claim to Heard Island in 1910, marked by the raising of the Union Flag and the erection of a beacon by Captain Evensen, master of the Mangoro. Effective government, administration and control of Heard Island and the McDonald Islands was transferred to the Australian government on 26 December 1947 at the commencement of the first Australian National Antarctic Research Expedition (ANARE) to Heard Island, with a formal declaration that took place at Atlas Cove. The transfer was confirmed by an exchange of letters between the two governments on 19 December 1950. The islands are a territory (Territory of Heard Island and McDonald Islands) of Australia administered from Hobart by the Australian Antarctic Division of the Australian Department of the Environment and Energy. The administration of the territory is established in the Heard Island and McDonald Islands Act 1953, which places it under the laws of the Australian Capital Territory and the jurisdiction of the Supreme Court of the Australian Capital Territory. The islands are contained within a marine reserve and are primarily visited for research, meaning that there is no permanent human habitation. From 1947 until 1955 there were camps of visiting scientists on Heard Island (at Atlas Cove in the northwest, which was in 1969 again occupied by American scientists and expanded in 1971 by French scientists) and in 1971 on McDonald Island (at Williams Bay). Later expeditions used a temporary base at Spit Bay in the east, such as in 1988, 1992–93 and 2004–05. The islands' only natural resource is fish; the Australian government allows limited fishing in the surrounding waters. Despite the lack of population, the islands have been assigned the country code HM in ISO 3166-1 (ISO 3166-2:HM) and therefore the Internet top-level domain .hm. The time zone of the islands is UTC+5. See also Australian Antarctic Territory List of Antarctic and sub-Antarctic islands List of birds of Heard and McDonald Islands List of glaciers in the Antarctic List of islands of Australia Needle Island Retreat of glaciers since 1850 Sunken Rock Wakefield Reef References Further reading Commonwealth of Australia (2014). Heard Island and McDonald Islands Marine Reserve Management Plan 2014–2024, Department of the Environment,
between the Holy See and Italy, to ensure the temporal, diplomatic, and spiritual independence of the papacy. As such, papal nuncios, who are papal diplomats to states and international organizations, are recognized as representing the Holy See, and not the Vatican City State, as prescribed in the Canon law of the Catholic Church. The Holy See is thus viewed as the central government of the Catholic Church. The Catholic Church, in turn, is the largest non-government provider of education and health care in the world. The diplomatic status of the Holy See facilitates the access of its vast international network of charities. The Holy See maintains bilateral diplomatic relations with 183 sovereign states, signs concordats and treaties, and performs multilateral diplomacy with multiple intergovernmental organizations, including the United Nations and its agencies, the Council of Europe, the European Communities, the Organization for Security and Co-operation in Europe, and the Organization of American States. Terminology The word "see" comes from the Latin word sedes, meaning 'seat', which refers to the episcopal throne (cathedra). The term "Apostolic See" can refer to any see founded by one of the Twelve Apostles, but, when used with the definite article, it is used in the Catholic Church to refer specifically to the see of the Bishop of Rome, whom that Church sees as the successor of Saint Peter. While Saint Peter's Basilica in Vatican City is perhaps the church most associated with the papacy, the actual cathedral of the Holy See is the Archbasilica of Saint John Lateran in the city of Rome. In the Roman Catholic Church, only the see of the pope bears the right to be addressed symbolically as "holy". However, there was one exception to this rule, represented by the Bishopric of Mainz. During the Holy Roman Empire, the former Archbishopric of Mainz (which was also of electoral and primatial rank) had the privilege to bear the title of "the Holy See of Mainz" (Latin: Sancta Sedes Moguntina). History The apostolic see of Diocese of Rome was established in the 1st century by Saint Peter and Saint Paul, then the capital of the Roman Empire, according to Catholic tradition. The legal status of the Catholic Church and its property was recognised by the Edict of Milan in 313 by Roman emperor Constantine the Great, and it became the state church of the Roman Empire by the Edict of Thessalonica in 380 by Emperor Theodosius I. After the fall of the Western Roman Empire in 476, the temporal legal jurisdisction of the papal primacy was further recognised as promulgated in Canon law. The Holy See was granted territory in Duchy of Rome by the Donation of Sutri in 728 of King Liutprand of the Lombards, and sovereignty by the Donation of Pepin in 756 by King Pepin of the Franks. The Papal States thus held extensive territory and armed forces in 756–1870. Pope Leo III crowned Charlemagne as Roman Emperor by translatio imperii in 800. The pope's temporal power peaked around the time of the papal coronations of the emperors of the Holy Roman Empire from 858, and the Dictatus papae in 1075, which conversely also described Papal deposing power. Several modern states still trace their own sovereignty to recognition in medieval papal bulls. The sovereignty of the Holy See was retained despite multiple sacks of Rome during the Early Middle Ages. Yet, relations with the Kingdom of Italy and the Holy Roman Empire were at times strained, reaching from the Diploma Ottonianum and Libellus de imperatoria potestate in urbe Roma regarding the "Patrimony of Saint Peter" in the 10th century, to the Investiture Controversy in 1076–1122, and settled again by the Concordat of Worms in 1122. The exiled Avignon Papacy during 1309–1376 also put a strain on the Papacy, which however finally returned to Rome. Pope Innocent X was critical of the Peace of Westphalia in 1648 as it weakened the authority of the Holy See throughout much of Europe. Following the French Revolution, the Papal States were briefly occupied as the "Roman Republic" from 1798 to 1799 as a sister republic of the First French Empire under Napoleon, before their territory was reestablished. Notwithstanding, the Holy See was represented in and identified as a "permanent subject of general customary international law vis-à-vis all states" in the Congress of Vienna (1814–1815). The Papal States were recognised under the rule of the Papacy and largely restored to their former extent. Despite the Capture of Rome in 1870 by the Kingdom of Italy and the Roman Question during the Savoyard era (which made the pope a "prisoner in the Vatican" from 1870 to 1929), its international legal subject was "constituted by the ongoing reciprocity of diplomatic relationships" that not only were maintained but multiplied. The Lateran Treaty on 11 February 1929 between the Holy See and Italy recognised Vatican City as an independent city-state, along with extraterritorial properties around the region. Since then, Vatican City is distinct from yet under "full ownership, exclusive dominion, and sovereign authority and jurisdiction" of the Holy See (). Organization The Holy See is one of the last remaining seven absolute monarchies in the world, along with Saudi Arabia, Eswatini, United Arab Emirates, Qatar, Brunei and Oman. The pope governs the Catholic Church through the Roman Curia. The Curia consists of a complex of offices that administer church affairs at the highest level, including the Secretariat of State, nine Congregations, three Tribunals, eleven Pontifical Councils, and seven Pontifical Commissions. The Secretariat of State, under the Cardinal Secretary of State, directs and coordinates the Curia. The incumbent, Cardinal Pietro Parolin, is the See's equivalent of a prime minister. Archbishop Paul Gallagher, Secretary of the Section for Relations with States of the Secretariat of State, acts as the Holy See's minister of foreign affairs. Parolin was named in his role by Pope Francis on 31 August 2013. The Secretariat of State is the only body of the Curia that is situated within Vatican City. The others are in buildings in different parts of Rome that have extraterritorial rights similar to those of embassies. Among the most active of the major Curial institutions are the Congregation for the Doctrine of the Faith, which oversees the Catholic Church's doctrine; the Congregation for Bishops, which coordinates the appointment of bishops worldwide; the Congregation for the Evangelization of Peoples, which oversees all missionary activities; and the Pontifical Council for Justice and Peace, which deals with international peace and social issues. Three tribunals exercise judicial power. The Roman Rota handles normal judicial appeals, the most numerous being those that concern alleged nullity of marriage. The Apostolic Signatura is the supreme appellate and administrative court concerning decisions even of the Roman Rota and administrative decisions of ecclesiastical superiors (bishops and superiors of religious institutes), such as closing a parish or removing someone from office. It also oversees the work of other ecclesiastical tribunals at all levels. The Apostolic Penitentiary deals not with external judgments or decrees, but with matters of conscience, granting absolutions from censures, dispensations, commutations, validations, condonations, and other favors; it also grants indulgences. The Prefecture for the Economic Affairs of the Holy See coordinates the finances of the Holy See departments and supervises the administration of all offices, whatever be their degree of autonomy, that manage these finances. The most important of these is the Administration of the Patrimony of the Apostolic See. The Prefecture of the Papal Household is responsible for the organization of the papal household, audiences, and ceremonies (apart from the strictly liturgical part). One of Pope Francis's goals is to reorganize the Curia to prioritize its role in the Church's mission to evangelize. This reform insists that the Curia is not meant to be a centralized bureaucracy, but rather a service for the pope and diocesan bishops that is in communication with local bishops' conferences. Likewise more lay people are to be involved in the workings of the dicasteries and in giving them input. The Holy See does not dissolve upon a pope's death or resignation. It instead operates under a different set of laws sede vacante. During this interregnum, the heads of the dicasteries of the Curia (such as the prefects of congregations) cease immediately to hold office, the only exceptions being the Major Penitentiary, who continues his important role regarding absolutions and dispensations, and the Camerlengo of the Holy Roman Church, who administers the temporalities (i.e., properties and finances) of the See of St. Peter during this period. The government of the See, and therefore of the Catholic Church, then falls to the College of Cardinals. Canon law prohibits the College and the Camerlengo from introducing any innovations or novelties in the government of the Church during this period. In 2001, the Holy See had a revenue of 422.098 billion Italian lire (about US$202 million at the time), and a net income of 17.720 billion Italian lire (about US$8 million). According to an article by David Leigh in the Guardian newspaper, a 2012 report from the Council of Europe identified the value of a section of the
from 1870 to 1929), its international legal subject was "constituted by the ongoing reciprocity of diplomatic relationships" that not only were maintained but multiplied. The Lateran Treaty on 11 February 1929 between the Holy See and Italy recognised Vatican City as an independent city-state, along with extraterritorial properties around the region. Since then, Vatican City is distinct from yet under "full ownership, exclusive dominion, and sovereign authority and jurisdiction" of the Holy See (). Organization The Holy See is one of the last remaining seven absolute monarchies in the world, along with Saudi Arabia, Eswatini, United Arab Emirates, Qatar, Brunei and Oman. The pope governs the Catholic Church through the Roman Curia. The Curia consists of a complex of offices that administer church affairs at the highest level, including the Secretariat of State, nine Congregations, three Tribunals, eleven Pontifical Councils, and seven Pontifical Commissions. The Secretariat of State, under the Cardinal Secretary of State, directs and coordinates the Curia. The incumbent, Cardinal Pietro Parolin, is the See's equivalent of a prime minister. Archbishop Paul Gallagher, Secretary of the Section for Relations with States of the Secretariat of State, acts as the Holy See's minister of foreign affairs. Parolin was named in his role by Pope Francis on 31 August 2013. The Secretariat of State is the only body of the Curia that is situated within Vatican City. The others are in buildings in different parts of Rome that have extraterritorial rights similar to those of embassies. Among the most active of the major Curial institutions are the Congregation for the Doctrine of the Faith, which oversees the Catholic Church's doctrine; the Congregation for Bishops, which coordinates the appointment of bishops worldwide; the Congregation for the Evangelization of Peoples, which oversees all missionary activities; and the Pontifical Council for Justice and Peace, which deals with international peace and social issues. Three tribunals exercise judicial power. The Roman Rota handles normal judicial appeals, the most numerous being those that concern alleged nullity of marriage. The Apostolic Signatura is the supreme appellate and administrative court concerning decisions even of the Roman Rota and administrative decisions of ecclesiastical superiors (bishops and superiors of religious institutes), such as closing a parish or removing someone from office. It also oversees the work of other ecclesiastical tribunals at all levels. The Apostolic Penitentiary deals not with external judgments or decrees, but with matters of conscience, granting absolutions from censures, dispensations, commutations, validations, condonations, and other favors; it also grants indulgences. The Prefecture for the Economic Affairs of the Holy See coordinates the finances of the Holy See departments and supervises the administration of all offices, whatever be their degree of autonomy, that manage these finances. The most important of these is the Administration of the Patrimony of the Apostolic See. The Prefecture of the Papal Household is responsible for the organization of the papal household, audiences, and ceremonies (apart from the strictly liturgical part). One of Pope Francis's goals is to reorganize the Curia to prioritize its role in the Church's mission to evangelize. This reform insists that the Curia is not meant to be a centralized bureaucracy, but rather a service for the pope and diocesan bishops that is in communication with local bishops' conferences. Likewise more lay people are to be involved in the workings of the dicasteries and in giving them input. The Holy See does not dissolve upon a pope's death or resignation. It instead operates under a different set of laws sede vacante. During this interregnum, the heads of the dicasteries of the Curia (such as the prefects of congregations) cease immediately to hold office, the only exceptions being the Major Penitentiary, who continues his important role regarding absolutions and dispensations, and the Camerlengo of the Holy Roman Church, who administers the temporalities (i.e., properties and finances) of the See of St. Peter during this period. The government of the See, and therefore of the Catholic Church, then falls to the College of Cardinals. Canon law prohibits the College and the Camerlengo from introducing any innovations or novelties in the government of the Church during this period. In 2001, the Holy See had a revenue of 422.098 billion Italian lire (about US$202 million at the time), and a net income of 17.720 billion Italian lire (about US$8 million). According to an article by David Leigh in the Guardian newspaper, a 2012 report from the Council of Europe identified the value of a section of the Vatican's property assets as an amount in excess of €680m (£570m); as of January 2013, Paolo Mennini, a papal official in Rome, manages this portion of the Holy See's assets—consisting of British investments, other European holdings and a currency trading arm. The Guardian newspaper described Mennini and his role in the following manner: "... Paolo Mennini, who is in effect the pope's merchant banker. Mennini heads a special unit inside the Vatican called the extraordinary division of APSA – Amministrazione del Patrimonio della Sede Apostolica – which handles the 'patrimony of the Holy See'." The orders, decorations, and medals of the Holy See are conferred by the pope as temporal sovereign and fons honorum of the Holy See, similar to the orders awarded by other heads of state. Status in international law The Holy See has been recognized, both in state practice and in the writing of modern legal scholars, as a subject of public international law, with rights and duties analogous to those of States. Although the Holy See, as distinct from the Vatican City State, does not fulfill the long-established criteria in international law of statehood—having a permanent population, a defined territory, a stable government, and the capacity to enter into relations with other states—its possession of full legal personality in international law is shown by the fact that it maintains diplomatic relations with 180 states, that it is a member-state in various intergovernmental international organizations, and that it is: "respected by the international community of sovereign States and treated as a subject of international law having the capacity to engage in diplomatic relations and to enter into binding agreements with one, several, or many states under international law that are largely geared to establish and preserving peace in the world." Diplomacy Since medieval times the episcopal see of Rome has been recognized as a sovereign entity. The Holy See (not the State of Vatican City) maintains formal diplomatic relations with and for the most recent establishment of diplomatic relations with sovereign states, and also with the European Union, and the Sovereign Military Order of Malta, as well as having relations of a special character with the Palestine Liberation Organization; 69 of the diplomatic missions accredited to the Holy See are situated in Rome. The Holy See maintains 180 permanent diplomatic missions abroad, of which 74 are non-residential, so that many of its 106 concrete missions are accredited to two or more countries or international organizations. The diplomatic activities of the Holy See are directed by the Secretariat of State (headed by the Cardinal Secretary of State), through the Section for Relations with States. There are 13 internationally recognized states with which the Holy See does not have relations. The Holy See is the only European subject of international law that has diplomatic relations with the government of the Republic of China (Taiwan) as representing China, rather than the government of the People's Republic of China (see Holy See–Taiwan relations). The British Foreign and Commonwealth Office speaks of Vatican City as the "capital" of the Holy See, although it compares the legal personality of the Holy See to that of the Crown in Christian monarchies and declares that the Holy See and the state of Vatican City are two international identities. It also distinguishes between the employees of the Holy See (2,750 working in the Roman Curia with another 333 working in the Holy See's diplomatic missions abroad) and the 1,909 employees of the Vatican City State. The British Ambassador to the Holy See uses more precise language, saying that the Holy See "is not the same as the Vatican City State. ... (It) is the universal government of the Catholic Church and operates from the Vatican City State." This agrees exactly with the expression used by the website of the United States Department of State, in giving information on both the Holy See and the Vatican City State: it too says that the Holy See "operates from the Vatican City State". The Holy See is a member of various international organizations and groups including the International Atomic Energy Agency (IAEA), International Telecommunication Union, the Organization for Security and Co-operation in Europe (OSCE), the Organisation for the Prohibition of
lies in the northeast, and the heavily populated lowland Sula valley in the northwest. In La Mosquitia lies the UNESCO world-heritage site Río Plátano Biosphere Reserve, with the Coco River which divides Honduras from Nicaragua. The Islas de la Bahía and the Swan Islands are off the north coast. Misteriosa Bank and Rosario Bank, north of the Swan Islands, fall within the Exclusive Economic Zone (EEZ) of Honduras. Natural resources include timber, gold, silver, copper, lead, zinc, iron ore, antimony, coal, fish, shrimp, and hydropower. Climate The climate varies from tropical in the lowlands to temperate in the mountains. The central and southern regions are relatively hotter and less humid than the northern coast. Flora and Fauna The region is considered a biodiversity hotspot because of the many plant and animal species found there. Like other countries in the region, it contains vast biological resources. Honduras hosts more than 6,000 species of vascular plants, of which 630 (described so far) are orchids; around 250 reptiles and amphibians, more than 700 bird species, and 110 mammalian species, of which half are bats. In the northeastern region of La Mosquitia lies the Río Plátano Biosphere Reserve, a lowland rainforest which is home to a great diversity of life. The reserve was added to the UNESCO World Heritage Sites List in 1982. Honduras has rain forests, cloud forests (which can rise up to nearly above sea level), mangroves, savannas and mountain ranges with pine and oak trees, and the Mesoamerican Barrier Reef System. In the Bay Islands there are bottlenose dolphins, manta rays, parrot fish, schools of blue tang and whale shark. Deforestation resulting from logging is rampant in Olancho Department. The clearing of land for agriculture is prevalent in the largely undeveloped La Mosquitia region, causing land degradation and soil erosion. Honduras had a 2019 Forest Landscape Integrity Index mean score of 4.48/10, ranking it 126th globally out of 172 countries. Lake Yojoa, which is Honduras's largest source of fresh water, is polluted by heavy metals produced from mining activities. Some rivers and streams are also polluted by mining. Government and politics Honduras is governed within a framework of a presidential representative democratic republic. The President of Honduras is both head of state and head of government. Executive power is exercised by the Honduran government. Legislative power is vested in the National Congress of Honduras. The judiciary is independent of both the executive branch and the legislature. The National Congress of Honduras (Congreso Nacional) has 128 members (diputados), elected for a four-year term by proportional representation. Congressional seats are assigned the parties' candidates on a departmental basis in proportion to the number of votes each party receives. Political culture In 1963, a military coup removed the democratically elected president, Ramón Villeda Morales. A string of authoritarian military governments held power uninterrupted until 1981, when Roberto Suazo Córdova was elected president. The party system was dominated by the conservative National Party of Honduras (Partido Nacional de Honduras: PNH) and the liberal Liberal Party of Honduras (Partido Liberal de Honduras: PLH) until the 2009 Honduran coup d'état removed Manuel Zelaya from office and put Roberto Micheletti in his place. In late 2012, 1540 persons were interviewed by ERIC in collaboration with the Jesuit university, as reported by Associated Press. This survey found that 60.3% believed the police were involved in crime, 44.9% had "no confidence" in the Supreme Court, and 72% thought there was electoral fraud in the primary elections of November 2012. Also, 56% expected the presidential, legislative and municipal elections of 2013 to be fraudulent. Former Honduran president Juan Orlando Hernández took office on 27 January 2014. After managing to stand for a second term, a very close election in 2017 left uncertainty as to whether Hernandez or his main challenger, television personality Salvador Nasralla, had prevailed. The disputed election caused protests and violence. In December 2017, Hernández was declared the winner of the election after a partial recount. In January 2018, Hernández was sworn in for a second term. He was succeeded by Xiomara Castro, the leader of the left-wing Libre Party, and wife of Manuel Zelaya, on 27 January 2022, becoming the first woman to serve as president. Foreign relations Honduras and Nicaragua had tense relations throughout 2000 and early 2001 due to a boundary dispute off the Atlantic coast. Nicaragua imposed a 35% tariff against Honduran goods due to the dispute. In June 2009 a coup d'état ousted President Manuel Zelaya; he was taken in a military aircraft to Costa Rica. The General Assembly of the United Nations voted to denounce the coup and called for the restoration of Zelaya. Several Latin American nations, including Mexico, temporarily severed diplomatic relations with Honduras. In July 2010, full diplomatic relations were once again re-established with Mexico. The United States sent out mixed messages after the coup; Obama called the ouster a coup and expressed support for Zelaya's return to power. US Secretary of State Hillary Clinton, advised by John Negroponte, the former Reagan-era Ambassador to Honduras implicated in the Iran–Contra affair, refrained from expressing support. She has since explained that the US would have had to cut aid if it called Zelaya's ouster a military coup, although the US has a record of ignoring these events when it chooses. Zelaya had expressed an interest in Hugo Chávez' Bolivarian Alliance for Peoples of our America (ALBA), and had actually joined in 2008. After the 2009 coup, Honduras withdrew its membership. This interest in regional agreements may have increased the alarm of establishment politicians. When Zelaya began calling for a "fourth ballot box" to determine whether Hondurans wished to convoke a special constitutional congress, this sounded a lot to some like the constitutional amendments that had extended the terms of both Hugo Chávez and Evo Morales. "Chávez has served as a role model for like-minded leaders intent on cementing their power. These presidents are barely in office when they typically convene a constitutional convention to guarantee their reelection," said a 2009 Spiegel International analysis, which noted that one reason to join ALBA was discounted Venezuelan oil. In addition to Chávez and Morales, Carlos Menem of Argentina, Fernando Henrique Cardoso of Brazil and Columbian President Álvaro Uribe had all taken this step, and Washington and the EU were both accusing the Sandinista National Liberation Front government in Nicaragua of tampering with election results. Politicians of all stripes expressed opposition to Zelaya's referendum proposal, and the Attorney-General accused him of violating the constitution. The Honduran Supreme Court agreed, saying that the constitution had put the Supreme Electoral Tribunal in charge of elections and referenda, not the National Statistics Institute, which Zelaya had proposed to have run the count. Whether or not Zelaya's removal from power had constitutional elements, the Honduran constitution explicitly protects all Hondurans from forced expulsion from Honduras. The United States maintains a small military presence at one Honduran base. The two countries conduct joint peacekeeping, counter-narcotics, humanitarian, disaster relief, humanitarian, medical and civic action exercises. U.S. troops conduct and provide logistics support for a variety of bilateral and multilateral exercises. The United States is Honduras's chief trading partner. Military Honduras has a military with the Honduran Army, Honduran Navy and Honduran Air Force. In 2017, Honduras signed the UN treaty on the Prohibition of Nuclear Weapons. Administrative divisions Honduras is divided into 18 departments. The capital city is Tegucigalpa in the Central District within the department of Francisco Morazán. Atlántida Choluteca Colón Comayagua Copán Cortés El Paraíso Francisco Morazán Gracias a Dios Intibucá Bay Islands Department La Paz Lempira Ocotepeque Olancho Department Santa Bárbara Valle Yoro A new administrative division called ZEDE (Zonas de empleo y desarrollo económico) was created in 2013. ZEDEs have a high level of autonomy with their own political system at a judicial, economic and administrative level, and are based on free market capitalism. Economy Poverty The World Bank categorizes Honduras as a low middle-income nation. The nation's per capita income sits at around 600 US dollars making it one of the lowest in North America. In 2010, 50% of the population were living below the poverty line. By 2016 more than 66% were living below the poverty line. Economic growth in the last few years has averaged 7% a year, one of the highest rates in Latin America (2010). Despite this, Honduras has seen the least development amongst all Central American countries. Honduras is ranked 130 of 188 countries with a Human Development Index of .625 that classifies the nation as having medium development (2015). The three factors that go into Honduras's HDI (an extended and healthy life, accessibility of knowledge and standard of living) have all improved since 1990 but still remain relatively low with life expectancy at birth being 73.3, expected years of schooling being 11.2 (mean of 6.2 years) and GNI per capita being $4,466 (2015). The HDI for Latin America and the Caribbean overall is 0.751 with life expectancy at birth being 68.6, expected years of schooling being 11.5 (mean of 6.6) and GNI per capita being $6,281 (2015). The 2009 Honduran coup d'état led to a variety of economic trends in the nation. Overall growth has slowed, averaging 5.7 percent from 2006 to 2008 but slowing to 3.5 percent annually between 2010 and 2013. Following the coup trends of decreasing poverty and extreme poverty were reversed. The nation saw a poverty increase of 13.2 percent and in extreme poverty of 26.3 percent in just 3 years. Furthermore, unemployment grew between 2008 and 2012 from 6.8 percent to 14.1 percent. Because much of the Honduran economy is based on small scale agriculture of only a few exports, natural disasters have a particularly devastating impact. Natural disasters, such as 1998 Hurricane Mitch, have contributed to this inequality as they particularly affect poor rural areas. Additionally, they are a large contributor to food insecurity in the country as farmers are left unable to provide for their families. A study done by Honduras NGO, World Neighbors, determined the terms "increased workload, decreased basic grains, expensive food, and fear" were most associated with Hurricane Mitch. The rural and urban poor were hit hardest by Hurricane Mitch. Those in southern and western regions specifically were considered most vulnerable as they both were subject to environmental destruction and home to many subsistence farmers. Due to disasters such as Hurricane Mitch, the agricultural economic sector has declined a third in the past twenty years. This is mostly due to a decline in exports, such as bananas and coffee, that were affected by factors such as natural disasters. Indigenous communities along the Patuca River were hit extremely hard as well. The mid-Pataca region was almost completely destroyed. Over 80% of rice harvest and all of banana, plantain, and manioc harvests were lost. Relief and reconstruction efforts following the storm were partial and incomplete, reinforcing existing levels of poverty rather than reversing those levels, especially for indigenous communities. The period between the end of food donations and the following harvest led to extreme hunger, causing deaths amongst the Tawahka population. Those that were considered the most "land-rich" lost 36% of their total land on average. Those that were the most "land-poor", lost less total land but a greater share of their overall total. This meant that those hit hardest were single women as they constitute the majority of this population. Poverty reduction strategies Since the 1970s when Honduras was designated a "food priority country" by the UN, organizations such as The World Food Program (WFP) have worked to decrease malnutrition and food insecurity. A large majority of Honduran farmers live in extreme poverty, or below 180 US dollars per capita. Currently one fourth of children are affected by chronic malnutrition. WFP is currently working with the Honduran government on a School Feeding Program which provides meals for 21,000 Honduran schools, reaching 1.4 million school children. WFP also participates in disaster relief through reparations and emergency response in order to aid in quick recovery that tackles the effects of natural disasters on agricultural production. Honduras's Poverty Reduction Strategy was implemented in 1999 and aimed to cut extreme poverty in half by 2015. While spending on poverty-reduction aid increased there was only a 2.5% increase in GDP between 1999 and 2002. This improvement left Honduras still below that of countries that lacked aid through Poverty Reduction Strategy behind those without it. The World Bank believes that this inefficiency stems from a lack of focus on infrastructure and rural development. Extreme poverty saw a low of 36.2 percent only two years after the implementation of the strategy but then increased to 66.5 percent by 2012. Poverty Reduction Strategies were also intended to affect social policy through increased investment in education and health sectors. This was expected to lift poor communities out of poverty while also increasing the workforce as a means of stimulating the Honduran economy. Conditional cash transfers were used to do this by the Family Assistance Program. This program was restructured in 1998 in an attempt to increase effectiveness of cash transfers for health and education specifically for those in extreme poverty. Overall spending within Poverty Reduction Strategies have been focused on education and health sectors increasing social spending from 44% of Honduras's GDP in 2000 to 51% in 2004. Critics of aid from International Finance Institutions believe that the World Bank's Poverty Reduction Strategy result in little substantive change to Honduran policy. Poverty Reduction Strategies also excluded clear priorities, specific intervention strategy, strong commitment to the strategy and more effective macro-level economic reforms according to Jose Cuesta of Cambridge University. Due to this he believes that the strategy did not provide a pathway for economic development that could lift Honduras out of poverty resulting in neither lasting economic growth of poverty reduction. Prior to its 2009 coup Honduras widely expanded social spending and an extreme increase in minimum wage. Efforts to decrease inequality were swiftly reversed following the coup. When Zelaya was removed from office social spending as a percent of GDP decreased from 13.3 percent in 2009 to 10.9 recent in 2012. This decrease in social spending exacerbated the effects of the recession, which the nation was previously relatively well equipped to deal with. Economic inequality Levels of income inequality in Honduras are higher than in any other Latin American country. Unlike other Latin American countries, inequality steadily increased in Honduras between 1991 and 2005. Between 2006 and 2010 inequality saw a decrease but increased again in 2010. When Honduras's Human Development Index is adjusted for inequality (known as the IHDI) Honduras's development index is reduced to .443. The levels of inequality in each aspect of development can also be assessed. In 2015 inequality of life expectancy at birth was 19.6%, inequality in education was 24.4% and inequality in income was 41.5% The overall loss in human development due to inequality was 29.2. The IHDI for Latin America and the Caribbean overall is 0.575 with an overall loss of 23.4%. In 2015 for the entire region, inequality of life expectancy at birth was 22.9%, inequality in education was 14.0% and inequality in income was 34.9%. While Honduras has a higher life expectancy than other countries in the region (before and after inequality adjustments), its quality of education and economic standard of living are lower. Income inequality and education inequality have a large impact on the overall development of the nation. Inequality also exists between rural and urban areas as it relates to the distribution of resources. Poverty is concentrated in southern, eastern, and western regions where rural and indigenous peoples live. North and central Honduras are home to the country's industries and infrastructure, resulting in low levels of poverty. Poverty is concentrated in rural Honduras, a pattern that is reflected throughout Latin America. The effects of poverty on rural communities are vast. Poor communities typically live in adobe homes, lack material resources, have limited access to medical resources, and live off of basics such as rice, maize and beans. The lower class predominantly consists of rural subsistence farmers and landless peasants. Since 1965 there has been an increase in the number of landless peasants in Honduras which has led to a growing class of urban poor individuals. These individuals often migrate to urban centers in search of work in the service sector, manufacturing, or construction. Demographers believe that without social and economic reform, rural to urban migration will increase, resulting in the expansion of urban centers. Within the lower class, underemployment is a major issue. Individuals that are underemployed often only work as part-time laborers on seasonal farms meaning their annual income remains low. In the 1980s peasant organizations and labor unions such as the National Federation of Honduran Peasants, The National Association of Honduran Peasants and the National Union of Peasants formed. It is not uncommon for rural individuals to voluntarily enlist in the military, however this often does not offer stable or promising career opportunities. The majority of high-ranking officials in the Honduran army are recruited from elite military academies. Additionally, the majority of enlistment in the military is forced. Forced recruitment largely relies on an alliance between the Honduran government, military and upper class Honduran society. In urban areas males are often sought out from secondary schools while in rural areas roadblocks aided the military in handpicking recruits. Higher socio-economic status enables individuals to more easily evade the draft. Middle class Honduras is a small group defined by relatively low membership and income levels. Movement from lower to middle class is typically facilitated by higher education. Professionals, students, farmers, merchants, business employees, and civil servants are all considered a part of the Honduran middle class. Opportunities for employment and the industrial and commercial sectors are slow-growing, limiting middle class membership. The Honduran upper class has much higher income levels than the rest of the Honduran population reflecting large amounts of income inequality. Much of the upper class affords their success to the growth of cotton and livestock exports post-World War II. The wealthy are not politically unified and differ in political and economic views. Trade The currency is the Honduran lempira. The government operates both the electrical grid, Empresa Nacional de Energía Eléctrica (ENEE) and the land-line telephone service, Hondutel. ENEE receives heavy subsidies to counter its chronic financial problems, but Hondutel is no longer a monopoly. The telecommunication sector was opened to private investment on 25 December 2005, as required under CAFTA. The price of petroleum is regulated, and the Congress often ratifies temporary price regulation for basic commodities. Gold, silver, lead and zinc are mined. In 2005 Honduras signed CAFTA, a free trade agreement with the United States. In December 2005, Puerto Cortés, the primary seaport of Honduras, was included in the U.S. Container Security Initiative. In 2006 the U.S. Department of Homeland Security and the Department of Energy announced the first phase of the Secure Freight Initiative (SFI), which built upon existing port security measures. SFI gave the U.S. government enhanced authority, allowing it to scan containers from overseas for nuclear and radiological materials in order to improve the risk assessment of individual US-bound containers. The initial phase of Secure Freight involved deploying of nuclear detection and other devices to six foreign ports: Port Qasim in Pakistan; Puerto Cortés in Honduras; Southampton in the United Kingdom; Port of Salalah in Oman; Port of Singapore; Gamman Terminal at Port Busan, Korea. Containers in these ports have been scanned since 2007 for radiation and other risk factors before they are allowed to depart for the United States. For economic development a 2012 memorandum of understanding with a group of international investors obtained Honduran government approval to build a zone (city) with its own laws, tax system, judiciary and police, but opponents brought a suit against it in the Supreme Court, calling it a "state within a state". In 2013, Honduras's Congress ratified Decree 120, which led to the establishment of ZEDEs. The government began construction of the first zones in June 2015. Energy About half of the electricity sector in Honduras is privately owned. The remaining generation capacity is run by ENEE (Empresa Nacional de Energía Eléctrica). Key challenges in the sector are: Financing investments in generation and transmission without either a financially healthy utility or concessionary funds from external donors Re-balancing tariffs, cutting arrears and reducing losses, including electricity theft, without social unrest Reconciling environmental concerns with government objectives – two large new dams and associated hydropower plants. Improving access to electricity in rural areas. Transportation Infrastructure for transportation in Honduras consists of: of railways; of roadways; six ports; and 112 airports altogether (12 Paved, 100 unpaved). The Ministry of Public Works, Transport and Housing (SOPRTRAVI in Spanish acronym) is responsible for transport sector policy. Crime In recent years Honduras has experienced very high levels of violence and criminality. Homicide violence reached a peak in 2012 with an average of 20 homicides a day. Cities such as San Pedro Sula and the Tegucigalpa have registered homicide rates among the highest in the world. The violence is associated with drug trafficking as Honduras is often a transit point, and with a number of urban gangs, mainly the MS-13 and the 18th Street gang. But as recently as 2017, organizations such as InSight Crime's show figures of 42 per 100,000 inhabitants; a 26% drop from 2016 figures. Violence in Honduras increased after Plan Colombia was implemented and after Mexican President Felipe Calderón declared the war against drug trafficking in Mexico. Along with neighboring El Salvador and Guatemala, Honduras forms part of the Northern Triangle of Central America, which has been characterized as one of the most violent regions in the world. As a result of crime and increasing murder rates, the flow of migrants from Honduras to the U.S. also went up. The rise in violence in the region has received international attention. Demographics Honduras had a population of in . The proportion of the population below the age of 15 in 2010 was 36.8%, 58.9% were between 15 and 65 years old, and 4.3% were 65 years old or older. Since 1975, emigration from Honduras has accelerated as economic migrants and political refugees sought a better life elsewhere. A majority of expatriate Hondurans live in the United States. A 2012 US State Department estimate suggested that between 800,000 and one million Hondurans lived in the United States at that time, nearly 15% of the Honduran population. The large uncertainty about numbers is because numerous Hondurans live in the United States without a visa. In the 2010 census in the United States, 617,392 residents identified as Hondurans, up from 217,569 in 2000. Race and ethnicity The ethnic breakdown of Honduran society was 90% Mestizo, 7% American Indian, 2% Black and 1% White (2017). The 1927 Honduran census provides no racial data but in 1930 five classifications were created: white, Indian, Negro, yellow, and mestizo. This system was used in the 1935 and 1940 census. Mestizo was used to describe individuals that did not fit neatly into the categories of white, American Indian, negro or yellow or who are of mixed white-American Indian descent. John Gillin considers Honduras to be one of thirteen "Mestizo countries" (Mexico, Guatemala, El Salvador, Nicaragua, Panama, Colombia, Venezuela, Cuba, Ecuador, Peru, Bolivia, Paraguay). He claims that in much as Spanish America little attention is paid to race and race mixture resulting in social status having little reliance on one's physical features. However, in "Mestizo countries" such as Honduras, this is not the case. Social stratification from Spain was able to develop in these countries through colonization. During colonization the majority of Honduras's indigenous population died of diseases like smallpox and measles resulting in a more homogenous indigenous population compared to other colonies. Nine indigenous and African American groups are recognized by the government in Honduras. The majority of Amerindians in Honduras are Lenca, followed by the Miskito, Cho'rti', Tolupan, Pech and Sumo. Around 50,000 Lenca individuals live in the west and western interior of Honduras while the other small native groups are located throughout the country. The majority of blacks in Honduran are culturally ladino, meaning
4.48/10, ranking it 126th globally out of 172 countries. Lake Yojoa, which is Honduras's largest source of fresh water, is polluted by heavy metals produced from mining activities. Some rivers and streams are also polluted by mining. Government and politics Honduras is governed within a framework of a presidential representative democratic republic. The President of Honduras is both head of state and head of government. Executive power is exercised by the Honduran government. Legislative power is vested in the National Congress of Honduras. The judiciary is independent of both the executive branch and the legislature. The National Congress of Honduras (Congreso Nacional) has 128 members (diputados), elected for a four-year term by proportional representation. Congressional seats are assigned the parties' candidates on a departmental basis in proportion to the number of votes each party receives. Political culture In 1963, a military coup removed the democratically elected president, Ramón Villeda Morales. A string of authoritarian military governments held power uninterrupted until 1981, when Roberto Suazo Córdova was elected president. The party system was dominated by the conservative National Party of Honduras (Partido Nacional de Honduras: PNH) and the liberal Liberal Party of Honduras (Partido Liberal de Honduras: PLH) until the 2009 Honduran coup d'état removed Manuel Zelaya from office and put Roberto Micheletti in his place. In late 2012, 1540 persons were interviewed by ERIC in collaboration with the Jesuit university, as reported by Associated Press. This survey found that 60.3% believed the police were involved in crime, 44.9% had "no confidence" in the Supreme Court, and 72% thought there was electoral fraud in the primary elections of November 2012. Also, 56% expected the presidential, legislative and municipal elections of 2013 to be fraudulent. Former Honduran president Juan Orlando Hernández took office on 27 January 2014. After managing to stand for a second term, a very close election in 2017 left uncertainty as to whether Hernandez or his main challenger, television personality Salvador Nasralla, had prevailed. The disputed election caused protests and violence. In December 2017, Hernández was declared the winner of the election after a partial recount. In January 2018, Hernández was sworn in for a second term. He was succeeded by Xiomara Castro, the leader of the left-wing Libre Party, and wife of Manuel Zelaya, on 27 January 2022, becoming the first woman to serve as president. Foreign relations Honduras and Nicaragua had tense relations throughout 2000 and early 2001 due to a boundary dispute off the Atlantic coast. Nicaragua imposed a 35% tariff against Honduran goods due to the dispute. In June 2009 a coup d'état ousted President Manuel Zelaya; he was taken in a military aircraft to Costa Rica. The General Assembly of the United Nations voted to denounce the coup and called for the restoration of Zelaya. Several Latin American nations, including Mexico, temporarily severed diplomatic relations with Honduras. In July 2010, full diplomatic relations were once again re-established with Mexico. The United States sent out mixed messages after the coup; Obama called the ouster a coup and expressed support for Zelaya's return to power. US Secretary of State Hillary Clinton, advised by John Negroponte, the former Reagan-era Ambassador to Honduras implicated in the Iran–Contra affair, refrained from expressing support. She has since explained that the US would have had to cut aid if it called Zelaya's ouster a military coup, although the US has a record of ignoring these events when it chooses. Zelaya had expressed an interest in Hugo Chávez' Bolivarian Alliance for Peoples of our America (ALBA), and had actually joined in 2008. After the 2009 coup, Honduras withdrew its membership. This interest in regional agreements may have increased the alarm of establishment politicians. When Zelaya began calling for a "fourth ballot box" to determine whether Hondurans wished to convoke a special constitutional congress, this sounded a lot to some like the constitutional amendments that had extended the terms of both Hugo Chávez and Evo Morales. "Chávez has served as a role model for like-minded leaders intent on cementing their power. These presidents are barely in office when they typically convene a constitutional convention to guarantee their reelection," said a 2009 Spiegel International analysis, which noted that one reason to join ALBA was discounted Venezuelan oil. In addition to Chávez and Morales, Carlos Menem of Argentina, Fernando Henrique Cardoso of Brazil and Columbian President Álvaro Uribe had all taken this step, and Washington and the EU were both accusing the Sandinista National Liberation Front government in Nicaragua of tampering with election results. Politicians of all stripes expressed opposition to Zelaya's referendum proposal, and the Attorney-General accused him of violating the constitution. The Honduran Supreme Court agreed, saying that the constitution had put the Supreme Electoral Tribunal in charge of elections and referenda, not the National Statistics Institute, which Zelaya had proposed to have run the count. Whether or not Zelaya's removal from power had constitutional elements, the Honduran constitution explicitly protects all Hondurans from forced expulsion from Honduras. The United States maintains a small military presence at one Honduran base. The two countries conduct joint peacekeeping, counter-narcotics, humanitarian, disaster relief, humanitarian, medical and civic action exercises. U.S. troops conduct and provide logistics support for a variety of bilateral and multilateral exercises. The United States is Honduras's chief trading partner. Military Honduras has a military with the Honduran Army, Honduran Navy and Honduran Air Force. In 2017, Honduras signed the UN treaty on the Prohibition of Nuclear Weapons. Administrative divisions Honduras is divided into 18 departments. The capital city is Tegucigalpa in the Central District within the department of Francisco Morazán. Atlántida Choluteca Colón Comayagua Copán Cortés El Paraíso Francisco Morazán Gracias a Dios Intibucá Bay Islands Department La Paz Lempira Ocotepeque Olancho Department Santa Bárbara Valle Yoro A new administrative division called ZEDE (Zonas de empleo y desarrollo económico) was created in 2013. ZEDEs have a high level of autonomy with their own political system at a judicial, economic and administrative level, and are based on free market capitalism. Economy Poverty The World Bank categorizes Honduras as a low middle-income nation. The nation's per capita income sits at around 600 US dollars making it one of the lowest in North America. In 2010, 50% of the population were living below the poverty line. By 2016 more than 66% were living below the poverty line. Economic growth in the last few years has averaged 7% a year, one of the highest rates in Latin America (2010). Despite this, Honduras has seen the least development amongst all Central American countries. Honduras is ranked 130 of 188 countries with a Human Development Index of .625 that classifies the nation as having medium development (2015). The three factors that go into Honduras's HDI (an extended and healthy life, accessibility of knowledge and standard of living) have all improved since 1990 but still remain relatively low with life expectancy at birth being 73.3, expected years of schooling being 11.2 (mean of 6.2 years) and GNI per capita being $4,466 (2015). The HDI for Latin America and the Caribbean overall is 0.751 with life expectancy at birth being 68.6, expected years of schooling being 11.5 (mean of 6.6) and GNI per capita being $6,281 (2015). The 2009 Honduran coup d'état led to a variety of economic trends in the nation. Overall growth has slowed, averaging 5.7 percent from 2006 to 2008 but slowing to 3.5 percent annually between 2010 and 2013. Following the coup trends of decreasing poverty and extreme poverty were reversed. The nation saw a poverty increase of 13.2 percent and in extreme poverty of 26.3 percent in just 3 years. Furthermore, unemployment grew between 2008 and 2012 from 6.8 percent to 14.1 percent. Because much of the Honduran economy is based on small scale agriculture of only a few exports, natural disasters have a particularly devastating impact. Natural disasters, such as 1998 Hurricane Mitch, have contributed to this inequality as they particularly affect poor rural areas. Additionally, they are a large contributor to food insecurity in the country as farmers are left unable to provide for their families. A study done by Honduras NGO, World Neighbors, determined the terms "increased workload, decreased basic grains, expensive food, and fear" were most associated with Hurricane Mitch. The rural and urban poor were hit hardest by Hurricane Mitch. Those in southern and western regions specifically were considered most vulnerable as they both were subject to environmental destruction and home to many subsistence farmers. Due to disasters such as Hurricane Mitch, the agricultural economic sector has declined a third in the past twenty years. This is mostly due to a decline in exports, such as bananas and coffee, that were affected by factors such as natural disasters. Indigenous communities along the Patuca River were hit extremely hard as well. The mid-Pataca region was almost completely destroyed. Over 80% of rice harvest and all of banana, plantain, and manioc harvests were lost. Relief and reconstruction efforts following the storm were partial and incomplete, reinforcing existing levels of poverty rather than reversing those levels, especially for indigenous communities. The period between the end of food donations and the following harvest led to extreme hunger, causing deaths amongst the Tawahka population. Those that were considered the most "land-rich" lost 36% of their total land on average. Those that were the most "land-poor", lost less total land but a greater share of their overall total. This meant that those hit hardest were single women as they constitute the majority of this population. Poverty reduction strategies Since the 1970s when Honduras was designated a "food priority country" by the UN, organizations such as The World Food Program (WFP) have worked to decrease malnutrition and food insecurity. A large majority of Honduran farmers live in extreme poverty, or below 180 US dollars per capita. Currently one fourth of children are affected by chronic malnutrition. WFP is currently working with the Honduran government on a School Feeding Program which provides meals for 21,000 Honduran schools, reaching 1.4 million school children. WFP also participates in disaster relief through reparations and emergency response in order to aid in quick recovery that tackles the effects of natural disasters on agricultural production. Honduras's Poverty Reduction Strategy was implemented in 1999 and aimed to cut extreme poverty in half by 2015. While spending on poverty-reduction aid increased there was only a 2.5% increase in GDP between 1999 and 2002. This improvement left Honduras still below that of countries that lacked aid through Poverty Reduction Strategy behind those without it. The World Bank believes that this inefficiency stems from a lack of focus on infrastructure and rural development. Extreme poverty saw a low of 36.2 percent only two years after the implementation of the strategy but then increased to 66.5 percent by 2012. Poverty Reduction Strategies were also intended to affect social policy through increased investment in education and health sectors. This was expected to lift poor communities out of poverty while also increasing the workforce as a means of stimulating the Honduran economy. Conditional cash transfers were used to do this by the Family Assistance Program. This program was restructured in 1998 in an attempt to increase effectiveness of cash transfers for health and education specifically for those in extreme poverty. Overall spending within Poverty Reduction Strategies have been focused on education and health sectors increasing social spending from 44% of Honduras's GDP in 2000 to 51% in 2004. Critics of aid from International Finance Institutions believe that the World Bank's Poverty Reduction Strategy result in little substantive change to Honduran policy. Poverty Reduction Strategies also excluded clear priorities, specific intervention strategy, strong commitment to the strategy and more effective macro-level economic reforms according to Jose Cuesta of Cambridge University. Due to this he believes that the strategy did not provide a pathway for economic development that could lift Honduras out of poverty resulting in neither lasting economic growth of poverty reduction. Prior to its 2009 coup Honduras widely expanded social spending and an extreme increase in minimum wage. Efforts to decrease inequality were swiftly reversed following the coup. When Zelaya was removed from office social spending as a percent of GDP decreased from 13.3 percent in 2009 to 10.9 recent in 2012. This decrease in social spending exacerbated the effects of the recession, which the nation was previously relatively well equipped to deal with. Economic inequality Levels of income inequality in Honduras are higher than in any other Latin American country. Unlike other Latin American countries, inequality steadily increased in Honduras between 1991 and 2005. Between 2006 and 2010 inequality saw a decrease but increased again in 2010. When Honduras's Human Development Index is adjusted for inequality (known as the IHDI) Honduras's development index is reduced to .443. The levels of inequality in each aspect of development can also be assessed. In 2015 inequality of life expectancy at birth was 19.6%, inequality in education was 24.4% and inequality in income was 41.5% The overall loss in human development due to inequality was 29.2. The IHDI for Latin America and the Caribbean overall is 0.575 with an overall loss of 23.4%. In 2015 for the entire region, inequality of life expectancy at birth was 22.9%, inequality in education was 14.0% and inequality in income was 34.9%. While Honduras has a higher life expectancy than other countries in the region (before and after inequality adjustments), its quality of education and economic standard of living are lower. Income inequality and education inequality have a large impact on the overall development of the nation. Inequality also exists between rural and urban areas as it relates to the distribution of resources. Poverty is concentrated in southern, eastern, and western regions where rural and indigenous peoples live. North and central Honduras are home to the country's industries and infrastructure, resulting in low levels of poverty. Poverty is concentrated in rural Honduras, a pattern that is reflected throughout Latin America. The effects of poverty on rural communities are vast. Poor communities typically live in adobe homes, lack material resources, have limited access to medical resources, and live off of basics such as rice, maize and beans. The lower class predominantly consists of rural subsistence farmers and landless peasants. Since 1965 there has been an increase in the number of landless peasants in Honduras which has led to a growing class of urban poor individuals. These individuals often migrate to urban centers in search of work in the service sector, manufacturing, or construction. Demographers believe that without social and economic reform, rural to urban migration will increase, resulting in the expansion of urban centers. Within the lower class, underemployment is a major issue. Individuals that are underemployed often only work as part-time laborers on seasonal farms meaning their annual income remains low. In the 1980s peasant organizations and labor unions such as the National Federation of Honduran Peasants, The National Association of Honduran Peasants and the National Union of Peasants formed. It is not uncommon for rural individuals to voluntarily enlist in the military, however this often does not offer stable or promising career opportunities. The majority of high-ranking officials in the Honduran army are recruited from elite military academies. Additionally, the majority of enlistment in the military is forced. Forced recruitment largely relies on an alliance between the Honduran government, military and upper class Honduran society. In urban areas males are often sought out from secondary schools while in rural areas roadblocks aided the military in handpicking recruits. Higher socio-economic status enables individuals to more easily evade the draft. Middle class Honduras is a small group defined by relatively low membership and income levels. Movement from lower to middle class is typically facilitated by higher education. Professionals, students, farmers, merchants, business employees, and civil servants are all considered a part of the Honduran middle class. Opportunities for employment and the industrial and commercial sectors are slow-growing, limiting middle class membership. The Honduran upper class has much higher income levels than the rest of the Honduran population reflecting large amounts of income inequality. Much of the upper class affords their success to the growth of cotton and livestock exports post-World War II. The wealthy are not politically unified and differ in political and economic views. Trade The currency is the Honduran lempira. The government operates both the electrical grid, Empresa Nacional de Energía Eléctrica (ENEE) and the land-line telephone service, Hondutel. ENEE receives heavy subsidies to counter its chronic financial problems, but Hondutel is no longer a monopoly. The telecommunication sector was opened to private investment on 25 December 2005, as required under CAFTA. The price of petroleum is regulated, and the Congress often ratifies temporary price regulation for basic commodities. Gold, silver, lead and zinc are mined. In 2005 Honduras signed CAFTA, a free trade agreement with the United States. In December 2005, Puerto Cortés, the primary seaport of Honduras, was included in the U.S. Container Security Initiative. In 2006 the U.S. Department of Homeland Security and the Department of Energy announced the first phase of the Secure Freight Initiative (SFI), which built upon existing port security measures. SFI gave the U.S. government enhanced authority, allowing it to scan containers from overseas for nuclear and radiological materials in order to improve the risk assessment of individual US-bound containers. The initial phase of Secure Freight involved deploying of nuclear detection and other devices to six foreign ports: Port Qasim in Pakistan; Puerto Cortés in Honduras; Southampton in the United Kingdom; Port of Salalah in Oman; Port of Singapore; Gamman Terminal at Port Busan, Korea. Containers in these ports have been scanned since 2007 for radiation and other risk factors before they are allowed to depart for the United States. For economic development a 2012 memorandum of understanding with a group of international investors obtained Honduran government approval to build a zone (city) with its own laws, tax system, judiciary and police, but opponents brought a suit against it in the Supreme Court, calling it a "state within a state". In 2013, Honduras's Congress ratified Decree 120, which led to the establishment of ZEDEs. The government began construction of the first zones in June 2015. Energy About half of the electricity sector in Honduras is privately owned. The remaining generation capacity is run by ENEE (Empresa Nacional de Energía Eléctrica). Key challenges in the sector are: Financing investments in generation and transmission without either a financially healthy utility or concessionary funds from external donors Re-balancing tariffs, cutting arrears and reducing losses, including electricity theft, without social unrest Reconciling environmental concerns with government objectives – two large new dams and associated hydropower plants. Improving access to electricity in rural areas. Transportation Infrastructure for transportation in Honduras consists of: of railways;
and returned again to Spain with Cortés in 1528. On 25 April 1526, before going back to Mexico, Cortes appointed Hernando de Saavedra governor of Honduras with instructions to treat the indigenous people well. On 26 October 1526, Diego López de Salcedo was appointed by the emperor as governor of Honduras, replacing Saavedra. The next decade was marked by clashes between the personal ambitions of the rulers and conquerors, which hindered the installation of good government. The Spanish colonists rebelled against their leaders, and the indigenous people rebelled against the Spanish and against the abuses they imposed. Salcedo, seeking to enrich himself, seriously clashed with Pedro Arias Dávila, governor of Castilla del Oro, who wanted Honduras as part of his domains. In 1528, Salcedo arrested Pedarias and forced him to cede part of his Honduran domain, but Charles V, Holy Roman Emperor rejected that outcome. After the death of Salcedo in 1530, settlers became arbiters of power. Governors hung and removed. In this situation, the settlers asked Pedro de Alvarado to end the anarchy. With the arrival of Alvarado in 1536, chaos decreased, and the region was under authority. In 1537 Francisco de Montejo was appointed governor. He set aside the division of territory made by Alvarado on arriving in Honduras. One of his principal captains, Alonso de Cáceres, quelled the indigenous revolt led by the cacique Lempira in 1537 and 1538. In 1539 Alvarado and Montejo disagreed over who was governor, which caught the attention of the Council of India. Montejo went to Chiapas, and Alvarado became governor of Honduras. During the period leading up to the conquest of Honduras by Pedro de Alvarado, many indigenous people along the north coast of Honduras were captured and taken as slaves to work on Spain's Caribbean plantations. It wasn't until Alvarado defeated the indigenous resistance headed by Çocamba near Ticamaya that the Spanish began to conquer the country in 1536. Alvarado divided the native towns and gave their labor to the Spanish conquistadors as repartimiento. Further indigenous uprisings near Gracias a Dios, Comayagua, and Olancho occurred in 1537–38. The uprising near Gracias a Dios was led by Lempira, who is honored today by the name of the Honduran currency. Colonial Honduras The defeat of Lempira's revolt, and the decline in fighting among rival Spanish factions all contributed to expanded settlement and increased economic activity in Honduras. In late 1540, Honduras looked to be heading towards development and prosperity, thanks to the establishment of Gracias as the regional capital of the Audiencia of Guatemala (1544). However, this decision created resentment in the populated areas of Guatemala and El Salvador. In 1549, the capital was moved to Antigua, Guatemala, and Honduras and remained a new province within the Captaincy General of Guatemala until 1821. Colonial mining operations The first mining centers were located near the Guatemalan border, around the city of Gracias in Lempira. In 1538 these mines produced significant quantities of gold for the spanish crown. In the early 1540s, the center for mining shifted eastward to the Río Guayape Valley, and silver joined gold as a major product. This change contributed to the rapid decline of Gracias and the rise of Comayagua as the center of colonial Honduras. The demand for labor also led to further revolts and accelerated the decimation of the native population. As a result, African slavery was introduced into Honduras, and by 1545 the province may have had as many as 2,000 slaves. Other gold deposits were found near San Pedro Sula and the port of Trujillo. Mining production began to decline in 1560, and thus the importance of Honduras. In early 1569, new silver discoveries briefly revived the economy, which led to the founding of Tegucigalpa, which soon began to rival Comayagua as the most important city of the province. The silver boom peaked in 1584, and economic depression returned shortly thereafter. Honduran mining efforts were hampered by lack of capital and labor, and by difficult terrain. Due to the fall of the indigenous population which was used as labor, the Spanish decided to import slaves from Africa for mining work. Mercury, vital for the production of silver, was scarce, besides the neglect of officials. The partially conquered northern coast While the Spanish made significant conquests in the south, they had less success on the Caribbean coast, to the north. They founded a number of towns on the coast such as Puerto Caballos in the east, and sent minerals and other exports across the country from the Pacific coast to be shipped to Spain from the Atlantic ports. They founded a number of inland towns on the northwestern side of the province, notably Naco and San Pedro Sula. In the northeast, the province of tegucigalpa resisted all attempts to conquer it, physically in the sixteenth century, or spiritually by missionaries in the 17th and 18th centuries. Among the groups found along the northern coast and in neighboring Nicaragua were the Miskito, who although organized in a democratic and egalitarian way, had a king, and hence were known as the Mosquito Kingdom. One of the major problems for the Spanish rulers of Honduras, was the activity of the British in northern Honduras, a region over which they had only tenuous control. These activities began in the sixteenth century and continued until the nineteenth century. In the early years, European pirates frequently attacked the villages on the Honduran Caribbean. The Providence Island Company, which occupied Providence Island not far from the coast, raided it occasionally and probably also had settlements on the shore, possibly around Cape Gracias a Dios. Around 1638, the king of the Miskito visited England and made an alliance with the English crown. In 1643 an English expedition destroyed the city of Trujillo, Honduras's main port. The British and the Miskito Kingdom The Spanish sent a fleet from Cartagena which destroyed the English colony at Providence island in 1641, and for a time the presence of an English base so close to the shore was eliminated. At about the same time, however, a group of slaves revolted and captured the ship on which they were traveling, then wrecked it at Cape Gracias a Dios. Managing to get ashore, they were received by the Miskito, which led within a generation to the Miskito Zambo, a mixed-race group that by 1715 had become the leaders of the kingdom. Meanwhile, the English captured Jamaica in 1655 and soon sought allies on the coast, and hit upon the Miskito, whose king Jeremy I visited Jamaica in 1687. A variety of other Europeans settled in the area during this time. An account from 1699 reveals a patchwork of private individuals, large Miskito family groups, Spanish settlements and pirate hideouts along the coast. Britain declared much of the area a protectorate in 1740, though they exercised little authority there as a result of the decision. British colonization was particularly strong in the Bay Islands, and alliances between the British and Miskito as well as more local supporters made this an area the Spanish could not easily control, and a haven for pirates. Bourbon reforms In the early eighteenth century, the House of Bourbon, linked to the rulers of France, replaced the Habsburgs on the throne of Spain. The new dynasty began a series of reforms throughout the empire (the Bourbon Reforms), designed to make administration more efficient and profitable, and to facilitate defense of the colonies. Among these reforms was a reduction in tax on precious metals and of the price of mercury, a royal monopoly. In Honduras, these reforms contributed to the resurgence of the mining industry in the 1730s. Under the Bourbons, the Spanish government made several efforts to regain control of the Caribbean coast. In 1752, the Spaniards built the fort of San Fernando de Omoa. In 1780, the Spanish returned to Trujillo, which started out as base of operations against British settlements to the east. During the 1780s, the Spanish regained control of the Bay Islands and took most of the British and their allies in the Black River area. They were not, however, able to expand their control beyond Puerto Caballos and Trujillo, thanks to determined Miskito resistance. The Anglo-Spanish Convention of 1786 issued the final recognition of Spanish sovereignty over the Caribbean coast. Honduras in the nineteenth century Independence from Spain (1821) In the early 19th century, Napoleon's occupation of Spain led to the outbreak of revolts all across Spanish America. In New Spain, all of the fighting by those seeking independence was done in the center of that area from 1810 to 1821, what today is central Mexico. Once the Viceroy was defeated in the capital, Mexico City, in 1821, the news of the independence were sent to all the territories of New Spain including the Intendencies of the former Captaincy of Guatemala. Accepting this as a fact, Honduras joined the other Central American Intendencies in a joint declaration of independence from Spain. The public proclamation was done through the Act of Independence in 1821. After the declaration of independence it was the intention of the New Spain parliament to establish a commonwealth whereby the King of Spain, Ferdinand VII, would also be Emperor of New Spain, and in which both countries were to be governed by separate laws and with their own legislative offices. Should the king refuse the position, the law provided for a member of the House of Bourbon to accede to the New Spain throne. Ferdinand VII, did not recognize the independence and said that Spain would not allow any other European prince to take the throne of New Spain. By request of Parliament, the president of the regency Agustín de Iturbide was proclaimed emperor of New Spain but the Parliament also decided to rename New Spain to Mexico. The Mexican Empire was the official name given to this monarchical regime from 1821 to 1823. The territory of the Mexican Empire included the continental intendencies and provinces of New Spain proper (including those of the former Captaincy General of Guatemala) (See: History of Central America). Federal independence period (1821–1838) In 1823, a revolution in Mexico ousted Emperor Agustín de Iturbide, and a new Mexican congress voted to allow the Central American Intendencies to decide their own fate. That year, the United Provinces of Central America was formed of the five Central American Intendencies (Guatemala, Honduras, El Salvador, Nicaragua, and Costa Rica) under General Manuel José Arce. The intendencies took the new name of "states". Among the most important figures of the federal era include the first democratically elected president in Honduras, Dionisio de Herrera, a lawyer, whose government, begun in 1824 established the first constitution, after him became the presidential period of Gen. Francisco Morazán, Federal President 1830–1834 and 1835–1839, whose figure embodies the ideal American Unionist, and José Cecilio del Valle, editor of the Declaration of Independence signed in Guatemala on 15 September 1821 and Foreign Minister of foreign policies in Mexico in 1823. Soon, social and economic differences between Honduras social classes and its regional neighbors exacerbated harsh partisan strife among Central American leaders and brought the collapse of the Federation from 1838 to 1839. General Morazán led many successful efforts to maintain the federation during the known first Central American civil War, against the conservatives, that saw Morazan policies like making the federation a secular state as a thread to their interests. However, despite General Morazan's victories, his army began to wear out by the efforts of war, until the situation became almost untenable until he was captured and shot in Costa Rica, but not before being buried with honors. His legacy was so important in Honduras and Central America that the department of Francisco Morazan was named after him, and several statues were erected at the end of the 19th century. Restoring Central American unity remained the officially stated chief aim of Honduran foreign policy until after World War I. Honduras broke away from the Central American Federation in October 1838 and became independent and sovereign state. Democratic period between 1838 to 1899 Comayagua was the capital of Honduras until 1880, when it was transferred to Tegucigalpa. In the decades of 1840 and 1850 Honduras participated in several failed attempts to restore Central American unity, such as the Confederation of Central America (1842–1845), the covenant of Guatemala (1842), the Diet of Sonsonate ( 1846), the Diet of Nacaome (1847) and National Representation in Central America (1849–1852). All of them were sabotaged by the conservatives of all Central American countries. Although Honduras eventually adopted the name Republic of Honduras, the unionist ideal never waned, and Honduras was one of the Central American countries that pushed hardest for the policy of regional unity. In 1850, Honduras attempted to build, with foreign assistance, an Inter-Oceanic Railroad from Trujillo to Tegucigalpa and then on to the Pacific Coast. The project stalled due to difficulties in the work, corruption and other issues, and in 1888, ran out of money when it reached San Pedro Sula, resulting in its growth into the nation's main industrial center and second largest city. Since independence, nearly 300 small internal rebellions and civil wars have occurred in the country, including some changes of government. Honduras in the twentieth century The internationalization of the north, 1899–1932 Political stability and instability both aided and distracted the economic revolution which transformed Honduras through the development of a plantation economy on the north coast. As American corporations consolidated increasingly large landholdings in Honduras, they lobbied the US government to protect their investments. Conflicts over land ownership, peasant rights, and a US-aligned comprador class of elites led to armed conflicts and multiple invasions by US armed forces. In the first decades of the century, US military incursions took place in 1903, 1907, 1911, 1912, 1919, 1924, and 1925. Because the country was effectively controlled by American fruit corporations, it was the original inspiration for the term "banana republic". The rise of US influence in Honduras (1899–1919) In 1899, the banana industry in Honduras was growing rapidly. A peaceful transfer of power from Policarpo Bonilla to General Terencio Sierra marked the first time in decades that a constitutional transition had taken place. By 1902, railroads had been built along the country's Caribbean coast to accommodate the growing banana industry. However, Sierra made efforts to stay in office and refused to step down when a new president was elected in 1902, and was overthrown by Manuel Bonilla in 1903. After toppling Sierra, Bonilla, a conservative, imprisoned ex-president Policarpo Bonilla, a liberal rival, for two years and made other attempts to suppress liberals throughout the country, as they were the only other organized political party. The conservatives were divided into a host of personalist factions and lacked coherent leadership, but Bonilla reorganized the conservatives into a "national party." The present-day National Party of Honduras (Partido Nacional de Honduras—PNH) traces its origins to his administration. Bonilla proved to be an even better friend to the banana companies than Sierra. Under Bonilla's rule, companies gained exemptions from taxes and permission to construct wharves and roads, as well as permission to improve interior waterways and to obtain charters for new railroad construction. He also successfully established the border with Nicaragua and resisted an invasion from Guatemala in 1906. After fending off Guatemalan military forces, Bonilla sought peace and signed a friendship pact with both Guatemala and El Salvador. Nicaragua's president José Santos Zelaya saw this friendship pact as an alliance to counter Nicaragua and began to undermine Bonilla. Zelaya supported liberal Honduran exiles in Nicaragua in their efforts to topple Bonilla, who had established himself as a dictator. Supported by elements of the Nicaraguan army, the exiles invaded Honduras in February 1907. With the assistance of Salvadoran troops, Manuel Bonilla tried to resist, but in March his forces were decisively beaten in a battle notable for the introduction of machine guns into Central America. After toppling Bonilla, the exiles established a provisional junta, but this junta did not last. American elites noticed: it was in their interests to contain Zelaya, protect the region of the new Panama Canal, and defend the increasingly important banana trade. This Nicaragua-assisted invasion by Honduran exiles strongly displeased the United States government, which concluded that Zelaya wanted to dominate the entire Central American region, sent marines to Puerto Cortes to protect the banana trade. US naval units were also sent to Honduras and were able to successfully defend Bonilla's last defense position at Amapala in the Gulf of Fonseca. Through a peace settlement arranged by the US chargé d'affaires in Tegucigalpa, Bonilla stepped down and the war with Nicaragua came to an end. The settlement also provided for a compromise régime headed by General Miguel R. Davila in Tegucigalpa. Zelaya however was not pleased by the settlement, as he strongly distrusted Davila. Zelaya made a secret arrangement with El Salvador to oust Davila from office. The plan failed to reach fruition, but alarmed American stakeholders in Honduras. Mexico and the U.S. called the five Central American countries into diplomatic talks at the Central American Peace Conference to increase stability in the area. At the conference, the five countries signed the General Treaty of Peace and Amity of 1907, which established the Central American Court of Justice to resolve future disputes among the five nations. Honduras also agreed to become permanently neutral in any future conflicts among the other nations. In 1908, opponents of Davila made an unsuccessful attempt to overthrow him. Despite the failure of this coup, American elites became concerned over Honduran instability. The Taft Administration saw the huge Honduran debt, over $120 million, as a contributing factor to the instability and began efforts to refinance the largely British debt with provisions for a United States customs receivership or some similar arrangement. Negotiations were arranged between Honduran representatives and New York bankers, headed by J.P. Morgan. By the end of 1909, an agreement had been reached providing for a reduction in the debt and the issuance of new 5% bonds: The bankers would control the Honduran railroad, and the United States government would guarantee continued Honduran independence and would take control of custom revenue. The terms proposed by the bankers met with considerable opposition in Honduras, further weakening the Dávila government. A treaty incorporating the key provisions of this agreement with J.P. Morgan was finally signed in January 1911 and submitted to the Honduran legislature by Dávila. However, that body, in a rare display of independence, rejected it by a vote of thirty-three to five. An uprising in 1911 against Dávila interrupted efforts to deal with the debt problem. The United States Marines landed, which forced both sides to meet on a US warship. The revolutionaries, headed by former president Manuel Bonilla, and the government agreed to a cease-fire and the installation of a provisional president who would be selected by the United States mediator, Thomas Dawson. Dawson selected Francisco Bertrand, who promised to hold early, free elections, and Dávila resigned. The 1912 elections were won by Manuel Bonilla, but he died after just over a year in office. Bertrand, who had been his vice president, returned to the presidency and in 1916 won election for a term that lasted until 1920. Between 1911 and 1920, Honduras saw relative stability. Railroads expanded throughout Honduras and the banana trade grew rapidly. This stability however would prove to be difficult to maintain in the years following 1920. Revolutionary intrigues also continued throughout the period, accompanied by constant rumors that one faction or another was being supported by one of the banana companies. The development of the banana industry contributed to the beginnings of organized labor movements in Honduras and to the first major strikes in the nation's history. The first of these occurred in 1917 against the Cuyamel Fruit Company. The strike was suppressed by the Honduran military, but the following year additional labor disturbances occurred at the Standard Fruit Company's holding in La Ceiba. In 1920, a general strike hit the Caribbean coast. In response, a United States warship was sent to the area, and the Honduran government began arresting leaders. When Standard Fruit offered a new wage—equivalent to US$1.75 per day—the strike ultimately collapsed. Labor troubles in the banana trade however were far from over. The fruit companies' activity The Liberal government opted to expand production in mining and agriculture, and in 1876 began granting substantial grants of land and tax exemptions to foreign concerns as well as to local businesses. Mining was particularly important, and the new policies coincided with the growth of banana exports, which began in the Bay Islands in the 1870s and was pursued on the mainland by small and middling farmers in the 1880s. Liberal concessions allowed U.S.-based concerns to enter the Honduran market, first as shipping companies, then as railroad and banana producing enterprises. The U.S. companies created very large plantations worked by labor that flooded into the region from the densely settled Pacific coast, other Central American countries, and thanks to the company's policies favoring English speaking people, from the English-speaking Caribbean. The result was an enclave economy centered on the settlements and activities of the three major companies, Cuyamel Fruit Company, Standard Fruit and particularly United Fruit after it absorbed Cuyamel in 1930. In 1899, Vaccaro Brothers and Company (later known as Standard Fruit), a New Orleans-based fruit corporation, came to Honduras in 1899 to buy coconuts, oranges and bananas on Roatán. After successfully selling the fruit in New Orleans, the company moved to the mainland of Honduras. In 1901, Vaccaro Brothers established offices in La Ceiba and Salado and eventually controlled the banana industry between Boca Cerrada and Balfate (an area of about 80 kilometers of coastline). In 1900, American businessman Samuel Zemurray and United Fruit came to Honduras to purchase banana plantations. In 1905, Zemurray started buying his own plantations and in 1910, after purchasing of plantation land in Honduras, formed his own company, the Cuyamel Fruit Company. The two companies' wealth and powerful connections allowed them to gain extraordinary influence in the Honduran government. Rivalries between the companies, however, escalated in 1910, when the United Fruit came to Honduras to set up operations; the company had already been a local producer of bananas in Honduras. By 1912, United Fruit had two concessions it had purchased with government approval. One was to build a railroad from Tela to Progreso in the Sula Valley, and the other was to build a railroad from Trujillo to the city of Juticalpa in Olancho. In 1913, United Fruit established the Tela Railroad Company and shortly thereafter a similar subsidiary, the Trujillo Railroad Company; these two railroads managed the concessions which the Honduran government granted them. Through these two railroad companies, United Fruit dominated the banana trade in Honduras. An 1899 census showed that northern Honduras had been exporting bananas for several years and that over 1,000 people in the region between Puerto Cortes and La Ceiba (and inland as far as San Pedro Sula) were tending bananas, most of them small holders. The fruit companies received very large concessions of land, often forcing small holders who had been growing and exporting bananas on their land out of business. In addition, they brought in many workers from Jamaica and Belize, both to work on the plantations, but also as lower managers and skilled workers. The companies often favored the West Indian workers because they spoke English and were sometimes better educated than their Honduran counterparts. This perception of foreign occupation, coupled with a growing race-prejudice against the African-descended West Indians, led to considerable tension, as the arrival of the West Indians drove demographic change in the region. The connection between the wealth of the banana trade and the influence of outsiders, particularly North Americans, led O. Henry, the American writer who took temporary refuge in Honduras in 1896–97, to coin the term "banana republic" to describe a fictional nation he modeled on Honduras. By 1912, three companies dominated the banana trade in Honduras: Samuel Zemurray's Cuyamel Fruit Company, Vaccaro Brothers and Company and the United Fruit Company; all of which tended to be vertically integrated, owning their own lands and railroad companies and ship lines such as United's "Great White Fleet". Through land subsidies granted to the railroads, they soon came to control vast tracts of the best land along the Caribbean coast. Coastal cities such as La Ceiba, Tela, and Trujillo and towns further inland such as El Progreso and La Lima became virtual company towns. For the next twenty years, the U.S. government was involved in quelling Central American disputes, insurrections, and revolutions, whether supported by neighboring governments or by United States companies. As part of the so-called Banana Wars all around the Caribbean, Honduras saw the insertion of American troops in 1903, 1907, 1911, 1912, 1919, 1924 and 1925. For instance, in 1917 the Cuyamel Fruit Company extended its rail lines into disputed Guatemalan territory. Renewed instability (1919–1924) In 1919, it became obvious that Francisco Bertrand would refuse to allow an open election to choose his successor. This course of action was opposed by the United States and had little popular support in Honduras. The local military commander and governor of Tegucigalpa, General Rafael López Gutiérrez, took the lead in organizing PLH opposition to Bertrand. López Gutiérrez also solicited support from the liberal government of Guatemala and even from the conservative regime in Nicaragua. Bertrand, in turn, sought support from El Salvador. Determined to avoid an international conflict, the United States government, after some hesitation, offered to meditate the dispute, hinting to the Honduran president that if he refused the offer, open intervention might follow. The United States landed US Marines on 11 September 1919. Bertrand promptly resigned and left the country. The United States ambassador helped install an interim government headed by Francisco Bográn, who promised to hold free elections. General López Gutiérrez, who now controlled the military, made it clear that he was determined to be the next president. After considerable negotiation and some confusion, a formula was worked out under which elections were held. López Gutiérrez won easily in a manipulated election, and in October 1920 he assumed the presidency. During Bográn's brief time in office, he had agreed to a United States proposal to invite a United States financial adviser to Honduras. Arthur N. Young of the Department of State was selected for this task and began work in Honduras in August 1920, continuing to August 1921. While there, Young compiled extensive data and made numerous recommendations, even persuading the Hondurans to hire a New York police lieutenant to reorganize their police forces. Young's investigations clearly demonstrated the desperate need for major financial reforms in Honduras, whose always precarious budgetary situation was considerably worsened by the renewal of revolutionary activities. In 1919, for example, the military had spent more than double the amount budgeted for them, accounting for over 57 percent of all federal expenditures. Young's recommendations for reducing the military budget, however, found little favor with the new López Gutiérrez administration, and the government's financial condition remained a major problem. The purpose was to modernize the Honduran army, which still possessed technology from the late-19th century. If anything, continued uprisings against the government and the threat of a renewed Central America conflict made the situation even worse. From 1919 to 1924, the Honduran government expended US$7.2 million beyond the amount covered by the regular budgets for military operations. Coups From 1920 through 1923, seventeen uprisings or attempted coups in Honduras contributed to growing United States concern over political instability in Central America. In August 1922, the presidents of Honduras, Nicaragua, and El Salvador met on the USS Tacoma in the Gulf of Fonseca. Under the watchful eye of the United States ambassadors to their nations, the presidents pledged to prevent their territories from being used to promote revolutions against their neighbors and issued a call for a general meeting of Central American states in Washington at the end of the year. The Washington conference concluded in February with the adoption of the General Treaty of Peace and Amity of 1923, which had eleven supplemental conventions. The treaty in many ways followed the provisions of the 1907 treaty. The Central American court was reorganized, reducing the influence of the various governments over its membership. The clause providing for withholding recognition of revolutionary governments was expanded to preclude recognition of any revolutionary leader, his relatives, or anyone who had been in power six months before or after such an uprising unless the individual's claim to power had been ratified by free elections. The governments renewed their pledges to refrain from aiding revolutionary movements against their neighbors and to seek peaceful resolution for all outstanding disputes. The supplemental conventions covered everything from the promotion of agriculture to armament limitation. One, which remained unratified, provided for free trade among all of the states except Costa Rica. The arms limitation agreement set a ceiling on the size of each nation's military forces (2,500 men in the case of Honduras) and included a United States-sponsored pledge to seek foreign assistance in establishing more professional armed forces.The October 1923 Honduran presidential elections and subsequent political and military conflicts provided the first real tests of
on the Honduran debt, adhering strictly to the terms of the arrangement with the British bondholders and also satisfying other creditors. Two small loans were paid off completely in 1935. Political controls were instituted slowly under Carías. The Communist Party of Honduras (Partido Comunista de Honduras—PCH) was outlawed, but the PLH continued to function, and even the leaders of a small uprising in 1935 were later offered free air transportation should they wish to return to Honduras from their exile abroad. At the end of 1935, however, stressing the need for peace and internal order, Carías began to crack down on the opposition press and political activities. Meanwhile, the PNH, at the president's direction, began a propaganda campaign stressing that only keeping Carías in office could give the nation continued peace and order. The constitution, however, prohibited immediate reelection of presidents. To extend his term of office Carías called a constituent assembly to write a new constitution and select the individual to serve for the first presidential term under that document. Except for the president's desire to perpetuate himself in office, there seemed little reason to alter the nation's basic charter. Earlier constituent assemblies had written thirteen constitutions (only ten of which had entered into force), and the latest had been adopted in 1924. The handpicked Constituent Assembly of 1936 incorporated thirty of the articles of the 1924 document into the 1936 constitution. The major changes were the elimination of the prohibition on immediate reelection of a president and vice president and lengthening the presidential term from four years to six. Other changes included restoration of the death penalty, reductions in the powers of the legislature, and denial of citizenship to women, and therefore also of the right to vote. Finally, the new constitution included an article specifying that the incumbent president and vice president would remain in office until 1943. But Carías, by then a virtual dictator, wanted even more, so in 1939 the legislature, now completely controlled by the PNH, extended his term in office by another six years (to 1949). The PLH and other opponents of the government reacted to these changes by attempting to overthrow Carías. Numerous coup attempts in 1936 and 1937, succeeded only in further weakening the PNH's opponents. By the end of the 1930s, the PNH was the only organized functioning political party in the nation. Numerous opposition leaders had been imprisoned, and some had reportedly been chained and put to work in the streets of Tegucigalpa. Others, including the leader of the PLH, Zúñiga Huete, had fled into exile. During his presidency, Carías cultivated close relations with his fellow Central American dictators, generals Jorge Ubico in Guatemala, Maximiliano Hernández Martínez in El Salvador, and Anastasio Somoza García in Nicaragua. Relations were particularly close with Ubico, who helped Carías reorganize his secret police and also captured and shot the leader of a Honduran uprising who had made the mistake of crossing into Guatemalan territory. Relations with Nicaragua were somewhat more strained as a result of the continuing border dispute, but Carías and Somoza managed to keep this dispute under control throughout the 1930s and 1940s. The value of these ties became somewhat questionable in 1944 when popular revolts in Guatemala and El Salvador deposed Ubico and Hernández Martínez. For a time, it seemed as if revolutionary contagion might spread to Honduras as well. A plot, involving some military officers as well as opposition civilians, had already been discovered and crushed in late 1943. In May 1944, a group of women began demonstrating outside of the Presidential Palace in Tegucigalpa, demanding the release of political prisoners. Despite strong government measures, tension continued to grow, and Carías was ultimately forced to release some prisoners. This gesture failed to satisfy the opposition, and antigovernment demonstrations continued to spread. In July several demonstrators were killed by troops in San Pedro Sula. In October a group of exiles invaded Honduras from El Salvador but were unsuccessful in their efforts to topple the government. The military remained loyal, and Carías continued in office. Second world war Honduras maintained diplomatic relations with nations that belonged to the axis until 1941 when it declared war on the Empire of Japan on 8 December 1941 after the Japanese attack on Pearl Harbor, which then spread to Nazi Germany and the Kingdom of Italy on 12 December of the same year. Several Honduran merchant ships were sunk in the Caribbean by German submarines, which had already been sighted in the Gulf of Fonseca and the Caratasca lagoon, therefore air patrols began in 1942. This was thanks to the modernization of the Honduran army and the foundation of the Honduran Air Force. The aircraft used for this operation were the North American NA-16, Chance Vought F4U Corsair, and the Boeing Model 40 and Model 95 modified to drop bombs. The first sighting of a German U-boat by the air force occurred on 24 July 1942 and was attacked by planes with 60-pound bombs, being the first and possible only official record of a military confrontation between Honduras and Nazi Germany. Many of the raw materials produced in Honduras were sent to the North American country to bring supplies to soldiers in the Pacific War against the Japanese. the North African theater, and later with its entry into the European theater in 1944 after the D-Day landing. End of Caria's regime Anxious to curb further disorder in the region, the United States began to urge Carías to step aside and allow free elections when his term of office expired. Carías, by then in his early seventies, ultimately yielded and announced October 1948 elections, in which he would not run. He continued, however, to find ways to use his power. The PNH nominated Carías's choice for president – Juan Manuel Gálvez, who had been minister of war since 1933. Exiled opposition figures were allowed to return to Honduras, and the PLH, trying to overcome years of inactivity and division, nominated Zúñiga Huete, the same individual whom Carías had defeated in 1932. The PLH rapidly became convinced that it had no chance to win and, charging the government with manipulation of the electoral process, boycotted the elections. This act gave Gálvez a virtually unopposed victory, and in January 1949, he assumed the presidency. Evaluating the Carías presidency is a difficult task. His time in office provided the nation with a badly needed period of relative peace and order. The country's fiscal situation improved steadily, education improved slightly, the road network expanded, and the armed forces were modernized. At the same time, nascent democratic institutions withered, opposition and labor activities were suppressed, and national interests at times were sacrificed to benefit supporters and relatives of Carías or major foreign interests. New Reform (1949–1954) Once in office Gálvez showed more independence than expected. He continued and expanded some policies of the Carías administration, such as road building and development of coffee exports. By 1953 nearly one-quarter of the government budget was allocated to road construction. Gálvez also continued most of the prior administration's fiscal policies, reducing external debt and paying off the last of the British bonds. The fruit companies continued to receive favorable treatment at the hands of the Gálvez administration; for example, United Fruit received a highly favorable twenty-five-year contract in 1949. Galvez however did institute some notable innovations. Education got more attention and a larger share of the national budget. Congress passed an income tax law, although enforcement was sporadic at best. A considerable degree of press freedom was restored, the PLH and other groups were allowed to organize, and some worker organization was permitted. Labor also benefited from legislation during this period. Congress passed, and the president signed, legislation establishing the eight-hour workday, paid holidays for workers, limited employer responsibility for work-related injuries, and regulations over the employment of women and children. 1955–1979 After the general strike in 1954, young military reformists staged a coup in October 1955 that installed a provisional junta. Capital punishment was abolished in 1956, though Honduras hadn't had an execution since 1940. Constituent assembly elections in 1957 appointed Ramón Villeda as president, and the constituent assembly itself became a national Congress with a 6-year term. The Liberal Party of Honduras (PLH) held power in 1957–63. The military began to become a professional institution independent of politics, with the newly created military academy graduating its first class in 1960. In October 1963, conservative military officers preempted constitutional elections and deposed Ramón Villeda Morales in a bloody coup. These officers exiled PLH members and governed under General Oswaldo López until 1970. In July 1969, El Salvador invaded Honduras in the short Football War. Tensions in the aftermath of the conflict remain. A civilian president for the PNH, Ramón Ernesto Cruz, took power briefly in 1970 until, in December 1972, López staged another coup. This time he adopted more progressive policies, including land reform. López' successors continued armed forces modernization, building army and security forces, concentrating on Honduran air force superiority over its neighbors. During the governments of General Juan Alberto Melgar Castro (1975–78) and General Policarpo Paz García (1978–82), Honduras built most of its physical infrastructure and electricity and terrestrial telecommunications systems, both state monopolies. The country experienced economic growth during this period, with greater international demand for its products and increased availability of foreign commercial capital. Constituent assembly (1980) In 1982, the country returned to civilian rule. A constituent assembly was popularly elected in April 1980 and general elections were held in November 1981. A new constitution was approved in 1982 and the PLH government of Roberto Suazo assumed power. 1980s Roberto Suazo Córdova won the elections on an ambitious program of economic and social development to tackle the country's recession. During this time, Honduras also assisted the contra guerillas. President Suazo launched ambitious social and economic development projects sponsored by American development aid. Honduras became host to the largest Peace Corps mission in the world, and nongovernmental and international voluntary agencies proliferated. From 1972 to 1983, Honduras was governed by soldiers. The influence of the United States is so strong that the term "proconsul" is used to designate its ambassador. In the 1980s, the Reagan administration used the country as a platform in its war against the Sandinista government of Nicaragua and the leftist guerrillas of El Salvador and Guatemala. U.S. military assistance to Honduras increased from $4 million in 1981 to $77.4 million in 1984. While stressing internally that Honduran government forces commit "hundreds of human rights violations (...), most of them for political reasons", the CIA supports death squads which, in particular Battalion 3–16, torture, murder, or cause dozens of trade unionists, academics, farmers and students to disappear. Subsequently, declassified documents indicate that Ambassador John Negroponte personally intervenes to prevent possible disclosures of these state crimes, in order to avoid "creating human rights problems in Honduras". The United States established a continuing military presence in Honduras with the purpose of supporting the Contra guerillas fighting the Nicaraguan government and also developed an air strip and a modern port in Honduras. Though spared the bloody civil wars wracking its neighbors, the Honduran army quietly waged a campaign against Marxist–Leninist militias such as the Cinchoneros Popular Liberation Movement, notorious for kidnappings and bombings, and many non-militants. The operation included a CIA-backed campaign of extrajudicial killings by government-backed units, most notably Battalion 3-16. President Suazo, relying on U.S. support, created ambitious social and economic development projects to help with a severe economic recession and with the perceived threat of regional instability. As the November 1985 election approached, the PLH could not settle on a presidential candidate and interpreted election law as permitting multiple candidates from any one party. The PLH claimed victory when its presidential candidates collectively outpolled the PNH candidate, Rafael Leonardo Callejas, who received 42% of the total vote. José Azcona, the candidate receiving the most votes (27%) among the PLH, assumed the presidency in January 1986. With strong endorsement and support from the Honduran military, the Suazo administration ushered in the first peaceful transfer of power between civilian presidents in more than 30 years. In 1989 he oversaw the dismantling of Contras which were based in Honduras. In 1988, in Operation Golden Pheasant, US forces were deployed to Honduras in response to Nicaraguan attacks on Contra supply caches in Honduras. 1990s In January 1990, Rafael Leonardo Callejas won the presidential election and took office, concentrating on economic reform and reducing the deficit. He began a movement to place the military under civilian control and laid the groundwork for the creation of the public prosecution service. In 1993, PLH candidate Carlos Roberto Reina was elected with 56% of the vote against PNH contender Oswaldo Ramos Soto. He won on a platform calling for "moral revolution" and made active efforts to prosecute corruption and pursue those responsible for alleged human rights abuses in the 1980s. The Reina administration successfully increased civilian control over the armed forces and transferred the national police from military to civilian authority. In 1996, Reina named his own defense minister, breaking the precedent of accepting the nominee of the armed forces leadership. His administration substantially increased Central Bank net international reserves, reduced inflation to 12.8% a year, restored a better pace of economic growth (about 5% in 1997), and held down spending to achieve a 1.1% non-financial public sector deficit in 1997. The Liberal Party of Honduras (PLH)'s Carlos Roberto Flores took office 27 January 1998 as Honduras' fifth democratically elected president since free elections were restored in 1981, with a 10% margin over his main opponent, PNH nominee Nora Gúnera de Melgar, widow of former leader Juan Alberto Melgar). Flores inaugurated International Monetary Fund (IMF) programs of reform and modernization of the Honduran government and economy, with emphasis on maintaining the country's fiscal health and improving international competitiveness. In October 1998, Hurricane Mitch devastated Honduras, leaving more than 5,000 people dead and 1.5 million displaced. Damages totaled nearly $3 billion. International donors came forward to assist in rebuilding infrastructure, donating US$1400 million in 2000. Honduras in the twenty-first century 2000s In November 2001, the National Party won presidential and parliamentary elections. The PNH gained 61 seats in Congress and the PLH won 55. The PLH candidate Rafael Pineda was defeated by the PNH candidate Ricardo Maduro, who took office in January 2002. Maduro administration emphasized stopping mara growth, especially Mara 18 and Mara Salvatrucha. On 27 November 2005, the PLH candidate Manuel Zelaya beat the PNH candidate and current Head of Congress Porfirio "Pepe" Lobo, and became the new president on 27 January 2006. Jose Manuel Zelaya Rosales of the Liberal Party of Honduras won 27 November 2005 presidential elections with less than a 4% margin of victory, the smallest margin ever in Honduran electoral history. Zelaya's campaign theme was "citizen power," and he vowed to increase transparency and combat narcotrafficking while maintaining macroeconomic stability. The Liberal Party won 62 of the 128 congressional seats, just short of an absolute majority. In 2009 Zelaya caused controversy with his call to have a constitutional referendum in June to decide about convening a Constitutional National Assembly to formulate a new constitution. The constitution explicitly bars changes to some of its clauses, including the term limit, and the move precipitated a Constitutional Crisis. An injunction against holding the referendum was issued by the Honduran Supreme Court. Zelaya rejected the ruling and sacked Romeo Vásquez Velásquez, the head of Honduras's armed forces. Vásquez had refused to help with the referendum because he did not want to violate the law. The sacking was deemed unlawful by the Supreme Court as well as by Congress and Vásquez was reinstated. The President then further defied the Supreme Court by pressing ahead with the vote, which the Court had deemed "illegal". The military had confiscated the ballots and polls in a military base in Tegucigalpa. On 27 June, a day before the election, Zelaya followed by a big group of supporters entered the base and ordered, as Commanding Officer of the Armed Forces, for the ballots and polls to be returned to him. Congress saw this as an abuse of power and ordered his capture. On 28 June 2009, the military removed Zelaya from office and deported him to Costa Rica, a neutral country. Elvin Santos, the vice-president during the start of Zelaya's term, had resigned in order to run for president in the coming elections, and by a presidential line of succession the head of Congress, Roberto Micheletti, was appointed president. However, due to the stance taken by the United Nations and the Organization of American States on the use of military force to depose a president, most countries in the region and in the world continued to recognize Zelaya as the President of Honduras and denounced the actions as an assault on democracy. Honduras continued to be ruled by Micheletti's administration under strong foreign pressure. On 29 November, democratic general elections were held, with former Congressional president and 2005 nominee, Pepe Lobo as victor. 2010s Inaugurated on 27 January 2010, Porfirio "Pepe" Lobo Sosa and his administration focused throughout the first year for foreign recognition of presidential legitimacy and Honduras's reinstitution in the OAS. After the presidential period of Lobo Sosa, Juan Orlando Hernández defeated Xiomara Castro, wife
ash found in other Central American countries. Until the early 20th century, the highland economy consisted primarily of mining and livestock. In the west, Honduras' mountains blend into the mountain ranges of Guatemala. The western mountains have the highest peaks, with the Pico Congolón at an elevation of and the Cerro Las Minas at . The Honduran border with El Salvador crosses the peak of Cerro El Pital, the highest point in El Salvador at over . These mountains are woodland covered with mainly pine forests. In the east, the mountains merge with those in Nicaragua. Although generally not as high as the mountains near the Guatemalan border, the eastern ranges possess some high peaks, such as the Montaña de la Flor at , El Boquerón (Monte El Boquerón) at , and Pepe Bonito at . One of the most prominent features of the interior highlands is a depression that runs from the Caribbean Sea to the Gulf of Fonseca. This depression splits the country's cordilleras into eastern and western parts and provides a relatively easy transportation route across the isthmus. Widest at its northern end near San Pedro Sula, the depression narrows as it follows the upper course of the Río Humuya. Passing first through Comayagua and then through narrow passes south of the city, the depression widens again as it runs along the border of El Salvador into the Gulf of Fonseca. Scattered throughout the interior highlands are numerous flat-floored valleys, at in elevation, which vary in size. The floors of the large valleys provide sufficient grass, shrubs, and dry woodland to support livestock and, in some cases, commercial agriculture. Subsistence agriculture has been relegated to the slopes of the valleys, with the limitations of small-sized holdings, primitive technology, and low productivity that traditionally accompany hillside cultivation. Villages and towns, including the capital, Tegucigalpa, are tucked in the larger valleys. Vegetation in the interior highlands is varied. Much of the western, southern, and central mountains are open woodland; supporting pine forest interspersed with some oak, scrub, and grassy clearings. The ranges toward the east are primarily continuous areas of dense, broad-leaf evergreen forest. Around the highest peaks, remnants of dense rainforest that formerly covered much of the area are still found. Caribbean lowlands This area of river valleys and coastal plains, which most Honduras call "the north coast," or simply "the coast," has traditionally been Honduras's most exploited region. The central part of the Caribbean lowlands, east of La Ceiba, is a narrow coastal plain only a few kilometers wide. To the east and west of this section the Caribbean lowlands widen and in places extend inland a considerable distance along broad river valleys. The broadest river valley, along the Río Ulúa near the Guatemalan border, is Honduras's most developed area. Both Puerto Cortés, the country's largest port, and San Pedro Sula, Honduras's industrial capital, are located here, as is La Ceiba, the third largest city in the country. To the east, near the Nicaraguan border, the Caribbean lowlands broaden to an extensive area known as La Mosquitia. Unlike the western part of the Caribbean lowlands, the Mosquitia is Honduras's least-developed area. Underpopulated and culturally distinct from the rest of the country, the area consists of inland savannah with swamps and mangrove near the coast. During times of heavy rainfall, much of the savannah area is covered by shallow water, making transportation by means other than a shallow-draft boat almost impossible. More than 46 campesinos from the Aguán Valley, in the far north-east of Honduras, have either been killed or have disappeared since the 2009 coup. In the 1970s, government policy encouraged agricultural cooperatives and collectives to establish themselves in the lightly-populated area, but after 1992 government policy favored privatization. One of the biggest beneficiaries of the new policy and one of the richest men in Honduras, Miguel Facussé, owned some in the lower Aguán, which he planted in African palms for his palm oil venture. Pacific lowlands The smallest geographic region of Honduras, the Pacific lowlands, is a strip of land averaging on the north shore of the Gulf of Fonseca. The land is flat, becoming swampy near the shores of the gulf, and is composed mostly of alluvial soils washed down from the mountains. The gulf is shallow and the water rich in fish and mollusks. Mangroves along the shore make shrimp and shellfish particularly abundant by providing safe and abundant breeding areas amid their extensive networks of underwater roots. Several islands in the gulf fall under Honduras's jurisdiction. The two largest, Zacate Grande and El Tigre, are eroded volcanoes, part of the chain of volcanoes that extends along the Pacific coast of Central America. Both islands have volcanic cones more than in elevation that serve as landmarks for vessels entering Honduras's Pacific. Islands Honduras controls a number of islands as part of its offshore territories. In the Caribbean Sea, the islands of Roatán (Isla de Roatán), Utila, and Guanaja together form the Islas de la Bahía (Bay Islands), one
temperatures and humidity, and rainfall fairly evenly distributed throughout the year. The Pacific lowlands have a tropical wet and dry climate with high temperatures but a distinct dry season from November through April. The interior highlands also have a distinct dry season, but, as is characteristic of a tropical highland climate, temperatures in this region decrease as elevation increases. Unlike in more northerly latitudes, temperatures in the tropics vary primarily with elevation instead of with the season. Land below is commonly known as tierra caliente (hot land), between as tierra templada (temperate land), and above as tierra fría (cold land). Both the Caribbean and Pacific lowlands are tierra caliente, with daytime highs averaging between throughout the year. In the Pacific lowlands, April, the last month of the dry season, brings the warmest temperatures; the rainy season is slightly cooler, although higher humidity during the rainy season makes these months feel more uncomfortable. In the Caribbean lowlands, the only relief from the year-round heat and humidity comes during December or January when an occasional strong cold front from the north (a norte) brings several days of strong northwest winds and slightly cooler temperatures. The interior highlands range from tierra templada to tierra fría. Tegucigalpa, in a sheltered valley and at an elevation of , has a pleasant climate, with an average high temperature ranging from in April, the warmest month, to in January, the coolest. Above , temperatures can fall to near freezing at night, and frost sometimes occurs. Rain falls year round in the Caribbean lowlands but is seasonal throughout the rest of the country. Amounts are copious along the north coast, especially in the Mosquitia, where the average rainfall is . Nearer San Pedro Sula, amounts are slightly less from November to April, but each month still has considerable precipitation. The interior highlands and Pacific lowlands have a dry season, known locally as "summer," from November to April. Almost all the rain in these regions falls during the "winter," from May to September. Total yearly amounts depend on surrounding topography; Tegucigalpa, in a sheltered valley, averages only of precipitation. Hurricanes Honduras lies within the hurricane belt, and the Caribbean coast is particularly vulnerable to hurricanes or tropical storms that travel inland from the Caribbean. Hurricane Francelia in 1969 and Tropical Storm Alleta in 1982 affected thousands of people and caused extensive damage to crops. Hurricane Fifi in 1974 killed more than 8,000 and destroyed nearly the entire banana crop. In 1998 Hurricane Mitch became the most deadly hurricane to strike the Western Hemisphere in the last two centuries. This massive hurricane not only battered the Honduran coastline, but engulfed nearly the entire country with its powerful winds and torrential downpours. Throughout Central America, Mitch claimed in excess of 11,000 lives, with thousands of others missing. More than three million people were either homeless or severely affected. Most Hurricanes occasionally form over the Pacific and move north to affect southern Honduras, but Pacific storms are generally less severe and their landfall rarer. On September 4, 2007, Hurricane Felix made landfall at Honduras and Nicaragua, as a Category 5 hurricane. In November 2008, Hurricane Paloma, along with the October 2008 Central America floods, left at least 60 people dead and more than 300,000 in need of assistance. Drought Drought in Honduras has become a driver of emigration, causing poor crop yields for poor subsistence farmers, and has been a factor in the formation of migrant caravans to the United States. According to the FAO, migrants leaving central and western Honduras between 2014 and 2016 most frequently cited "no food" as their reason for leaving. Climate change Hydrography Honduras is a water-rich country. The most important river in Honduras is the Ulúa, which flows to the Caribbean through the economically important Valle de Sula. Numerous other rivers drain the interior highlands and empty north into the Caribbean. These other rivers are important, not as transportation routes, but because of the broad fertile valleys they have produced. The Choluteca River runs south from Tegucigalpa through Choluteca and out at the Gulf of Fonseca. Rivers also define about half of Honduras's international borders. The Río Goascorán, flowing to the Gulf of Fonseca, and the Río Lempa define part of the border between El Salvador and Honduras. The Coco River marks about half of the border between Nicaragua and Honduras. Despite an abundance of rivers, large bodies of water are rare. Lago de Yojoa, located in the west-central part of the country, is the sole natural lake in Honduras. This lake is twenty-two kilometers long and at its widest point measures fourteen kilometers. Several large, brackish lagoons open onto the Caribbean in northeast Honduras. These shallow bodies of water allow limited transportation to points along the coast. Statistics total area: land: water: total land boundaries: border countries: Guatemala , El Salvador , Nicaragua coastline: Maritime claims: territorial sea: contiguous zone: exclusive economic zone: and continental shelf: natural extension of territory or to Lowest point: Caribbean Sea 0 m Highest point: Cerro Las Minas land use: arable land: 9.12% permanent crops: 4.07% other: 86.82% (2012 est.) Irrigated land: (2007) Total renewable water resources: (2011) Freshwater withdrawal (domestic/industrial/agricultural): total: per year (16%/23%/61%) per capita: per year (2006) Extreme Points Northernmost point: Great Swan Island, Swan Islands, Bay Islands Department Northernmost point (mainland): Puerto Castilla, Colón Department Southernmost point: Pacific coast border with Nicaragua, Choluteca Department Westernmost point: border with El Salvador and Guatemala, Ocotepeque Department Easternmost point: border with Nicaragua on Atlantic coast, Gracias a Dios Department Natural resources The natural resources include: timbers, gold, silver, copper, lead, zinc, iron ore, antimony, coal, fish, and hydropower from the mountain rivers. Natural hazards Frequent mild earthquakes, damaging hurricanes, and floods along the Caribbean coast are examples of Honduran natural hazards. Environmental issues Deforestation poses a particular problem for Honduras; the goals of conserving endangered natural resources and promoting economic development has often been quite difficult to combine, which has resulted in conflicting policies that fail to protect forests. Honduras has suffered the greatest percentage loss of forest cover of any country in Latin America. The forests in Honduras are an important source of economic resources to finance government programs. The tropical forests in Honduras are diminishing rapidly due to poverty in the country. The majority of the population of Honduras see the forests as an obstacle to the expansion of ranching and agricultural activities, ignoring the significance that forests have for the society through protection of fauna, soils, recreation, purification of air, and the regulation of water sources. The urban population is also increasing rapidly over the years, which means that it has led to the clearing of land for farming and the farming of marginal soils in rural areas, as well as to uncontrolled development in the fringes of urban areas. Illegal logging is also a major problem in Honduras. The majority of the production of timber in the country is illegal. According to the Center for International Policy and the Environmental Investigation Agency, the timber trade corruption involves politicians, timber companies, bureaucrats, mayors, and even the police. All of these factors contribute to deforestation and consequently to soil erosion. According to the Food and Agriculture Organization, Honduras lost 59,000 hectares of forest per year between 1990 and
of Yoro; the Pech or Paya Indians (3,848 in 2001; 0.1% of the total population) living in a small area in the Olancho department; the Mayangna or Tawahka (2,463 in 2001; <0.1%) Examples of Honduran natives are the many Mayan rules of Copan and other Mayan cities, native leaders as Lempira and Cicumba, and environmental and feminist activist Berta Caceres. Gallery Afro-Hondurans The Afro-Honduran population consist of people of African descent, Garifuna and Creoles. Most of them are descendants of African people brought by the Spanish and other European colonizers between the 16th and 18th centuries. Many of them came from the west African coast, from places like Angola or Senegambia, where European bought slaves for their colonies, while others came from the other colonies in the Caribbean. The Garifuna are descendants of Carib, Arawak, and West African people. This ethnic group has its origins in a group from St. Vincent islands in the Caribbean, who came in 1797. At the 2001 census 46,448 people were registered as Garifuna, 0.8% of the total population of Honduras. The Garifuna speak an Arawakan language. They live along the entire Caribbean coastline of Honduras, and in the Bay Islands. The number of Creoles was 12,370 (0.2%) in 2001. Examples of well-known Afro-Hondurans are footballers David Suazo, Victor "Muma" Bernardez, Dr. Emet Cherefant, and Wilson Palacios. Gallery Euro-Hondurans White people along with Afro-descendants and Amerindians belong to the minorities of Honduras. Most of the Honduran whites are descendants of the Spanish colonist, mostly people from southern Spain, they inhabit most of the western part of the country. Other Honduran whites are descendants of European immigrants who arrived at the beginning of the 20th century. The Italians that gained residence in Honduras were 389 in 2014, nearly all of them concentrated in the capital area. However, the term "white person" in Honduras remains somewhat ambiguous, Honduras has one of the largest Arab communities in Latin America (being 3% of the total population), of which are considered to be white. Percentages of whites varied from between 4% to 9%, due to the fact that the majority of Hondurans identify themselves as mestizos, regardless of their ethnic and racial category. Which makes it more difficult to study the number of people who fit into the white category in Honduras. In a census a total of 450,000 of people from Honduras have appeared who identify themselves as whites, therefore it gives the percentage is 4%. However, other studies report that the percentage could rise much more, reaching close to a half a million white people
African descended Caribbean workers arrived in Honduras, an active campaign to denigrate all people of African descent, made persons of mixed race anxious to deny any African ancestry. Hence official statistics quite uniformly under-represent those people who have ancestry in favor of a "two race" solution. Examples of Honduran mestizos are, Poet Clemetina Suarez, actress America Ferrera, Novelist and poet Roberto Sosa, Footballer Noel Valladares, Ex president Manuel Zelaya. Gallery Amerindian The Amerindian population is the first biggest minority in Honduras, the biggest ethnic group that made up the native population is the Lencan. These people has been living in Honduran territory before the colonization of the americas developing their pown societies and civilizations and still has many communities all along the country. According to the 2001 census the Amerindian population in Honduras included 381,495 people (6.3% of the total population). With the exception of the Lenca and the Ch'orti' they still keep their language. Six different Amerindian groups were counted at the 2001 census: the Lenca (279,507 in 2001;4.6% of the total population) living in the La Paz, Intibucá, and Lempira departments; the Miskito (51,607 in 2001; 0.8%) living on the northeast coast along the border with Nicaragua. the Ch'orti' (34,453 in 2001;0.6% of the total population), a Mayan group living in the northwest on the border with Guatemala; the Tolupan (also called Jicaque, "Xicaque", or Tol; 9,617 in 2001; 0.2% of the total population), living in the reserve of the Montaña de la Flor and parts of the department of Yoro; the Pech or Paya Indians (3,848 in 2001; 0.1% of the total population) living in a small area in the Olancho department; the Mayangna or Tawahka (2,463 in 2001; <0.1%) Examples of Honduran natives are the many Mayan rules of Copan and other Mayan cities, native leaders as Lempira and Cicumba, and environmental and feminist activist Berta Caceres. Gallery Afro-Hondurans The Afro-Honduran population consist of people of African descent, Garifuna and Creoles. Most of them are descendants of African people brought by the Spanish and other European colonizers between the 16th and 18th centuries. Many of them came from the west African coast, from places like Angola or Senegambia, where European bought slaves for their colonies, while others came from the other colonies in the Caribbean. The Garifuna are descendants of Carib, Arawak, and West African people. This ethnic group has its origins in a group from St. Vincent islands in the Caribbean, who came in 1797. At the 2001 census 46,448 people were registered as Garifuna, 0.8% of the total population of Honduras.
2005 this had fallen to 49 per 100,000. (The death rate from all causes is roughly 1000 per 100,000 population.) Most of the crime in Honduras takes place in the big cities of Tegucigalpa and San Pedro Sula. A survey by Mitchell A. Seligson in 2004 found that 18% of the population thought public security and violence – delinquency, crime, violence, drug trafficking, and gangs – were the most serious problem facing the country. Honduras has been not only a transit point for cocaine running between Colombia and the United States, a pattern broken substantially after the arrest and exile of the ex-president Mel Zelaya, but also has an internal market, creating all sorts of inner-city problems. Gangs sell crack, commit other crimes, and hire themselves out to organised drug smugglers. Those engaged in international trafficking are better resourced than the state authorities combating them. Although gang members have been arrested for selling drugs at the street level, it is still unclear how much interaction they have with the larger drug cartels and their operations within Honduras. Some would use this argument to justify increasing US military aid to Honduras to help fight the organised drug gangs, while others claim that Honduras would be better off legalizing drugs, thus avoiding military solutions to Honduran security problems. A recent form of U.S. aid that addresses the gang problem was the creation of the Central American Regional Security Initiative (CARSI), originally seen as a part of the U.S.- Mexico Mérida Initiative. In 2010 the U.S. Congress separated funding for Central America totaling $83 million. Although some of the aid came in the form of military hardware, some components focused on strengthening the receiving country's judicial system. President Ricardo Maduro, a former chairman of the Central Bank of Honduras, ran on an anti-crime platform after his only son was murdered on 28 April 1999. During his tenure at the Central Bank of Honduras, a banking license was given to Banco de Producción. After leaving the Central Bank he became chairman and majority stockholder of Banco de Producción, and the general manager of the Central Bank, Ana Cristina Mejia de Pereira, became general manager of Banco de la Producción. Maduro came into power in January 2002 with a wave of measures against gangs and delinquency, the most noticeable, soldiers patrolling the streets. Many gang members were jailed for illicit association. His "Mano Duro" policy (name used to describe Central American leaders taking a hard stance against crime) led to the creation of a penal code in 2003 which made street gangs like MS-13 and M-18 illegal and established jail sentences up to 12 years for proven membership. Violent crime dipped noticeably under Maduro. These "mano duro" policies had significant downsides as well. For example, many youth are wrongly arrested for membership but later become recruited into gangs while in jail. Also, these gang round-ups led to the overcrowding in the prison system. Regardless of the initial signs of success, gangs learned to adapt and continued to carry out their activities. Some reports say that gang leaders from El Salvador come into Honduras to help stop their decline. Under President Zelaya's term, the government attempted to create dialog with gang members to sway them to renounce their violence and re-integrate into society. However, this program relied mainly on private groups to implement the actual re-entry programs. Zelaya also created a specialized anti-gang unit within the police force which he used to coordinate patrols with the Honduran military. Although these patrols led to the arrests of 1,200 gang members, the rate of violence in Honduras did not subside. Their desperation resulted in a "declaration of war" against the government, and three major events over the last few years brought this tiny country to the attention of the world media: a massacre of 68 prisoners at the prison farm just outside La Ceiba on 5 March 2003, a fire in the prison at San Pedro Sula that killed 107 prisoners on 18 May 2004, and the massacre of 27 innocent men, women and children in San Pedro Sula, on 23 December 2004. A massacre in the San Pedro Sula suburb of Chamelecón left 27 dead and 29 injured. The murderers left behind a message, claiming to come from the Cinchoneros, railing against Maduro, Lobo, Álvarez and the death penalty. The Cinchoneros are believed to be defunct, however. The attackers promised another massacre before the new year. However one suspect was detained very shortly afterwards in another part of San Pedro Sula, and further arrests were later made. Local police said that the gunmen were members of the street gang Mara Salvatrucha (MS-13), and the supposed mastermind of the attack, Ebner Anibal Rivera-Paz, was later arrested in Falfurrias, Texas. After Maduro left office gang resurgence was felt and their presence continued, although less than before, but now using the cover of anti-government demonstrations for their activities. Elections The PNH and PLH have ruled the country for decades. In the last years, Honduras has had five Liberal presidents: Roberto Suazo Córdova, José Azcona del Hoyo, Carlos Roberto Reina, Carlos Roberto Flores and Manuel Zelaya, and three Nationalists: Rafael Leonardo Callejas Romero Porfirio Lobo Sosa and Ricardo Maduro. The elections have been full of controversies, including questions about whether Azcona was born in Honduras or Spain, and whether Maduro should have been able to stand given he was born in Panama. On February 20, 2005, the PNH and the PLH held internal party elections (primaries) to decide who would represent them in the forthcoming presidential elections in November. Porfirio Pepe Lobo became the PNH candidate. Manuel Zelaya became the Liberal Party candidate. Forty-five percent of the electorate voted in the primaries: 24% for the Liberals and 21% for the National Party. According to the Country Report quoted in the U.C. San Diego Library Latin American election results, "The low participation rate in the primaries . . . is a reflection of the lack of public faith in Honduras's political institutions and leaders." A Presidential and general election was held on November 27, 2005. Manuel Zelaya of the Liberal Party of Honduras (Partido Liberal de Honduras: PLH) won, with Porfirio Pepe Lobo of the National Party of Honduras (Partido Nacional de Honduras: PNH) coming in second. Voter turnout was 55% of the 3.9 million eligible. The PNH challenged the election results, and Lobo Sosa did not concede until December 7. Towards the end of December the government finally released the total ballot count, giving Zelaya the official victory. Zelaya was inaugurated as Honduras' new president on January 27, 2006. Zelaya presidency On 20 December 2007, the National Congress, at the urging of the leaders of both of the dominant parties, passed a set of electoral reforms. The reforms were opposed by President Manuel Zelaya, who indicated that he would veto them, citing constitutional objections. The reforms would move the date of the presidential primaries ahead from February 2009 to November 2008, change the location of vote-counting from a central one to the individual municipalities, and radically increase public funding of political parties, from about US$3.2 million every election cycle to about US$52 million every election cycle. Ouster of President Zelaya on June 28, 2009 The President Manuel Zelaya's affiliation in 2008 with the Bolivarian Alliance for the Americas ALBA sparked controversy. There was further controversy when he refused to submit the government budget for Congressional approval. In April and May 2009 Zelaya announced plans for a non-binding poll on whether to hold a referendum about whether to convene a constituent assembly that would rewrite the constitution. The Honduran Supreme Court had upheld a lower court injunction against the 28 June poll, and on 26 June – while Zelaya ignored the injunction – it issued a secret order for his detention. On June 28 Honduran soldiers entered the presidential palace and arrested Zelaya, preempting the poll. They put him on a military airplane which flew him to Costa Rica. Subsequently, on June 28, the Honduran Congress, in
constitution delineates mechanisms for amending it, but it also declares eight articles immutable and unalterable and not subject to change, which include a guarantee of a republican form of government, and an explicit prohibition against presidential candidacy of anyone who has been president previously at any time or for any reason. The National Party unconstitutionally amended the latter prior to the 2017 elections, enabling the President to be re-elected for the position. The constitution also provides for an independent organ to supervise and implement elections, the Superior Electoral Tribunal. Another organ similarly independent of the three main branches of government a Special Court for Resolution of Conflicts Between Branches of Government. The current president, Juan Orlando Hernandez, is considered to be a divisive figure with political support within the country as well as vocal opposition from the public. Structure Executive branch |President |Xiomara Castro |Liberty and Refoundation |27 January 2022 |} The president is both the chief of state and head of government and is elected by popular vote for a four-year term with no possibility of re-election. In the most recent election, however, President Juan Orlando Hernández was reelected despite national protest and dispute over ballots, after The Supreme court voided a single-term limit for the country's presidency in 2015. Legislative branch The National Congress of Honduras (Congreso Nacional) has 128 members (diputados), elected for a four-year term by proportional representation; congressional seats are assigned the parties' candidates on a departmental basis in proportion to the number of votes each party receives. Judicial branch The judiciary includes a Supreme Court of Justice - the Supreme Court of Honduras, courts of appeal, and several courts of original jurisdiction – such as labor, tax, and criminal courts. The judges of the Supreme Court of Justice or Corte Suprema de Justicia, are elected for seven-year terms by the National Congress. Administrative divisions For administrative purposes, Honduras is divided into 18 departments, with departmental and municipal officials selected for four-year terms. Political parties Honduras has eight political parties with representatives in the National Congress: National Party of Honduras (Partido Nacional de Honduras, PNH), founded 1918. Dominated Honduran politics from 1933 to 1957. Liberty and Refoundation (Libertad y Refundación, LIBRE), founded 2011 by a coalition of leftist organizations opposed to the 2009 coup. Liberal Party of Honduras (Partido Liberal de Honduras, PLH), founded 1891. Innovation and Unity Party (Partido Innovación Nacional y Social Demócrata, PINU-SD), moderate leftist, social democratic, founded 1970. Honduran Patriotic Alliance (Alianza Patriótica Hondureña) founded in 2017. Democratic Unification Party (Partido Unificación Democrática, UD or PUD), founded in 1992 at the end of the Cold war when formerly clandestine leftist political parties were permitted to function openly. Four merged to form the PUD. Christian Democratic Party of Honduras (Partido Demócrata Cristiano, DC), founded 1968. Anti-Corruption Party (Partido Anticorrupción, PAC), founded in 2012. History Since about 1920 Honduras has had essentially a two-party system, with the Liberal Party and the National Party dominating electoral politics. The early 1980s were a relatively peaceful period compared to other countries in Central America buffeted by left-wing guerrillas. The Honduran government provided bases for U.S. backed counter-revolutionary armies operating in Nicaragua. Between 1981 and 1984, several forced disappearances were carried out by the military, as proved before the Inter-American Court of Human Rights. and in the Report of the National Commissioner for the Protection of Human Rights in Honduras. In 1984, armed-forces chief General Gustavo Alvarez was deposed amid anti-US demonstrations in the capital, Tegucigalpa; this marked a decrease in counter-revolutionary activity, and the government continued to assist the United States' anti-Sandinista activities in Nicaragua in return for economic aid. In 1986, the Liberal Party's José Azcona del Hoyo was elected president. Allegations of human rights abuses, and summary executions by police—especially of street gangs—have diminished steadily in recent years up to the present (2009), while political violence has been a constant. Rafael Callejas became president in 1990 and introduced neo-liberal economic reforms and austerity measures. He is credited with a major push to improve the country's transportation infrastructure. He implemented a policy of requiring cabinet member nominees to first pass appropriate examinations, unique among politicians anywhere. In 1993, the Liberal Party's Carlos Reina was elected president, promising to reform the judicial system and limit the power of the armed forces. In April 1995 compulsory military service was abolished. The Liberal Party's Carlos Roberto Flores Facussé was elected in 1997, also promising to restructure the armed forces; in 1999 the armed forces were brought under civilian control. In 2001, Ricardo Maduro was elected president on a platform that promised to stop rampant inflation afflicting the nation, and to put a stop to the brutal trademark violence of street gangs. At the time, the abuse of child-protection laws by gangs recruiting minors, and aggressive recruitment of members under threat of violence, lent broad popular support for Maduro's enlistment of the armed forces for a greater role in fighting crime during this time, as the police were seen as overwhelmed. Gang violence A major political issue in Honduras since about 1990 has been the high level of violent crime associated with the maras (Spanish for gangs, predominantly of young people), and drug trafficking organizations involved in the transport of cocaine from South America to the United States. Although gangs existed in Tegucigalpa in the 1980s, the phenomenon exploded around 1990. The range of criminal activities that street gangs carry out is broad, from kidnapping and human trafficking to drug, auto and weapons smuggling, as well as domestic extortion. A recent estimate by the. FBI and their counterparts in Central America put the number of gang members in Honduras at 36,000. Gang membership is partly attributable to population movement between Honduras and the United States. During the 1980s, many Hondurans fled to the US to avoid civil war and strife, and emigration continued for economic reasons after that. Other than civil war, high rates of poverty and unemployment and lack of education make at-risk youth more vulnerable to gangs. In Honduras, close to 30% of the population is aged 15–24. Immigrant children who formed or joined urban gangs in cities such as Los Angeles began to have an impact in Honduras around 1990 because gang members completing prison sentences were deported. Deportees brought the two main gangs in Honduras, MS-13 and the 18th Street gang. In 2004, the U.S. Department of Homeland Security's Office of Immigration and Enforcement reported that Honduras received 2,345 total criminal deportations. However, it is unclear how many were gang-affiliated. Almost a third of Hondurans feel a sense of insecurity related to crime. The report listed as causes and risk factors, "Lack of opportunities and alternatives for youth and adolescents, family breakdown, movement of Hondurans to and from the United States, and abuse of drugs and alcohol, and presence of weapons". The report adds however, that the "overwhelming attention given to gang violence by the media and the government" is partly responsible. Gang members often compete to see which crime receives the most coverage. It has been recently contended though that
lives. Few new jobs have been generated in the formal sector, however, because the domestic private sector and foreign investments have dropped and coveted public-sector jobs have been reserved mostly for the small Honduran middle-class with political or military connections. Only one of ten Honduran workers were securely employed in the formal sector in 1991. In the mid-1980s, the World Bank reported that only 10,000 new jobs were created annually; the low rate of job creation resulted in 20,000 people being added to the ranks of the unemployed every year. The actual disparity between jobs needed for full employment and new jobs created exceeded that projection, however. For those with jobs, the buying power of their wages tumbled throughout the 1980s while the cost of basic goods, especially food, climbed precipitously. Role of government Throughout the 1960s and most of the 1970s, the military-led governments of Honduras ran a state-sponsored and state-financed economy. The governments provided most guarantees for loans to a strong but patronage-dominated and somewhat corrupt public sector that included recipients of graft extracted from foreign and domestic investors, and to costly state-developed enterprises. By 1989 and the election of president Callejas, however, a heavy toll had been taken by regionwide economic recession, civil war in neighboring countries, the drying up of most external credit, and capital flight equaling more than $1.5 billion. Callejas began to shift economic policy toward privatizing government-owned enterprises, liberalizing trade and tariff regulations, and encouraging increased foreign investment through tax and other incentives. The Callejas administration did not seek less government control. Rather it changed the government's objectives by focusing on reducing public-sector spending, the size of the public-sector workforce, and the trade deficit. Overall economic planning became the responsibility of the National Superior Planning Council, directed by the minister of economy and commerce. President Callejas, a US-trained economist, brought new professionalism and technical skills to the central government as he began the arduous task of long-term economic reform. The official exchange rate of the lempira, pegged at US$1=L2 since 1918, was dramatically devalued in 1990. Exchange controls had been introduced in 1982, resulting in a parallel currency market (black market) and several confusing official exchange rates operating simultaneously. Some of those rates were legally recognized in 1990 when President Callejas introduced a major series of economic policy reforms, which included reducing the maximum import tariff rate from 90 to 40 percent and getting rid of most surcharges and exemptions. The value of the lempira was adjusted to US$1=L4, with the exception of the rate for debt equity conversions, which remained at the old rate of US$1=L2. The official conversion rate of the lempira fell to US$1=L7.26 in December 1993. The president also introduced temporary taxes on exports, which were intended to increase central government revenue. Additional price and trade liberalization measures and fewer government regulations became part of his ongoing reforms. Budget Throughout the 1980s, the Honduran government was heavily financed by foreign assistance. External financing—mostly bilateral credit from the United States—rose dramatically until it reached 87 percent of the public deficit in 1985, rising even further in subsequent years. By 1991 the public-sector deficit was entirely financed with net external credit. That financing permitted the government to reduce the demand for internal credit and, therefore, to maintain its established exchange rate. In 1991 Callejas managed to give the appearance of having reduced the overall fiscal deficit, a requirement for new credit. But the deficit decrease was mostly an accounting device because it resulted from the postponement of external payments to the Paris Club debtors and eventually would be offset by pressure to raise public investment. During 1991, loan negotiations with multilateral and bilateral lending institutions brought Honduras $39.5 million in United States development assistance, $70 million in balance-of-payments assistance in the form of cash grants, and $18.8 million in food aid. Honduras country also negotiated $302.4 million in concessional loans from the multilateral lending institutions. Total outstanding external debt as a percentage of GDP fell from 119 percent in 1990 to 114 percent in 1991 and to 112 percent in 1993. This drop was largely the result of debt forgiveness of $448.4 million by the United States, Switzerland, and the Netherlands. Scheduled amortization payments of an average $223.2 million per year, however, guaranteed that Honduras's gross funding requirements would remain large indefinitely. The government of Honduras projected that overall tax revenues would increase from 13.2 percent of GDP in 1989 to about 15.7 percent in 1991. Adjustments for low coffee prices and the continuation of lax collection methods, however, undermined those goals. Despite these tax increases, compared to developed countries, Honduras has low tax rates with, particularly low property taxes. Labor force Honduras suffers from an overabundance of unskilled and uneducated laborers. Most Honduran workers in 1993 continued to be employed in agriculture, which accounted for about 60 percent of the labor force. More than half of the rural population, moreover, remains landless and heavily dependent on diminishing seasonal labor and low wages. Fifty-five percent of the farming population subsists on less than two hectares and earns less than $70 per capita per year from those plots, mostly by growing subsistence food crops. In 1993 only about 9–13 percent of the Honduran labor force was engaged in the country's tiny manufacturing sector—one of the smallest in Central America. Skilled laborers are scarce. Only 25,000 people per year, of which about 21 percent are industrial workers, graduate yearly from the National Institute of Professional Training (Instituto Nacional de Formación Profesional- -INFOP) established in 1972. Hundreds of small manufacturing firms, the traditional backbone of Honduran enterprise, began to go out of business beginning in the early 1990s, as import costs rose and competition through increasing wages for skilled labor from the mostly Asian-owned assembly industries strengthened. The small Honduran shops, most of which had manufactured clothing or food products for the domestic market, traditionally received little support in the form of credit from the government or the private sector and were more like artisans than conventional manufacturers. Asian-owned export assembly firms (maquiladoras), operating mostly in free zones established by the government on the Caribbean coast, attract thousands of job seekers and swell the populations of new city centers such as San Pedro Sula, Tela, and La Ceiba. Those firms employ approximately 16,000 workers in 1991. About one-third of the Honduran labor force was estimated to be working in the service or "other" sector in 1993. That classification usually means that a person ekes out a precarious livelihood in the urban informal sector or as a poorly paid domestic. As unemployment soared throughout Central America in the 1980s, more and more people were forced to rely on their own ingenuity in order to simply exist on the fringes of Honduran society. As for the informal sector, research has shown that evidence of child labor has been observed mostly in the Honduran agricultural sector. In 2014, the U.S. Department of Labor's List of Goods Produced by Child Labor or Forced Labor cites three goods produced in such working conditions in Honduras; namely coffee, lobsters and melons. Employment indicators and benefits Honduran governments have set minimum wages since 1974, but enforcement has generally been lax. That laxity increased at the beginning of the 1980s. Traditionally, most Honduran workers have not been covered by social security, welfare, or minimum wages. Multinational companies usually paid more than the standard minimum wage, but, overall, the Honduran wage earner has experienced a diminution of real wages and purchasing ability for more than a decade. When they occurred, minimum wage adjustments generally did not keep up with the cost of living increases. After a major currency devaluation in 1990, average Honduran workers were among the most poorly paid workers in the Western Hemisphere. By contrast, the banana companies paid relatively high wages as early as the 1970s. Banana workers continued at the top of the wage scale in the 1990s; however, in the 1980s, as banana production became less labor-intensive, the companies had decreased their investment and workforce. Consequently, fewer workers were employed as relatively well-paid agricultural wage earners with related benefits. President Callejas responded to the severe poverty by implementing a specially financed Honduran Social Investment Fund (Fondo Hondureño de Inversión Social—FHIS) in 1990. The fund created public works programs such as road maintenance and provided United States surplus food to mothers and infants. Many Hondurans slipped through that fragile social safety net. As a continuing part of the social pact, and even more as the result of a fierce union-government battle, President Callejas announced in 1991 a 27.8 percent increase over a minimum wage that the government had earlier agreed upon. That increase was in addition to raises of 50 and 22 percent set, respectively, in January and September 1990. Despite those concessions, the minimum daily rate in 1991 was only $1.75 for workers employed by small agricultural enterprises and $3.15 for workers in the big exporting concerns; most workers did not earn the minimum wage. Labor unions Honduras has long been heavily unionized. In 1993 approximately 15 to 20 percent of the overall formal workforce was represented by some type of union, and about 40 percent of urban workers were union members. There were forty-eight strikes in the public sector alone in 1990, protesting the government's economic austerity program and layoffs of public-sector workers. More than 4,000 public-sector employees from the Ministry of Communications, Public Works, and Transport were fired in 1990. About 70,000 unionized workers remained in the faltering public sector at the beginning of 1991. However, the government largely made good its pledge to trim that number by 8,000 to 10,000 throughout 1991 as part of its austerity program. In the private sector, 1990 saw 94 strikes in 64 firms, as workers fought for wage increases to combat inflation. A forty-two-day strike at the Tela Railroad Company (owned by Chiquita Brands International—formerly United Brands and United Fruit Company) was unsuccessful, however, and that defeat temporarily ended union efforts at direct confrontation. In 1993 Honduras had three major labor confederations: the Confederation of Honduran Workers (Confederación de Trabajadores de Honduras—CTH), claiming a membership of about 160,000 workers; the General Workers Central (Central General de Trabajadores—CGT), claiming to represent 120,000 members; and the Unitary Confederation of Honduran Workers (Confederación Unitaria de Trabajadores de Honduras—CUTH), a new confederation formed in May 1992, with an estimated membership of about 30,000. The three confederations included numerous trade union federations, individual unions, and peasant organizations. The CTH, the nation's largest trade confederation, was formed in 1964 by the nation's largest peasant organization, the National Association of Honduran Peasants (Asociación Nacional de Campesinos de Honduras—Anach), and by Honduran unions affiliated with the Inter-American Regional Organization of Workers (Organización Regional Interamericana de Trabajadores—ORIT), a hemispheric labor organization with close ties to the American Federation of Labor-Congress of Industrial Organizations (AFL-CIO). In the early 1990s, the confederation had three major components: the 45,000-member Federation of Unions of National Workers of Honduras (Federación Sindical de Trabajadores Nacionales de Honduras—Fesitranh); the 22,000 member Central Federation of Honduran Free Trade Unions (Federación Central de Sindicatos Libres de Honduras); and the 2,200-member Federation of National Maritime Unions of Honduras (Federación de Sindicales Marítimas Nacionales de Honduras). In addition, Anach, claiming to represent between 60,000 and 80,000 members, was affiliated with Fesitranh. Fesitranh was by far the country's most powerful labor federation, with most of its unions located in San Pedro Sula and the Puerto Cortés Free Zone. The unions of the United States-owned banana companies and the United States-owned petroleum refinery also were affiliated with Fesitranh. The CTH received support from foreign labor organizations, including ORIT, the American Institute for Free Labor Development (AIFLD), and Germany's Friedrich Ebert Foundation and was an affiliate of the International Confederation of Free Trade Unions (ICFTU). Although it was not legally recognized until 1982, the CGT was originally formed in 1970 by the Christian Democrats and received external support from the World Confederation of Labour (WCL) and the Latin American Workers Central (Central Latinoamericana de Trabajadores—CLAT), a regional organization supported by Christian Democratic parties. In the late 1980s and early 1990s, however, the CGT leadership developed close ties to the National Party of Honduras (Partido Nacional de Honduaras—PNH), and several leaders served in the Callejas government. Another national peasant organization, the National Union of Peasants (Unión Nacional de Campesinos—UNC), claiming a membership of 40,000, was affiliated with the CGT for many years and was a principal force within the confederation. The CUTH was formed in May 1992 by two principal labor federations, the Unitary Federation of Honduran Workers (Federación Unitaria de Trabajadores de Honduras—FUTH) and the Independent Federation of Honduran Workers (Federación Independiente de Trabajadores de Honduras—FITH), as well as several smaller labor groups, all critical of the Callejas government's neoliberal economic reform program. The Marxist FUTH, with an estimated 16,000 members in the early 1990s, was first organized in 1980 by three communist-influenced unions, but did not receive legal status until 1988. The federation had external ties with the World Federation of Trade Unions (WFTU), the Permanent Congress for Latin American Workers Trade Union Unity (Congreso Permanente de Unidad Sindical de Trabajadores de América Latina—CPUSTAL), and the Central American Committee of Trade Union Unity (Comité de Unidad Sindical de Centroamérica—CUSCA). Its affiliations included water utility, university, electricity company, brewery, and teacher unions, as well as several peasant organizations, including the National Central of Farm Workers (Central Nacional de Trabajadores del Campo—CNTC), formed in 1985 and active in land occupations in the early 1980s. FUTH also became affiliated with a number of leftist popular organizations in a group known as the Coordinating Committee of Popular Organizations (Comité Coordinadora de las Organizaciones Populares—CCOP) that was formed in 1984. Dissident FUTH member formed the FITH, which was granted legal status in 1988. The FITH consisted of fourteen unions claiming about 13,000 members in the early 1990s. Agriculture and land use In 2018, Honduras produced 5.5 million tons of sugar cane, 2.5 million tons of palm oil, 771 thousand tons of banana and 481 thousand tons of coffee, these being its main crops. In addition, it produced 704 thousand tons of maize, 261 thousand tons of orange, 293 thousand tons of melon, 127 thousand tons of beans and 81 thousand tons of pineapple, in addition to smaller yields of other agricultural products such as watermelon, potato, tomato, cabbage, grapefruit, sorghum etc. The total land area of Honduras is 11.2 million hectares, of which a scant 1.7 million hectares (about 15 percent) are well suited for agriculture. Most land in Honduras is covered by mountains, giving rise to the country's nickname, "the Tibet of Central America." Nevertheless, the Honduran economy has always depended almost exclusively on agriculture, and in 1992 agriculture was still the largest sector of the economy, contributing 28 percent to the GDP. Less than half of Honduras's cultivable land was planted with crops as recently as the mid-1980s. The rest was used for pastures or was forested and was owned by the government or the banana corporations. Potential for additional productivity from fallow land was questionable, however, because much of Honduras's soil lacks the thick volcanic ash found elsewhere in Central America. By 1987 about 750,000 hectares of Honduran land had been seriously eroded as a result of misuse by cattle ranchers and slash-and-burn squatters who planted unsuitable food crops. The Honduran government and two banana companies—Chiquita Brands International and Dole Food Company—owned approximately 60 percent of Honduras's cultivable land in 1993. The banana companies acquired most of their landholdings in the early 20th century in return for building the railroads used to transport bananas from the interior to the coast. Much of their land remained unused because it lacked irrigation. Only about 14 percent of cultivated land was irrigated in 1987. Most land under cultivation in 1992 was planted in bananas, coffee, and specialized export crops such as melons and winter vegetables. Agricultural policy The agricultural sector's output showed little or no growth between 1970 and 1985. As a result of favorable weather and market conditions beginning in 1995, however, the agricultural sector grew at a rate of 2.6 percent annually, slightly above the average for Latin America during that period. Production of basic grains and coffee increased; the export price of bananas was high; and pork, poultry, and milk produced for the domestic market increased. Nontraditional fruits and vegetables also increased in value. Honduran agricultural production overall has tended to be low because the amount of crop yielded by a given amount of land has been low. For example, Honduran chocolate yields historically have been only about half those of Costa Rica. Instead of using improved techniques to increase the productivity of the land, Honduran farmers have merely expanded the hectarage under cultivation to produce more crops—pushing their fields ever farther into the forests. Given the limited amount of good quality agricultural land, to begin with, that policy has resulted in continual deforestation and subsequent erosion. This reluctance to improve techniques, coupled with generally poor soil, a lack of credit, and poor infrastructure, has contributed to low production figures. Land reform The Honduran government nominally began to address inequitable land ownership in the early 1960s. Those efforts at reform focused on organizing rural cooperatives. About 1,500 hectares of government-owned land were distributed by the National Agrarian Institute (Instituto Nacional Agrario—INA) beginning in 1960. A military coup in 1963 resulted in an end to the land reform program. Lacking even modest government-directed land reforms, squatting became the primary means for poor people to gain land throughout the early 1970s. These actions spurred the government to institute new agrarian reforms in 1972 and 1975. Although all lands planted in export crops were exempted from reform, about 120,000 hectares were, nevertheless, divided among 35,000 poor families. By 1975 the pendulum had swung back, and agrarian reform was all but halted. From 1975 through the 1980s, illegal occupations of unused land increased once again. The need for land reform was addressed mostly by laws directed at granting titles to squatters and other landholders, permitting them to sell their land or to use it as collateral for loans. Despite declarations by the Callejas government in 1989 of its intent to increasingly address social issues, including land tenure and other needs of small farmers, the early 1990s were jolted by increased conflicts between peasants and the Honduran security forces. Agricultural credit and government support increasingly favored export crop producers at the expense of producers of basic food crops. The Honduran land reform process under President Callejas between 1989 and 1992 was directed primarily at large agricultural landowners. An agrarian pact, signed by landowners and peasant organizations in August 1990, remained underfunded and largely unimplemented. Furthermore, violence erupted as discharged members of the Honduran military forcibly tried to claim land that had already been awarded to the peasant organization Anach in 1976. In May 1991, violence initiated by members of the Honduran military resulted in the deaths of eight farmers. To keep similar situations around the country from escalating into violence, the government promised to parcel out land belonging to the National Corporation for Investment (Corporación Nacional de Inversiones—Conadin). The government also pledged to return to peasants land that had been confiscated by the Honduran military in 1983. An Agricultural Modernization Law, passed in 1992, accelerated land titling and altered the structure of land cooperatives formed in the 1960s. The law permitted cooperative members to break up their holdings into small personal plots that could be sold. As a result, some small banana producers suffering from economic hard times chose to sell their land to the giant banana producers. After an agreement was reached with the European Union (EU) to increase Honduras's banana quota to the EU, the large banana companies were avid for additional land for increased production to meet the anticipated new demand from Europe. Traditional crops Throughout the 20th century, Honduras's agriculture has been dominated first by bananas and then to a lesser extent by coffee and sugar. In 1992, bananas and coffee together accounted for 50 percent of the value of Honduran exports and made the biggest contribution to the economy. Total banana sales were $287 million and total coffee sales amounted to $148 million. These figures are impressive yet reflect production losses suffered by banana producers and the withholding of coffee exports from the market in an effort to fight steep price declines. Another major blow to Honduran agriculture came from Hurricane Mitch and its aftermath in 1998 and 1999. As of 2012 both industries are on the upswing. The banana industry is dominated by Chiquita and the Dole Food Company, two multinational corporations. The coffee industry, in contrast, offers better opportunities for small Honduran family farms to compete. Sugar has also been an important Honduran crop. Chiquita Brands International and Dole Food Company now account for most Honduran banana production and exports. Honduras's traditional system of independent banana producers, who, as late as the 1980s, sold their
contribution to the economy. Total banana sales were $287 million and total coffee sales amounted to $148 million. These figures are impressive yet reflect production losses suffered by banana producers and the withholding of coffee exports from the market in an effort to fight steep price declines. Another major blow to Honduran agriculture came from Hurricane Mitch and its aftermath in 1998 and 1999. As of 2012 both industries are on the upswing. The banana industry is dominated by Chiquita and the Dole Food Company, two multinational corporations. The coffee industry, in contrast, offers better opportunities for small Honduran family farms to compete. Sugar has also been an important Honduran crop. Chiquita Brands International and Dole Food Company now account for most Honduran banana production and exports. Honduras's traditional system of independent banana producers, who, as late as the 1980s, sold their crops to the international banana companies, was eroded in the 1990s. In the absence of policies designed to protect independent suppliers, economically strapped cooperatives began to sell land to the two large corporations. Although Honduran banana production is dominated by multinational giants, such is not the case with coffee, which is grown by about 55,000 mostly small producers. Coffee production in Honduras has been high despite relatively low independent yields because of the large numbers of producers. Honduras, in fact, consistently produced more than its international quota until growers began to withhold the crop in the 1980s in an attempt to stimulate higher prices. Despite the efforts of the growers, coffee prices plunged on the international market from a high of more than $2.25 per kilogram in the mid-1970s to less than $0.45 per kilogram in the early 1990s. As a result of the declining prices, coffee producers were becoming increasingly marginalized. With the aid of affordable loans from foreign investors, more and more Honduran coffee growers are learning to produce high-value organic coffee for today's economy. The outlook for the sugar industry, which had boomed during the 1980s when Honduran producers were allowed to fill Nicaragua's sugar quota to the United States, seemed bleak in 1993. Restoration of the sugar quota to Nicaraguan growers has been a major blow to Honduras's small independent producers, who had added most of Nicaragua's quota to their own during the United States embargo of Nicaragua. Higher costs for imported fertilizers because of the devaluation of the lempira add to the problem. Honduran producers seek relief from a relatively low official price of 25 lempiras per kilogram of sugar by smuggling sugar across the borders to Nicaragua and El Salvador, where the support prices are higher. Sugar growers who can afford it have begun to diversify by growing pineapples and rice. Many independent sugar growers, like independent banana producers, have become indignant over the relatively high profits shown by refiners and exporters. Strikes by producers at harvest time in 1991 forced the closure of the Choluteca refinery for a short time but had little effect on the depressed long-term outlook for the industry. Nontraditional crops While the total value of export merchandise fell in 1990 and 1991 and had still not recovered in 1993 to its 1989 level, the overall agricultural sector output has grown somewhat because of growth in the sale of winter vegetables and shrimp. Nontraditional vegetables and fruit produced $23.8 million in export revenue in 1990, a figure that was almost double the 1983 figure. Nontraditional agricultural crops represented 4.8 percent of the value of total exports in 1990, compared to 2.8 percent in 1983. Some development experts argue that government protection of corn, bean, and rice production by small farmers is a futile effort in the long-term goal of poverty reduction. On the other hand, they see significant economic potential for nontraditional crops, if they are handled properly. Analysts also note, however, that Honduras is at a distinct disadvantage relative to its Central American neighbors because of its poor transportation system. Nontraditional exports require the ability to get fresh produce from the fields to distant markets rapidly. Livestock In the early 1980s, the cattle industry appeared to have the potential to be an important part of the Honduran economy. The Honduran cattle sector, however, never developed to the extent that it did in much of the rest of Central America. Cattle production grew steadily until 1980–81 but then declined sharply when profits fell because of high production costs. The small Honduran meat packing industry declined at the same time, and several meat packing plants closed. As late as 1987, livestock composed 16 percent of the value-added agricultural sector but the industry continued to decline. By 1991–92, beef exports accounted for only 2.9 percent of the value of total exports. Sales of refrigerated meat were the third or fourth highest source of export earnings in the mid-1980s, but like other Honduran agricultural products, beef yields were among the lowest in Central America. As world prices fell and production costs, exacerbated by drought, rose, there was less incentive to raise cattle. For a period of time, cattle farmers illegally smuggled beef cattle to Guatemala and other neighboring countries where prices were higher, but the Honduran cattle sector never became competitive internationally. The two large banana companies have also owned large cattle ranches where they raised prime beef, but these large companies had the flexibility to change crops as the market demanded. Honduran dairy herds fared about the same as beef cattle, and Honduran milk yields were also among the lowest in Central America. The dairy industry was further handicapped by the difficulties of trying to transport milk over poor roads in a tropical country, as well as by stiff competition in the domestic market from subsidized foreign imports, mostly from the United States. Fishing Honduras significantly developed its shrimp industry during the 1980s and in the Latin American market was second only to Ecuador in shrimp exports by 1991. In 1992 shrimp and lobster jumped to 12 percent of export earnings. Shrimp contributed $97 million in export sales to the economy in 1992—an increase of 33 percent over the previous year. The industry was dependent, however, on larvae imported from the United States to augment its unstable natural supply. Technicians from Taiwan were contracted by large producers in 1991 to help develop laboratory larvae, but bitter feuds developed between independent shrimpers and the corporations. Local shrimpers charged that corporate methods were damaging the environment and destroying natural stock through destruction of the mangrove breeding swamps. Corporate shrimp farmers then began to move their operations farther inland, leaving local shrimpers to contend with diminished natural supplies on the mosquito-infested coast. Forestry As in much of Central America, Honduras's once abundant forest resources have been badly squandered. In 1964 forests covered 6.8 million hectares, but by 1988 forested areas had declined to 5 million hectares. Honduras continued to lose about 3.6 percent of its remaining forests annually during the 1980s and early 1990s. The loss is attributable to several factors. Squatters have consistently used land suitable only for forests to grow scantyield food crops; large tracts have been cleared for cattle ranches; and the country has gravely mismanaged its timber resources, focusing far more effort on logging than on forestry management. The government began an intensive forestry development program in 1974, supposedly intended to increase management of the sector and to prevent exploitation by foreign-owned firms. The Honduran Corporation for Forestry Development (Corporación Hondureña de Desarrollo Forestal—Cohdefor) was created in 1974, but it quickly developed into a corrupt monopoly for overseeing forest exports. Timber was mostly produced by private sawmills under contracts selectively granted by Cohdefor officials. Ongoing wasteful practices and an unsustainable debt, which was contracted to build infrastructure, appear to have undercut most conservation efforts. The military-dominated governments contracted huge debt with the multilateral development agencies, then extracted timber to pay for it. Cohdefor generally granted licenses to private lumber companies with few demands for preservation, and it had little inclination or incentive to enforce the demands it did make. With encouragement from the United States Agency for International Development (AID), the Honduran government began to decentralize Cohdefor beginning in 1985. Under the decentralization plan, regulatory responsibilities were transferred from the central government to mayors and other municipal officials on the assumption that local officials would provide better oversight. Despite decentralization and the sale of government assets, Cohdefor's remaining debt was $240 million in 1991. The government also assumed continued financial responsibility for the construction of a new airstrip in the area of timber extraction, upgrading facilities at Puerto Castilla and Puerto Lempira, and providing electricity at reduced prices to lumber concerns as part of the privatization package. Major legislation was passed in 1992 to promote Honduran reforestation by making large tracts of state-owned land more accessible to private investors. The legislation also supplied subsidies for development of the sector. The same law provided for replanting mountainous regions of the country with pine to be used for fuel. Natural resources and energy Mining, the mainstay of the Honduran economy in the late 19th century, declined dramatically in importance in the 20th century. The New York and Honduras Rosario Mining Company (NYHRMC) produced $60 million worth of gold and silver between 1882 and 1954 before discontinuing most of its operations. Mining's contribution to the GDP steadily declined during the 1980s, to account for a 2 percent contribution in 1992. El Mochito mine in western Honduras, the largest mine in Central America, accounted for most mineral production. Ores containing gold, silver, lead, zinc, and cadmium were mined and exported to the United States and Europe for refining. Energy sources Honduras has for many years relied on fuelwood and biomass (mostly waste products from agricultural production) to supply its energy needs. The country has never been a producer of petroleum and depends on imported oil to fill much of its energy needs. In 1991 Honduras consumed about of oil daily. Honduras spent about $143 million, or 13 percent of its total export earnings, to purchase oil in 1991. The country's one small refinery at Puerto Cortés closed in 1993. Various Honduran governments have done little to encourage oil exploration, although substantial oil deposits have long been suspected in the Río Sula valley and offshore along the Caribbean coast. An oil exploration consortium consisting of the Venezuelan state oil company, Venezuelan Petroleum, Inc. (Petróleos de Venezuela, S.A.--PDVSA), Cambria Oil, and Texaco expressed interest in the construction of a refinery at Puerto Castilla in 1993, with production aimed at the local market. Gasolineras Uno is a Honduran gas stations company that has expanded its presence to include stores in most of Central America and in South America. Fuelwood and biomass have traditionally met about 67 percent of the country's total energy demand; petroleum, 29 percent; and electricity, 4 percent. In 1987 Honduran households consumed approximately 60 percent of total energy used, transportation and agriculture used about 26 percent, and industry used about 14 percent. Food processing consumed about 50 percent of industrial sector energy, followed by petroleum and chemical manufacturing. Electric power Honduran electrification is low and uneven relative to other countries in Latin America. The World Bank estimates that only about 36 percent of the Honduran population had access to electricity (20 percent of the rural population) in 1987. The country's total capacity in 1992 was 575 megawatts (MW), with 2,000 megawatt-hours produced. A mammoth hydroelectric plant, the 292-MW project at El Cajón, began producing electricity in 1985 to help address the country's energy needs. The plant, however, soon became heavily indebted because of the government's electricity pricing policies (not charging public-sector institutions, for example) and because of the appointment of political cronies as top management officials. El Cajón also developed costly structural problems requiring extensive maintenance and repairs. Officials estimated that the government's decision to provide free service to public-sector institutions contributed to a 23 percent increase in publicsector consumption in 1990. Experts estimated that additional electrical generation capacity would likely be needed to keep pace with demand. The Honduran Congress assumed authority for setting electric prices beginning in 1986 but then became reluctant to increase rates. Under pressure from the World Bank, it did agree to a 60 percent increase in 1990, with additional increases in 1991. To offset these increased rates for residential users, the National Congress initiated a system of direct subsidies that ran through 1992. Secondary and tertiary industries Manufacturing The country's manufacturing sector was small, contributing only 15 percent to the total GDP in 1992. Textile exports, primarily to the US, led the Honduran manufacturing sector. The maquiladora, or assembly industry, was a growth industry in the generally bleak economy. Asian-owned firms dominated the sector, with twenty-one South Korean-owned companies in export processing zones located in the Río Sula valley in 1991. The maquiladoras employed approximately 16,000 workers in 1991; another nine firms opened in 1992. Job creation, in fact, is considered to be the primary contribution of the assembly operations to the domestic economy. The export textile manufacturing industry all but wiped out small, Honduran manufacturers, and food processors, whose goods were historically aimed at the domestic market, were also adversely affected. The small Honduran firms could not begin to compete with the assembly industry for labor because of the maquiladoras' relatively high wage scale of close to $4 per day. Small firms also found it increasingly difficult to meet the high cost of mostly imported inputs. Membership in the Honduran Association of Small and Medium Industry (Asociación Hondureña de Empresas Pequeñas y Medianas) declined by 70 percent by 1991, compared to pre-maquiladora days, foreshadowing the likely demise of most of the small shops. Honduran domestic manufacturers also suffered from increased Central American competition resulting from a trade liberalization pact signed in May 1991 by Honduras, El Salvador, and Guatemala. Overall, the Honduran manufacturing sector has mimicked other sectors of the economy—it is mostly noncompetitive, even in a regional context, because of insufficient credit and the high cost of inputs. Relatively high interest rates and a complicated investment law have also inhibited the foreign-dominated manufacturing sector from taking off. The government-sponsored Puerto Cortés Free Zone was opened in 1976. By 1990 an additional five free zones were in operation in Omoa, Coloma, Tela, La Ceiba, and Amapala. A series of privately run Export Processing Zones were also established in competition with the government-sponsored free zones. These privately run zones offered the same standard import-export incentives as the government zones. Most of the government and privately run zones were located along the Caribbean coast in a newly developing industrial belt. Firms operating outside of the special "enterprise zones" (either privately run, export-processing zones or government sponsored free zones) enjoy many of the same benefits as those operating within the zones. The Honduran Temporary Import Law permits companies that export 100 percent of their production to countries outside the CACM countries to hold ten-year exemptions on corporate income taxes and duty-free import of industrial inputs. Analysts continue to debate the actual benefits of the shift away from the import-substitution industrialization (ISI) policies of the 1960s and 1970s toward a new focus on free zones and assembly industries in the 1990s. Critics point to the apparent lack of commitment by foreign manufactures to any one country site or to the creation of permanent infrastructure and employment. They question whether new employment will be enough to offset the loss of jobs in the more traditional manufacturing sector. A value of $195 million to the Honduran economy from assembly industries in 1991—when the value of clothing exports was greater than that of coffee—was a compelling argument in favor of the shift, however. Construction High interests rates, particularly for housing, continued to hurt the Honduran construction industry in 1993, but danger from high rates was partially offset by some public-sector investment. Privatization of formerly state-owned industries through debt swaps also negatively affected construction as prices for basic materials such as cement increased and credit tightened. A major devaluation of the lempira added to the already high cost of construction imports. Construction contributed 6.0 percent to the GDP in 1992. Banking The Honduran financial sector is small in comparison to the banking systems of its neighbors. After 1985, however, the sector began to grow rapidly. The average annual growth rate of value added to the economy from the financial sector for the 1980s was the second-highest in Latin America, averaging 4 percent. By 1985 Honduras had twenty-five financial institutions with 300 branch offices. Honduran commercial banks held 60 percent of the financial system's assets in 1985 and nearly 75 percent of all deposits. With the exception of the Armed Forces Social Security Institute, all commercial banks were privately owned, and most were owned by Honduran families. In 1985 there were two government-owned development banks in Honduras, one specializing in agricultural credit and the other providing financing to municipal governments. At the behest of the International Monetary Fund (IMF) and World Bank, Honduras began a process of financial liberalization in 1990. The process began with the freeing of agricultural loan rates and was quickly followed by the freeing of loan rates in other sectors. Beginning in late 1991, Honduran banks were allowed to charge market rates for agricultural loans if they were using their own funds. By law, the banks had to report their rates to monetary authorities and could fix rates within two points of the announced rate. In 1991 commercial banks pressured the government to reduce their 35 percent minimum reserve ratio. This rate remained standard until June 1993 when the minimum requirement was temporarily lifted to 42 percent. The rate was dropped to 36 percent three months later. The banks had excess reserves, and lending rates were in the area of 26 to 29 percent, with few borrowers. Prior to liberalization measures, the Central Bank of Honduras (Banco Central de Honduras) maintained interest rate controls, setting a 19 percent ceiling, with the market lending rate hovering around 26 percent in late 1991. With inflation hitting 33 percent in 1990, there was, in fact, a negative real interest rate, but this situation reversed in 1991 when rates were high relative to inflation. Rates of 35 to 43 percent in 1993 were well above the inflation rate of 13 to 14 percent. Bankers argued for further liberalization, including easing of controls in the housing and nonexport agricultural sectors. A Honduran stock exchange was established in August 1990 with transactions confined to trading debt. Nine companies were registered with the exchange in 1991; in 1993 this number had grown to eighteen. It appears doubtful, however, that the market will develop fully, given the reluctance of family-held firms to open their books to public scrutiny. Tourism Foreign tourists are attracted to Honduras by the Mayan ruins in Copán and coral reef skin-diving off the Islas de la Bahía (Bay Islands). Poor infrastructure, however, has discouraged the development of substantial international tourism. Despite these problems, the number of visitors arriving in Honduras rose from fewer than 200,000 in 1987 to almost 250,000 in 1989. Small ecotourism projects, in particular, are considered to have significant potential. Trade In the early 1990s, the United States
Internet hosts: 30,955 hosts, 107th in the world (2012). IPv4: 143,616 addresses allocated, less than 0.05% of the world total, 17.3 addresses per 1000 people (2012). Internet Service Providers: 100+ ISPs (2005). The Internet has been used in Honduras since 1990 and is common in all the major centers of population. Broadband Internet access is also common. All major media have an Internet presence. Hondutel provides dial-up Internet access. Internet censorship and surveillance There are no government restrictions on access to the Internet or credible reports that the government monitors e-mail or Internet chat rooms without judicial oversight. The constitution and laws provide for freedom of speech and press, and the government generally respects these rights in practice. The constitution and law generally prohibit arbitrary interference with privacy, family, home, or correspondence. Four journalists were killed during 2012, compared with five in 2011. Reports of harassment of journalists and social communicators (persons not employed as journalists, but who serve as bloggers or conduct public outreach for NGOs) continued to rise. There also were multiple reports of intimidation
(now Claro) started in 2001, Honducel in 2007, and Digicel (now América Móvil) in 2008. Internet Top-level domain: .hn Internet users: 1.5 million users, 105th in the world; 18.1% of the population, 147th in the world (2012). Fixed broadband: 64,216 subscriptions, 108th in the world; 0.8% of the population, 144th in the world (2012). Wireless broadband: 347,217, 103rd in the world; 4.2% of the population, 115th in the world (2012). Internet hosts: 30,955 hosts, 107th in the world (2012). IPv4: 143,616 addresses allocated, less than 0.05% of the world total, 17.3 addresses per 1000 people (2012). Internet Service Providers: 100+ ISPs (2005). The Internet has been used in Honduras since 1990 and is common in all the major centers of population. Broadband Internet access is also common. All major media have an Internet presence. Hondutel provides dial-up Internet access. Internet censorship and surveillance There are no government restrictions on access to the Internet or credible reports that the government monitors e-mail or Internet chat rooms without judicial oversight. The constitution and laws provide for freedom of speech and press, and the government generally respects these rights in practice. The constitution and law generally prohibit arbitrary interference with privacy, family, home, or correspondence. Four journalists were killed during 2012, compared with five in 2011. Reports of harassment of journalists and social communicators (persons not employed as journalists, but who serve as bloggers or conduct public outreach for NGOs) continued to rise. There also were multiple reports of intimidation of members of the media and their families. Government officials at all levels denounced violence and threats of violence against members of the media and social communicators. During 2012 the efforts of the Special Victims Unit (SVU) created in January 2011 to address violent crimes against vulnerable communities, including journalists, led to seven arrests and one prosecution in cases involving killings of journalists and social communicators. Members of the media and NGOs stated that the press “self-censored” due to
ring-road. Length: Tegucigalpa - Támara. Length: Waterways navigable by small craft, mainly along the Northern coast. Ports and harbors Atlantic Ocean Puerto Cortés, pop. 44,696 hab., off San Pedro Sula Tela, pop. 28,335 hab. La Ceiba, pop. 114,584 hab. Puerto Castilla, off Trujillo Roatan, pop. 6,502 hab. Pacific Ocean San Lorenzo, pop. 21,043 hab. Other Puerto Lempira, pop. 4,102 hab. Merchant marine Total:
Roatan, pop. 6,502 hab. Pacific Ocean San Lorenzo, pop. 21,043 hab. Other Puerto Lempira, pop. 4,102 hab. Merchant marine Total: 306 ships (1,000 GT or over) totaling 848,150 GT/ Ships by type (1999 est.): Flags of convenience (1998 est.): North Korea owns 1 ship Russia, 6 Singapore: 3 Vietnam: 1 Airports Total: 119 (1999 est.) Main international airports: San Pedro Sula and Comayagua. Other international airports: Roatan and La Ceiba Airports with paved runways Total: 12 : 3 : 2 : 4 Under : 3 (1999 est.) Airports
birth of the Honduran army in dated December 11, 1825 and for its greater mobility, it was divided into battalions with the name of each of the seven departments Comayagua the capital, Tegucigalpa, Choluteca, Olancho, Yoro, Gracias and Santa Bárbara that were in charge of strategically and tactically covering order and defense of the state, under French military doctrine. In 1831 the Military School was created with a seat at the San Francisco Barracks, and Colonel Narciso Benítez of Colombian origin was appointed director; From this school graduated: Francisco Morazán, José Antonio Márquez, Diego Vigil, Liberato Moncada, Joaquín Rivera Bragas, José Santos Guardiola who were presidents of Honduras, among others. The first weaponry used was flintlock and gunpowder, the product of mixing sulfur, saltpeter, and coal in relative quantities: the Remington single-load rifle was one of the first bullet rifles that were introduced into the country during the government of General José María Medina. . The second stage of the Armed Forces is between the years 1842 and 1876 when the collective uniform emerged in the mid-1840s when the troops of General José Santos Guardiola faced those of General Nicolás Ángulo, in 1845 in the " Combate del Obrajuelo ", in San Miguel, El Salvador. In 1865 the first attempt was made to organize a Naval Force with its respective regulations; however, the cost of this service made it unsustainable; However, there were several attempts to reactivate the idea and one of them was carried out by Doctor Policarpo Bonilla, who ordered the construction of the Tatumbla steamship in the Kiel shipyard, Germany on November 22, 1895 and then in 1896 respectively, General Manuel Bonilla had the 'Hornet built. While he administered Honduras, the Doctor and General Don Tiburcio Carias Andino also ordered the construction of the steamers Búfalo and El Tigre. On January 1, 1881, the first Military Code of the Honduran army was issued, a legal instrument to govern its own organization. During the twentieth century, Honduran military leaders frequently became presidents, either through elections or by coups d'état. General Tiburcio Carías Andino was elected in 1932, he later on called a constituent assembly that allowed him to be reelected, and his rule became more authoritarian until an election in 1948. During the following decades, the military of Honduras carried out several coups d'état, starting in October 1955. General Oswaldo López Arellano carried out the next coup in October 1963 and a second in December 1972, followed by coups in 1975 by Juan Alberto Melgar Castro and in 1978 by Policarpo Paz García. 1980s Events during the 1980s in El Salvador and Nicaragua led Honduras – with US assistance – to expand its armed forces considerably, laying particular emphasis on its air force, which came to include a squadron of US-provided F-5s. The military unit Battalion 316 carried out political assassinations and the torture of suspected political opponents of the government during this same period. Battalion members received training and support from the United States Central Intelligence Agency, in Honduras, at U.S. military bases and in Chile during the presidency of the dictator Augusto Pinochet. Amnesty International estimated that at least 184 people "disappeared" from 1980 to 1992 in Honduras, most likely due to actions of the Honduran military. 1990s The resolution of the civil wars in El Salvador and Nicaragua, and across-the-board budget cuts made in all ministries, has brought reduced funding for the Honduran armed forces. The abolition of the draft has created staffing gaps in the now all-volunteer armed forces. The military is now far below its authorized strength, and further reductions are expected. In January 1999, the Constitution was amended to abolish the position of military commander-in-chief of the armed forces, thus codifying civilian authority over the military. 2000s Since 2002, soldiers have been involved in crime prevention and law enforcement, patrolling the streets of the major cities alongside the national police. 2009 On 28 June 2009, in the context of a constitutional crisis, the military, acting on orders of the Supreme Court of Justice, arrested the president, Manuel Zelaya after which they forcibly removed elected President Zelaya from Honduras. See the article 2009 Honduran constitutional crisis regarding claims regarding legitimacy and illegitimacy of the event, and events preceding and following the removal of Zelaya from Honduras. The military's chief lawyer, Colonel Herberth Bayardo Inestroza Membreño, made public statements regarding the removal of Zelaya. On June 30, he showed a detention order, apparently signed June 26 by a Supreme Court judge, which ordered the armed forces to detain the president. Colonel Inestroza later stated that deporting
allegedly responsible for thousands of allegedly arbitrary detentions and for several forced disappearances and extrajudicial executions of opponents to the de facto government, including members of the Democratic Unification Party. However, evidence about these actions has yet to be provided and there has been some questioning in local media about the actual perpetrators, suggesting that they could actually be related to disputes within the leftists organizations themselves. Army The Honduran Army () is the land service branch of the Armed Forces of Honduras. 101th Brigade in Choluteca 105th Brigade in San Pedro Sula 110th Brigade in Danli 115th Brigade in Juticalpa 120th Brigade in Santa Rosa de Copan Air Force The FAH operates from four air bases located at: Hernan Acosta Mejia Air Base at Tegucigalpa Soto Cano Air Base at Comayagua, Armando Escalon Espinal Air Base at San Pedro Sula Hector Caraccioli Moncada at La Ceiba. With the exception of Soto Cano Air Base, all other air bases operate as dual civil and military aviation facilities. Additionally, three air stations are located at: Catacamas Alto Aguán (bomb range) Puerto Lempira airstrips serve as forward operations locations-FOL. Also a radar station operates at: La Mole peak. Navy The navy is a small force dealing with coastal and riverine security. The navy has 71 patrol boats, interceptors and landing craft units. The Honduran navy has 4 naval bases: Base Naval Puerto Cortés – main repair and logistics base on the Caribbean Sea Base Naval Puerto Castilla – main operating base of patrol boats on the Caribbean Sea Base Naval Amapala – main operating base of coastal patrol craft on the north end of the island and only base on the Pacific Ocean side of Honduras Base Naval Caratasca – new base to deal with drug trafficking Additionally, the Honduran navy has the following unit and schools: 1st. Marine Infantry Battalion – only marine unit located at La Ceiba Honduras Naval Academy – Trains officers for the Honduras Navy at La Ceiba Naval Training Center – NCO and Sailor training facility Military-civilian relations and leadership According to a statement in July 2009 by a legal counsel of the Honduras military, Colonel Herberth Bayardo Inestroza, part of the elite Honduran military generals were opposed to President Manuel Zelaya, whom the military had removed from Honduras via a military Coup d'état, because of his left-wing politics. Inestroza stated, "It would be difficult for us [the military], with our training, to have a relationship with a leftist government. That's impossible." The current head of the armed forces is Carlos Antonio Cuéllar, graduate of the General Francisco Morazan Military Academy and the School of the Americas. In January 2011, the General Rene Arnoldo Osorio Canales former head of the Presidential Honor Guard, was
American neighbors at the 1994 Summit of the Americas in signing the Alliance for Sustainable Development, known as the Conjunta Centroamerica-USA, or CONCAUSA, to promote sustainable economic development in the region. Honduras held the 6-month SICA presidency during the second half of 1998. At the 17th Central American Summit in 1995, hosted by Honduras in the northern city of San Pedro Sula, the region's six countries (excluding Belize) signed treaties creating confidence- and security-building measures and combating the smuggling of stolen automobiles in the isthmus. In subsequent summits (held every 6 months), Honduras has continued to work with the other Central American countries on issues of common concern. Relations by country Illicit drugs Honduras is a transshipment point for drugs and narcotics; illicit producer of cannabis, cultivated on small plots and used principally
his predecessor's strong emphasis on Central American cooperation and integration, which resulted in an agreement easing border controls and tariffs among Honduras, Guatemala, Nicaragua, and El Salvador. Honduras also joined its six Central American neighbors at the 1994 Summit of the Americas in signing the Alliance for Sustainable Development, known as the Conjunta Centroamerica-USA, or CONCAUSA, to promote sustainable economic development in the region. Honduras held the 6-month SICA presidency during the second half of 1998. At the 17th Central American Summit in 1995, hosted by Honduras in the northern city of San Pedro Sula, the region's six countries (excluding Belize) signed treaties creating confidence- and security-building measures and combating the smuggling of stolen automobiles in the isthmus. In subsequent summits (held every 6 months), Honduras has
People's Congress override any territorial judicial process. Furthermore, in circumstances where the Standing Committee declares a state of emergency in Hong Kong, the State Council may enforce national law in the region. The territory's jurisdictional independence is most apparent in its immigration and taxation policies. The Immigration Department issues passports for permanent residents which differ from those of the mainland or Macau, and the region maintains a regulated border with the rest of the country. All travellers between Hong Kong and China and Macau must pass through border controls, regardless of nationality. Mainland Chinese citizens do not have right of abode in Hong Kong and are subject to immigration controls. Public finances are handled separately from the national government; taxes levied in Hong Kong do not fund the central authority. The Hong Kong Garrison of the People's Liberation Army is responsible for the region's defence. Although the Chairman of the Central Military Commission is supreme commander of the armed forces, the regional government may request assistance from the garrison. Hong Kong residents are not required to perform military service, and current law has no provision for local enlistment, so its defence is composed entirely of non-Hongkongers. The central government and Ministry of Foreign Affairs handle diplomatic matters, but Hong Kong retains the ability to maintain separate economic and cultural relations with foreign nations. The territory actively participates in the World Trade Organization, the Asia-Pacific Economic Cooperation forum, the International Olympic Committee, and many United Nations agencies. The regional government maintains trade offices in Greater China and other nations. The imposition of Hong Kong national security law by the central government in Beijing in June 2020 resulted in the suspension of bilateral extradition treaties by the United Kingdom, Canada, Australia, New Zealand, Finland, and Ireland. The United States ended its preferential economic and trade treatment of Hong Kong in July 2020 because it was no longer able to distinguish Hong Kong as a separate entity from the People's Republic of China. Administrative divisions The territory is divided into 18 districts, each represented by a district council. These advise the government on local issues such as public facility provisioning, community programme maintenance, cultural promotion, and environmental policy. There are a total of 479 district council seats, 452 of which are directly elected. Rural committee chairmen, representing outlying villages and towns, fill the 27 non-elected seats. Political reforms and sociopolitical issues Hong Kong is governed by a hybrid regime that is not fully representative of the population. Legislative Council members elected by functional constituencies composed of professional and special interest groups are accountable to these narrow corporate electorates and not the general public. This electoral arrangement has guaranteed a pro-establishment majority in the legislature since the transfer of sovereignty. Similarly, the chief executive is selected by establishment politicians and corporate members of the Election Committee rather than directly elected. Although universal suffrage for the chief executive and all Legislative Council elections are defined goals of Basic Law Articles 45 and 68, the legislature is only partially directly elected, and the executive continues to be nominated by an unrepresentative body. The government has been repeatedly petitioned to introduce direct elections for these positions. Ethnic minorities (except those of European ancestry) have marginal representation in government and often experience discrimination in housing, education, and employment. Employment vacancies and public service appointments frequently have language requirements which minority job seekers do not meet, and language education resources remain inadequate for Chinese learners. Foreign domestic helpers, predominantly women from the Philippines and Indonesia, have little protection under regional law. Although they live and work in Hong Kong, these workers are not treated as ordinary residents and are ineligible for right of abode in the territory. Sex trafficking in Hong Kong is an issue. Hongkonger and foreign women and girls are forced into prostitution in brothels, homes, and businesses in the city. The Joint Declaration guarantees the Basic Law of Hong Kong for 50 years after the transfer of sovereignty. It does not specify how Hong Kong will be governed after 2047, and the central government's role in determining the territory's future system of government is the subject of political debate and speculation. Hong Kong's political and judicial systems may be integrated with China's at that time, or the territory may continue to be administered separately. However, during a period of large-scale protests in 2020, the Standing Committee of the National People's Congress passed the controversial Hong Kong national security law. The law criminalises acts that were previously considered protected speech under Hong Kong law and establishes the Office for Safeguarding National Security of the CPG in the HKSAR, an investigative office under Central People's Government authority immune from HKSAR jurisdiction. The United Kingdom considers the law to be a serious violation of the Joint Declaration. In October 2020, Hong Kong police arrested seven pro-democracy politicians over tussles with pro-Beijing politicians during the Legislative Council in May. They were charged with contempt and interfering with members of the council, while none of the pro-Beijing lawmakers were detained. Geography Hong Kong is on China's southern coast, east of Macau, on the east side of the mouth of the Pearl River estuary. It is surrounded by the South China Sea on all sides except the north, which neighbours the Guangdong city of Shenzhen along the Sham Chun River. The territory's area (2754.97 km2 if the maritime area is included) consists of Hong Kong Island, the Kowloon Peninsula, the New Territories, Lantau Island, and over 200 other islands. Of the total area, is land and is water. The territory's highest point is Tai Mo Shan, above sea level. Urban development is concentrated on the Kowloon Peninsula, Hong Kong Island, and in new towns throughout the New Territories. Much of this is built on reclaimed land; (6% of the total land or about 25% of developed space in the territory) is reclaimed from the sea. Undeveloped terrain is hilly to mountainous, with very little flat land, and consists mostly of grassland, woodland, shrubland, or farmland. About 40% of the remaining land area is country parks and nature reserves. The territory has a diverse ecosystem; over 3,000 species of vascular plants occur in the region (300 of which are native to Hong Kong), and thousands of insect, avian, and marine species. Climate Hong Kong has a humid subtropical climate (Köppen Cwa), characteristic of southern China, despite being located south of the Tropic of Cancer. Summer is hot and humid, with occasional showers and thunderstorms and warm air from the southwest. Typhoons occur most often then, sometimes resulting in floods or landslides. Winters are mild and usually sunny at the beginning, becoming cloudy towards February; an occasional cold front brings strong, cooling winds from the north. Autumn is the sunniest season, whilst spring is generally cloudy. When there is snowfall, which is extremely rare, it is usually at high elevations. Hong Kong averages 1,709 hours of sunshine per year. Historic temperature extremes at the Hong Kong Observatory are on 22 August 2017 and on 18 January 1893. The highest and lowest recorded temperatures in all of Hong Kong are at Wetland Park on 22 August 2017, and at Tai Mo Shan on 24 January 2016. Architecture Hong Kong has the world's largest number of skyscrapers, with 482 towers taller than , and the third-largest number of high-rise buildings in the world. The lack of available space restricted development to high-density residential tenements and commercial complexes packed closely together on buildable land. Single-family detached homes are uncommon and generally only found in outlying areas. The International Commerce Centre and Two International Finance Centre are the tallest buildings in Hong Kong and are among the tallest in the Asia-Pacific region. Other distinctive buildings lining the Hong Kong Island skyline include the HSBC Main Building, the anemometer-topped triangular Central Plaza, the circular Hopewell Centre, and the sharp-edged Bank of China Tower. Demand for new construction has contributed to frequent demolition of older buildings, freeing space for modern high-rises. However, many examples of European and Lingnan architecture are still found throughout the territory. Older government buildings are examples of colonial architecture. The 1846 Flagstaff House, the former residence of the commanding British military officer, is the oldest Western-style building in Hong Kong. Some (including the Court of Final Appeal Building and the Hong Kong Observatory) retain their original function, and others have been adapted and reused; the Former Marine Police Headquarters was redeveloped into a commercial and retail complex, and Béthanie (built in 1875 as a sanatorium) houses the Hong Kong Academy for Performing Arts. The Tin Hau Temple, dedicated to the sea goddess Mazu (originally built in 1012 and rebuilt in 1266), is the territory's oldest existing structure. The Ping Shan Heritage Trail has architectural examples of several imperial Chinese dynasties, including the Tsui Sing Lau Pagoda (Hong Kong's only remaining pagoda). Tong lau, mixed-use tenement buildings constructed during the colonial era, blended southern Chinese architectural styles with European influences. These were especially prolific during the immediate post-war period, when many were rapidly built to house large numbers of Chinese migrants. Examples include Lui Seng Chun, the Blue House in Wan Chai, and the Shanghai Street shophouses in Mong Kok. Mass-produced public-housing estates, built since the 1960s, are mainly constructed in modernist style. Demographics The Census and Statistics Department estimated Hong Kong's population at 7,482,500 in mid-2019. The overwhelming majority (92%) is Han Chinese, most of whom are Taishanese, Teochew, Hakka, and other Cantonese peoples. The remaining 8% are non-ethnic Chinese minorities, primarily Filipinos, Indonesians, and South Asians. However, most Filipinos and Indonesians in Hong Kong are short-term workers. According to a 2016 thematic report by the Hong Kong government, after excluding foreign domestic helpers, the real number of non-Chinese ethnic minorities in the city was 263,593, or 3.6% of Hong Kong's population. About half the population have some form of British nationality, a legacy of colonial rule; 3.4 million residents have British National (Overseas) status, and 260,000 British citizens live in the territory. The vast majority also hold Chinese nationality, automatically granted to all ethnic Chinese residents at the transfer of sovereignty. Headline population density of about 6,800 people/km2 does not reflect true densities since only 6.9% of land is residential; the residential average population density calculates closer to a highly cramped 100,000/km2. The predominant language is Cantonese, a variety of Chinese originating in Guangdong. It is spoken by 94.6% of the population, 88.9% as a first language and 5.7% as a second language. Slightly over half the population (53.2%) speaks English, the other official language; 4.3% are native speakers, and 48.9% speak English as a second language. Code-switching, mixing English and Cantonese in informal conversation, is common among the bilingual population. Post-handover governments have promoted Mandarin, which is currently about as prevalent as English; 48.6% of the population speak Mandarin, with 1.9% native speakers and 46.7% as a second language. Traditional Chinese characters are used in writing, rather than the simplified characters used on the mainland. Among the religious population, the traditional "three teachings" of China, Buddhism, Confucianism, and Taoism, have the most adherents (20%), followed by Christianity (12%) and Islam (4%). Followers of other religions, including Sikhism, Hinduism, and Judaism, generally originate from regions where their religion predominates. Life expectancy in Hong Kong was 82.38 years for males and 88.17 years for females in 2022, the highest in the world. Cancer, pneumonia, heart disease, cerebrovascular disease, and accidents are the territory's five leading causes of death. The universal public healthcare system is funded by general-tax revenue, and treatment is highly subsidised; on average, 95% of healthcare costs are covered by the government. Income inequality has risen since the transfer of sovereignty, as the region's ageing population has gradually added to the number of nonworking people. Although median household income steadily increased during the decade to 2016, the wage gap remained high; the 90th percentile of earners receive 41% of all income. The city has the most billionaires per capita, with one billionaire per 109,657 people. Despite government efforts to reduce the growing disparity, median income for the top 10% of earners is 44 times that of the bottom 10%. Economy Hong Kong
Although the source of the romanised name is unknown, it is generally believed to be an early phonetic rendering of the Cantonese pronunciation hēung góng, or Tanka Cantonese. The name translates as "fragrant harbour" or "incense harbour". "Fragrant" may refer to the sweet taste of the harbour's freshwater influx from the Pearl River or to the odour from incense factories lining the coast of northern Kowloon. The incense was stored near Aberdeen Harbour for export before Victoria Harbour was developed. Sir John Davis (the second colonial governor) offered an alternative origin; Davis said that the name derived from "Hoong-keang" ("red torrent"), reflecting the colour of soil over which a waterfall on the island flowed. The simplified name Hong Kong was frequently used by 1810. The name was also commonly written as the single word Hongkong until 1926, when the government officially adopted the two-word name. Some corporations founded during the early colonial era still keep this name, including Hongkong Land, Hongkong Electric Company, Hongkong and Shanghai Hotels and the Hongkong and Shanghai Banking Corporation (HSBC). History Prehistory and Imperial China Earliest known human traces in what is now Hong Kong are dated by some to 35,000 and 39,000 years ago during the Paleolithic period. The claim is based on an archaeological investigation in Wong Tei Tung, Sai Kung in 2003. The archaeological works revealed knapped stone tools from deposits that were dated using optical luminescence dating. During the Middle Neolithic period, about 6,000 years ago, the region had been widely occupied by humans. Neolithic to Bronze Age Hong Kong settlers were semi-coastal people. Early inhabitants are believed to be Austronesians in the Middle Neolithic period and later the Yueh people. As hinted by the archaeological works in Sha Ha, Sai Kung, rice cultivation had been introduced since Late Neolithic period. Bronze Age Hong Kong was featured with coarse pottery, hard pottery, quartz and stone jewelry, as well as small bronze implements. The Qin dynasty incorporated the Hong Kong area into China for the first time in 214 BCE, after conquering the indigenous Baiyue. The region was consolidated under the Nanyue kingdom (a predecessor state of Vietnam) after the Qin collapse and recaptured by China after the Han conquest. During the Mongol conquest of China in the 13th century, the Southern Song court was briefly located in modern-day Kowloon City (the Sung Wong Toi site) before its final defeat in the 1279 Battle of Yamen. By the end of the Yuan dynasty, seven large families had settled in the region and owned most of the land. Settlers from nearby provinces migrated to Kowloon throughout the Ming dynasty. The earliest European visitor was Portuguese explorer Jorge Álvares, who arrived in 1513. Portuguese merchants established a trading post called Tamão in Hong Kong waters and began regular trade with southern China. Although the traders were expelled after military clashes in the 1520s, Portuguese-Chinese trade relations were re-established by 1549. Portugal acquired a permanent lease for Macau in 1557. After the Qing conquest, maritime trade was banned under the Haijin policies. From 1661 to 1683, the population of most of the area forming present day Hong Kong was cleared under the Great Clearance, turning the region into a wasteland. The Kangxi Emperor lifted the maritime trade prohibition, allowing foreigners to enter Chinese ports in 1684. Qing authorities established the Canton System in 1757 to regulate trade more strictly, restricting non-Russian ships to the port of Canton. Although European demand for Chinese commodities like tea, silk, and porcelain was high, Chinese interest in European manufactured goods was insignificant, so that Chinese goods could only be bought with precious metals. To reduce the trade imbalance, the British sold large amounts of Indian opium to China. Faced with a drug crisis, Qing officials pursued ever more aggressive actions to halt the opium trade. British colony In 1839, the Daoguang Emperor rejected proposals to legalise and tax opium and ordered imperial commissioner Lin Zexu to eradicate the opium trade. The commissioner destroyed opium stockpiles and halted all foreign trade, triggering a British military response and the First Opium War. The Qing surrendered early in the war and ceded Hong Kong Island in the Convention of Chuenpi. British forces began controlling Hong Kong shortly after the signing of the convention, from 26 January 1841. However, both countries were dissatisfied and did not ratify the agreement. After more than a year of further hostilities, Hong Kong Island was formally ceded to the United Kingdom in the 1842 Treaty of Nanking. Administrative infrastructure was quickly built by early 1842, but piracy, disease, and hostile Qing policies initially prevented the government from attracting commerce. Conditions on the island improved during the Taiping Rebellion in the 1850s, when many Chinese refugees, including wealthy merchants, fled mainland turbulence and settled in the colony. Further tensions between the British and Qing over the opium trade escalated into the Second Opium War. The Qing were again defeated and forced to give up Kowloon Peninsula and Stonecutters Island in the Convention of Peking. By the end of this war, Hong Kong had evolved from a transient colonial outpost into a major entrepôt. Rapid economic improvement during the 1850s attracted foreign investment, as potential stakeholders became more confident in Hong Kong's future. The colony was further expanded in 1898 when Britain obtained a 99-year lease of the New Territories. The University of Hong Kong was established in 1911 as the territory's first institution of higher education. Kai Tak Airport began operation in 1924, and the colony avoided a prolonged economic downturn after the 1925–26 Canton–Hong Kong strike. At the start of the Second Sino-Japanese War in 1937, Governor Geoffry Northcote declared Hong Kong a neutral zone to safeguard its status as a free port. The colonial government prepared for a possible attack, evacuating all British women and children in 1940. The Imperial Japanese Army attacked Hong Kong on 8 December 1941, the same morning as its attack on Pearl Harbor. Hong Kong was occupied by Japan for almost four years before Britain resumed control on 30 August 1945. Its population rebounded quickly after the war, as skilled Chinese migrants fled from the Chinese Civil War and more refugees crossed the border when the Chinese Communist Party took control of mainland China in 1949. Hong Kong became the first of the Four Asian Tiger economies to industrialise during the 1950s. With a rapidly increasing population, the colonial government began reforms to improve infrastructure and public services. The public-housing estate programme, Independent Commission Against Corruption, and Mass Transit Railway were all established during the post-war decades to provide safer housing, integrity in the civil service, and more reliable transportation. Although the territory's competitiveness in manufacturing gradually declined because of rising labour and property costs, it transitioned to a service-based economy. By the early 1990s, Hong Kong had established itself as a global financial centre and shipping hub. Chinese special administrative region The colony faced an uncertain future as the end of the New Territories lease approached, and Governor Murray MacLehose raised the question of Hong Kong's status with Deng Xiaoping in 1979. Diplomatic negotiations with China resulted in the 1984 Sino-British Joint Declaration, in which the United Kingdom agreed to transfer the colony in 1997 and China would guarantee Hong Kong's economic and political systems for 50 years after the transfer. The impending transfer triggered a wave of mass emigration as residents feared an erosion of civil rights, the rule of law, and quality of life. Over half a million people left the territory during the peak migration period, from 1987 to 1996. The Legislative Council became a fully elected legislature for the first time in 1995 and extensively expanded its functions and organisations throughout the last years of the colonial rule. Hong Kong was transferred to China on 1 July 1997, after 156 years of British rule. Immediately after the transfer, Hong Kong was severely affected by several crises. The government was forced to use substantial foreign exchange reserves to maintain the Hong Kong dollar's currency peg during the 1997 Asian financial crisis, and the recovery from this was muted by an H5N1 avian-flu outbreak and a housing surplus. This was followed by the 2003 SARS epidemic, during which the territory experienced its most serious economic downturn. Political debates after the transfer of sovereignty have centred around the region's democratic development and the central government's adherence to the "one country, two systems" principle. After reversal of the last colonial era Legislative Council democratic reforms following the handover, the regional government unsuccessfully attempted to enact national security legislation pursuant to Article 23 of the Basic Law. The central government decision to implement nominee pre-screening before allowing chief executive elections triggered a series of protests in 2014 which became known as the Umbrella Revolution. Discrepancies in the electoral registry and disqualification of elected legislators after the 2016 Legislative Council elections and enforcement of national law in the West Kowloon high-speed railway station raised further concerns about the region's autonomy. In June 2019, mass protests erupted in response to a proposed extradition amendment bill permitting extradition of fugitives to Taiwan, while protesters argued that criminals might be extradited to mainland China. The protests are the largest in Hong Kong history, with organisers claiming to have attracted more than three million Hong Kong residents. Government and politics Hong Kong is a special administrative region of China, with executive, legislative, and judicial powers devolved from the national government. The Sino-British Joint Declaration provided for economic and administrative continuity through the transfer of sovereignty, resulting in an executive-led governing system largely inherited from the territory's history as a British colony. Under these terms and the "one country, two systems" principle, the Basic Law of Hong Kong is the regional constitution. The regional government is composed of three branches: Executive: The Chief Executive is responsible for enforcing regional law, can force reconsideration of legislation, and appoints Executive Council members and principal officials. Acting with the Executive Council, the Chief Executive-in-Council can propose new bills, issue subordinate legislation, and has authority to dissolve the legislature. In states of emergency or public danger, the Chief Executive-in-Council is further empowered to enact any regulation necessary to restore public order. Legislature: The unicameral Legislative Council enacts regional law, approves budgets, and has the power to impeach a sitting chief executive. Judiciary: The Court of Final Appeal and lower courts interpret laws and overturn those inconsistent with the Basic Law. Judges are appointed by the chief executive on the advice of a recommendation commission. The chief executive is the head of government and serves for a maximum of two five-year terms. The State Council (led by the Premier of China) appoints the chief executive after nomination by the Election Committee, which is composed of 1,200 business, community, and government leaders. The Legislative Council has 70 members, each serving a four-year term. Thirty-five are directly elected from geographical constituencies, and thirty-five represent functional constituencies (FC). Thirty FC councillors are selected from limited electorates representing sectors of the economy or special interest groups, and the remaining five members are nominated from sitting district council members and selected in region-wide double direct elections. All popularly elected members are chosen by proportional representation. The 30 limited electorate functional constituencies fill their seats using first-past-the-post or instant-runoff voting. Twenty-two political parties had representatives elected to the Legislative Council in the 2016 election. These parties have aligned themselves into three ideological groups: the pro-Beijing camp (the current government), the pro-democracy camp, and localist groups. The Chinese Communist Party does not have an official political presence in Hong Kong, and its members do not run in local elections. Hong Kong is represented in the National People's Congress by 36 deputies chosen through an electoral college and 203 delegates in the Chinese People's Political Consultative Conference appointed by the central government. Chinese national law does not generally apply in the region, and Hong Kong is treated as a separate jurisdiction. Its judicial system is based on common law, continuing the legal tradition established during British rule. Local courts may refer to precedents set in English law and overseas jurisprudence. However, mainland criminal procedure law applies to cases investigated by the Office for Safeguarding National Security of the CPG in the HKSAR. Interpretative and amending power over the Basic Law and jurisdiction over acts of state lie with the central authority, making regional courts ultimately subordinate to the mainland's socialist civil law system. Decisions made by the Standing Committee of the National People's Congress override any territorial judicial process. Furthermore, in circumstances where the Standing Committee declares a state of emergency in Hong Kong, the State Council may enforce national law in the region. The territory's jurisdictional independence is most apparent in its immigration and taxation policies. The Immigration Department issues passports for permanent residents which differ from those of the mainland or Macau, and the region maintains a regulated border with the rest of the country. All travellers between Hong Kong and China and Macau must pass through border controls, regardless of nationality. Mainland Chinese citizens do not have right of abode in Hong Kong and are subject to immigration controls. Public finances are handled separately from the national government; taxes levied in Hong Kong do not fund the central authority. The Hong Kong Garrison of the People's Liberation Army is responsible for the region's defence. Although the Chairman of the Central Military Commission is supreme commander of the armed forces, the regional government may request assistance from the garrison. Hong Kong residents are not required to perform military service, and current law has no provision for local enlistment, so its defence is composed entirely of non-Hongkongers. The central government and Ministry of Foreign Affairs handle diplomatic matters, but Hong Kong retains the ability to maintain separate economic and cultural relations with foreign nations. The territory actively participates in the World Trade Organization, the Asia-Pacific Economic Cooperation forum, the International Olympic Committee, and many United Nations agencies. The regional government maintains trade offices in Greater China and other nations. The imposition of Hong Kong national security law by the central government in Beijing in June 2020 resulted in the suspension of bilateral extradition treaties by the United Kingdom, Canada, Australia, New Zealand, Finland, and Ireland. The United States ended its preferential economic and trade treatment of Hong Kong in July 2020 because it was no longer able to distinguish Hong Kong as a separate entity from the People's Republic of China. Administrative divisions The territory is divided into 18 districts, each represented by a district council. These advise the government on local issues such as public facility provisioning, community programme maintenance, cultural promotion, and environmental policy. There are a total of 479 district council seats, 452 of which are directly elected. Rural committee chairmen, representing outlying villages and towns, fill the 27 non-elected seats. Political reforms and sociopolitical issues Hong Kong is governed by a hybrid regime that is not fully representative of the population. Legislative Council members elected by functional constituencies composed of professional and special interest groups are accountable to these narrow corporate electorates and not the general public. This electoral arrangement has guaranteed a pro-establishment majority in the legislature since the transfer of sovereignty. Similarly, the chief executive is selected by establishment politicians and corporate members of the Election Committee rather than directly elected. Although universal suffrage for the chief executive and all Legislative Council elections are defined goals of Basic Law Articles 45 and 68, the legislature is only partially directly elected, and the executive continues to be nominated by an unrepresentative body. The government has been repeatedly petitioned to introduce direct elections for these positions. Ethnic minorities (except those of European ancestry) have marginal representation in government and often experience discrimination in housing, education, and employment. Employment vacancies and public service appointments frequently have language requirements which minority job seekers do not meet, and language education resources remain inadequate for Chinese learners. Foreign domestic helpers, predominantly women from the Philippines and Indonesia, have little protection under regional law. Although they live and work in Hong Kong, these workers are not treated as ordinary residents and are ineligible for right of abode in the territory. Sex trafficking in Hong Kong is an issue. Hongkonger and foreign women and girls are forced into prostitution in brothels, homes, and businesses in the city. The Joint Declaration guarantees the Basic Law of Hong Kong for 50 years after the transfer of sovereignty. It does not specify how Hong Kong will be governed after 2047, and the central government's role in determining the territory's future system of government is the subject of political debate and speculation. Hong Kong's political and judicial systems may be integrated with China's at that time, or the territory may continue to be administered separately. However, during a period of large-scale protests in 2020, the Standing Committee of the National People's Congress passed the controversial Hong Kong national security law. The law criminalises acts that were previously considered protected speech under Hong Kong law and establishes the Office for Safeguarding National Security of the CPG in the HKSAR, an investigative office under Central People's Government authority immune from HKSAR jurisdiction. The United Kingdom considers the law to be a serious violation of the Joint Declaration. In October 2020, Hong Kong police arrested seven pro-democracy politicians over tussles with pro-Beijing politicians during the Legislative Council in May. They were charged with contempt and interfering with members of the council, while none of the pro-Beijing lawmakers were detained. Geography Hong Kong is on China's southern coast, east of Macau, on the east side of the mouth of the Pearl River estuary. It is surrounded by the South China Sea on all sides except the north, which neighbours the Guangdong city of Shenzhen along the Sham Chun River. The territory's area (2754.97 km2 if the maritime area is included) consists of Hong Kong Island, the Kowloon Peninsula, the New Territories, Lantau Island, and over 200 other islands. Of the total area, is land and is water. The territory's highest point is Tai Mo Shan, above sea level. Urban development is concentrated on the Kowloon Peninsula, Hong Kong Island, and in new towns throughout the New Territories. Much of this is built on reclaimed land; (6% of the total land or about 25% of developed space in the territory) is reclaimed from the sea. Undeveloped terrain is hilly to mountainous, with very little flat land, and consists mostly of grassland, woodland, shrubland, or farmland. About 40% of the remaining land area is country parks and nature reserves. The territory has a diverse ecosystem; over 3,000 species of vascular plants occur in the region (300 of which are native to Hong Kong), and thousands of insect, avian, and marine species. Climate Hong Kong has a humid subtropical climate (Köppen Cwa), characteristic of southern China, despite being located south of the Tropic of Cancer. Summer is hot and humid, with occasional showers and thunderstorms and warm air from the southwest. Typhoons occur most often then, sometimes resulting in floods or landslides. Winters are mild and usually sunny at the beginning, becoming cloudy towards February; an occasional cold front brings strong, cooling winds from the north. Autumn is the sunniest season, whilst spring is generally cloudy. When there is snowfall, which is extremely rare, it is usually at high elevations. Hong Kong averages 1,709 hours of sunshine per year. Historic temperature extremes at the Hong Kong Observatory are on 22 August 2017 and on 18 January 1893. The highest and lowest recorded temperatures in all of Hong Kong are at Wetland Park on 22 August 2017, and at Tai Mo Shan on 24 January 2016. Architecture Hong Kong has the world's largest number of skyscrapers, with 482 towers taller than , and the third-largest number of high-rise buildings in the world. The lack of available space restricted development to high-density residential tenements and commercial complexes packed closely together on buildable land. Single-family detached homes are uncommon and generally only found in outlying areas. The International Commerce Centre and Two International Finance Centre are the tallest buildings in Hong Kong and are among the tallest in the Asia-Pacific region. Other distinctive buildings lining the Hong Kong Island skyline include the HSBC Main Building, the anemometer-topped triangular Central Plaza, the circular Hopewell Centre, and the sharp-edged Bank of China Tower. Demand for new construction has contributed to frequent demolition of older buildings, freeing space for modern high-rises. However, many examples of European and Lingnan architecture are still found throughout the territory. Older government buildings are examples of colonial architecture. The 1846 Flagstaff House, the former residence of the commanding British military officer, is the oldest Western-style building in Hong Kong. Some (including the Court of Final Appeal Building and the Hong Kong Observatory) retain their original function, and others have been adapted and reused; the Former Marine Police Headquarters was redeveloped into a commercial and retail complex, and Béthanie (built in 1875 as a sanatorium) houses the Hong Kong Academy for Performing Arts. The Tin Hau Temple, dedicated to the sea goddess Mazu (originally built in 1012 and rebuilt in 1266), is the territory's oldest existing structure. The Ping Shan Heritage Trail has architectural examples of several imperial Chinese dynasties, including the Tsui Sing Lau Pagoda (Hong Kong's only remaining pagoda). Tong lau, mixed-use tenement buildings constructed during the colonial era, blended southern Chinese architectural styles with European influences. These were especially prolific during the immediate post-war period, when many were rapidly built to house large numbers of Chinese migrants. Examples include Lui Seng Chun, the Blue House in Wan Chai, and the Shanghai Street shophouses in Mong Kok. Mass-produced public-housing estates, built since the 1960s, are mainly constructed in modernist style. Demographics The Census and Statistics Department estimated Hong Kong's population at 7,482,500 in mid-2019. The overwhelming majority (92%) is Han Chinese, most of whom are Taishanese, Teochew, Hakka, and other Cantonese peoples. The remaining 8% are non-ethnic Chinese minorities, primarily Filipinos, Indonesians, and South Asians. However, most Filipinos and Indonesians in Hong Kong are short-term workers. According to a 2016 thematic report by the Hong Kong government, after excluding foreign domestic helpers, the real number of non-Chinese ethnic minorities in the city was 263,593, or 3.6% of Hong Kong's population. About half the population have some form of British nationality, a legacy of colonial rule; 3.4 million residents have British National (Overseas) status, and 260,000 British citizens live in the territory. The vast majority also hold Chinese nationality, automatically granted to all ethnic Chinese residents at the transfer of sovereignty. Headline population density of about 6,800 people/km2 does not reflect true densities since only 6.9% of land is residential; the residential average population density calculates closer to a highly cramped 100,000/km2. The predominant language is Cantonese, a variety of Chinese originating in Guangdong. It is spoken by 94.6% of the population, 88.9% as a first language and 5.7% as a second language. Slightly over half the population (53.2%) speaks English, the other official language; 4.3% are native speakers, and 48.9% speak English as a second language. Code-switching, mixing English and Cantonese in informal conversation, is common among the bilingual population. Post-handover governments have promoted Mandarin, which is currently about as prevalent as English; 48.6% of the population speak Mandarin, with 1.9% native speakers and 46.7% as a second language. Traditional Chinese characters are
to the lack of developable flat land; 70 km2 (27 sq mi) (six per cent of the total land or about 25 per cent of developed space in the territory) is reclaimed from the sea. Undeveloped terrain is hilly to mountainous, with very little flat land, and consists mostly of grassland, woodland, shrubland, or farmland.Citation error. See inline comment how to fix. About 40 per cent of the remaining land area is country parks and nature reserves. The territory has a diverse ecosystem; over 3,000 species of vascular plants occur in the region (300 of which are native to Hong Kong), and thousands of insect, avian, and marine species.Citation error. See inline comment how to fix. Land boundaries Total: Border city: Shenzhen Special Economic Zone, Guangdong Province Figures published by the United States Central Intelligence Agency Coastline Total: Maritime claims: Territorial sea: Figures published by the United States Central Intelligence Agency Islands Hong Kong has 263 islands over , including Hong Kong Island, Lantau Island, Cheung Chau, Lamma Island, Peng Chau and Tsing Yi Island. Terrain Hong Kong's terrain is hilly and mountainous with steep slopes. There are lowlands in the northern part of Hong Kong. A significant amount of land in Hong Kong, especially on the Hong Kong Island and the Kowloon peninsula, is reclaimed. Extreme points The lowest elevation in Hong Kong is in the South China Sea (0 m) while the highest elevation is at Tai Mo Shan () in Tsuen Wan, the New Territories. Land Northernmost: Shenzhen River Easternmost: Ping Chau Southernmost: Tau Lo Chau Westernmost: Peaked Hill Principal peaks of Hong Kong Tai Mo Shan - , Tsuen Wan Lantau Peak (Fung Wong Shan) - on Lantau Island Sunset Peak (Tai Tung Shan) - , on Lantau Island Sze Fong Shan - Lin Fa Shan - , on Lantau Island Nei Lak Shan - , on Lantau Island Yi Tung Shan - , on Lantau Island Ma On Shan - The Hunch Backs (Ngau Ngak Shan) - Grassy Hill - Wong Leng - Buffalo Hill - West Buffalo Hill - Kowloon Peak (Fei Ngo Shan) - Shun Yeung Fung - Tiu Shau Ngam - Kai Kung Leng - Castle Peak - Lin Fa Shan, Tsuen Wan - Tate's Cairn (Tai Lo Shan) - Victoria Peak, the highest point on Hong Kong Island, at is the 24th highest peak in Hong Kong. Natural resources The natural resources of Hong Kong can be divided into three main categories: Metalliferous minerals and non-metalliferous industrial minerals in the onshore area; Quarried rock and building stone; Offshore sand deposits. Despite its small size, Hong Kong has a relatively large number of mineral occurrences. Some mineral deposits have been exploited commercially. Metalliferous mineral occurrences are grouped into four broad categories: tin-tungsten-molybdenum mineralisation, copper-lead-zinc mineralisation, iron mineralisation and placer deposits of tin and gold. Mesozoic igneous activity is largely responsible for this diversity of mineral deposits and the mineral concentrations have been variably enhanced by hydrothermal activity associated with faulting. Concentrations of non-metalliferous minerals that have been commercially exploited include kaolin clay, feldspar, quartz, beryl and graphite. For many years, granite and volcanic rocks have been quarried locally for road base metal, riprap, armour stone and asphalt, although the main purpose now is for concrete aggregates. At present, there are three quarries operating in Hong Kong. These are principally in granite and are located at Lam Tei, Shek O and Anderson Road. All the quarries are in the process of rehabilitation and have a life expectancy of between two and eight years. Offshore sand bodies have been dredged for aggregate sand and reclamation fill in Hong Kong as the rate of urban development has increased. Additional natural resources include forest and wildlife. Land use Arable land: 2.95% Permanent crops: 0.95% Other: 96.10% (2012 est.) Figures published by the United States Central Intelligence Agency Big 22 Natural hazards Tropical cyclones are frequent in Hong Kong during the summer months between June and August. Landslides are common after rainstorms. Environmental issues Air and water pollution from rapid urbanisation Extinction of natural species Introduction of exotic species See also Conservation in Hong Kong Beaches of Hong Kong List of rivers and nullahs in Hong Kong List of bays in Hong Kong List of places in Hong Kong Sandbars in Hong Kong Geology of Hong Kong Origins of names of cities and towns in Hong Kong
Geographical information Location Hong Kong is on China's southern coast, 60 km (37 mi) east of Macau, on the east side of the mouth of the Pearl River estuary. It is surrounded by the South China Sea on all sides except the north, which neighbours the Guangdong city of Shenzhen along the Sham Chun River. The territory's 2,755 km2 (1,064 sq mi) area consists of Hong Kong Island, the Kowloon Peninsula, the New Territories, Lantau Island, and over 200 other islands. Of the total area, 1,073 km2 (414 sq mi) is land and 35 km2 (14 sq mi) is water. The territory's highest point is Tai Mo Shan, 957 metres (3,140 ft) above sea level. Urban development is concentrated on the Kowloon Peninsula, Hong Kong Island, and in new towns throughout the New Territories. Much of this is built on reclaimed land, due to the lack of developable flat land; 70 km2 (27 sq mi) (six per cent of the total land or about 25 per cent of developed space in the territory) is reclaimed from the sea. Undeveloped terrain is hilly to mountainous, with very little flat land, and consists mostly of grassland, woodland, shrubland, or farmland.Citation error. See inline comment how to fix. About 40 per cent of the remaining land area is country parks and nature reserves. The territory has a diverse ecosystem; over 3,000 species of vascular plants occur in the region (300 of which are native to Hong Kong), and thousands of insect, avian, and marine species.Citation error. See inline comment how to fix. Land boundaries Total: Border city: Shenzhen Special Economic Zone, Guangdong Province Figures published by the United States Central Intelligence Agency Coastline Total: Maritime claims: Territorial sea: Figures published by the United States Central Intelligence Agency Islands Hong Kong has 263 islands over , including Hong Kong Island, Lantau Island, Cheung Chau, Lamma Island, Peng Chau and Tsing Yi Island. Terrain Hong Kong's terrain is hilly and mountainous with steep slopes. There are lowlands in the northern part of Hong Kong. A significant amount of land in Hong Kong, especially on the Hong Kong Island and the Kowloon peninsula, is reclaimed. Extreme points The lowest elevation in Hong Kong is in the South China Sea (0 m) while the highest elevation is at Tai Mo Shan () in Tsuen Wan, the New Territories. Land Northernmost: Shenzhen River Easternmost: Ping Chau Southernmost: Tau Lo Chau Westernmost: Peaked Hill Principal peaks of Hong Kong Tai Mo Shan - , Tsuen Wan Lantau Peak (Fung Wong Shan) - on Lantau Island Sunset Peak (Tai Tung Shan) - , on Lantau Island Sze Fong Shan - Lin Fa Shan - , on Lantau Island Nei Lak Shan - , on Lantau Island Yi Tung Shan - , on Lantau Island Ma On Shan - The Hunch Backs (Ngau Ngak Shan) - Grassy Hill - Wong Leng - Buffalo Hill - West Buffalo Hill - Kowloon Peak (Fei Ngo Shan) - Shun Yeung Fung - Tiu Shau Ngam - Kai Kung Leng - Castle Peak - Lin Fa Shan, Tsuen Wan - Tate's Cairn (Tai Lo Shan) - Victoria Peak, the highest point on Hong Kong Island, at is the 24th highest peak in Hong Kong. Natural resources The natural resources of Hong Kong can be divided into three main categories: Metalliferous minerals and non-metalliferous industrial minerals in the onshore area; Quarried rock and building stone; Offshore sand deposits. Despite its small size, Hong Kong has a relatively large number of mineral occurrences. Some mineral deposits have been exploited commercially. Metalliferous mineral occurrences are grouped into four broad categories: tin-tungsten-molybdenum mineralisation, copper-lead-zinc mineralisation, iron mineralisation and placer deposits of tin and gold. Mesozoic igneous activity is largely responsible for this diversity of mineral deposits and the mineral concentrations have been variably enhanced by hydrothermal activity associated with faulting. Concentrations of non-metalliferous minerals that have been commercially exploited include kaolin clay, feldspar, quartz, beryl and graphite. For many years, granite and volcanic rocks have been quarried locally for road base metal, riprap, armour stone and asphalt, although the main purpose now is for concrete aggregates. At present, there are three quarries operating in Hong Kong. These are
Britain France Russia North America America Canada Oceania Australia South Asia India Nepal Pakistan Southeast Asia The Philippines Indonesia (mainly Javanese) Thailand Vietnam Age groups United Nations data According to United Nations estimates from 1 July 2013, Hong Kong's population is distributed in the following age ranges, with the largest age group represented being 50–54 years: Population by age group Population by wider age groups Hong Kong government data The Hong Kong government provides the following estimates for mid-2013: 0–14 years: 11.0% (male 408,000; female 382,600) 15–24 years: 11.7% (male 424,500; female 417,900) 25–34 years: 15.2% (male 454,900; female 639,700) 35–44 years: 15.9% (male 471,500; female 671,800) 45–54 years: 17.7% (male 587,900; female 681,700) 55–64 years: 14.2% (male 503,700; female 512,600) 65 and over: 14.3% (male 479,500; female 547,700) Median age: 45.0 (2013 est.) Language As a former British colony, Hong Kong has 2 official languages: English, and Chinese, although the specific variety of Chinese is not specified. The majority of the population uses Cantonese as their usual spoken language. However, due to Hong Kong's role as an international trade and finance hub, there are also a wide variety of minority groups speaking dozens of languages present in the territory. However, a very large proportion of the population in Hong Kong are able to communicate in multiple languages. The school system is separated into English-medium and Chinese-medium school, both of which teach English and Mandarin. Sex ratio According to The World Factbook in 2013, the Hong Kong population was divided into the following male/female ratios: Male/female ratio by age group At birth: 1.07 male(s)/female 0–14 years: 1.09 male(s)/female 15–24 years: 1.01 male(s)/female 25–54 years: 0.88 male(s)/female 55–64 years: 1 male(s)/female 65 years and over: 0.88 male(s)/female Total population: 0.94 male(s)/female Education level According to The World Factbook estimates in 2002, 93.5% of the population over the age of 15 had attended schooling, including 96.9% of males and 89.6% of females. Health and mortality The following table shows birth rates and mortality rates in Hong Kong between 1950 and 2019. At the end of the 20th century, Hong Kong had one of the lowest birth rates in the world. However, the number of births doubled in the decade between 2001 and 2011, largely due to an increase in the number of children born in Hong Kong to women with residence in Mainland China. In 2001 there were 7,810 births to Mainland women (16%) out of a total of 48,219 births. By 2009 it increased to 37,253 births to Mainland women (45%) out of a total of 82,095 births. Birth and mortality rates Infant mortality rate According to The World Factbook in 2013, the infant mortality rate in Hong Kong was 2.89 deaths/1,000 live births. Life expectancy According to The World Factbook in 2013, the average life expectancy for the total population was 82.2 years; 79.47 years for males and 85.14 years for females. Hong Kong is the territory with the world's highest life expectancy according to the United Nations. Source: UN World Population Prospects Marriage and fertility According to The World Factbook in 2006, the average marriage age in Hong Kong was 30 years for males and 27 years for females, and the population was subdivided into the following categories: Marital status Married: 57.8% (3,423,995) Never married: 32% (1,920,522) Divorced: 3.2% (189,563) Separated: 0.6% (34,722) Fertility rate The World Factbook in 2013 reported that the fertility rate in Hong Kong was 1.11 children born/woman. Religion Over half of all people (56.1% as of 2010) are not religious. Religious people in Hong Kong follow a diverse range of religions, among which Taoist and Buddhist (specifically Chinese Buddhism) faiths are common for people of Chinese descent. Confucian beliefs are popular in Hong Kong, but it is arguable whether Confucianism can be considered as a religion. As such, Confucianism is excluded in some studies. Christian
age ranges, with the largest age group represented being 50–54 years: Population by age group Population by wider age groups Hong Kong government data The Hong Kong government provides the following estimates for mid-2013: 0–14 years: 11.0% (male 408,000; female 382,600) 15–24 years: 11.7% (male 424,500; female 417,900) 25–34 years: 15.2% (male 454,900; female 639,700) 35–44 years: 15.9% (male 471,500; female 671,800) 45–54 years: 17.7% (male 587,900; female 681,700) 55–64 years: 14.2% (male 503,700; female 512,600) 65 and over: 14.3% (male 479,500; female 547,700) Median age: 45.0 (2013 est.) Language As a former British colony, Hong Kong has 2 official languages: English, and Chinese, although the specific variety of Chinese is not specified. The majority of the population uses Cantonese as their usual spoken language. However, due to Hong Kong's role as an international trade and finance hub, there are also a wide variety of minority groups speaking dozens of languages present in the territory. However, a very large proportion of the population in Hong Kong are able to communicate in multiple languages. The school system is separated into English-medium and Chinese-medium school, both of which teach English and Mandarin. Sex ratio According to The World Factbook in 2013, the Hong Kong population was divided into the following male/female ratios: Male/female ratio by age group At birth: 1.07 male(s)/female 0–14 years: 1.09 male(s)/female 15–24 years: 1.01 male(s)/female 25–54 years: 0.88 male(s)/female 55–64 years: 1 male(s)/female 65 years and over: 0.88 male(s)/female Total population: 0.94 male(s)/female Education level According to The World Factbook estimates in 2002, 93.5% of the population over the age of 15 had attended schooling, including 96.9% of males and 89.6% of females. Health and mortality The following table shows birth rates and mortality rates in Hong Kong between 1950 and 2019. At the end of the 20th century, Hong Kong had one of the lowest birth rates in the world. However, the number of births doubled in the decade between 2001 and 2011, largely due to an increase in the number of children born in Hong Kong to women with residence in Mainland China. In 2001 there were 7,810 births to Mainland women (16%) out of a total of 48,219 births. By 2009 it increased to 37,253 births to Mainland women (45%) out of a total of 82,095 births. Birth and mortality rates Infant mortality rate According to The World Factbook in 2013, the infant mortality rate in Hong Kong was 2.89 deaths/1,000 live births. Life expectancy According to The World Factbook in 2013, the average life expectancy for the total population was 82.2 years; 79.47 years for males and 85.14 years for females. Hong Kong is the territory with the world's highest life expectancy according to the United Nations. Source: UN World Population Prospects Marriage and fertility According to The World Factbook in 2006, the average marriage age in Hong Kong was 30 years for males and 27 years for females, and the population was subdivided into the following categories: Marital status Married: 57.8% (3,423,995) Never married: 32% (1,920,522) Divorced: 3.2% (189,563) Separated: 0.6% (34,722) Fertility rate The World Factbook in 2013 reported that the fertility rate in Hong Kong was 1.11 children born/woman. Religion Over half of all people (56.1% as of 2010) are not religious. Religious people in Hong Kong follow a diverse range of religions, among which Taoist and Buddhist (specifically Chinese Buddhism) faiths are common for people of Chinese descent. Confucian beliefs are popular in Hong Kong, but it is arguable whether Confucianism can be considered as a religion. As such, Confucianism is excluded in some studies. Christian beliefs (Protestantism and Catholicism together) are also common, as well as non-organised Chinese folk religions, whose followers may state that they are not religious. Traditional religions including Chinese Buddhism were discouraged under British rule, which officially represented Christianity. The handover of sovereignty from Britain to China has led to a resurgence of Buddhist and Chinese religions. See also Hong Kong
for up to 4 years. The administration's poor handling of the matter came in for heavy criticism. The administrative credibility and competence were called into question by journals from all sides of the political spectrum, and by helpers and employers alike. Leung Chin-man appointment In August 2008, the appointment of Leung Chin-man as deputy managing director and executive director of New World China Land, subsidiary of New World Development (NWD), was greeted with uproar amidst widespread public suspicion that job offer was a quid pro quo for the favours he allegedly granted to NWD. Leung was seen to have been involved with the sale of the Hung Hom Peninsula Home Ownership Scheme (HOS) public housing estate to NWD at under-value in 2004. After a 12-month 'sterilisation period' after retirement, Leung submitted an application to the government on 9 May for approval to take up employment with New World China Land. The Secretary for the Civil Service, Denise Yue Chung-yee, signed off on the approval for him to take up the job after his request passed through the vetting committee. Controversies surrounded not only the suspicions of Leung's own conflict of interest, but also of the insensitivity of the committee which recommended the approval for him to take up his lucrative new job less than two years after his official retirement. New World argued that they hired Leung in good faith after government clearance. On 15 August, the Civil Service Bureau issued the report requested by Donald Tsang, where they admitted that they had neglected to consider Leung's role in the Hung Hom Peninsula affair. Donald Tsang asked the SCS to reassess the approval, and submit a report to him. New World Development announced in the early hours of 16 August that Leung had resigned from his post, without any compensation from either side or from the government, for the termination. The next day, Donald Tsang confirmed that Denise Yue would not have to resign. He was satisfied with her apology and with the explanations offered by her. Tsang ordered a committee, of which Yue was to be a member, to be set up to perform a sweeping review of the system to process applications for former civil servants. May 2010 by-election In January 2010, five pan-democrats resigned from the Legislative Council of Hong Kong to trigger a by-election in response to the lack of progress in the move towards universal suffrage. They wanted to use the by-election as a de facto referendum for universal suffrage and the abolition of the functional constituencies. Umbrella Revolution The Umbrella Revolution erupted spontaneously in September 2014 in protest of a decision by China's Standing Committee of the National People's Congress (NPCSC) on proposed electoral reform. The austere package provoked mobilisation by students, and the effects became amplified into a political movement involving hundreds of thousands of Hong Kong citizens by heavy-handed policing and government tactics. Hong Kong Extradition bill In February 2019, the Legislative Council proposed a bill to amend extradition rights between Hong Kong and other countries. This bill was proposed because of an incident in which a Hong Kong citizen killed his pregnant girlfriend on vacation in Taiwan. However, there is no agreement to extradite to Taiwan, so he was unable to be charged in Taiwan. The bill proposes a mechanism for transfers of fugitives not only for Taiwan, but also for Mainland China and Macau, which are not covered in the existing laws. There have been a series of protests against the bill, such as on 9 June and 16 June, which were estimated to number one million and two million protesters, respectively. Police brutality and subsequent further oppression to the protesters by the government have led to even more demonstrations, including the anniversary of the handover on 1 July 2019 saw the storming of the Legislative Council Complex, and subsequent protests throughout the summer spread to different districts. On 15 June 2019, Chief Executive Carrie Lam decided to indefinitely suspend the bill in light of the protest, but also made it clear in her remarks that the bill was not withdrawn. On 4 September 2019, Chief Executive Carrie Lam announced that the government would "formally withdraw" the Fugitive Offenders Bill, as well as enacting a number of other reforms. The 2019 Hong Kong District Council election was held on 24 November, the first poll since the beginning of the protests, and one that had been billed as a "referendum" on the government. More than 2.94 million votes were cast for a turnout rate of 71.2%, up from 1.45 million and 47% from the previous election. This was the highest turnout in Hong Kong's history, both in absolute numbers and in turnout rates. The results were a resounding landslide victory for the pro-democracy bloc, as they saw their seat share increased from 30% to almost 88%, with a jump in vote share from 40% to 57%. The largest party before the election, DAB, fell to third place, with its leader's vote share cut from a consistent 80% to 55%, and their three vice-chairs losing. Among those who were also legislators, the overwhelming majority of the losing candidates were from the pro-Beijing bloc. Commenting on the election results, New Statesman declared it "the day Hong Kong's true "silent majority" spoke. After the election, the protests slowly became quiet due to the COVID-19 pandemic. Other political issues since 1997 Nationality and citizenship Chinese nationality All people of Chinese descent, who were born in Hong Kong on or before 30 June 1997, had access to only British nationality. They are therefore British nationals by birth, with the designation of "second class citizen" with no rights of abode in the U.K. The Chinese nationality of such British nationals was enforced involuntarily after 1 July 1997. Before and after the handover, the People's Republic of China has recognised ethnic Chinese people in Hong Kong as its citizens. The PRC issues Home Return Permits for them to enter mainland China. Hong Kong issues the HKSAR passport through its Immigration Department to all PRC citizens who are permanent residents of Hong Kong fitting the right of abode rule. The HKSAR passport is not the same as the ordinary PRC passport, which is issued to residents of mainland China. Only permanent residents of Hong Kong who are PRC nationals are eligible to apply. To acquire the status of permanent resident one has to have "ordinarily resided" in Hong Kong for a period of seven years and adopted Hong Kong as their permanent home. Therefore, citizenships rights enjoyed by residents of mainland China and residents Hong Kong are differentiated even though both hold the same citizenship. New immigrants from mainland China (still possess Chinese Citizenship) to Hong Kong are denied from getting PRC passport from the mainland authorities, and are not eligible to apply for an HKSAR passport. They usually hold the Document of Identity (DI) as the travel document, until the permanent resident status is obtained after seven years of residence. Naturalisation as a PRC Citizen is common among ethnic Chinese people in Hong Kong who are not PRC Citizens. Some who have surrendered their PRC citizenship, usually those who have emigrated to foreign countries and have retained the permanent resident status, can apply for PRC citizenship at the Immigration Department, though they must renounce their original nationality in order to acquire the PRC citizenship. Naturalisation of persons of non-Chinese ethnicity is rare because China does not allow dual citizenship and becoming a Chinese citizen requires the renouncement of other passports. A notable example is Michael Rowse, a permanent resident of Hong Kong and the current Director-General of Investment Promotion of Hong Kong Government, naturalised and became a PRC citizen, for the offices of secretaries of the policy bureaux are only open to PRC citizens. In 2008, a row erupted over political appointees. Five newly appointed Undersecretaries declared that they were in the process of renouncing foreign citizenship as at 4 June 2008, citing public opinion as an overriding factor, and one Assistant had initiated the renunciation process. This was done despite there being no legal or constitutional barrier for officials at this level of government to have foreign nationality. British nationality Hong Kong residents who were born in Hong Kong in the British-administered era could acquire the British Dependent Territories citizenship. Hong Kong residents who were not born in Hong Kong could also naturalise as a British Dependent Territories Citizen (BDTC) before the handover. To allow them to retain the status of British national while preventing a possible flood of immigrants from Hong Kong, the United Kingdom created a new nationality status, British National (Overseas) that Hong Kong British Dependent Territories citizens could apply for. Holders of the British National (Overseas) passport - BN(O) - have no right of abode in the United Kingdom. See British nationality law and Hong Kong for details. British National (Overseas) status was given effect by the Hong Kong (British Nationality) Order 1986. Article 4(1) of the Order provided that on and after 1 July 1987, there would be a new form of British nationality, the holders of which would be known as British Nationals (Overseas). Article 4(2) of the Order provided that adults and minors who had a connection to Hong Kong were entitled to make an
laws affecting Hong Kong, including the Basic Law, and its opinions are therefore binding on Hong Kong courts on a prospective basis. Major political issues since 1997 Right of Abode On 29 January 1999, the Court of Final Appeal, the highest judicial authority in Hong Kong interpreted several Articles of the Basic Law, in such a way that the Government estimated would allow 1.6 million Mainland China immigrants to enter Hong Kong within ten years. This caused widespread concerns among the public on the social and economic consequences. While some in the legal sector advocated that the National People's Congress (NPC) should be asked to amend the part of the Basic Law to redress the problem, the Government of Hong Kong (HKSAR) decided to seek an interpretation to, rather than an amendment of, the relevant Basic Law provisions from the Standing Committee of the National People's Congress (NPCSC). The NPCSC issued an interpretation in favour of the Hong Kong Government in June 1999, thereby overturning parts of the court decision. While the full powers of NPCSC to interpret the Basic Law is provided for in the Basic Law itself, some critics argue this undermines judicial independence. 1 July marches and Article 23 The Hong Kong 1 July March is an annual protest rally led by the Civil Human Rights Front since the 1997 handover on the HKSAR establishment day. However, it was only in 2003 when it drew large public attention by opposing the bill of Article 23. It has become the annual platform for demanding universal suffrage, calling for observance and preservation civil liberties such as free speech, venting dissatisfaction with the Hong Kong Government or the Chief Executive, rallying against actions of the Pro-Beijing camp. In 2003, the HKSAR Government proposed to implement Article 23 of the Basic Law by enacting national security bill against acts such as treason, subversion, secession and sedition. However, there were concerns that the legislation would infringe human rights by introducing the mainland's concept of "national security" into the HKSAR. Together with the general dissatisfaction with the Tung administration, about 500,000 people participated in this protest. Article 23 enactment was "temporarily suspended". Universal suffrage Towards the end of 2003, the focus of political controversy shifted to the dispute of how subsequent Chief Executives get elected. The Basic Law's Article 45 stipulates that the ultimate goal is universal suffrage; when and how to achieve that goal, however, remains open but controversial. Under the Basic Law, electoral law could be amended to allow for this as soon as 2007 (Hong Kong Basic Law Annex .1, Sect.7). Arguments over this issue seemed to be responsible for a series of Mainland Chinese newspapers commentaries in February 2004 which stated that power over Hong Kong was only fit for "patriots." The interpretation of the NPCSC to Annex I and II of the Basic Law, promulgated on 6 April 2004, made it clear that the National People's Congress' support is required over proposals to amend the electoral system under Basic Law. On 26 April 2004, the Standing Committee of National People's Congress denied the possibility of universal suffrage in 2007 (for the Chief Executive) and 2008 (for LegCo). The NPCSC interpretation and decision were regarded as obstacles to the democratic development of Hong Kong by the democratic camp, and were criticised for lack of consultation with Hong Kong residents. On the other hand, the pro-government camp considered them to be in compliance with the legislative intent of the Basic Law and in line with the 'One country, two systems' principle, and hoped that this would put an end to the controversies on development of political structure in Hong Kong. In 2007 Chief Executive Sir Donald Tsang requested for Beijing to allow direct elections for the Chief Executive. He referred to a survey which said more than half of the citizens of Hong Kong wanted direct elections by 2012. However, he said waiting for 2017 may be the best way to get two-thirds of the support of Legislative Council. Donald Tsang announced that the NPC said it planned to allow the 2017 Chief Executive elections and the 2020 Legislative Council elections to take place by universal suffrage. In 2013, public concern was sparked that the election process for the Chief Executive would involve a screening process that swipes out candidates deemed suitable for the position by Beijing, incited by a comment made by a Deputy of the National People's Congress at an off-the-recorded gathering. Resignation of Tung Chee-hwa and interpretation of Basic Law On 12 March 2005, the Chief Executive, Tung Chee-hwa, resigned. Immediately after Tung's resignation, there was dispute over the length of the term of the Chief Executive. To most local legal professionals, the length is obviously five years, under whatever circumstances. It should also be noted that the wording of the Basic Law on the term of the Chief Executive is substantially different from the articles in the PRC constitution concerning the length of term of the president, premier, etc. Nonetheless, legal experts from the mainland said it is a convention a successor will only serve the remainder of the term if the position is vacant because the predecessor resigned. The Standing Committee of the National People's Congress exercised its right to interpret the Basic Law, and affirmed that the successor would only serve the remainder of the term. Many in Hong Kong saw this as having an adverse impact on one country, two systems, as the Central People's Government interpret the Basic Law to serve its need, that is, a two-year probation for Tsang, instead of a five-year term. Political reform package On 4 December 2005, people in Hong Kong demonstrated against Sir Donald Tsang's proposed reform package, before a vote on 21 December. According to the organisers, an estimated 250,000 turned out into the streets. The police supplied a figure of 63,000, and Michael de Golyer of Baptist University estimated between 70,000 and 100,000. The march has sent a strong message to hesitant pro-democracy legislators to follow public opinion. The pro-government camp claims to have collected 700,000 signatures on a petition backing Mr. Tsang's reform package. This number, however, is widely seen as too small to influence pro-democracy lawmakers. The Reform Package debate has seen the return of key political figure and former Chief Secretary Anson Chan, raising speculations of a possible run up for the 2007 Chief Executive election, though she dismissed having a personal interest in standing for the next election. In an attempt to win last minute votes from moderate pro-democracy lawmakers, the government amended its reform package on 19 December by proposing a gradual cut in the number of district council members appointed by the Chief Executive. Their number would be reduced from 102 to 68 by 2008. It would then be decided in 2011 whether to scrap the remaining seats in 2012 or in 2016. The amendment has been seen as a reluctant response by Sir Donald Tsang to give satisfaction to the democratic demands made by demonstrators on 4 December. The move has been qualified "Too little, too late" by pan-democrats in general. On 21 December 2005, the reform political reform package was vetoed by the pro-democracy lawmakers. Chief Secretary Rafael Hui openly criticised pro-democracy Martin Lee and Bishop Zen for blocking the proposed changes. Political Appointments System The 24 non-civil service positions under the political appointment system comprise 11 undersecretaries and 13 political assistants. The government named eight newly appointed Undersecretaries on 20 May, and nine Political Assistants on 22 May 2008. The posts were newly created, ostensibly to work closely with bureau secretaries and top civil servants in implementing the Chief Executive's policy blueprint and agenda in an executive-led government. Donald Tsang described the appointments as a milestone in the development of Hong Kong's political appointment system. Controversies arose with the disclosure of foreign passports and salaries. Pressure for disclosure continued to mount despite government insistence on the right of the individuals to privacy: on 10 June 2008, newly appointed Undersecretaries and political assistants, who had previously argued were contractually forbidden from disclosing their remuneration, revealed their salaries. The Government news release stated that the appointees had "voluntarily disclosed their salaries, given the sustained public interest in the issue." Inflation relief measures On 16 July 2008, Donald Tsang announced some "extraordinary measures for extraordinary times", giving a total of HK$11 billion in inflation relief to help families' finances. Of which, the Employee Retraining levy on the employment of Foreign domestic helpers would be temporarily waived, at an estimated cost of $HK2 billion. It was intended that the levy would be waived for a two-year period on all helpers' employment contracts signed on or after 1 September 2008, but would not apply to ongoing contracts. The Immigration Department said it would not reimburse levies, which are prepaid half-yearly or yearly in advance. The announcement resulted in chaos and confusion, and uncertainty for the helpers as some employers deferred contracts or had dismissed helpers pending confirmation of the effective date, leaving helpers in limbo. On 20 July, Secretary for Labour and Welfare Matthew Cheung announced the waiver commencement date would be brought forward by one month. The Immigration Department would relax its 14-day re-employment requirement for helpers whose contracts expired. On 30 July, the Executive Council approved the measures. After widespread criticism of the situation, the government also conceded that maids having advanced renewal of contract would not be required to leave Hong Kong through the discretion exercised by the Director of Immigration, and employers would benefit from the waiver simply by renewing the contract within the two-year period, admitting that some employers could benefit from the waiver for up to 4 years. The administration's poor handling of the matter came in for heavy criticism. The administrative credibility and competence were called into question by journals from all sides of the political spectrum, and by helpers and employers alike. Leung Chin-man appointment In August 2008, the appointment of Leung Chin-man as deputy managing director and executive director of New World China Land, subsidiary of New World Development (NWD), was greeted with uproar amidst widespread public suspicion that job offer was a quid pro quo for the favours he allegedly granted to NWD. Leung was seen to have been involved with the sale of the Hung Hom Peninsula Home Ownership Scheme (HOS) public housing estate to NWD at under-value in 2004. After a 12-month 'sterilisation period' after retirement, Leung submitted an application to the government on 9 May for approval to take up employment with New World China Land. The Secretary for the Civil Service, Denise Yue Chung-yee, signed off on the approval for him to take up the job after his request passed through the vetting committee. Controversies surrounded not only the suspicions of Leung's own conflict of interest, but also of the insensitivity of the committee which recommended the approval for him to take up his lucrative new job less than two years after his official retirement. New World argued that they hired Leung in good faith after government clearance. On 15 August, the Civil Service Bureau issued the report requested by Donald Tsang, where they admitted that they had neglected to consider Leung's role in the Hung Hom Peninsula affair. Donald Tsang asked the SCS to reassess the approval, and submit a report to him. New World Development announced in the early hours of 16 August that Leung had resigned from his post, without any compensation from either side or from the government, for the termination. The next day, Donald Tsang confirmed that Denise Yue would not have to resign. He was satisfied with her apology and with the explanations offered by her. Tsang ordered a committee, of which Yue was to be a member, to be set up to perform a sweeping review of the system to process applications for former civil servants. May 2010 by-election In January 2010, five pan-democrats resigned from the Legislative Council of Hong Kong to trigger a by-election in response to the lack of progress in the move towards universal suffrage. They wanted to use the by-election as a de facto referendum for universal suffrage and the abolition of
recognised central banking system, although the Hong Kong Monetary Authority functions as a financial regulatory authority. Its economy is governed under positive non-interventionism, and is highly dependent on international trade and finance. For this reason it is regarded as among the most favorable places to start a company. In fact, a recent study shows that Hong Kong has come from 998 registered start-ups in 2014 to over 2800 in 2018, with eCommerce (22%), Fintech (12%), Software (12%) and Advertising (11%) companies comprising the majority. The Economic Freedom of the World Index listed Hong Kong as the number one country, with a score of 8.97, in 2015. Hong Kong's economic strengths include a sound banking system, virtually no public debt, a strong legal system, ample foreign exchange reserves at around US $408 billion as of mid-2017, rigorous anti-corruption measures and close ties with mainland China. The Hong Kong Stock Exchange is a favourable destination for international firms and firms from mainland China to be listed, due to Hong Kong's highly internationalised and modernised financial industry. Additional advantages include the city's capital market in Asia, its size, regulations and available financial tools, which are comparable to London and New York City. Hong Kong's gross domestic product had grown 180 times between 1961 and 1997. Also, the GDP per capita rose by 87 times within the same time frame. Its economy is slightly larger than Israel's or Ireland's and its GDP per capita at purchasing power parity was the sixth highest globally in 2011. By the latter measure, its GDP per capita was higher than those of the United States and the Netherlands, and slightly lower than Brunei. In 2009, Hong Kong's real economic growth fell by 2.8% as a result of the Great Recession. By the late 20th century, Hong Kong was the seventh largest port in the world and second only to New York City and Rotterdam in terms of container throughput. Hong Kong is a full Member of the World Trade Organization. The Kwai Chung container complex was the largest in Asia, while Hong Kong shipping owners were second only to those of Greece in terms of total tonnage holdings in the world. The Hong Kong Stock Exchange is the sixth largest in the world, with a market capitalisation of about US$3.732 trillion. Hong Kong has also had an abundant supply of labour from the regions nearby. A skilled labour force coupled with the adoption of modern British/Western business methods and technology ensured that opportunities for external trade, investment, and recruitment were maximised. Prices and wages in Hong Kong are relatively flexible, depending on the performance and stability of the economy of Hong Kong. Hong Kong raises revenues from the sale and taxation of land and through attracting international businesses to provide capital for its public finance, due to its low tax policy. According to Healy Consultants, Hong Kong has the most attractive business environment within East Asia, in terms of attracting foreign direct investment (FDI). In 2013, Hong Kong was the third largest recipient of FDI in the world. Hong Kong ranked fourth on the Tax Justice Network's 2011 Financial Secrecy Index. The Hong Kong Government was the fourth highest ranked Asian government in the World Economic Forum's Network Readiness Index (NRI), a measure of a government's information and communication technologies in 2016, and ranked 13th globally. However, conservative American thinktanks such as the Heritage Foundation has removed Hong Kong from the Index of Economic Freedom, as in recent years it was demonstrated that its economic policies have been ultimately controlled by Beijing. The economics freedom index stated that Hong Kong will be considered in the context of China, indicating the eroded independence and greater state control over the city's capitalist system. Economic predictions Since the 1997 handover, Hong Kong's economic future became far more exposed to the challenges of economic globalisation and the direct competition from cities in mainland China. In particular, Shanghai claimed to have a geographical advantage. The Shanghai municipal government dreamt of turning the city into China's main economic centre by as early as 2010. Positive non-interventionism Hong Kong's economic policy has often been cited by economists such as Milton Friedman and the Cato Institute as an example of laissez-faire capitalism, attributing the city's success to the policy. However, others have argued that the economic strategy is not adequately characterised by the term laissez-faire. They point out that there are still many ways in which the government is involved in the economy, some of which exceed the degree of involvement in other capitalist countries. For example, the government is involved in public works projects, healthcare, education, and social welfare spending. Further, although rates of taxation on personal and corporate income are low by international standards, unlike most other countries Hong Kong's government raises a significant portion of its
its size, regulations and available financial tools, which are comparable to London and New York City. Hong Kong's gross domestic product had grown 180 times between 1961 and 1997. Also, the GDP per capita rose by 87 times within the same time frame. Its economy is slightly larger than Israel's or Ireland's and its GDP per capita at purchasing power parity was the sixth highest globally in 2011. By the latter measure, its GDP per capita was higher than those of the United States and the Netherlands, and slightly lower than Brunei. In 2009, Hong Kong's real economic growth fell by 2.8% as a result of the Great Recession. By the late 20th century, Hong Kong was the seventh largest port in the world and second only to New York City and Rotterdam in terms of container throughput. Hong Kong is a full Member of the World Trade Organization. The Kwai Chung container complex was the largest in Asia, while Hong Kong shipping owners were second only to those of Greece in terms of total tonnage holdings in the world. The Hong Kong Stock Exchange is the sixth largest in the world, with a market capitalisation of about US$3.732 trillion. Hong Kong has also had an abundant supply of labour from the regions nearby. A skilled labour force coupled with the adoption of modern British/Western business methods and technology ensured that opportunities for external trade, investment, and recruitment were maximised. Prices and wages in Hong Kong are relatively flexible, depending on the performance and stability of the economy of Hong Kong. Hong Kong raises revenues from the sale and taxation of land and through attracting international businesses to provide capital for its public finance, due to its low tax policy. According to Healy Consultants, Hong Kong has the most attractive business environment within East Asia, in terms of attracting foreign direct investment (FDI). In 2013, Hong Kong was the third largest recipient of FDI in the world. Hong Kong ranked fourth on the Tax Justice Network's 2011 Financial Secrecy Index. The Hong Kong Government was the fourth highest ranked Asian government in the World Economic Forum's Network Readiness Index (NRI), a measure of a government's information and communication technologies in 2016, and ranked 13th globally. However, conservative American thinktanks such as the Heritage Foundation has removed Hong Kong from the Index of Economic Freedom, as in recent years it was demonstrated that its economic policies have been ultimately controlled by Beijing. The economics freedom index stated that Hong Kong will be considered in the context of China, indicating the eroded independence and greater state control over the city's capitalist system. Economic predictions Since the 1997 handover, Hong Kong's economic future became far more exposed to the challenges of economic globalisation and the direct competition from cities in mainland China. In particular, Shanghai claimed to have a geographical advantage. The Shanghai municipal government dreamt of turning the city into China's main economic centre by as early as 2010. Positive non-interventionism Hong Kong's economic policy has often been cited by economists such as Milton Friedman and the Cato Institute as an example of laissez-faire capitalism, attributing the city's success to the policy. However, others have argued that the economic strategy is not adequately characterised by the term laissez-faire. They point out that there are still many ways in which the government is involved in the economy, some of which exceed the degree of involvement in other capitalist countries. For example, the government is involved in public works projects, healthcare, education, and social welfare spending. Further, although rates of taxation on personal and corporate income are low by international standards, unlike most other countries Hong Kong's government raises a significant portion of its revenues from land leases and land taxation. All land in Hong Kong is owned by the government and is leased to private developers and users on fixed terms, for fees which are paid to the state treasury. By restricting the sale of land leases, the Hong Kong government keeps the price of land at what some consider as artificially high prices and this allows the government to support public spending with a low tax rate on income and profit. Economic freedom Hong Kong was ranked as the world's 2nd freest economy in the Index of Economic Freedom of The Heritage Foundation in 2020 after Singapore. The index measures restrictions on business, trade, investment, finance, property rights and labour, and considers the impact of corruption, government size and monetary controls in 183 economies. Hong Kong is the only economy to have scored 90 points or above on the 100-point scale, achieved in 2014 and 2018. In 2021 the Heritage Foundation removed Hong Kong as a separate entity from China from its list of freest economics of the world citing increasing interference from the Chinese government in Hong Kong's governmental system and democratic process. With this Hong Kong along with Macao lost a position they had held in the index after several decades. The head of the Heritage Foundation indicated that Hong Kong is guaranteed with more economic freedoms but however, those economic policies are still ultimately controlled by Beijing. Economic data The following table shows the main economic indicators in 1980–2020 (with IMF staff stimtates in 2021–2026). Inflation below 5% is in green. GDP GDP (nominal, 2017) – HK$2,669,009 million GDP – real growth rate: +3.8% (2017) GDP – per capita: HK$360,000 (2017) GDP – composition by sector (2015): Finance and insurance: 17.6% Tourism: 5.0% Trade: 22.2% Professional Services: 12.4% Other Sectors: 42.8% Gdp ppp\per capita in 2020 59520$, Gdp ppp 444,86milliards\billions dollars Population Population: – 7.409 million (end-2017), +0.9% p.a. (2015–16) Unemployment rate: 2.9% (2017) Labour Force Participation Rate (2009): Overall: 60.3% Male: 45.8% Female: 54.2% Age 15–24: 8.5% Age 25–39: 36.8% Age 39+: 43.7% Labour Labour force: 3.9 million (mid-2017) Employed: 3.86 million (96.8%, mid-2017) Public administration, social and personal services 510,321 Finance and insurance 223.221
connections to ASEAN member nations, Japan, Taiwan, Australia, Middle East, and Western Europe The Hong Kong telecommunication industry was deregulated in 1995. There are no foreign ownership restrictions. The Office of Telecommunications Authority (OFTA) is the legislative body responsible for regulating the telecommunications industry. Competition in this sector is fierce. Since 2008, one can get 10 Mbit/s up and down unlimited VDSL, telephone line rental, unlimited local calls, and 100 minutes of international calls for US$25/month. Telephone line rental and unlimited local calls is only US$3/month. Telecommunication company , the penetration rate in Hong Kong was estimated at 240.8% over a population estimate of over 7.325 million. Hong Kong's telecom regulator is the Office of the Communications Authority (OFCA). Telephone International dialling code: +852 Telephones – main lines in use: 4.345 million, 37th in the world (2009) Telephones – mobile cellular: 13.416 million, 54th in the world (2009) Major fixed-line operators: PCCW Major cellular operators: 3 Hong Kong, SmarTone, CSL, China Mobile Hong Kong Internet Number of Internet users: 4,920,255 or 69.4% of the population (2010) Number of Internet hosts: 861,516 hosts, 48th in the world (2010) IPv4 addresses allocated: 11,777,024 or 1,646 per 1000 population (April 2012) Internet Service Providers (ISPs): 179 (May 2007) Dial-up access accounts: 0.99 million (Mar 2007) Country code (Top-level domain): .hk Broadband Internet access Fixed broadband subscriptions: 2,111,109 or 29.93 per 100 inhabitants (2010) As of April 2006, HKBN offers its customers Internet access with speeds starting from 10 Mbit/s up to 1000 Mbit/s (1 Gbit/s) via Fiber to the building and Fiber to the Home. However the speed to non-Hong Kong destinations is capped to 20 Mbit/s. As of November 2009, the company was offering 100 Mbit/s service for HK$99 (about $13 US) per month. Major Internet Service Providers (ISPs) include: PCCW Netvigator, with a 95% coverage area and providing internet access to 1.9 million users. ADSL connections, speeds up to 8M/800K are priced differently. Newly constructed apartments have ADSL2 and VDSL connections, which have speeds up to 100M/100M. FTTH for last
48th in the world (2010) IPv4 addresses allocated: 11,777,024 or 1,646 per 1000 population (April 2012) Internet Service Providers (ISPs): 179 (May 2007) Dial-up access accounts: 0.99 million (Mar 2007) Country code (Top-level domain): .hk Broadband Internet access Fixed broadband subscriptions: 2,111,109 or 29.93 per 100 inhabitants (2010) As of April 2006, HKBN offers its customers Internet access with speeds starting from 10 Mbit/s up to 1000 Mbit/s (1 Gbit/s) via Fiber to the building and Fiber to the Home. However the speed to non-Hong Kong destinations is capped to 20 Mbit/s. As of November 2009, the company was offering 100 Mbit/s service for HK$99 (about $13 US) per month. Major Internet Service Providers (ISPs) include: PCCW Netvigator, with a 95% coverage area and providing internet access to 1.9 million users. ADSL connections, speeds up to 8M/800K are priced differently. Newly constructed apartments have ADSL2 and VDSL connections, which have speeds up to 100M/100M. FTTH for last mile broadband of speeds up to 10G/10G. Business plans have speeds up to 10G/10G. HGC ADSL & VDSL & FTTH broadband of speeds up to 1G/1G. ADSL & VDSL broadband of speeds up to 10M/10M. HKBN Metro Ethernet (CAT-5E/FTTH for last mile) broadband of speeds up to 1G/1G. I-cable Broadband Cable HFC Broadband of speeds up to 200M/10M shared by one tower (tens of apartments) and FTTH Broadband of speeds up to 1G/1G. Internet censorship in Hong Kong There is very little Internet censorship in Hong Kong beyond laws that criminalise the distribution of unlicensed copyrighted material and obscene images, particularly child pornography. Hong Kong law provides for freedom of speech and press, and
City One, Sha Tin and Kowloon Tong MTR station. New World First Bus Services Limited was established in 1998, taking over China Motor Bus's franchise to provide bus services on Hong Kong Island together with Citybus. NWFB's owner company later bought Citybus, and NWFB and Citybus share the same website, but the two companies have essentially been operating independently. Public light buses Public light buses (小巴) (widely referred to as minibuses, or sometimes maxicabs, a de facto share taxi) run the length and breadth of Hong Kong, through areas which the standard bus lines can not or do not reach as frequently, quickly or directly. Minibuses carry a maximum of 16 (19 for some routes since 2017) passengers; standing is not permitted. The Hong Kong Transport Department (HKTD) allows and licenses the operation of two types of public light buses: green minibuses that have route numbers, stop at designated stops (many routes have hail and ride sections along which passengers can board and exit anywhere unless it is a no-stopping zone) and which have their fares, service and frequency regulated by the HKTD; and red minibuses that may or may not have regular routes, may or may not be numbered, may or may not have fixed stops and whose fares and service levels are not regulated by HKTD. Red minibuses often provide more convenient transport for passengers not served by green minibuses or other public buses, and are thus quite popular. Where green minibus drivers are paid fixed wages to drive their routes, red minibus drivers often rely on their fares for a living and thus are often seen to be more aggressive drivers. The prevalence of aggressive driving has resulted in the Transport Department making it mandatory for Hong Kong minibuses to be equipped with large read-out speedometers which allow passengers to track the speed at which minibus drivers operate. Currently, if minibuses exceed 80 km/h, the speedometer will sound an audible warning signal to the driver and passengers. If the minibus exceeds 100 km/h, the beeping will turn into a sustained tone. The Transport Department has also regulated, after a series of minibus accidents, that all new minibuses brought into service after August 2005 must have seat belts installed, and passengers must use seat belts when they are provided. Taxis , there were 18,138 taxis in Hong Kong, operating in three distinct (but slightly overlapping) geographical areas, and distinguished by their colour. Of these, 15,250 are red urban taxis, 2,838 green New Territories taxis, and 50 blue Lantau taxis. Every day, they serve 1,100,000, 207,900, and 1,400 passengers respectively. Taxis carry an average of 1,000,000 passengers each day, occupying about 12% of the daily patronage carried by all modes of public transport in Hong Kong. Most of the taxis in Hong Kong run on LPG (liquified petroleum gas) to reduce emissions. In August 2000, a one-off grant was paid in cash to taxi owners who replaced their diesel taxi with an LPG one. Since August 2001, all newly purchased taxis run on LPG. By the end of 2003, over 99.8% of the taxi fleet in Hong Kong ran on LPG. Taxi fares are charged according to the taximeter; however, additional charges on the fare table may apply, such as road tolls and luggage fees. Urban taxis are the most expensive, while Lantau taxis are the cheapest. The standard of service among different kinds of taxis is mostly the same. The reason for having three types of taxis is to ensure service availability in less populated regions, as running in the urban centre is considered to be more profitable. Private cars As of May 2015, the Census and Statistics Department of Hong Kong reports that there are 504,798 licensed vehicles in Hong Kong. In terms of private car ownership, the number of cars per capita is half that of Singapore and one-third that of Taiwan. However, the Transport Advisory Committee, which advises the government on transport policies, issued a report stating that the growth of private cars is too fast and must be contained so as to alleviate congestion problems of Hong Kong. Private cars are most popular in newly developed areas such as New Territories and Lantau and areas near the border with mainland China, as there are fewer public transportation options, and more parking spaces compared to other areas of Hong Kong. Most cars are right-hand drive models, from Japanese or European manufacturers. Almost all private vehicles in Hong Kong have dual airbags and are tested by JNCAP. Vehicles must also be maintained to a high standard, contrary to mainland China regulations. Hong Kong does not allow left-hand drive vehicles to be primarily registered in Hong Kong. However, Hong Kong registered vehicles may apply for secondary mainland Chinese registration plates, and these can be driven across the border to mainland China; likewise, left-hand drive cars seen in Hong Kong are usually primarily registered in mainland China and carry supplementary Hong Kong registration plates. Cars are subjected to a first-time registration tax, which varies from 35% to over 100%, based on the size and value of the car. The level of vehicle taxation was increased by a law passed on 2 June 1982 to discourage private car ownership, and also as an incentive to buy smaller, more efficient cars, as these have less tax levied on them. First-time registration tax was doubled, annual licensing fees were increased by 300%, and $0.70 duty fee was imposed on each litre of light oils. In addition to the heavy traffic at times, parking may be problematic. Due to high urban density, there are not many filling stations; petrol in Hong Kong averages around US$2.04 per litre, of which over half the cost is taxes. It was suggested in the news that the government had deliberately impeded the use of new environmentally friendly diesel engines by allowing only light goods vehicles to be fuelled by diesel. While it cannot be determined why exactly the government does not allow private cars to be fuelled by diesel, it has been pointed out that the government does receive a tax that is 150% of the actual fuel cost. This is mostly to discourage car ownership for environmental reasons. There is a waiting list for local driving tests, while a full (private car) driving licence valid for ten years costs around US$115. Residents of Hong Kong holding licences issued by other Chinese authorities and some foreign countries can get a Hong Kong driving licence exempt from tests if they can adequately show that they obtained their licence while residing in the place concerned (common proofs are school transcripts or employer's documentation). Some private car owners, known as white card drivers, provide a taxi service for a nominal fee. Bicycles Cycling is a popular means of transport in many parts of the New Territories, where new towns such as Sha Tin, Tai Po and Sheung Shui have significant cycle track networks. In the auto congested urban areas of Hong Kong and Kowloon, cycling is less common, despite the relatively flat topography of populated areas, in part because it is government policy not to support cycling as part of the transportation system. In 2011, MTR Corporation announced that bicycles were permitted to be taken on all MTR rail lines. Motorcycles Motorcycles by the private users in Hong Kong urban districts are not as popular as in South East Asian countries like Vietnam. They are mostly used for commercial and business purposes. Cross-border buses A large number of buses leave various parts of Hong Kong (usually from side streets and hotel entrances) to various cities in the Pearl River Delta, Shenzhen and Guangzhou. Maritime transport Ferries Internal routes Most ferry services are provided by licensed ferry operators. , there were 27 regular licensed passenger ferry services operated by 11 licensees, serving outlying islands, new towns and inner-Victoria Harbour. Two of the routes operated by the Star Ferry are franchised. Additionally, 78 "kai-to" ferries are licensed to serve remote coastal settlements. The following companies operate ferry services in Hong Kong: Star Ferry: Central to Tsim Sha Tsui Wan Chai to Tsim Sha Tsui Harbour Tour (Circular between Tsim Sha Tsui, Central, Wan Chai, and Hung Hom) New World First Ferry: Central to Cheung Chau Central to Mui Wo Peng Chau, Mui Wo, Chi Ma Wan, and Cheung Chau North Point to Hung Hom North Point to Kowloon City Hong Kong & Kowloon Ferry: Lamma Island to Central Central to Peng Chau Peng Chau to Hei Ling Chau Chuen Kee Ferry: Lamma Island (Sok Kwu Wan and Mo Tat) to Aberdeen HKR International Limited: Discovery Bay Transportation Services – Discovery Bay to Central Park Island Transport Company Ltd.: Ma Wan to Central Ma Wan to Tsuen Wan Discovery Bay Transport Services Ltd. Discovery Bay to Central Fortune Ferry (富裕小輪) North Point to Kwun Tong Tuen Mun to Tai O (via Tung Chung, Sha Lo Wan) Central to Hung Hom Coral Sea Ferry (珊瑚海船務) Sai Wan Ho to Kwun Tong Sai Wan Ho to Lei Yue Mun (Sam Ka Tsuen) Tsui Wah Ferry: Aberdeen via Pak Kok Tsuen to Lamma Island (Yung Shue Wan) Aberdeen via Stanley (Blake Pier) to Po Toi Island Ma Liu Shui via Sham Chung and Lai Chi Chong to Tap Mun Ma Liu Shui to Tung Ping Chau Wong Shek Pier via Ko Lau Wan to Tap Mun Wong Shek Pier via Wan Tsai (Nam Fung Wan) to Chek Keng External routes In Hong Kong, there are three piers that provides ferry services to Macau and cities in southern China: The Hong Kong–Macau Ferry Terminal The Hong Kong China Ferry Terminal The Skypier (For Transitting Only) Ferry services are provided by several different ferry companies at these piers. Fastferry hydrofoil and catamaran service is available at all times of the week between Hong Kong and Macau. TurboJet provides 24-hour services connecting Central and Macau at a frequency of up to every 15 to 30 minutes. It also provides these regular services: Hong Kong International Airport to Shenzhen Airport / Macau / Guangzhou (Nansha Ferry Port)
a system at the time. In August 1901, the Second Tramway Bill was introduced and passed into law as the 1902 Tramway Ordinance. Hong Kong Tramway Electric Company Limited, a British company, was authorised to take the responsibilities in construction and daily operation. In 1904, the tram system first got into service. It was soon taken over by another company, Electric Tranction Company of Hong Kong Limited and then the name was changed to Hong Kong Tramways Company Limited in 1910. The rail system is long, with a total track length of , and it runs together with other vehicles on the street. Its operation relies on the 550V direct current (d.c.) from the overhead cables, on 3'6" gauge (1067 mm) tracks. The trams provide service to only parts of Hong Kong Island: they run on a double track along the northern coast of Hong Kong Island from Kennedy Town to Shau Kei Wan, with a single clockwise-running track of about around Happy Valley Racecourse. Funicular railways There are two funicular railway services in Hong Kong: The Peak Tram carries both tourists and residents to the upper levels of Hong Kong Island. It provides the most direct route to Victoria Peak and offers scenic views over Victoria Harbour and the skyscrapers of Hong Kong. It was inaugurated in 1888. The Ocean Express operates within the paid area of the Ocean Park theme park. It links two parts of the park, operating entirely in a tunnel. The ride is themed, and uses multimedia effects to simulate the feeling of travelling into the depths of the sea. It was opened in 2009. Airport people-mover system The Hong Kong International Airport Automated People Mover is a driverless people-mover system located within the Hong Kong International Airport in Chek Lap Kok. It operates in two "segments". For departures, the train runs from Terminal 2 to the East Hall to the West Hall. For arrivals, the train runs only from the West Hall to the East Hall, where all passengers must disembark for immigration, customs, and baggage claim. Operation of the first segment commenced in 1998, and the operation of the second segment commenced in early-2007. There is another system between the terminals. There is also a travellator which can be used. Cross-border trains Inter-city train services crossing the Hong Kong-China boundary are known as Intercity Through Trains. They are jointly operated by Hong Kong's MTR Corporation and China Railway High-speed. Hung Hom station (formerly called Kowloon station) and West Kowloon Terminus are the stations in Hong Kong where passengers can catch these trains. Passengers have to go through immigration and customs before boarding. There are currently four through train routes: Between Hong Kong and Beijing (Beijing–Kowloon through train) Between Hong Kong and Shanghai (Shanghai–Kowloon through train) Between Hong Kong and Guangzhou (Guangzhou–Kowloon through train) Between Hong Kong and Guangzhou (Guangzhou–Shenzhen–Hong Kong Express Rail Link) (XRL) Road transport Buses Bus services have a long history in Hong Kong. As of 2015, five companies operate franchised public bus services, each granted ten-year exclusive operating rights to the set of routes that they operate. Franchise buses altogether carry about one-third of the total daily public transport market of around 12,000,000 passengers, with KMB having 67% of the franchised bus market share, CityBus with 16% and New World First Bus with 13%. There are also a variety of non-franchised public buses services, including feeder bus services to railway stations operated by the railway companies, and residents' services for residential estates (particularly those in the New Territories). The five franchised bus companies are: Kowloon Motor Bus Company (1933) Limited; Citybus Limited; Long Win Bus Company Limited; New World First Bus Services Limited; and New Lantao Bus Company (1973) Limited. Founded in 1933, the Kowloon Motor Bus Company (1933) Limited (KMB) is one of the largest privately owned public bus operators in the world. KMB's fleet consist of about 3,900 buses on 400 routes and a staff of over 12,000 people. In 1979, Citybus began its operations in Hong Kong with one double-decker, providing shuttle service for the Hong Kong dockyard. It later expanded into operating a residential bus route between City One, Sha Tin and Kowloon Tong MTR station. New World First Bus Services Limited was established in 1998, taking over China Motor Bus's franchise to provide bus services on Hong Kong Island together with Citybus. NWFB's owner company later bought Citybus, and NWFB and Citybus share the same website, but the two companies have essentially been operating independently. Public light buses Public light buses (小巴) (widely referred to as minibuses, or sometimes maxicabs, a de facto share taxi) run the length and breadth of Hong Kong, through areas which the standard bus lines can not or do not reach as frequently, quickly or directly. Minibuses carry a maximum of 16 (19 for some routes since 2017) passengers; standing is not permitted. The Hong Kong Transport Department (HKTD) allows and licenses the operation of two types of public light buses: green minibuses that have route numbers, stop at designated stops (many routes have hail and ride sections along which passengers can board and exit anywhere unless it is a no-stopping zone) and which have their fares, service and frequency regulated by the HKTD; and red minibuses that may or may not have regular routes, may or may not be numbered, may or may not have fixed stops and whose fares and service levels are not regulated by HKTD. Red minibuses often provide more convenient transport for passengers not served by green minibuses or other public buses, and are thus quite popular. Where green minibus drivers are paid fixed wages to drive their routes, red minibus drivers often rely on their fares for a living and thus are often seen to be more aggressive drivers. The prevalence of aggressive driving has resulted in the Transport Department making it mandatory for Hong Kong minibuses to be equipped with large read-out speedometers which allow passengers to track the speed at which minibus drivers operate. Currently, if minibuses exceed 80 km/h, the speedometer will sound an audible warning signal to the driver and passengers. If the minibus exceeds 100 km/h, the beeping will turn into a sustained tone. The Transport Department has also regulated, after a series of minibus accidents, that all new minibuses brought into service after August 2005 must have seat belts installed, and passengers must use seat belts when they are provided. Taxis , there were 18,138 taxis in Hong Kong, operating in three distinct (but slightly overlapping) geographical areas, and distinguished by their colour. Of these, 15,250 are red urban taxis, 2,838 green New Territories taxis, and 50 blue Lantau taxis. Every day, they serve 1,100,000, 207,900, and 1,400 passengers respectively. Taxis carry an average of 1,000,000 passengers each day, occupying about 12% of the daily patronage carried by all modes of public transport in Hong Kong. Most of the taxis in Hong Kong run on LPG (liquified petroleum gas) to reduce emissions. In August 2000, a one-off grant was paid in cash to taxi owners who replaced their diesel taxi with an LPG one. Since August 2001, all newly purchased taxis run on LPG. By the end of 2003, over 99.8% of the taxi fleet in Hong Kong ran on LPG. Taxi fares are charged according to the taximeter; however, additional charges on the fare table may apply, such as road tolls and luggage fees. Urban taxis are the most expensive, while Lantau taxis are the cheapest. The standard of service among different kinds of taxis is mostly the same. The reason for having three types of taxis is to ensure service availability in less populated regions, as running in the urban centre is considered to be more profitable. Private cars As of May 2015, the Census and Statistics Department of Hong Kong reports that there are 504,798 licensed vehicles in Hong Kong. In terms of private car ownership, the number of cars per capita is half that of Singapore and one-third that of Taiwan. However, the Transport Advisory Committee, which advises the government on transport policies, issued a report stating that the growth of private cars is too fast and must be contained so as to alleviate congestion problems of Hong Kong. Private cars are most popular in newly developed areas such as New Territories and Lantau and areas near the border with mainland China, as there are fewer public transportation options, and more parking spaces compared to other areas of Hong Kong. Most cars are right-hand drive models, from Japanese or European manufacturers. Almost all private vehicles in Hong Kong have dual airbags and are tested by JNCAP. Vehicles must also be maintained to a high standard, contrary to mainland China regulations. Hong Kong does not allow left-hand drive vehicles to be primarily registered in Hong Kong. However, Hong Kong registered vehicles may apply for secondary mainland Chinese registration plates, and these can be driven across the border to mainland China; likewise, left-hand drive cars seen in Hong Kong are usually primarily registered in mainland China and carry supplementary Hong Kong registration plates. Cars are subjected to a first-time registration tax, which varies from 35% to over 100%, based on the size and value of the car. The level of vehicle taxation was increased by a law passed on 2 June 1982 to discourage private car ownership, and also as an incentive to buy smaller, more efficient cars, as these have less tax levied on them. First-time registration tax was doubled, annual licensing fees were increased by 300%, and $0.70 duty fee was imposed on each litre of light oils. In addition to the heavy traffic at times, parking may be problematic. Due to high urban density, there are not many filling stations; petrol in Hong Kong averages around US$2.04 per litre, of which over half the cost is taxes. It was suggested in the news that the government had deliberately impeded the use of new environmentally friendly diesel engines by allowing only light goods vehicles to be fuelled by diesel. While it cannot be determined why exactly the government does not allow private cars to be fuelled by diesel, it has been pointed out that the government does receive a tax that is 150% of the actual fuel cost. This is mostly to discourage car ownership for environmental reasons. There is a waiting list for local driving tests, while a full (private car) driving licence valid for ten years costs around US$115. Residents of Hong Kong holding licences issued by other Chinese authorities and some foreign countries can get a Hong Kong driving licence exempt from tests if they can adequately show that they obtained their licence while residing in the place concerned (common proofs are school transcripts or employer's documentation). Some private car owners, known as white card drivers, provide a taxi service for a nominal fee. Bicycles Cycling is a popular means of transport in many parts of the New Territories, where new towns such as Sha Tin, Tai Po and Sheung Shui have
and encourage more Australian companies, particularly resources companies, to list in Hong Kong. During his visit, Mr Tsang held meetings with the Prime Minister, Julia Gillard, and the Minister for Foreign Affairs, Kevin Rudd, as well as the leader of the Opposition, Tony Abbott, and the Shadow Minister for Foreign Affairs, Julie Bishop. Many foreign dignitaries visit Hong Kong each year. The number of such visits has grown since 1997 as many of them have included Hong Kong as a destination on their trips to China, while others have visited Hong Kong specifically to see "one country, two systems" in operation. The level of VIP visits is also boosted by major international conferences held in Hong Kong in recent years. In 2009–2012, there were 11 official visits to Hong Kong, including the visits of the Prime Minister of Canada, Secretary of State of the United States of America, President of the Russian Federation, President of the Republic of Indonesia, President of the Republic of Korea and other foreign dignitaries. Foreign officials visit Hong Kong Protocol Division Government Secretariat The Protocol Division Government Secretariat is responsible for liaising with the large consulate groups of various countries stationed in the Hong Kong and providing host government services to these consular groups.The Protocol Division Government Secretariat also represents Hong Kong government to receive national leaders and international organizations visiting Hong Kong, and plan and coordinate official visits to Hong Kong by members of the foreign royal family and senior government leaders. Foreign officials As of November 2005, the Hong Kong Government has received more than 60 foreign heads of state, government and senior ministers for official visits to Hong Kong. Leaders who have visited Hong Kong include Canadian Prime Minister Justin Trudeau, Singaporean Prime Minister Lee Hsien Loong, Russian President, President of Panama, Prime Minister of New Zealand, Prime Minister of Pakistan, Prime Minister of the Netherlands Dmitry Medvedev, and British Prime Minister Tony Blair,etc Pictures of foreign officials visiting Hong Kong: https://www.protocol.gov.hk/sc/vip_ovp.html Overseas representation in Hong Kong When Hong Kong was under British rule, most Commonwealth member states, unlike other countries, were represented in Hong Kong by Commissions. However, following the 1997 handover, they were all renamed Consulates-General. Owing to Hong Kong's economic importance, and the large number of British passport holders, the British Consulate-General is the largest of its kind in the world and bigger than many British Embassies and High Commissions abroad. Most countries maintain Consulates-General or Consulates in Hong Kong. However, despite their name, many Consulates-General are not subordinate to their country's embassy to the PRC in Beijing. For example, the British Consulate-General is directly subordinate to the Foreign and Commonwealth Office of the UK rather than the British embassy in the Chinese capital. The Consul-General of the United States, likewise, holds ambassadorial rank, and reports to the Assistant Secretary of State for East Asian Affairs in the US Department of State. By contrast, the US Consuls-General posted to Chengdu, Guangzhou, Shanghai, and Shenyang report to the Deputy Chief of Mission of the US Embassy in Beijing who is directly subordinate to the US ambassador. See also Foreign relations of China Foreign relations of Macau Hong Kong Economic and
will meet with political and business leaders. Usually, the head of state or head of government of the foreign countries will receive the Chief Executive. For example, former Chief Executive Tung Chee-hwa made three visits to the United States during his term. In these three visits, Tung Chee-hwa met with the U.S. President in the Oval Office at the White House. Chief Executive Donald Tsang had visited Japan, South Korea, Russia, United Kingdom, United States, Australia, New Zealand, Chile, Brazil, India, France and other countries during his term of government. For example, the then Chief Executive Donald Tsang visited London and Edinburgh in 2011 as part of his European tour to renew ties with the UK and promote Hong Kong as a gateway to Asia. He met Prime Minister David Cameron and Foreign Secretary William Hague, and the Chancellor of the Exchequer George Osborne. In mid-2011, Donald Tsang visited Australia in June to strengthen ties between Hong Kong and Australia, promote trade opportunities, and encourage more Australian companies, particularly resources companies, to list in Hong Kong. During his visit, Mr Tsang held meetings with the Prime Minister, Julia Gillard, and the Minister for Foreign Affairs, Kevin Rudd, as well as the leader of the Opposition, Tony Abbott, and the Shadow Minister for Foreign Affairs, Julie Bishop. Many foreign dignitaries visit Hong Kong each year. The number of such visits has grown since 1997 as many of them have included Hong Kong as a destination on their trips to China, while others have visited Hong Kong specifically to see "one country, two systems" in operation. The level of VIP visits is also boosted by major international conferences held in Hong Kong in recent years. In 2009–2012, there were 11 official visits to Hong Kong, including the visits of the Prime Minister of Canada, Secretary of State of the United States of America, President of the Russian Federation, President of the Republic of Indonesia, President of the Republic of Korea and other foreign dignitaries. Foreign officials visit Hong Kong Protocol Division Government Secretariat The Protocol Division Government Secretariat is responsible for liaising with the large consulate groups of various countries stationed in the Hong Kong and providing host government services to these consular groups.The Protocol Division Government Secretariat also represents Hong Kong government to receive national leaders and international organizations visiting Hong Kong, and plan and coordinate official visits to Hong Kong by members of the foreign royal family and senior government leaders. Foreign officials As of November 2005, the Hong Kong Government has received more than 60 foreign heads of state, government and senior ministers for official visits to Hong Kong. Leaders who have visited Hong Kong include Canadian Prime Minister Justin Trudeau, Singaporean Prime Minister Lee Hsien Loong, Russian President, President of Panama, Prime Minister of New Zealand, Prime Minister of Pakistan, Prime Minister of the Netherlands Dmitry Medvedev, and British Prime Minister Tony Blair,etc Pictures of foreign officials visiting Hong Kong: https://www.protocol.gov.hk/sc/vip_ovp.html Overseas representation in Hong Kong When Hong Kong was under British rule, most Commonwealth member states, unlike other countries, were represented in Hong Kong by Commissions. However, following the 1997 handover, they were all renamed Consulates-General. Owing to Hong Kong's economic importance, and the large number of British passport holders, the British Consulate-General is the largest of its kind in the world and bigger than many British Embassies and High Commissions abroad. Most countries maintain Consulates-General or Consulates in Hong Kong. However, despite their name, many Consulates-General are not subordinate to their country's embassy to the PRC in Beijing. For
food, water, and other supplies including a gasoline-powered refrigerator, radio equipment, medical kits and (characteristic of that era) vast quantities of cigarettes. Fishing provided variety in their diet. Most of the colonists' endeavors involved making hourly weather observations and constructing rudimentary infrastructure on the island, including the clearing of a landing strip for airplanes. During this period the island was on Hawaii time, which was then 10.5hours behind UTC. Similar colonization projects were started on nearby Baker Island and Jarvis Island, as well as Canton Island and Enderbury in the Phoenix Islands, which later became part of Kiribati. According to the 1940 U.S. Census, Howland Island had a population of four people on April 1, 1940. Kamakaiwi Field Ground was cleared for a rudimentary aircraft landing area during the mid-1930s, in anticipation that the island might eventually become a stopover for commercial trans-Pacific air routes and also to further U.S. territorial claims in the region against rival claims from Great Britain. Howland Island was designated as a scheduled refueling stop for American pilot Amelia Earhart and navigator Fred Noonan on their round-the-world flight in 1937. Works Progress Administration (WPA) funds were used by the Bureau of Air Commerce to construct three graded, unpaved runways meant to accommodate Earhart's twin-engined Lockheed Model 10 Electra. The facility was named Kamakaiwi Field after James Kamakaiwi, a young Hawaiian who arrived with the first group of four colonists. He was selected as the group's leader and he spent more than three years on Howland, far longer than the average recruit. It has also been referred to as WPA Howland Airport (the WPA contributed about 20 percent of the $12,000 cost). Earhart and Noonan took off from Lae, New Guinea, and their radio transmissions were picked up near the island when their aircraft reached the vicinity but they were never seen again. Japanese attacks during World War II A Japanese air attack on , by 14 twin-engined Mitsubishi G3M "Nell" bombers of Chitose Kōkūtai, from Kwajalein islands, killed colonists Richard "Dicky" Kanani Whaley and Joseph Kealoha Keliʻhananui. The raid came one day after the Japanese attack on Pearl Harbor and damaged the three airstrips of Kamakaiwi Field. Two days later, shelling from a Japanese submarine destroyed what was left of the colony's buildings. A single bomber returned twice during the following weeks and dropped more bombs on the rubble. The two survivors were finally evacuated by the USS Helm, a U.S. Navy destroyer, on . Thomas Bederman, one of the two survivors, later recounted his experience during the incident in a edition of Life. Howland was occupied by a battalion of the United States Marine Corps in September1943 and was known as Howland Naval Air Station until May1944. All attempts at habitation were abandoned after 1944. Colonization projects on the other four islands, also disrupted by the war, were also abandoned. No aircraft is known to have landed on the island, though anchorages nearby were used by float planes and flying boats during World War II. For example, on , a U.S. Navy Martin PBM-3-D Mariner flying boat (BuNo 48199), piloted by William Hines, had an engine fire and made a forced landing in the ocean off Howland. Hines beached the aircraft and, though it burned, the crew were unharmed, rescued by the (the same ship that later took the USCG's Construction Unit 211 and LORAN Unit 92 to Gardner Island), transferred to a sub chaser and taken to Canton Island. National Wildlife Refuge On June 27, 1974, Secretary of the Interior Rogers Morton created Howland Island National Wildlife Refuge which was expanded in 2009 to add submerged lands within of the island. The refuge now includes of land and of water. Along with six other islands, the island was administered by the U.S. Fish and Wildlife Service as part of the Pacific Remote Islands National Wildlife Refuge Complex. In January2009, that entity was upgraded to the Pacific Remote Islands Marine National Monument by President George W. Bush. The island habitat has suffered from the presence from multiple invasive exotic species. Black rats were introduced in 1854 and eradicated in 1938 by feral cats introduced the year before. The cats proved to be destructive to bird species, and the cats were eliminated by 1985. Pacific crabgrass continues to compete with local plants. Public entry to the island is only by special use permit from the U.S. Fish and Wildlife Service and it is generally restricted to scientists and educators. Representatives from the agency visit the island on average once every two years, often coordinating transportation with amateur radio operators or the U.S. Coast Guard to defray the high cost of logistical support. Earhart Light Colonists sent to the island in the mid-1930s, to establish possession by the United States, built the Earhart Light , named after Amelia Earhart, as a day beacon or navigational landmark. It is shaped like a short lighthouse. It was constructed of white sandstone with painted black bands and a black top meant to be visible several miles out to sea during daylight hours. It is located near the boat landing at the middle of the west coast, near the site of Itascatown. The beacon was partially destroyed early in World War II by Japanese attacks, but was rebuilt in the early 1960s by men from the U.S. Coast Guard ship Blackhaw. By 2000, the beacon was reported to be crumbling and it had not been repainted in decades. Ann Pellegreno overflew the island in 1967, and Linda Finch did so in 1997, during memorial circumnavigation flights to commemorate Earhart's 1937 world flight. No landings were attempted but both Pellegreno and Finch flew low enough to drop a wreath on the island. Image gallery See also List of lighthouses in United States Minor Outlying Islands Howland and Baker islands, includes coverage of the Howland-Baker EEZ History of the Pacific Islands List of Guano Island claims Phoenix Islands References Notes Citations Bibliography Bryan, Edwin H., Jr. American Polynesia and the Hawaiian Chain. Honolulu, Hawaii: Tongg Publishing Company, 1942. Butler, Susan. East to the Dawn: The Life of Amelia Earhart. Cambridge, MA: Da Capa Press, 1999. . "Eyewitness account of the Japanese raids on Howland Island (includes a grainy photo of Itascatown)." ksbe.edu. Retrieved: October 10, 2010. Irwin, Geoffrey. The Prehistroric Exploration and Colonisation of the Pacific. Cambridge, UK: Cambridge University Press, 1992. . Long, Elgen M. and Marie K. Long. Amelia Earhart: The Mystery Solved. New York: Simon & Schuster, 1999. . Maude, H.E. Of Islands and Men: Studies in Pacific History. Melbourne, Australia: Oxford University Press, 1968. Safford, Laurance F. with Cameron A. Warren and Robert R. Payne. Earhart's Flight into Yesterday: The Facts Without the Fiction. McLean, Virginia: Paladwr Press, 2003. . Sharp, Andrew. The Discovery of the Pacific Islands. Oxford: Oxford University Press, 1960. Suárez, Thomas. Early Mapping of the Pacific. Singapore: Periplus Editions, 2004. . External links Howland Island National Wildlife Refuge - U.S. Fish and Wildlife Service Geography, history and nature on Howland Island 'Voyage of the Odyssey' – pictures and travelogue Howland Island at Infoplease Howland Island – Small Island, Big History Coral islands Uninhabited Pacific islands of the United States Amelia Earhart Works Progress Administration National Wildlife Refuges in the United States insular
a narrow fringing reef with a slightly raised central area. The highest point is about six meters above sea level. There are no natural fresh water resources. The landscape features scattered grasses along with prostrate vines and low-growing pisonia trees and shrubs. A 1942 eyewitness description spoke of "a low grove of dead and decaying kou trees" on a very shallow hill at the island's center. In 2000, a visitor accompanying a scientific expedition reported seeing "a flat bulldozed plain of coral sand, without a single tree" and some traces of buildings from colonisation or World War II building efforts, all wood and stone ruins overgrown by vegetation. Howland is primarily a nesting, roosting and foraging habitat for seabirds, shorebirds and marine wildlife. The island, with its surrounding marine waters, has been recognised as an Important Bird Area (IBA) by BirdLife International because it supports seabird colonies of lesser frigatebirds, masked boobies, red-tailed tropicbirds and sooty terns, as well as serving as a migratory stopover for bristle-thighed curlews. Economics The U.S. claims an Exclusive Economic Zone of and a territorial sea of around the island. Time zone Since Howland Island is uninhabited, no time zone is specified. It lies within a nautical time zone which is 12 hours behind UTC, named International Date Line West (IDLW). Howland Island and Baker Island are the only places on Earth observing this time zone. This time zone is also called AoE, Anywhere on Earth, which is a calendar designation which indicates that a period expires when the date passes everywhere on Earth. History Prehistoric settlement Sparse remnants of trails and other artifacts indicate a sporadic early Polynesian presence. A canoe, a blue bead, pieces of bamboo, and other relics of early settlers have been found. The island's prehistoric settlement may have begun about 1000 BC when eastern Melanesians traveled north and may have extended down to Rawaki, Canton, Manra and Orona of the Phoenix Islands, 500 to 700 km southeast. K.P. Emery, an ethnologist for Honolulu's Bernice P. Bishop Museum, indicated that settlers on Manra Island were apparently of two distinct groups, one Polynesian and the other Micronesian, hence the same might have been true on Howland Island, though no proof of this has been found. The difficult life on these isolated islands along with unreliable fresh water supplies may have led to the dereliction or extinction of the settlements, much the same as other islands in the vast Pacific region (such as Kiritimati and Pitcairn) were abandoned. Sightings by whalers Captain George B. Worth of the Nantucket whaler Oeno sighted Howland around 1822 and called it Worth Island. Daniel MacKenzie of the American whaler Minerva Smith was unaware of Worth's sighting when he charted the island in 1828 and named it after his ship's owners on . Howland Island was at last named on after a lookout who sighted it from the whaleship Isabella under Captain Geo. E. Netcher of New Bedford. Captain William Bligh of HMS Bounty, in his diary after the mutiny, described stopping at this Island shortly after being set adrift by the mutineers in April, 1789. He had 18 crew members who scoured the island for sustenance such as oysters, water, and birds. Bligh was unsure of the name of the island but apparently it was known to cartographers. Bligh's account on Howland Island is open to question since his route in the boat began between Tonga and Tofua and ran more or less west directly to Timor. U.S. possession and guano mining Howland Island was uninhabited when the United States took possession of it under the Guano Islands Act of 1856. The island was a known navigation hazard for many decades and several ships were wrecked there. Its guano deposits were mined by American companies from about 1857 until October1878, although not without controversy. Captain Geo. E. Netcher of the Isabella informed Captain Taylor of its discovery. As Taylor had discovered another guano island in the Indian Ocean, they agreed to share the benefits of the guano on the two islands. Taylor put Netcher in communication with Alfred G. Benson, president of the American Guano Company, which was incorporated in 1857. Other entrepreneurs were approached as George and Matthew Howland, who later became members of the United States Guano Company, engaged Mr. Stetson to visit the Island on the ship Rousseau under Captain Pope. Mr. Stetson arrived on the Island in 1854 and described it as being occupied by birds and a plague of rats. The American Guano Company established claims in respect to Baker Island and Jarvis Island which were recognised under the U.S. Guano Islands Act of 1856. Benson tried to interest the American Guano Company in the Howland Island deposits, however the company directors considered they already had sufficient deposits. In October1857 the American Guano Company sent Benson's son Arthur to Baker and Jarvis Islands to survey the guano deposits. He also visited Howland Island and took samples of the guano. Subsequently, Alfred G. Benson resigned from the American Guano Company and together with Netcher, Taylor and George W. Benson formed the United States Guano Company to exploit the guano on Howland Island, with this claim being recognised under the U.S. Guano Islands Act of 1856. However, when the United States Guano Company dispatched a vessel of their own in 1859 to mine the guano they found that Howland Island was already occupied by men sent there by the American Guano Company. The companies ended up in New York state court, with the American Guano Company arguing that United States Guano Company had in effect abandoned the island, since the continual possession and actual occupation required for ownership by the Guano Islands Act did not occur. The result was that both companies were allowed to mine the guano deposits, which were substantially depleted by October1878. In the late 19th century there were British claims on the island, as well as attempts at setting up mining. John T. Arundel and Company, a British firm using laborers from the Cook Islands and Niue, occupied the island from 1886 to 1891. To clarify American sovereignty, Executive Order 7368 was issued on . Itascatown (1935–42) In 1935, colonists from the American Equatorial Islands Colonization Project arrived on the island to establish a permanent U.S. presence in the Central Pacific. It began with a rotating group of four alumni and students from the Kamehameha School for Boys, a private school in Honolulu. Although the recruits had signed on as part of a scientific expedition and expected to spend their three-month assignment collecting botanical and biological samples, once out to sea they were told, according to one of the Jarvis Island colonists, George West, "Your names will go down in history" and that the islands would become "famous air bases in a route that will connect Australia with California". The settlement was named Itascatown after the USCGC Itasca that brought the colonists to Howland and made regular cruises between the other equatorial islands during that era. Itascatown was a line of a half-dozen small wood-framed structures and tents near the beach on the island's western side. The fledgling colonists were given large stocks of canned food, water, and other supplies including a gasoline-powered refrigerator, radio equipment, medical kits and (characteristic of that era) vast quantities of cigarettes. Fishing provided variety in their diet. Most of the colonists' endeavors involved making hourly weather observations and constructing rudimentary infrastructure on the island, including the clearing of a landing strip for airplanes. During this period the island was on Hawaii time, which was then 10.5hours behind UTC. Similar colonization projects were started on nearby Baker Island and Jarvis Island, as well as Canton Island and Enderbury in the Phoenix Islands, which later became part of Kiribati. According to the 1940 U.S. Census, Howland Island had a population of four people on April 1, 1940. Kamakaiwi Field Ground was cleared
Central Europe's largest freshwater lake and an important recreation area. Its shallow waters offer good summer swimming, and in winter its frozen surface provides excellent opportunities for winter sports. Smaller bodies of water are Lake Velence (26 square km) in Fejér County and Lake Fertő (Neusiedler See—about 82 square km within Hungary), and the artificial Lake Tisza. Hungary has three major geographic regions (which are subdivided to seven smaller ones): the Great Alföld, lying east of the Danube River; the Transdanubia, a hilly region lying west of the Danube and extending to the Austrian foothills of the Alps; and the North Hungarian Mountains, which is a mountainous and hilly country beyond the northern boundary of the Great Hungarian Plain. The country's best natural resource is fertile land, although soil quality varies greatly. About 70% of the country's total territory is suitable for agriculture; of this portion, 72% is arable land. Hungary lacks extensive domestic sources of energy and raw materials needed for industrial development. Plains and hills The Little Alföld or Little Hungarian Plain is a plain (tectonic basin) of approximately 8,000 km2 in northwestern Hungary, southwestern Slovakia and eastern Austria, along the lower course of the Rába River, with high quality fertile soils. The Transdanubia region lies in the western part of the country, bounded by the Danube River, the Drava River, and the remainder of the country's border with Slovenia and Croatia. It lies south and west of the course of the Danube. It contains Lake Fertő and Lake Balaton. The region consists mostly of rolling hills. Transdanubia is primarily an agricultural area, with flourishing crops, livestock, and viticulture. Mineral deposits and oil are found in Zala county close to the border of Croatia. The Great Alföld contains the basin of the Tisza River and its branches. It encompasses more than half of the country's territory. Bordered by mountains on all sides, it has a variety of terrains, including regions of fertile soil, sandy areas, wastelands, and swampy areas. Hungarians have inhabited the Great Plain for at least a millennium. Here is found the puszta, a long, and uncultivated expanse (the most famous such area still in existence is the Hortobágy National Park), with which much Hungarian folklore is associated. In earlier centuries, the Great Plain was unsuitable for farming because of frequent flooding. Instead, it was the home of massive herds of cattle and horses. In the last half of the 19th century, the government sponsored programs to control the riverways and expedite inland drainage in the Great Plain. With the danger of recurrent flooding largely eliminated, much of the land was placed under cultivation, and herding ceased to be a major contributor to the area's economy. Mountains Although the majority of the country has an elevation lesser than 300 m, Hungary has several moderately high ranges of mountains. They can be classified to four geographic regions, from west to east: Alpokalja, Transdanubian Mountains, Mecsek and North Hungarian Mountains. Alpokalja (literally the foothills of the Alps) is located along the Austrian border; its highest point is Írott-kő with an elevation of 882 metres. The Transdanubian Mountains stretch from the west part of Lake Balaton to the Danube Bend near Budapest, where it meets the North Hungarian Mountains. Its tallest peak is the 757 m high Pilis. Mecsek is the southernmost Hungarian mountain range, located north from Pécs - Its highest point is the Zengő with 682 metres. The North Hungarian Mountains lie north of Budapest and run in a northeasterly direction south of the border with Slovakia. The higher ridges, which are mostly forested, have rich coal and iron deposits. Minerals are a major resource of the area and have long been the basis of the industrial economies of cities in the region. Viticulture is also important, producing the famous Tokaji wine. The highest peak of it is the Kékes, located in the Mátra mountain range. Highest independent peaks Climate Hungary has a mainly continental climate, with cold winters and warm to hot summers. The average annual temperature is about , in summer , and in winter , with extremes ranging from about in summer to in winter. Average yearly rainfall is about . Distribution and frequency of rainfall are unpredictable. The western part of the country usually receives more rain than the eastern part, where severe droughts may occur in summertime. Weather conditions in the Great Plain can be especially harsh, with hot summers, cold winters, and scant rainfall. By the 1980s, the countryside was beginning to show the effects of pollution, both from herbicides used in agriculture and from industrial pollutants. Most noticeable was the gradual contamination of the country's bodies of water, endangering fish and wildlife. Although concern was mounting over these disturbing threats to the environment, no major steps had yet been taken to arrest them. Rivers and lakes Agriculture Hungary, with its plains and hilly regions, is highly suitable for agriculture. Arable land Doubtless, one of Hungary's most important natural resources is arable land. It covers about 48.57% of the country, which is outstanding in the world (see the related map). The mass majority of the fertile soil has a good quality. The most important agricultural zones are the Little Hungarian Plain (it has the highest quality fertile soil in average), Transdanubia, and the Great Hungarian Plain. The last covers more than half of the country (52,000 km2 in number), whereas soil quality varies extremely; the territory even contains a small, grassy semi-desert, the so-called puszta (steppe
long been the basis of the industrial economies of cities in the region. Viticulture is also important, producing the famous Tokaji wine. The highest peak of it is the Kékes, located in the Mátra mountain range. Highest independent peaks Climate Hungary has a mainly continental climate, with cold winters and warm to hot summers. The average annual temperature is about , in summer , and in winter , with extremes ranging from about in summer to in winter. Average yearly rainfall is about . Distribution and frequency of rainfall are unpredictable. The western part of the country usually receives more rain than the eastern part, where severe droughts may occur in summertime. Weather conditions in the Great Plain can be especially harsh, with hot summers, cold winters, and scant rainfall. By the 1980s, the countryside was beginning to show the effects of pollution, both from herbicides used in agriculture and from industrial pollutants. Most noticeable was the gradual contamination of the country's bodies of water, endangering fish and wildlife. Although concern was mounting over these disturbing threats to the environment, no major steps had yet been taken to arrest them. Rivers and lakes Agriculture Hungary, with its plains and hilly regions, is highly suitable for agriculture. Arable land Doubtless, one of Hungary's most important natural resources is arable land. It covers about 48.57% of the country, which is outstanding in the world (see the related map). The mass majority of the fertile soil has a good quality. The most important agricultural zones are the Little Hungarian Plain (it has the highest quality fertile soil in average), Transdanubia, and the Great Hungarian Plain. The last covers more than half of the country (52,000 km2 in number), whereas soil quality varies extremely; the territory even contains a small, grassy semi-desert, the so-called puszta (steppe in English). Puszta is exploited by sheep and cattle raising. The most important Hungarian agricultural products include corn, wheat, barley, oat, sunflower, poppy, potato, millet, sugar-beet, flax, and many other plants. There are also some newly naturalized plants too, for example amaranth. Poppy seed is part of the traditional Hungarian cuisine. The country is well known for producing high quality peppers, which are often made into paprika. There are numerous fruits reared, including many subspecies of apple, pear, peach, grape, apricot, watermelon, cantaloupe, etc. Hungary does not grow any GMO products, thus these products are mainly imported from the United States. They cannot, however, be distributed without a mark on the wrapping. Viticulture Wine production has a long history in Hungary. There are two languages in Europe in which the word for "wine" does not derive from the Latin, being Greek – and Hungarian. The Hungarian word is bor. Viticulture has been recorded in the territory of today's Hungary since the Roman times, who were responsible for the introduction of the cultivation of wines. The arriving Hungarians took over the practice and have maintained it ever since. Today, there are numerous wine regions in Hungary, producing quality and inexpensive wines as well, comparable to Western European ones. The majority of the country's wine regions are located in the mountains or in the hills, such as Transdanubian Mountains, North Hungarian Mountains, Villány Mountains, and so on. Important ones include the regions of Eger, Hajós, Somló, Sopron, Villány, Szekszárd, and Tokaj-Hegyalja. Forestry 19% of the country is covered by forests. These are mainly mountainous areas, such as the North Hungarian and the Transdanubian Mountains, and the Alpokalja. The composition of forests is various, with trees like fir, beech, oak, willow, acacia, plane, etc. Political geography Hungary's current counties are largely based on the country's historic regions. The counties are subdivided into districts (járás), and these are further divided into municipalities (település). Hungary has 19 counties, 174 districts + 23 districts in Budapest and 2,722 municipality. Area